0001752724-24-162425.txt : 20240724 0001752724-24-162425.hdr.sgml : 20240724 20240724121926 ACCESSION NUMBER: 0001752724-24-162425 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20240531 FILED AS OF DATE: 20240724 DATE AS OF CHANGE: 20240724 PERIOD START: 20250228 FILER: COMPANY DATA: COMPANY CONFORMED NAME: SCHWAB STRATEGIC TRUST CENTRAL INDEX KEY: 0001454889 ORGANIZATION NAME: 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: 241137134 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 S000040878 Schwab Fundamental U.S. Small Company ETF C000126716 Schwab Fundamental U.S. Small Company 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529900TSBPOLCLI2L582 MRC Global Inc 55345K103 656215.00000000 NS USD 8721097.35000000 0.104377612974 Long EC CORP US N 1 N N N FNB Corp/PA PCYSKIGYNYFDTBLVZU83 FNB Corp/PA 302520101 1254184.00000000 NS USD 17270113.68000000 0.206695690849 Long EC CORP US N 1 N N N SMART Global Holdings Inc 529900RDGHQY8XKXPN14 SMART Global Holdings Inc 000000000 196736.00000000 NS USD 4048826.88000000 0.048457994232 Long EC CORP KY N 1 N N N Ryerson Holding Corp 549300JMA41B3ZHOVE45 Ryerson Holding Corp 783754104 201932.00000000 NS USD 4795885.00000000 0.057399087329 Long EC CORP US N 1 N N N Caleres Inc JFU6RQQJ8Z1CPOLBXQ18 Caleres Inc 129500104 168692.00000000 NS USD 5850238.56000000 0.070018016279 Long EC CORP US N 1 N N N TriCo Bancshares N/A TriCo Bancshares 896095106 85321.00000000 NS USD 3249023.68000000 0.038885626728 Long EC CORP US N 1 N N N DigitalBridge Group Inc 549300XG87L902AGBO89 DigitalBridge Group Inc 25401T603 1356695.00000000 NS USD 18505319.80000000 0.221479136230 Long EC CORP US N 1 N N N Capitol Federal Financial Inc N/A Capitol Federal Financial Inc 14057J101 827775.00000000 NS USD 4279596.75000000 0.051219941176 Long EC CORP US N 1 N N N Blackbaud Inc 54930056X3HKFMNG3754 Blackbaud Inc 09227Q100 58040.00000000 NS USD 4523637.60000000 0.054140720565 Long EC CORP US N 1 N N N HNI Corp 549300SKRADLC4O5HV93 HNI Corp 404251100 324992.00000000 NS USD 15290873.60000000 0.183007346738 Long EC CORP US N 1 N N N AAON Inc 549300ZHF0E5VM7PUD37 AAON Inc 000360206 59850.00000000 NS USD 4491742.50000000 0.053758987135 Long EC CORP US N 1 N N N Radius Recycling Inc 549300F62TK8VRDSM285 Radius Recycling Inc 806882106 397296.00000000 NS USD 6797734.56000000 0.081358030822 Long EC CORP US N 1 N N N M/I Homes Inc 5299005M71FH9CCSFB69 M/I Homes Inc 55305B101 147032.00000000 NS USD 18367237.44000000 0.219826510815 Long EC CORP US N 1 N N N Fair Isaac Corp RI6HET5SJUEY30V1PS26 Fair Isaac Corp 303250104 16527.00000000 NS USD 21318673.11000000 0.255150484131 Long EC CORP US N 1 N N N TPG RE Finance Trust Inc N/A TPG RE Finance Trust Inc 87266M107 683711.00000000 NS USD 5866240.38000000 0.070209532519 Long EC CORP US N 1 N N N Claros Mortgage Trust Inc 549300Z9LU2CZ3K30C16 Claros Mortgage Trust Inc 18270D106 98334.00000000 NS USD 775855.26000000 0.009285748891 Long EC US N 1 N N N Coinbase Global Inc 5493004G3J2SC154DU06 Coinbase Global Inc 19260Q107 187963.00000000 NS USD 42464600.96000000 0.508233483271 Long EC CORP US N 1 N N N Corcept Therapeutics Inc 529900EO9LUTFMZ7FF90 Corcept Therapeutics Inc 218352102 160490.00000000 NS USD 4841983.30000000 0.057950810389 Long EC CORP US N 1 N N N Bank of NT Butterfield & Son Ltd/The 549300V8RVM0EMTDPF28 Bank of NT Butterfield & Son Ltd/The 000000000 227370.00000000 NS USD 7746495.90000000 0.092713189466 Long EC CORP BM N 1 N N N Stride Inc 254900BRWS3AFONWU277 Stride Inc 86333M108 125335.00000000 NS USD 8605501.10000000 0.102994110399 Long EC CORP US N 1 N N N Alarm.com Holdings Inc 549300HIH92U1EKIHZ32 Alarm.com Holdings Inc 011642105 51056.00000000 NS USD 3339572.96000000 0.039969357058 Long EC CORP US N 1 N N N Floor & Decor Holdings Inc 549300M5FR3N688XGQ36 Floor & Decor Holdings Inc 339750101 102567.00000000 NS USD 11985979.62000000 0.143453041709 Long EC CORP US N 1 N N N CONSOL Energy Inc 549300YJCTPJBTK7IJ81 CONSOL Energy Inc 20854L108 112585.00000000 NS USD 11671686.95000000 0.139691460184 Long EC CORP US N 1 N N N Stepan Co IZU1EW9GB3WC7CYCSR17 Stepan Co 858586100 130028.00000000 NS USD 11334540.76000000 0.135656358508 Long EC CORP US N 1 N N N FTI Consulting Inc 549300K17GM8EQD0FQ48 FTI Consulting Inc 302941109 84590.00000000 NS USD 18169932.00000000 0.217465079675 Long EC CORP US N 1 N N N Olympic Steel Inc 549300GQ061U6N6KWJ49 Olympic Steel Inc 68162K106 102725.00000000 NS USD 5356081.50000000 0.064103745140 Long EC CORP US N 1 N N N Monro Inc N/A Monro Inc 610236101 205336.00000000 NS USD 4856196.40000000 0.058120918506 Long EC CORP US N 1 N N N Onto Innovation Inc 254900RXZVN73CHOO062 Onto Innovation Inc 683344105 38156.00000000 NS USD 8268405.20000000 0.098959610614 Long EC CORP US N 1 N N N Ingevity Corp 5493009UTFC4B5IMGF87 Ingevity Corp 45688C107 201658.00000000 NS USD 9850993.30000000 0.117900663737 Long EC CORP US N 1 N N N Argan Inc 529900E4KZWBV9KGBS83 Argan Inc 04010E109 68739.00000000 NS USD 4855035.57000000 0.058107025224 Long EC CORP US N 1 N N N Midland States Bancorp Inc 5493006RHXW9TTBWYC94 Midland States Bancorp Inc 597742105 24851.00000000 NS USD 564614.72000000 0.006757536851 Long EC CORP US N 1 N N N Element Solutions Inc 549300FLGN6P5CU20J91 Element Solutions Inc 28618M106 685155.00000000 NS USD 16464274.65000000 0.197051084096 Long EC CORP US N 1 N N N Heidrick & Struggles International Inc 5493006284N2J367VB57 Heidrick & Struggles International Inc 422819102 105011.00000000 NS USD 3599777.08000000 0.043083584986 Long EC CORP US N 1 N N N Reynolds Consumer Products Inc N/A Reynolds Consumer Products Inc 76171L106 185517.00000000 NS USD 5276103.48000000 0.063146535917 Long EC CORP US N 1 N N N Otter Tail Corp 549300HHVBQRQUVKKD91 Otter Tail Corp 689648103 98151.00000000 NS USD 8879720.97000000 0.106276084480 Long EC CORP US N 1 N N N RenaissanceRe Holdings Ltd EK6GB9U3U58PDI411C94 RenaissanceRe Holdings Ltd 000000000 89368.00000000 NS USD 20363392.48000000 0.243717299994 Long EC CORP BM N 1 N N N CVB Financial Corp N/A CVB Financial Corp 126600105 434466.00000000 NS USD 7186067.64000000 0.086005757857 Long EC CORP US N 1 N N N Provident Financial Services Inc 529900JOSO3SXEDVE477 Provident Financial Services Inc 74386T105 484939.00000000 NS USD 6983121.60000000 0.083576817740 Long EC CORP US N 1 N N N BellRing Brands Inc 549300S3BOK5CMTS8054 BellRing Brands Inc 07831C103 63703.00000000 NS USD 3705603.51000000 0.044350158412 Long EC CORP US N 1 N N N Mercer International Inc 549300Z5IAG39VRTY874 Mercer International Inc 588056101 613203.00000000 NS USD 5825428.50000000 0.069721079467 Long EC CORP US N 1 N N N CSW Industrials Inc 549300SYOEO3RVQ7FB83 CSW Industrials Inc 126402106 18255.00000000 NS USD 4641516.30000000 0.055551540423 Long EC CORP US N 1 N N N SPS Commerce Inc 2549006XVF9GCCETDQ72 SPS Commerce Inc 78463M107 15338.00000000 NS USD 2884924.42000000 0.034527939832 Long EC CORP US N 1 N N N Cars.com Inc 5493002G6J07LNGX4M98 Cars.com Inc 14575E105 150300.00000000 NS USD 3040569.00000000 0.036390756984 Long EC CORP US N 1 N N N Encore Wire Corp N/A Encore Wire Corp 292562105 74605.00000000 NS USD 21540701.65000000 0.257807811310 Long EC CORP US N 1 N N N Brinker International Inc 52990067JY6PBGJNTG76 Brinker International Inc 109641100 181240.00000000 NS USD 12800981.20000000 0.153207309558 Long EC CORP US N 1 N N N 2024-06-25 SCHWAB STRATEGIC TRUST Dana Smith Dana Smith CFO XXXX NPORT-EX 2 NPORT_2MX6_77419995_0524.htm EDGAR HTML
Schwab Strategic Trust
Schwab Fundamental U.S. Broad Market Index ETF
Portfolio Holdings as of May 31, 2024 (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. You can also obtain this information at no cost by calling 1-866-414-6349 or by sending an email request to orders@mysummaryprospectus.com.
SECURITY
NUMBER
OF SHARES
VALUE ($)
COMMON STOCKS 99.7% OF NET ASSETS
 
Automobiles & Components 1.6%
Adient PLC *
4,482
126,572
American Axle & Manufacturing Holdings,
Inc. *
10,235
78,195
Aptiv PLC *
6,181
514,630
Autoliv, Inc.
2,505
319,563
BorgWarner, Inc.
10,362
369,509
Cooper-Standard Holdings, Inc. *
2,822
37,250
Dana, Inc.
11,067
155,602
Dorman Products, Inc. *
589
54,170
Ford Motor Co.
209,293
2,538,724
Fox Factory Holding Corp. *
503
23,450
General Motors Co.
113,734
5,116,893
Gentex Corp.
6,671
233,485
Gentherm, Inc. *
894
48,222
Goodyear Tire & Rubber Co. *
25,517
314,114
Harley-Davidson, Inc.
5,037
180,728
LCI Industries
823
90,431
Lear Corp.
3,594
450,508
Modine Manufacturing Co. *
1,010
101,929
Patrick Industries, Inc.
762
87,325
Phinia, Inc.
1,932
86,476
Standard Motor Products, Inc.
1,190
36,545
Stoneridge, Inc. *
1,419
22,520
Tesla, Inc. *
4,503
801,894
Thor Industries, Inc.
2,578
255,841
Visteon Corp. *
515
57,356
Winnebago Industries, Inc.
1,273
78,990
 
12,180,922
 
Banks 7.8%
1st Source Corp.
390
20,054
Ameris Bancorp
1,126
56,244
Associated Banc-Corp.
5,044
108,042
Atlantic Union Bankshares Corp.
356
11,616
Axos Financial, Inc. *
882
47,513
BancFirst Corp.
233
20,073
Bancorp, Inc. *
100
3,359
Bank of America Corp.
240,936
9,635,031
Bank of Hawaii Corp.
1,125
64,957
Bank of NT Butterfield & Son Ltd.
1,442
49,129
Bank OZK
2,321
97,203
BankUnited, Inc.
4,408
126,466
Banner Corp.
978
45,800
Berkshire Hills Bancorp, Inc.
234
5,202
BOK Financial Corp.
641
58,087
Brookline Bancorp, Inc.
2,542
21,988
Cadence Bank
3,451
98,526
Capitol Federal Financial, Inc.
5,495
28,409
Cathay General Bancorp
1,851
68,191
Central Pacific Financial Corp.
1,196
24,255
Citigroup, Inc.
142,332
8,868,707
SECURITY
NUMBER
OF SHARES
VALUE ($)
Citizens Financial Group, Inc.
19,332
682,226
City Holding Co.
237
24,226
Columbia Banking System, Inc.
4,741
91,406
Comerica, Inc.
7,862
402,849
Commerce Bancshares, Inc.
1,808
100,597
Community Financial System, Inc.
895
40,687
ConnectOne Bancorp, Inc.
847
15,788
Credicorp Ltd.
2,019
333,781
Cullen/Frost Bankers, Inc.
922
93,657
Customers Bancorp, Inc. *
713
32,299
CVB Financial Corp.
2,862
47,337
Eagle Bancorp, Inc.
1,408
25,386
East West Bancorp, Inc.
2,495
185,104
Eastern Bankshares, Inc.
2,225
30,482
Enterprise Financial Services Corp.
587
22,711
FB Financial Corp.
117
4,329
Fifth Third Bancorp
23,835
891,906
First BanCorp
3,181
56,399
First Bancorp/Southern Pines NC
523
16,501
First Busey Corp.
1,482
33,508
First Citizens BancShares, Inc., Class A
72
122,287
First Commonwealth Financial Corp.
2,013
27,196
First Financial Bancorp
2,408
53,698
First Financial Bankshares, Inc.
1,220
36,576
First Hawaiian, Inc.
4,532
92,136
First Horizon Corp.
13,134
208,043
First Interstate BancSystem, Inc., Class A
1,809
48,011
First Merchants Corp.
1,304
43,097
FNB Corp.
8,258
113,713
Fulton Financial Corp.
4,109
69,196
Glacier Bancorp, Inc.
1,851
69,190
Hancock Whitney Corp.
2,102
98,226
Hanmi Financial Corp.
1,032
16,264
Heartland Financial USA, Inc.
1,057
46,466
Heritage Financial Corp.
1,175
21,303
Hilltop Holdings, Inc.
1,846
56,469
Home BancShares, Inc.
785
18,463
HomeStreet, Inc.
2,833
25,865
Hope Bancorp, Inc.
5,219
54,956
Huntington Bancshares, Inc.
33,813
470,677
Independent Bank Corp.
673
34,182
Independent Bank Group, Inc.
764
35,175
International Bancshares Corp.
1,016
57,739
JPMorgan Chase & Co.
71,565
14,501,216
Kearny Financial Corp.
2,421
13,727
KeyCorp
45,096
648,029
Lakeland Financial Corp.
327
20,284
M&T Bank Corp.
4,450
674,620
Midland States Bancorp, Inc.
161
3,658
National Bank Holdings Corp., Class A
128
4,668
NBT Bancorp, Inc.
956
35,544
New York Community Bancorp, Inc.
17,026
56,016
Nicolet Bankshares, Inc.
50
4,026
Northwest Bancshares, Inc.
3,327
36,431
NU Holdings Ltd., Class A *
678
8,055
OceanFirst Financial Corp.
1,476
22,214
  
1

Schwab Fundamental U.S. Broad Market Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
OFG Bancorp
956
35,525
Old National Bancorp
4,393
75,076
Pacific Premier Bancorp, Inc.
2,099
46,682
Park National Corp.
262
36,015
Pathward Financial, Inc.
570
30,387
Peoples Bancorp, Inc.
142
4,139
Pinnacle Financial Partners, Inc.
1,135
90,244
PNC Financial Services Group, Inc.
12,129
1,908,983
Popular, Inc.
2,720
242,107
Preferred Bank
60
4,483
Premier Financial Corp.
1,085
21,385
Prosperity Bancshares, Inc.
1,603
99,867
Provident Financial Services, Inc.
3,358
48,355
Regions Financial Corp.
24,933
482,454
S&T Bancorp, Inc.
883
28,177
Sandy Spring Bancorp, Inc.
1,551
36,355
Seacoast Banking Corp. of Florida
215
5,089
Simmons First National Corp., Class A
3,698
64,271
Southside Bancshares, Inc.
852
22,842
Synovus Financial Corp.
4,267
169,357
Texas Capital Bancshares, Inc. *
942
56,784
Tompkins Financial Corp.
341
15,996
Towne Bank
1,449
39,398
TriCo Bancshares
522
19,878
Truist Financial Corp.
39,832
1,503,658
Trustmark Corp.
1,912
55,735
U.S. Bancorp
50,787
2,059,413
UMB Financial Corp.
873
71,970
United Bankshares, Inc.
2,593
84,117
United Community Banks, Inc.
1,702
43,673
Valley National Bancorp
9,991
71,236
Veritex Holdings, Inc.
1,388
28,315
WaFd, Inc.
2,577
72,182
Washington Trust Bancorp, Inc.
680
17,850
Webster Financial Corp.
2,190
96,842
Wells Fargo & Co.
161,580
9,681,874
WesBanco, Inc.
1,708
47,141
Westamerica BanCorp
479
23,385
Western Alliance Bancorp
1,857
117,047
Wintrust Financial Corp.
1,037
102,259
WSFS Financial Corp.
922
40,623
Zions Bancorp NA
8,437
364,394
 
58,503,010
 
Capital Goods 7.3%
3M Co.
22,578
2,260,961
A O Smith Corp.
2,307
192,957
AAON, Inc.
412
30,921
AAR Corp. *
1,036
73,546
Acuity Brands, Inc.
1,103
286,350
Advanced Drainage Systems, Inc.
453
78,591
AECOM
3,186
278,265
AerCap Holdings NV
2,858
264,965
AGCO Corp.
2,125
228,076
Air Lease Corp.
3,118
148,542
Alamo Group, Inc.
200
37,998
Albany International Corp., Class A
612
53,685
Allegion PLC
1,314
160,071
Allison Transmission Holdings, Inc.
3,870
293,385
Ameresco, Inc., Class A *
184
6,720
American Woodmark Corp. *
859
73,968
AMETEK, Inc.
1,951
330,851
API Group Corp. *
2,230
79,477
Apogee Enterprises, Inc.
1,099
71,402
Applied Industrial Technologies, Inc.
612
118,116
Arcosa, Inc.
1,036
91,075
Argan, Inc.
428
30,230
Armstrong World Industries, Inc.
976
113,021
SECURITY
NUMBER
OF SHARES
VALUE ($)
Astec Industries, Inc.
1,086
35,284
Atkore, Inc.
586
89,160
AZEK Co., Inc. *
973
46,665
AZZ, Inc.
868
72,808
Barnes Group, Inc.
2,153
82,869
Beacon Roofing Supply, Inc. *
1,429
138,699
BlueLinx Holdings, Inc. *
139
14,302
Boeing Co. *
6,481
1,151,090
Boise Cascade Co.
1,826
250,692
Builders FirstSource, Inc. *
766
123,165
BWX Technologies, Inc.
1,262
116,268
Carlisle Cos., Inc.
909
380,226
Carrier Global Corp.
12,884
814,140
Caterpillar, Inc.
8,660
2,931,583
CNH Industrial NV
32,651
344,795
Columbus McKinnon Corp.
757
29,599
Comfort Systems USA, Inc.
376
123,080
Construction Partners, Inc., Class A *
565
32,889
Core & Main, Inc., Class A *
1,083
62,337
Crane Co.
710
105,847
CSW Industrials, Inc.
122
31,020
Cummins, Inc.
4,375
1,232,569
Curtiss-Wright Corp.
648
183,267
Deere & Co.
3,875
1,452,195
DNOW, Inc. *
6,334
92,413
Donaldson Co., Inc.
2,231
164,380
Douglas Dynamics, Inc.
722
17,949
Dover Corp.
2,453
450,910
Ducommun, Inc. *
370
21,527
DXP Enterprises, Inc. *
718
35,670
Dycom Industries, Inc. *
923
166,103
Eaton Corp. PLC
5,523
1,838,331
EMCOR Group, Inc.
1,143
444,238
Emerson Electric Co.
11,061
1,240,602
Encore Wire Corp.
482
139,168
Enerpac Tool Group Corp.
756
29,726
EnerSys
1,139
122,830
Enpro, Inc.
351
53,794
Esab Corp.
824
84,724
ESCO Technologies, Inc.
349
38,086
Fastenal Co.
6,752
445,497
Federal Signal Corp.
793
72,972
Flowserve Corp.
3,061
152,132
Fluor Corp. *
3,982
172,819
Fortive Corp.
3,099
230,690
Fortune Brands Innovations, Inc.
3,561
249,484
Franklin Electric Co., Inc.
703
69,934
FTAI Aviation Ltd.
1,233
103,967
Gates Industrial Corp. PLC *
3,929
68,443
GATX Corp.
890
122,784
GE Vernova, Inc. *
2,089
367,455
Generac Holdings, Inc. *
959
141,174
General Dynamics Corp.
5,714
1,712,886
General Electric Co.
8,383
1,384,369
Gibraltar Industries, Inc. *
639
48,219
Global Industrial Co.
81
2,803
GMS, Inc. *
1,241
116,604
Graco, Inc.
1,641
132,511
GrafTech International Ltd. *
35,495
58,567
Granite Construction, Inc.
1,747
108,821
Great Lakes Dredge & Dock Corp. *
3,034
27,761
Greenbrier Cos., Inc.
1,996
110,279
Griffon Corp.
888
59,976
H&E Equipment Services, Inc.
1,092
51,728
Hayward Holdings, Inc. *
610
8,839
HEICO Corp.
542
120,199
Helios Technologies, Inc.
171
8,564
Herc Holdings, Inc.
674
97,777
Hexcel Corp.
1,540
106,060
2
  

Schwab Fundamental U.S. Broad Market Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Hillenbrand, Inc.
1,690
78,568
Hillman Solutions Corp. *
3,699
33,994
Honeywell International, Inc.
12,076
2,441,646
Howmet Aerospace, Inc.
5,205
440,603
Hubbell, Inc.
626
243,445
Huntington Ingalls Industries, Inc.
1,226
310,301
Hyster-Yale Materials Handling, Inc.
61
4,428
IDEX Corp.
801
167,121
Illinois Tool Works, Inc.
4,219
1,024,162
Ingersoll Rand, Inc.
2,301
214,108
Insteel Industries, Inc.
205
6,738
ITT, Inc.
1,443
191,746
JELD-WEN Holding, Inc. *
6,163
95,588
John Bean Technologies Corp.
514
49,102
Johnson Controls International PLC
15,313
1,101,158
Kadant, Inc.
116
33,177
Kennametal, Inc.
3,425
88,194
Kratos Defense & Security Solutions, Inc. *
1,312
28,523
L3Harris Technologies, Inc.
4,996
1,123,251
Lennox International, Inc.
397
199,532
Leonardo DRS, Inc. *
318
7,489
Lincoln Electric Holdings, Inc.
717
140,790
Lindsay Corp.
186
21,357
Lockheed Martin Corp.
4,792
2,253,869
Manitowoc Co., Inc. *
2,366
29,409
Masco Corp.
5,299
370,506
MasTec, Inc. *
2,125
238,531
Masterbrand, Inc. *
1,530
25,566
McGrath RentCorp
396
43,156
MDU Resources Group, Inc.
6,688
168,805
Mercury Systems, Inc. *
894
27,669
Middleby Corp. *
895
115,374
Moog, Inc., Class A
675
114,365
MRC Global, Inc. *
4,294
57,067
MSC Industrial Direct Co., Inc., Class A
1,355
116,395
Mueller Industries, Inc.
3,139
184,918
Mueller Water Products, Inc., Class A
3,359
62,343
MYR Group, Inc. *
365
56,597
National Presto Industries, Inc.
253
18,843
Nordson Corp.
588
138,015
Northrop Grumman Corp.
2,934
1,322,559
nVent Electric PLC
2,518
204,915
Oshkosh Corp.
2,612
297,063
Otis Worldwide Corp.
3,731
370,115
Owens Corning
2,617
473,860
PACCAR, Inc.
9,790
1,052,425
Parker-Hannifin Corp.
1,489
791,433
Pentair PLC
2,961
240,966
Proto Labs, Inc. *
893
27,656
Quanex Building Products Corp.
1,251
41,233
Quanta Services, Inc.
1,833
505,798
RBC Bearings, Inc. *
161
47,540
Regal Rexnord Corp.
1,309
195,748
Resideo Technologies, Inc. *
6,999
151,178
REV Group, Inc.
2,025
55,505
Rockwell Automation, Inc.
1,415
364,405
RTX Corp.
22,131
2,385,943
Rush Enterprises, Inc., Class A
2,837
128,034
Sensata Technologies Holding PLC
4,511
186,395
Shyft Group, Inc.
1,896
24,022
Simpson Manufacturing Co., Inc.
530
87,938
SiteOne Landscape Supply, Inc. *
536
82,984
Snap-on, Inc.
1,120
305,603
Spirit AeroSystems Holdings, Inc., Class A *
4,379
132,771
SPX Technologies, Inc. *
403
56,186
Standex International Corp.
200
33,642
Stanley Black & Decker, Inc.
5,966
520,056
Sterling Infrastructure, Inc. *
397
48,779
Stratasys Ltd. *
1,439
12,462
SECURITY
NUMBER
OF SHARES
VALUE ($)
Sunrun, Inc. *
344
4,974
Tennant Co.
384
39,421
Terex Corp.
1,896
113,134
Textron, Inc.
5,180
453,820
Thermon Group Holdings, Inc. *
134
4,524
Timken Co.
1,683
146,236
Titan International, Inc. *
398
3,291
Titan Machinery, Inc. *
1,106
20,815
Toro Co.
1,541
123,573
TPI Composites, Inc. *
5,358
29,362
Trane Technologies PLC
2,350
769,531
TransDigm Group, Inc.
444
596,394
Trex Co., Inc. *
905
78,264
Trinity Industries, Inc.
3,481
109,477
Tutor Perini Corp. *
8,995
198,430
UFP Industries, Inc.
1,961
234,300
United Rentals, Inc.
1,312
878,266
Valmont Industries, Inc.
417
104,834
Vertiv Holdings Co.
1,375
134,846
Wabash National Corp.
2,164
48,928
Watsco, Inc.
516
245,048
Watts Water Technologies, Inc., Class A
348
69,297
WESCO International, Inc.
1,346
241,594
Westinghouse Air Brake Technologies Corp.
2,616
442,706
WillScot Mobile Mini Holdings Corp. *
1,250
49,288
Woodward, Inc.
877
163,561
WW Grainger, Inc.
547
504,039
Xylem, Inc.
2,214
312,218
Zurn Elkay Water Solutions Corp.
925
28,962
 
54,804,283
 
Commercial & Professional Services 1.4%
ABM Industries, Inc.
3,282
155,140
ACCO Brands Corp.
8,921
45,408
Alight, Inc., Class A *
1,850
14,337
Automatic Data Processing, Inc.
3,745
917,225
Barrett Business Services, Inc.
185
24,483
Booz Allen Hamilton Holding Corp., Class A
1,810
275,500
BrightView Holdings, Inc. *
4,170
57,588
Brink's Co.
911
94,052
Broadridge Financial Solutions, Inc.
1,208
242,530
CACI International, Inc., Class A *
515
218,607
Casella Waste Systems, Inc., Class A *
328
32,994
CBIZ, Inc. *
642
48,676
Cimpress PLC *
596
49,176
Cintas Corp.
811
549,834
Clarivate PLC *
4,119
23,478
Clean Harbors, Inc. *
656
142,083
Concentrix Corp.
1,344
82,428
Conduent, Inc. *
13,775
48,212
Copart, Inc. *
3,323
176,318
CoreCivic, Inc. *
8,374
134,403
CRA International, Inc.
161
28,331
CSG Systems International, Inc.
804
34,693
Dayforce, Inc. *
306
15,135
Deluxe Corp.
3,876
88,101
Dun & Bradstreet Holdings, Inc.
5,264
50,482
Ennis, Inc.
1,260
26,498
Enviri Corp. *
5,703
50,472
Equifax, Inc.
887
205,243
ExlService Holdings, Inc. *
1,696
50,643
Exponent, Inc.
385
36,621
FTI Consulting, Inc. *
556
119,429
Genpact Ltd.
4,258
140,769
GEO Group, Inc. *
10,616
154,357
Healthcare Services Group, Inc. *
5,638
60,778
Heidrick & Struggles International, Inc.
666
22,830
HNI Corp.
2,237
105,251
  
3

Schwab Fundamental U.S. Broad Market Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Huron Consulting Group, Inc. *
255
22,519
ICF International, Inc.
335
47,821
Insperity, Inc.
507
48,023
Interface, Inc.
3,399
54,758
Jacobs Solutions, Inc.
2,693
375,243
KBR, Inc.
2,209
145,043
Kelly Services, Inc., Class A
4,942
107,439
Kforce, Inc.
723
44,689
Korn Ferry
1,673
110,318
Leidos Holdings, Inc.
3,759
552,761
ManpowerGroup, Inc.
5,049
376,756
Matthews International Corp., Class A
1,106
31,333
Maximus, Inc.
1,534
132,077
MillerKnoll, Inc.
3,663
101,026
MSA Safety, Inc.
305
54,900
NV5 Global, Inc. *
188
17,668
OPENLANE, Inc. *
4,526
78,073
Parsons Corp. *
593
45,157
Paychex, Inc.
3,212
385,954
Paycom Software, Inc.
197
28,628
Pitney Bowes, Inc.
15,231
82,552
Republic Services, Inc.
2,442
452,234
Resources Connection, Inc.
2,006
22,969
Robert Half, Inc.
3,458
222,107
Rollins, Inc.
1,507
68,855
Science Applications International Corp.
1,432
192,819
SS&C Technologies Holdings, Inc.
3,628
225,117
Steelcase, Inc., Class A
7,435
101,562
Stericycle, Inc. *
1,789
92,205
Tetra Tech, Inc.
591
123,809
TransUnion
2,037
146,501
TriNet Group, Inc.
567
58,951
TrueBlue, Inc. *
3,921
42,347
TTEC Holdings, Inc.
769
4,829
UniFirst Corp.
480
76,128
Veralto Corp.
1,362
134,266
Verisk Analytics, Inc.
1,086
274,519
Verra Mobility Corp. *
1,183
31,515
Vestis Corp.
3,574
44,032
VSE Corp.
47
3,847
Waste Management, Inc.
5,440
1,146,371
 
10,829,826
 
Consumer Discretionary Distribution & Retail 4.5%
1-800-Flowers.com, Inc., Class A *
2,328
22,535
Aaron's Co., Inc.
4,310
36,549
Abercrombie & Fitch Co., Class A *
2,088
360,953
Academy Sports & Outdoors, Inc.
2,335
134,706
Advance Auto Parts, Inc.
4,605
325,297
Amazon.com, Inc. *
54,961
9,697,319
American Eagle Outfitters, Inc.
6,837
150,209
America's Car-Mart, Inc. *
247
14,887
Arko Corp.
2,780
16,680
Asbury Automotive Group, Inc. *
695
163,374
AutoNation, Inc. *
2,186
372,166
AutoZone, Inc. *
140
387,792
Bath & Body Works, Inc.
6,510
338,129
Best Buy Co., Inc.
13,866
1,176,114
Beyond, Inc. *
2,593
39,232
Big Lots, Inc. *(a)
28,229
98,237
Boot Barn Holdings, Inc. *
487
57,919
Buckle, Inc.
1,238
47,713
Burlington Stores, Inc. *
829
199,001
Caleres, Inc.
1,108
38,425
Camping World Holdings, Inc., Class A
1,020
20,502
CarMax, Inc. *
6,035
424,019
Children's Place, Inc. *
1,434
17,566
Citi Trends, Inc. *
1,120
27,362
SECURITY
NUMBER
OF SHARES
VALUE ($)
ContextLogic, Inc., Class A *
5,724
31,253
Coupang, Inc., Class A *
1,222
27,788
Designer Brands, Inc., Class A
4,291
43,125
Dick's Sporting Goods, Inc.
1,667
379,476
Dillard's, Inc., Class A
163
72,918
eBay, Inc.
23,004
1,247,277
Etsy, Inc. *
1,045
66,326
Five Below, Inc. *
354
48,898
Floor & Decor Holdings, Inc., Class A *
672
78,530
Foot Locker, Inc.
8,782
243,525
GameStop Corp., Class A *(a)
6,742
156,010
Gap, Inc.
15,381
445,434
Genesco, Inc. *
1,481
42,208
Genuine Parts Co.
2,802
403,880
Group 1 Automotive, Inc.
936
291,077
Guess?, Inc.
1,785
41,537
Haverty Furniture Cos., Inc.
1,076
30,569
Hibbett, Inc.
1,002
86,753
Home Depot, Inc.
15,119
5,062,900
Kohl's Corp.
25,109
562,191
Leslie's, Inc. *
2,062
11,795
Lithia Motors, Inc.
1,269
321,235
LKQ Corp.
8,316
357,837
Lowe's Cos., Inc.
11,713
2,591,970
Macy's, Inc.
26,097
508,370
MarineMax, Inc. *
1,710
48,701
MercadoLibre, Inc. *
35
60,395
Monro, Inc.
1,359
32,140
Murphy USA, Inc.
666
292,207
National Vision Holdings, Inc. *
2,337
35,265
Nordstrom, Inc.
8,260
182,546
ODP Corp. *
3,486
136,512
Ollie's Bargain Outlet Holdings, Inc. *
1,005
82,842
OneWater Marine, Inc., Class A *
189
4,884
O'Reilly Automotive, Inc. *
650
626,119
Penske Automotive Group, Inc.
975
148,297
Petco Health & Wellness Co., Inc. *
7,022
27,105
PetMed Express, Inc.
2,442
10,403
Pool Corp.
402
146,147
Qurate Retail, Inc. *
404,614
287,923
RH *
247
67,167
Ross Stores, Inc.
3,801
531,228
Sally Beauty Holdings, Inc. *
7,786
94,833
Shoe Carnival, Inc.
1,066
40,241
Signet Jewelers Ltd.
1,297
142,009
Sleep Number Corp. *
4,372
66,105
Sonic Automotive, Inc., Class A
1,420
80,471
Sportsman's Warehouse Holdings, Inc. *
1,694
6,454
Stitch Fix, Inc., Class A *
7,632
18,851
TJX Cos., Inc.
14,413
1,485,980
Tractor Supply Co.
1,575
449,332
Ulta Beauty, Inc. *
501
197,940
Upbound Group, Inc.
2,362
77,521
Urban Outfitters, Inc. *
2,725
113,660
Valvoline, Inc. *
2,267
92,040
Victoria's Secret & Co. *
4,234
96,493
Vroom, Inc. *(a)
801
8,459
Wayfair, Inc., Class A *
611
36,348
Williams-Sonoma, Inc.
1,570
460,355
Zumiez, Inc. *
1,911
35,889
 
33,542,430
 
Consumer Durables & Apparel 1.8%
Acushnet Holdings Corp.
717
47,250
Beazer Homes USA, Inc. *
1,441
41,386
Brunswick Corp.
2,384
196,751
Capri Holdings Ltd. *
4,128
142,622
Carter's, Inc.
1,920
131,328
4
  

Schwab Fundamental U.S. Broad Market Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Cavco Industries, Inc. *
179
63,939
Century Communities, Inc.
1,133
95,637
Columbia Sportswear Co.
1,198
102,573
Crocs, Inc. *
879
136,808
Deckers Outdoor Corp. *
260
284,419
DR Horton, Inc.
7,437
1,099,189
Ethan Allen Interiors, Inc.
1,027
29,896
Garmin Ltd.
2,389
391,438
G-III Apparel Group Ltd. *
3,690
110,921
GoPro, Inc., Class A *
5,649
8,586
Green Brick Partners, Inc. *
114
6,224
Hanesbrands, Inc. *
39,085
200,115
Hasbro, Inc.
3,831
229,017
Helen of Troy Ltd. *
815
87,107
Hovnanian Enterprises, Inc., Class A *
29
4,170
Installed Building Products, Inc.
274
58,044
iRobot Corp. *
2,117
20,344
KB Home
2,842
200,645
Kontoor Brands, Inc.
1,015
74,440
La-Z-Boy, Inc.
2,087
78,304
Leggett & Platt, Inc.
6,992
81,107
Lennar Corp., Class A
7,673
1,230,366
LGI Homes, Inc. *
702
67,392
Lululemon Athletica, Inc. *
657
204,977
M/I Homes, Inc. *
957
119,548
Malibu Boats, Inc., Class A *
200
7,692
Mattel, Inc. *
4,942
87,918
Meritage Homes Corp.
1,324
233,487
Mohawk Industries, Inc. *
3,633
442,972
Movado Group, Inc.
586
15,529
Newell Brands, Inc.
26,348
203,407
NIKE, Inc., Class B
15,277
1,452,079
NVR, Inc. *
62
476,205
Oxford Industries, Inc.
379
41,951
Peloton Interactive, Inc., Class A *
4,029
14,666
Polaris, Inc.
1,953
163,271
PulteGroup, Inc.
7,052
827,341
PVH Corp.
3,088
370,591
Ralph Lauren Corp.
1,249
233,413
SharkNinja, Inc.
1,243
95,239
Skechers USA, Inc., Class A *
2,706
193,262
Skyline Champion Corp. *
838
58,333
Smith & Wesson Brands, Inc.
3,374
56,582
Sonos, Inc. *
2,192
34,634
Steven Madden Ltd.
2,356
104,724
Sturm Ruger & Co., Inc.
834
37,063
Tapestry, Inc.
6,303
274,117
Taylor Morrison Home Corp. *
4,012
232,014
Tempur Sealy International, Inc.
2,898
148,841
Toll Brothers, Inc.
2,981
362,609
TopBuild Corp. *
368
153,806
Topgolf Callaway Brands Corp. *
2,888
45,197
Tri Pointe Homes, Inc. *
5,167
200,118
Tupperware Brands Corp. *(a)(b)
26,974
46,935
Under Armour, Inc., Class A *
12,655
90,989
VF Corp.
22,820
303,050
Vista Outdoor, Inc. *
1,969
68,679
Whirlpool Corp.
4,586
426,636
Wolverine World Wide, Inc.
6,838
93,134
Worthington Enterprises, Inc.
1,226
69,919
YETI Holdings, Inc. *
1,013
41,270
 
13,252,216
 
Consumer Services 1.7%
ADT, Inc.
12,346
87,780
Adtalem Global Education, Inc. *
1,536
98,903
Airbnb, Inc., Class A *
347
50,291
Aramark
5,861
188,431
SECURITY
NUMBER
OF SHARES
VALUE ($)
Arcos Dorados Holdings, Inc., Class A
2,426
23,435
BJ's Restaurants, Inc. *
773
27,086
Bloomin' Brands, Inc.
2,314
50,445
Booking Holdings, Inc.
388
1,465,224
Boyd Gaming Corp.
1,392
74,221
Bright Horizons Family Solutions, Inc. *
665
69,905
Brinker International, Inc. *
1,229
86,804
Caesars Entertainment, Inc. *
2,673
95,052
Carnival Corp. *
22,514
339,511
Carriage Services, Inc.
573
15,408
Cheesecake Factory, Inc.
983
37,826
Chegg, Inc. *
506
1,938
Chipotle Mexican Grill, Inc. *
98
306,693
Choice Hotels International, Inc. (a)
268
30,335
Churchill Downs, Inc.
647
83,787
Cracker Barrel Old Country Store, Inc.
1,186
57,853
Darden Restaurants, Inc.
2,001
300,930
Dave & Buster's Entertainment, Inc. *
905
46,236
Denny's Corp. *
2,365
17,265
Dine Brands Global, Inc.
430
16,964
Domino's Pizza, Inc.
698
354,989
DoorDash, Inc., Class A *
576
63,423
Everi Holdings, Inc. *
1,747
12,631
Expedia Group, Inc. *
1,456
164,324
Frontdoor, Inc. *
1,017
35,971
Golden Entertainment, Inc.
130
3,935
Graham Holdings Co., Class B
154
115,874
Grand Canyon Education, Inc. *
851
121,233
H&R Block, Inc.
3,250
161,330
Hilton Grand Vacations, Inc. *
1,292
53,398
Hilton Worldwide Holdings, Inc.
2,018
404,811
Hyatt Hotels Corp., Class A
580
85,533
International Game Technology PLC
2,744
54,167
Jack in the Box, Inc.
981
54,308
Krispy Kreme, Inc.
211
2,207
Las Vegas Sands Corp.
5,499
247,620
Laureate Education, Inc.
5,165
80,884
Light & Wonder, Inc. *
1,162
110,948
Marriott International, Inc., Class A
2,541
587,403
Marriott Vacations Worldwide Corp.
1,242
112,115
McDonald's Corp.
8,323
2,154,742
MGM Resorts International *
10,054
403,869
Papa John's International, Inc.
322
14,960
Penn Entertainment, Inc. *
5,886
103,005
Perdoceo Education Corp.
2,305
51,863
Planet Fitness, Inc., Class A *
790
50,276
Red Rock Resorts, Inc., Class A
869
44,536
Royal Caribbean Cruises Ltd. *
1,577
232,891
Sabre Corp. *
11,706
36,640
Service Corp. International
2,362
169,261
Six Flags Entertainment Corp. *
3,148
80,117
Starbucks Corp.
18,199
1,459,924
Strategic Education, Inc.
546
61,927
Stride, Inc. *
822
56,439
Texas Roadhouse, Inc.
899
155,230
Travel & Leisure Co.
3,243
142,497
United Parks & Resorts, Inc. *
619
32,368
Vail Resorts, Inc.
538
101,531
Wendy's Co.
3,830
66,834
Wingstop, Inc.
85
31,335
Wyndham Hotels & Resorts, Inc.
1,212
85,761
Wynn Resorts Ltd.
1,151
109,207
Yum! Brands, Inc.
4,401
604,829
 
12,649,469
 
Consumer Staples Distribution & Retail 3.3%
Albertsons Cos., Inc., Class A
4,267
88,071
Andersons, Inc.
1,986
103,947
  
5

Schwab Fundamental U.S. Broad Market Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
BJ's Wholesale Club Holdings, Inc. *
1,912
168,390
Casey's General Stores, Inc.
1,041
345,383
Chefs' Warehouse, Inc. *
763
30,077
Costco Wholesale Corp.
6,040
4,891,736
Dollar General Corp.
6,763
925,922
Dollar Tree, Inc. *
4,387
517,447
Grocery Outlet Holding Corp. *
1,956
43,012
Ingles Markets, Inc., Class A
1,224
89,523
Kroger Co.
39,242
2,055,103
Performance Food Group Co. *
4,833
336,377
PriceSmart, Inc.
1,088
91,555
SpartanNash Co.
6,661
130,889
Sprouts Farmers Market, Inc. *
3,667
289,620
Sysco Corp.
9,761
710,796
Target Corp.
18,664
2,914,570
U.S. Foods Holding Corp. *
8,869
468,549
United Natural Foods, Inc. *
10,355
124,364
Walgreens Boots Alliance, Inc.
98,499
1,597,654
Walmart, Inc.
137,696
9,054,889
Weis Markets, Inc.
1,296
84,953
 
25,062,827
 
Energy 7.0%
Antero Midstream Corp.
3,421
50,118
Antero Resources Corp. *
5,981
213,103
APA Corp.
9,139
279,014
Archrock, Inc.
3,963
80,211
Baker Hughes Co.
31,344
1,049,397
Berry Corp.
4,503
31,386
Bristow Group, Inc. *
164
5,889
Cactus, Inc., Class A
485
24,905
California Resources Corp.
1,659
78,554
ChampionX Corp.
1,810
59,042
Cheniere Energy, Inc.
1,880
296,645
Chesapeake Energy Corp.
968
88,020
Chevron Corp.
53,834
8,737,258
Chord Energy Corp.
310
57,477
Civitas Resources, Inc.
638
46,931
CNX Resources Corp. *
5,980
157,274
Comstock Resources, Inc.
2,322
27,191
ConocoPhillips
27,411
3,192,833
CONSOL Energy, Inc. *
723
74,953
Core Laboratories, Inc.
1,194
22,376
Crescent Energy Co., Class A
568
7,157
CVR Energy, Inc.
1,294
36,051
Delek U.S. Holdings, Inc.
4,519
115,054
Devon Energy Corp.
13,083
642,114
DHT Holdings, Inc.
4,298
52,006
Diamond Offshore Drilling, Inc. *
1,439
21,844
Diamondback Energy, Inc.
1,723
343,325
Dorian LPG Ltd.
751
38,008
Dril-Quip, Inc. *
1,056
20,423
DT Midstream, Inc.
1,388
93,107
EOG Resources, Inc.
11,617
1,446,897
EQT Corp.
3,256
133,789
Equitrans Midstream Corp.
14,066
200,863
Expro Group Holdings NV *
338
7,419
Exxon Mobil Corp.
122,697
14,387,450
Golar LNG Ltd.
1,345
35,360
Green Plains, Inc. *
1,932
33,172
Halliburton Co.
15,010
550,867
Helix Energy Solutions Group, Inc. *
4,197
48,308
Helmerich & Payne, Inc.
3,369
128,224
Hess Corp.
2,262
348,574
HF Sinclair Corp.
7,047
389,206
International Seaways, Inc.
383
24,673
Kinder Morgan, Inc.
66,153
1,289,322
Kosmos Energy Ltd. *
9,003
54,918
SECURITY
NUMBER
OF SHARES
VALUE ($)
Liberty Energy, Inc.
3,628
89,575
Magnolia Oil & Gas Corp., Class A
1,650
42,818
Marathon Oil Corp.
20,600
596,576
Marathon Petroleum Corp.
17,929
3,166,441
Matador Resources Co.
1,389
88,132
Murphy Oil Corp.
4,060
173,727
Nabors Industries Ltd. *
695
51,958
Newpark Resources, Inc. *
520
4,410
Noble Corp. PLC
156
7,248
Northern Oil & Gas, Inc.
271
11,092
NOV, Inc.
9,921
186,713
Occidental Petroleum Corp.
15,186
949,125
Oceaneering International, Inc. *
1,832
43,382
Oil States International, Inc. *
2,637
11,787
ONEOK, Inc.
10,174
824,094
Ovintiv, Inc.
7,735
399,668
Par Pacific Holdings, Inc. *
833
22,608
Patterson-UTI Energy, Inc.
9,609
105,891
PBF Energy, Inc., Class A
5,207
241,240
Peabody Energy Corp.
6,279
155,594
Permian Resources Corp.
2,035
33,354
Phillips 66
20,761
2,950,346
ProPetro Holding Corp. *
5,426
51,981
Range Resources Corp.
1,831
67,582
REX American Resources Corp. *
106
5,299
RPC, Inc.
3,123
21,330
Schlumberger NV
19,606
899,719
Scorpio Tankers, Inc.
648
53,181
Select Water Solutions, Inc.
2,540
27,762
SFL Corp. Ltd.
4,565
65,325
SilverBow Resources, Inc. *
197
7,722
SM Energy Co.
3,158
159,258
Southwestern Energy Co. *
26,459
199,236
Talos Energy, Inc. *
3,436
41,266
Targa Resources Corp.
3,064
362,257
TechnipFMC PLC
6,698
175,421
Teekay Corp. *
753
7,372
Teekay Tankers Ltd., Class A
487
35,468
Texas Pacific Land Corp.
76
46,688
Transocean Ltd. *
11,511
71,368
Tsakos Energy Navigation Ltd.
1,032
32,198
U.S. Silica Holdings, Inc. *
651
10,084
Valaris Ltd. *
285
22,059
Valero Energy Corp.
20,158
3,167,628
Viper Energy, Inc.
157
6,038
Vital Energy, Inc. *
221
10,796
Vitesse Energy, Inc.
258
6,584
W&T Offshore, Inc.
1,622
3,617
Weatherford International PLC *
325
39,111
Williams Cos., Inc.
23,806
988,187
World Kinect Corp.
23,808
627,103
 
52,388,127
 
Equity Real Estate Investment Trusts (REITs) 2.1%
Acadia Realty Trust
2,167
37,359
Agree Realty Corp.
531
32,264
Alexander & Baldwin, Inc.
2,901
48,737
Alexandria Real Estate Equities, Inc.
1,844
219,436
American Assets Trust, Inc.
1,329
28,906
American Homes 4 Rent, Class A
2,601
93,740
American Tower Corp.
4,224
826,806
Americold Realty Trust, Inc.
3,584
95,585
Apartment Income REIT Corp.
2,928
113,460
Apple Hospitality REIT, Inc.
5,969
86,192
AvalonBay Communities, Inc.
1,749
336,997
Boston Properties, Inc.
5,012
304,078
Brandywine Realty Trust
16,228
74,811
Brixmor Property Group, Inc.
6,440
144,964
6
  

Schwab Fundamental U.S. Broad Market Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Broadstone Net Lease, Inc.
1,775
27,246
Camden Property Trust
1,343
137,859
CareTrust REIT, Inc.
197
5,037
CBL & Associates Properties, Inc.
1,336
29,526
Centerspace
320
21,843
Chatham Lodging Trust
2,394
20,253
COPT Defense Properties
2,692
66,412
Cousins Properties, Inc.
3,768
87,154
Crown Castle, Inc.
6,335
649,337
CubeSmart
2,102
88,936
DiamondRock Hospitality Co.
7,906
66,964
Digital Realty Trust, Inc.
3,671
533,543
Diversified Healthcare Trust (b)
49,034
119,153
Douglas Emmett, Inc.
6,982
97,399
Easterly Government Properties, Inc.
2,333
27,623
EastGroup Properties, Inc.
264
43,607
Elme Communities
2,278
35,104
Empire State Realty Trust, Inc., Class A
5,360
51,081
EPR Properties
1,726
70,835
Equinix, Inc.
662
505,093
Equity LifeStyle Properties, Inc.
1,641
103,006
Equity Residential
5,558
361,437
Essential Properties Realty Trust, Inc.
875
23,432
Essex Property Trust, Inc.
836
217,184
Extra Space Storage, Inc.
1,638
237,133
Federal Realty Investment Trust
1,210
122,149
First Industrial Realty Trust, Inc.
1,152
54,282
Four Corners Property Trust, Inc.
975
23,800
Gaming & Leisure Properties, Inc.
2,916
130,928
Getty Realty Corp.
519
14,330
Global Net Lease, Inc.
6,132
45,867
Healthcare Realty Trust, Inc.
5,759
93,469
Healthpeak Properties, Inc.
13,313
264,929
Highwoods Properties, Inc.
4,234
109,957
Host Hotels & Resorts, Inc.
16,254
291,597
Hudson Pacific Properties, Inc.
13,758
67,552
Independence Realty Trust, Inc.
1,875
31,312
Industrial Logistics Properties Trust
9,558
36,034
Innovative Industrial Properties, Inc.
36
3,880
InvenTrust Properties Corp.
282
6,985
Invitation Homes, Inc.
5,609
195,137
Iron Mountain, Inc.
4,882
393,929
JBG SMITH Properties
4,306
62,006
Kilroy Realty Corp.
3,083
103,373
Kimco Realty Corp.
9,649
186,805
Kite Realty Group Trust
2,133
46,755
Lamar Advertising Co., Class A
1,392
164,409
LTC Properties, Inc.
705
24,252
LXP Industrial Trust
5,018
42,653
Macerich Co.
9,333
141,115
Medical Properties Trust, Inc. (a)
25,991
139,312
Mid-America Apartment Communities, Inc.
1,576
210,727
National Health Investors, Inc.
726
47,974
National Storage Affiliates Trust
896
32,776
NNN REIT, Inc.
2,183
91,184
Office Properties Income Trust
10,683
24,464
Omega Healthcare Investors, Inc.
3,936
127,251
Outfront Media, Inc.
5,314
76,787
Paramount Group, Inc.
15,017
68,327
Park Hotels & Resorts, Inc.
12,780
202,691
Peakstone Realty Trust
562
6,969
Pebblebrook Hotel Trust
3,176
44,940
Phillips Edison & Co., Inc.
1,593
50,880
Piedmont Office Realty Trust, Inc., Class A
10,896
79,432
PotlatchDeltic Corp.
1,998
85,375
Prologis, Inc.
4,164
460,080
Public Storage
1,219
333,799
Rayonier, Inc.
2,391
71,778
Realty Income Corp.
4,918
260,949
SECURITY
NUMBER
OF SHARES
VALUE ($)
Regency Centers Corp.
2,449
150,369
Retail Opportunity Investments Corp.
2,744
34,355
Rexford Industrial Realty, Inc.
815
36,968
RLJ Lodging Trust
7,021
70,070
Ryman Hospitality Properties, Inc.
492
51,694
Sabra Health Care REIT, Inc.
6,122
89,259
SBA Communications Corp.
579
113,878
Service Properties Trust
16,570
89,147
Simon Property Group, Inc.
5,027
760,635
SITE Centers Corp.
4,628
66,736
SL Green Realty Corp.
4,247
224,964
STAG Industrial, Inc.
1,677
58,796
Sun Communities, Inc.
1,264
149,139
Sunstone Hotel Investors, Inc.
5,991
61,587
Tanger, Inc.
1,920
53,280
Terreno Realty Corp.
435
24,612
UDR, Inc.
3,871
149,498
Uniti Group, Inc.
19,997
63,190
Urban Edge Properties
2,706
47,977
Ventas, Inc.
10,080
506,621
Veris Residential, Inc.
1,764
26,972
VICI Properties, Inc.
4,580
131,492
Vornado Realty Trust
9,786
239,953
Welltower, Inc.
6,362
659,548
Weyerhaeuser Co.
19,856
596,276
WP Carey, Inc.
2,390
134,796
Xenia Hotels & Resorts, Inc.
4,334
62,800
 
15,797,344
 
Financial Services 8.3%
Affiliated Managers Group, Inc.
1,500
243,900
AGNC Investment Corp. (a)
13,473
129,206
Ally Financial, Inc.
23,326
909,014
A-Mark Precious Metals, Inc.
2,070
78,536
American Express Co.
11,314
2,715,360
Ameriprise Financial, Inc.
2,112
922,120
Annaly Capital Management, Inc.
9,631
189,731
Apollo Commercial Real Estate Finance, Inc.
4,925
49,743
Apollo Global Management, Inc.
2,614
303,642
Arbor Realty Trust, Inc. (a)
3,265
44,665
ARES Management Corp., Class A
510
71,487
Artisan Partners Asset Management, Inc.,
Class A
1,802
79,342
B Riley Financial, Inc. (a)
1,315
31,507
Bank of New York Mellon Corp.
28,620
1,706,038
Berkshire Hathaway, Inc., Class B *
37,517
15,547,045
BGC Group, Inc., Class A
7,770
67,366
BlackRock, Inc.
2,120
1,636,704
Blackstone Mortgage Trust, Inc., Class A
3,974
69,307
Blackstone, Inc.
5,682
684,681
Block, Inc. *
1,728
110,730
Bread Financial Holdings, Inc.
8,258
344,854
Brightsphere Investment Group, Inc.
2,695
59,748
BrightSpire Capital, Inc.
3,220
19,481
Cannae Holdings, Inc. *
1,476
26,834
Capital One Financial Corp.
21,023
2,893,396
Carlyle Group, Inc.
4,649
199,721
Cboe Global Markets, Inc.
757
130,953
Charles Schwab Corp. (c)
12,199
893,943
Chimera Investment Corp.
7,066
84,085
Claros Mortgage Trust, Inc.
695
5,484
CME Group, Inc.
2,645
536,882
Cohen & Steers, Inc.
478
33,599
Coinbase Global, Inc., Class A *
1,229
277,656
Compass Diversified Holdings
2,655
60,428
Corebridge Financial, Inc.
5,906
172,278
Corpay, Inc. *
1,206
322,810
Credit Acceptance Corp. *
196
96,203
  
7

Schwab Fundamental U.S. Broad Market Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Diamond Hill Investment Group, Inc.
122
18,305
Discover Financial Services
12,220
1,498,905
Donnelley Financial Solutions, Inc. *
521
31,760
Encore Capital Group, Inc. *
1,335
59,060
Enova International, Inc. *
1,210
74,597
Equitable Holdings, Inc.
8,686
360,382
Essent Group Ltd.
1,688
95,710
Euronet Worldwide, Inc. *
955
111,334
Evercore, Inc., Class A
1,272
258,140
EVERTEC, Inc.
944
33,012
FactSet Research Systems, Inc.
234
94,597
Federal Agricultural Mortgage Corp.,
Class C
20
3,493
Fidelity National Information Services, Inc.
12,758
968,077
FirstCash Holdings, Inc.
786
92,685
Fiserv, Inc. *
4,549
681,258
Franklin BSP Realty Trust, Inc.
611
7,784
Franklin Resources, Inc.
13,695
323,202
Global Payments, Inc.
4,637
472,278
Goldman Sachs Group, Inc.
8,997
4,107,310
Granite Point Mortgage Trust, Inc.
3,471
10,934
Green Dot Corp., Class A *
2,731
27,064
Hamilton Lane, Inc., Class A
38
4,769
Hannon Armstrong Sustainable
Infrastructure Capital, Inc.
622
20,706
Houlihan Lokey, Inc.
641
86,759
Interactive Brokers Group, Inc., Class A
360
45,259
Intercontinental Exchange, Inc.
5,863
785,056
Invesco Ltd.
18,454
289,912
Jack Henry & Associates, Inc.
939
154,635
Jackson Financial, Inc., Class A
3,281
249,389
Janus Henderson Group PLC
5,648
189,208
Jefferies Financial Group, Inc.
7,199
334,898
KKR & Co., Inc.
7,317
752,480
KKR Real Estate Finance Trust, Inc.
2,182
20,642
Ladder Capital Corp.
3,509
39,231
Lazard, Inc., Class A
3,931
158,144
LPL Financial Holdings, Inc.
916
262,168
MarketAxess Holdings, Inc.
254
50,528
Mastercard, Inc., Class A
4,169
1,863,835
MFA Financial, Inc.
5,323
56,956
MGIC Investment Corp.
7,645
160,545
Moelis & Co., Class A
1,523
86,217
Moody's Corp.
1,172
465,272
Morgan Stanley
25,820
2,526,229
Morningstar, Inc.
190
54,768
Mr Cooper Group, Inc. *
1,310
109,254
MSCI, Inc.
336
166,380
Nasdaq, Inc.
3,153
186,122
Navient Corp.
9,969
150,233
Nelnet, Inc., Class A
337
34,933
New York Mortgage Trust, Inc.
4,373
26,019
NMI Holdings, Inc., Class A *
1,071
35,536
Northern Trust Corp.
5,704
480,505
OneMain Holdings, Inc.
8,250
405,240
Pagseguro Digital Ltd., Class A *
4,127
50,556
PayPal Holdings, Inc. *
18,608
1,172,118
PennyMac Financial Services, Inc.
963
87,296
PennyMac Mortgage Investment Trust
3,716
50,835
Piper Sandler Cos.
336
71,158
PJT Partners, Inc., Class A
244
26,027
PRA Group, Inc. *
2,115
45,642
PROG Holdings, Inc.
3,355
126,785
Radian Group, Inc.
4,347
135,800
Raymond James Financial, Inc.
2,484
304,911
Ready Capital Corp.
925
7,678
Redwood Trust, Inc.
5,016
31,801
Rithm Capital Corp.
17,126
191,982
Rocket Cos., Inc., Class A *
567
7,881
SECURITY
NUMBER
OF SHARES
VALUE ($)
S&P Global, Inc.
1,942
830,224
SEI Investments Co.
2,501
169,343
SLM Corp.
13,037
279,774
Starwood Property Trust, Inc.
7,653
148,774
State Street Corp.
8,342
630,572
StepStone Group, Inc., Class A
614
26,365
Stifel Financial Corp.
1,617
130,896
StoneCo Ltd., Class A *
2,685
37,160
StoneX Group, Inc. *
68
5,105
Synchrony Financial
45,074
1,974,241
T Rowe Price Group, Inc.
7,798
918,838
Toast, Inc., Class A *
269
6,518
TPG RE Finance Trust, Inc.
4,230
36,293
TPG, Inc.
1,638
68,665
Tradeweb Markets, Inc., Class A
425
46,329
Two Harbors Investment Corp.
2,945
37,843
Victory Capital Holdings, Inc., Class A
88
4,579
Virtu Financial, Inc., Class A
3,814
83,908
Visa, Inc., Class A
8,835
2,407,184
Voya Financial, Inc.
2,693
204,183
Walker & Dunlop, Inc.
848
81,400
Western Union Co.
22,639
289,779
WEX, Inc. *
374
70,058
World Acceptance Corp. *
269
34,564
XP, Inc., Class A
1,948
36,993
 
62,200,252
 
Food, Beverage & Tobacco 3.2%
Adecoagro SA
4,425
43,542
Altria Group, Inc.
53,279
2,464,154
Archer-Daniels-Midland Co.
25,070
1,565,371
B&G Foods, Inc.
6,408
61,132
Boston Beer Co., Inc., Class A *
157
49,246
Brown-Forman Corp., Class B
1,738
79,705
Bunge Global SA
7,184
772,927
Calavo Growers, Inc.
1,176
31,717
Cal-Maine Foods, Inc.
1,152
71,044
Campbell Soup Co.
5,071
225,051
Coca-Cola Co.
43,402
2,731,288
Coca-Cola Consolidated, Inc.
62
60,824
Coca-Cola Europacific Partners PLC
3,881
286,069
Conagra Brands, Inc.
14,820
442,822
Constellation Brands, Inc., Class A
2,124
531,489
Darling Ingredients, Inc. *
3,494
141,158
Dole PLC
6,270
77,560
Flowers Foods, Inc.
5,793
134,513
Fresh Del Monte Produce, Inc.
3,476
81,199
General Mills, Inc.
12,491
858,756
Hain Celestial Group, Inc. *
7,400
56,684
Hershey Co.
1,454
287,645
Hormel Foods Corp.
7,521
233,001
Ingredion, Inc.
2,480
291,598
J & J Snack Foods Corp.
285
46,372
J M Smucker Co.
3,474
387,837
John B Sanfilippo & Son, Inc.
309
31,156
Kellanova
6,333
382,133
Keurig Dr Pepper, Inc.
15,541
532,279
Kraft Heinz Co.
21,449
758,651
Lamb Weston Holdings, Inc.
1,315
116,101
Lancaster Colony Corp.
319
59,175
McCormick & Co., Inc. - Non Voting Shares
3,226
232,982
MGP Ingredients, Inc.
54
4,191
Mission Produce, Inc. *
1,937
22,953
Molson Coors Beverage Co., Class B
6,025
330,230
Mondelez International, Inc., Class A
21,767
1,491,693
Monster Beverage Corp. *
5,404
280,576
National Beverage Corp. *
416
19,219
Nomad Foods Ltd.
5,066
88,959
8
  

Schwab Fundamental U.S. Broad Market Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
PepsiCo, Inc.
18,224
3,150,930
Philip Morris International, Inc.
29,659
3,006,829
Pilgrim's Pride Corp. *
1,966
70,638
Post Holdings, Inc. *
1,437
153,141
Seneca Foods Corp., Class A *
625
36,950
Simply Good Foods Co. *
719
27,674
TreeHouse Foods, Inc. *
2,132
77,413
Tyson Foods, Inc., Class A
23,530
1,347,093
Universal Corp.
1,594
76,448
Vector Group Ltd.
3,926
43,068
WK Kellogg Co.
2,047
38,873
 
24,392,059
 
Health Care Equipment & Services 5.5%
Abbott Laboratories
19,902
2,033,785
Acadia Healthcare Co., Inc. *
1,287
88,661
AdaptHealth Corp. *
2,766
26,222
Addus HomeCare Corp. *
241
27,669
agilon health, Inc. *
1,123
7,075
Align Technology, Inc. *
646
166,158
Amedisys, Inc. *
748
68,180
AMN Healthcare Services, Inc. *
1,189
66,513
Astrana Health, Inc. *
124
5,137
Avanos Medical, Inc. *
1,217
24,230
Baxter International, Inc.
15,396
524,850
Becton Dickinson & Co.
3,247
753,207
Boston Scientific Corp. *
8,325
629,120
Brookdale Senior Living, Inc. *
8,195
54,988
Cardinal Health, Inc.
4,907
487,118
Cencora, Inc.
781
176,951
Centene Corp. *
23,676
1,694,965
Chemed Corp.
219
121,407
Cigna Group
10,715
3,692,603
Clover Health Investments Corp. *
6,625
7,288
Community Health Systems, Inc. *
31,486
124,685
CONMED Corp.
319
24,384
Cooper Cos., Inc.
1,737
163,816
CorVel Corp. *
15
3,598
Cross Country Healthcare, Inc. *
1,151
17,403
CVS Health Corp.
76,178
4,540,209
DaVita, Inc. *
3,281
482,701
DENTSPLY SIRONA, Inc.
4,811
134,756
Dexcom, Inc. *
480
57,010
Edwards Lifesciences Corp. *
3,604
313,152
Elevance Health, Inc.
6,654
3,583,046
Embecta Corp.
4,528
56,011
Encompass Health Corp.
2,054
177,445
Enhabit, Inc. *
4,901
45,040
Enovis Corp. *
1,115
56,051
Ensign Group, Inc.
516
62,560
Envista Holdings Corp. *
3,952
76,511
Evolent Health, Inc., Class A *
114
2,416
Fulgent Genetics, Inc. *
742
15,322
GE HealthCare Technologies, Inc.
3,015
235,170
Globus Medical, Inc., Class A *
1,388
93,149
Haemonetics Corp. *
628
52,802
HCA Healthcare, Inc.
4,683
1,591,049
HealthEquity, Inc. *
349
28,506
Henry Schein, Inc. *
4,243
294,210
Hologic, Inc. *
3,709
273,650
Humana, Inc.
4,062
1,454,683
ICU Medical, Inc. *
440
46,790
IDEXX Laboratories, Inc. *
352
174,926
Inmode Ltd. *
177
3,386
Insulet Corp. *
94
16,656
Integer Holdings Corp. *
590
71,532
Integra LifeSciences Holdings Corp. *
1,075
33,218
Intuitive Surgical, Inc. *
1,279
514,311
SECURITY
NUMBER
OF SHARES
VALUE ($)
Labcorp Holdings, Inc.
2,720
530,155
LivaNova PLC *
490
29,924
Masimo Corp. *
519
64,616
McKesson Corp.
1,399
796,856
Medtronic PLC
29,423
2,394,150
Merit Medical Systems, Inc. *
497
40,332
ModivCare, Inc. *
595
16,255
Molina Healthcare, Inc. *
983
309,232
Multiplan Corp. *
32,237
17,308
National HealthCare Corp.
483
51,077
Neogen Corp. *
1,510
19,857
OmniAb, Inc., Class A *(d)
52
0
OmniAb, Inc., Class B *(d)
52
0
Omnicell, Inc. *
796
25,942
OPKO Health, Inc. *(a)
14,458
19,807
Option Care Health, Inc. *
1,674
49,919
Owens & Minor, Inc. *
6,005
104,667
Patterson Cos., Inc.
3,894
95,753
Pediatrix Medical Group, Inc. *
5,940
43,421
Penumbra, Inc. *
62
11,747
Premier, Inc., Class A
4,499
85,121
Privia Health Group, Inc. *
284
4,933
Quest Diagnostics, Inc.
3,374
479,007
QuidelOrtho Corp. *
1,186
52,409
RadNet, Inc. *
565
33,132
ResMed, Inc.
1,106
228,201
Select Medical Holdings Corp.
3,645
125,935
Solventum Corp. *
5,620
333,491
STERIS PLC
924
205,941
Stryker Corp.
2,509
855,795
Surgery Partners, Inc. *
276
7,618
Teladoc Health, Inc. *
1,667
18,737
Teleflex, Inc.
606
126,696
Tenet Healthcare Corp. *
3,969
536,688
U.S. Physical Therapy, Inc.
183
18,770
UnitedHealth Group, Inc.
14,733
7,298,286
Universal Health Services, Inc., Class B
3,408
646,838
Varex Imaging Corp. *
1,182
18,262
Veeva Systems, Inc., Class A *
370
64,473
Zimmer Biomet Holdings, Inc.
3,025
348,329
Zimvie, Inc. *
2,304
38,362
 
41,624,323
 
Household & Personal Products 1.2%
BellRing Brands, Inc. *
398
23,152
Central Garden & Pet Co., Class A *
1,348
50,348
Church & Dwight Co., Inc.
2,980
318,890
Clorox Co.
1,650
217,074
Colgate-Palmolive Co.
11,483
1,067,460
Coty, Inc., Class A *
4,196
43,470
Edgewell Personal Care Co.
1,702
65,663
Energizer Holdings, Inc.
1,676
47,967
Estee Lauder Cos., Inc., Class A
2,956
364,652
Herbalife Ltd. *
7,749
79,815
Inter Parfums, Inc.
138
16,529
Kimberly-Clark Corp.
5,887
784,737
Medifast, Inc.
633
16,293
Nu Skin Enterprises, Inc., Class A
5,486
73,238
Procter & Gamble Co.
34,968
5,753,635
Reynolds Consumer Products, Inc.
1,204
34,242
Spectrum Brands Holdings, Inc.
1,505
135,059
USANA Health Sciences, Inc. *
808
38,461
WD-40 Co.
127
28,535
 
9,159,220
 
  
9

Schwab Fundamental U.S. Broad Market Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Insurance 3.5%
Aflac, Inc.
15,285
1,373,663
Allstate Corp.
12,196
2,043,074
Ambac Financial Group, Inc. *
1,460
25,871
American Financial Group, Inc.
2,421
314,512
American International Group, Inc.
28,933
2,280,499
AMERISAFE, Inc.
148
6,487
Aon PLC, Class A
2,510
706,916
Arch Capital Group Ltd. *
4,056
416,267
Arthur J Gallagher & Co.
1,264
320,209
Assurant, Inc.
1,070
185,613
Assured Guaranty Ltd.
2,115
164,378
Axis Capital Holdings Ltd.
1,660
122,641
Brown & Brown, Inc.
1,813
162,282
Chubb Ltd.
7,483
2,026,546
Cincinnati Financial Corp.
3,890
457,386
CNA Financial Corp.
929
42,678
CNO Financial Group, Inc.
8,692
249,373
Employers Holdings, Inc.
1,077
45,428
Enstar Group Ltd. *
197
61,689
Everest Group Ltd.
669
261,532
Fidelity National Financial, Inc.
8,340
420,002
First American Financial Corp.
4,653
258,614
Genworth Financial, Inc., Class A *
33,893
213,187
Globe Life, Inc.
1,974
163,368
Hanover Insurance Group, Inc.
1,255
165,572
Hartford Financial Services Group, Inc.
10,097
1,044,535
Horace Mann Educators Corp.
1,006
34,375
James River Group Holdings Ltd.
2,192
17,120
Kemper Corp.
2,697
161,388
Kinsale Capital Group, Inc.
8
3,069
Lincoln National Corp.
14,697
484,854
Loews Corp.
4,844
372,019
Markel Group, Inc. *
211
346,375
Marsh & McLennan Cos., Inc.
4,619
958,812
Mercury General Corp.
1,459
81,456
MetLife, Inc.
25,607
1,853,179
Old Republic International Corp.
10,092
320,724
Primerica, Inc.
649
146,603
Principal Financial Group, Inc.
7,170
588,227
ProAssurance Corp. *
2,548
36,615
Progressive Corp.
7,983
1,685,850
Prudential Financial, Inc.
15,493
1,864,583
Reinsurance Group of America, Inc.
1,558
326,868
RenaissanceRe Holdings Ltd.
583
132,842
RLI Corp.
355
51,823
Safety Insurance Group, Inc.
570
44,090
Selective Insurance Group, Inc.
811
79,162
Stewart Information Services Corp.
1,594
100,916
Travelers Cos., Inc.
9,500
2,049,150
United Fire Group, Inc.
1,016
22,606
Universal Insurance Holdings, Inc.
1,527
30,097
Unum Group
6,811
366,840
W R Berkley Corp.
3,060
247,952
White Mountains Insurance Group Ltd.
55
99,385
Willis Towers Watson PLC
1,682
429,398
 
26,468,700
 
Materials 3.9%
AdvanSix, Inc.
1,438
34,081
Air Products & Chemicals, Inc.
2,821
752,361
Albemarle Corp.
1,399
171,503
Alcoa Corp.
10,701
473,733
Alpha Metallurgical Resources, Inc.
250
78,853
Alto Ingredients, Inc. *
13,680
20,794
American Vanguard Corp.
1,478
12,844
AptarGroup, Inc.
1,060
156,551
SECURITY
NUMBER
OF SHARES
VALUE ($)
Arch Resources, Inc.
603
104,880
Ardagh Metal Packaging SA
1,166
4,606
Ashland, Inc.
1,237
123,910
ATI, Inc. *
745
45,698
Avery Dennison Corp.
1,402
319,081
Avient Corp.
2,642
118,045
Axalta Coating Systems Ltd. *
4,704
167,415
Balchem Corp.
326
50,074
Ball Corp.
7,277
505,242
Berry Global Group, Inc.
4,298
257,364
Cabot Corp.
1,265
129,409
Carpenter Technology Corp.
1,113
123,398
Celanese Corp.
3,598
547,040
CF Industries Holdings, Inc.
4,868
388,126
Chemours Co.
7,236
179,598
Clearwater Paper Corp. *
1,147
60,952
Cleveland-Cliffs, Inc. *
14,605
252,374
Coeur Mining, Inc. *
9,510
54,683
Commercial Metals Co.
3,766
212,101
Compass Minerals International, Inc.
1,729
22,408
Constellium SE, Class A *
3,971
86,052
Corteva, Inc.
10,791
603,649
Crown Holdings, Inc.
2,926
246,340
Dow, Inc.
26,902
1,550,362
DuPont de Nemours, Inc.
16,082
1,321,297
Eagle Materials, Inc.
674
156,631
Eastman Chemical Co.
5,944
602,306
Ecolab, Inc.
2,752
639,014
Ecovyst, Inc. *
2,900
26,970
Element Solutions, Inc.
4,421
106,237
Ferroglobe PLC
842
5,010
FMC Corp.
3,111
189,615
Freeport-McMoRan, Inc.
23,988
1,264,887
Graphic Packaging Holding Co.
8,122
230,015
Greif, Inc., Class A
1,070
69,486
Hawkins, Inc.
374
32,658
Haynes International, Inc.
66
3,882
HB Fuller Co.
1,248
99,378
Hecla Mining Co.
8,741
51,484
Huntsman Corp.
10,757
266,774
Ingevity Corp. *
1,336
65,264
Innospec, Inc.
583
76,256
International Flavors & Fragrances, Inc.
4,291
412,708
International Paper Co.
23,178
1,045,096
Kaiser Aluminum Corp.
823
80,489
Knife River Corp. *
1,266
89,519
Koppers Holdings, Inc.
954
42,291
Linde PLC
5,316
2,315,224
Louisiana-Pacific Corp.
2,780
254,870
LSB Industries, Inc. *
468
4,591
LyondellBasell Industries NV, Class A
11,525
1,145,815
Martin Marietta Materials, Inc.
602
344,392
Materion Corp.
367
41,977
Mativ Holdings, Inc.
3,152
56,641
Mercer International, Inc.
4,040
38,380
Metallus, Inc. *
1,994
47,876
Minerals Technologies, Inc.
1,130
98,027
Mosaic Co.
13,067
404,162
Myers Industries, Inc.
1,134
17,917
NewMarket Corp.
141
75,445
Newmont Corp.
27,979
1,173,439
Nucor Corp.
8,599
1,451,941
O-I Glass, Inc. *
8,447
107,192
Olin Corp.
4,471
240,361
Olympic Steel, Inc.
661
34,465
Orion SA
1,814
45,114
Packaging Corp. of America
2,414
442,945
Pactiv Evergreen, Inc.
3,605
44,558
Perimeter Solutions SA *
704
5,350
10
  

Schwab Fundamental U.S. Broad Market Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
PPG Industries, Inc.
4,640
609,742
Quaker Chemical Corp.
190
34,457
Radius Recycling, Inc., Class A
2,628
44,965
Rayonier Advanced Materials, Inc. *
2,208
12,475
Reliance, Inc.
1,934
581,709
Royal Gold, Inc.
535
68,582
RPM International, Inc.
2,132
238,997
Ryerson Holding Corp.
1,326
31,493
Scotts Miracle-Gro Co.
1,756
122,376
Sealed Air Corp.
5,475
212,813
Sensient Technologies Corp.
1,182
91,806
Sherwin-Williams Co.
1,737
527,701
Silgan Holdings, Inc.
595
28,114
Sonoco Products Co.
3,472
213,077
Southern Copper Corp.
1,241
147,220
Steel Dynamics, Inc.
5,709
764,264
Stepan Co.
855
74,530
Summit Materials, Inc., Class A *
2,322
89,722
SunCoke Energy, Inc.
4,810
50,746
Sylvamo Corp.
2,202
157,047
TriMas Corp.
1,384
36,842
Trinseo PLC
10,568
40,475
Tronox Holdings PLC
6,285
124,506
U.S. Steel Corp.
15,118
579,775
Vulcan Materials Co.
1,274
325,851
Warrior Met Coal, Inc.
2,779
190,167
Westlake Corp.
843
135,352
Westrock Co.
18,536
994,271
 
29,650,551
 
Media & Entertainment 6.4%
Alphabet, Inc., Class A *
56,658
9,773,505
Alphabet, Inc., Class C *
49,740
8,652,770
AMC Entertainment Holdings, Inc., Class A *
1,807
7,824
AMC Networks, Inc., Class A *
6,858
118,918
Bumble, Inc., Class A *
1,199
14,028
Cable One, Inc.
153
59,044
Cargurus, Inc. *
1,076
26,050
Cars.com, Inc. *
1,093
22,111
Charter Communications, Inc., Class A *
6,468
1,857,092
Cinemark Holdings, Inc. *
3,257
56,248
Clear Channel Outdoor Holdings, Inc. *
35,869
51,651
Comcast Corp., Class A
131,600
5,267,948
EchoStar Corp., Class A *
16,663
319,930
Electronic Arts, Inc.
3,978
528,597
EW Scripps Co., Class A *
4,894
13,312
Fox Corp., Class A
15,780
543,305
Gannett Co., Inc. *
13,638
51,279
Gray Television, Inc.
9,687
60,447
IAC, Inc. *
1,257
62,586
iHeartMedia, Inc., Class A *
18,028
16,687
Interpublic Group of Cos., Inc.
8,591
269,500
John Wiley & Sons, Inc., Class A
1,692
61,673
Liberty Broadband Corp., Class C *
340
18,391
Liberty Media Corp.-Liberty Formula One,
Class C *
1,039
77,031
Liberty Media Corp.-Liberty SiriusXM,
Class C *
14,114
319,823
Lions Gate Entertainment Corp., Class A *
6,044
50,226
Live Nation Entertainment, Inc. *
52
4,874
Match Group, Inc. *
2,247
68,826
Meta Platforms, Inc., Class A
26,725
12,476,032
Netflix, Inc. *
1,539
987,453
New York Times Co., Class A
1,949
99,789
News Corp., Class A
11,117
302,271
Nexstar Media Group, Inc.
1,329
220,202
Omnicom Group, Inc.
5,912
549,580
Paramount Global, Class B
65,427
779,236
SECURITY
NUMBER
OF SHARES
VALUE ($)
Pinterest, Inc., Class A *
1,650
68,459
Roku, Inc. *
568
32,603
Scholastic Corp.
1,186
43,028
Shutterstock, Inc.
446
18,121
Sinclair, Inc.
2,781
39,490
Sirius XM Holdings, Inc. (a)
16,432
46,338
Spotify Technology SA *
549
162,932
Taboola.com Ltd. *
5,016
20,114
Take-Two Interactive Software, Inc. *
1,111
178,160
TEGNA, Inc.
9,035
134,712
Thryv Holdings, Inc. *
2,252
47,450
TKO Group Holdings, Inc.
57
6,217
Trade Desk, Inc., Class A *
339
31,452
TripAdvisor, Inc. *
2,396
43,967
Walt Disney Co.
30,264
3,144,732
Warner Bros Discovery, Inc. *
49,239
405,729
WideOpenWest, Inc. *
4,585
23,063
Yelp, Inc. *
2,016
74,532
Ziff Davis, Inc. *
1,240
71,436
ZoomInfo Technologies, Inc. *
1,335
16,394
 
48,397,168
 
Pharmaceuticals, Biotechnology & Life Sciences 5.2%
AbbVie, Inc.
21,710
3,500,520
Agilent Technologies, Inc.
3,143
409,879
Alkermes PLC *
838
19,609
Amgen, Inc.
10,945
3,347,528
Amphastar Pharmaceuticals, Inc. *
82
3,471
Avantor, Inc. *
6,663
160,445
Azenta, Inc. *
531
26,821
Biogen, Inc. *
3,620
814,283
BioMarin Pharmaceutical, Inc. *
617
46,318
Bio-Rad Laboratories, Inc., Class A *
263
75,444
Bio-Techne Corp.
753
58,124
Bristol-Myers Squibb Co.
46,397
1,906,453
Bruker Corp.
976
63,938
Catalent, Inc. *
2,799
150,558
Charles River Laboratories International,
Inc. *
533
111,098
Corcept Therapeutics, Inc. *
1,116
33,670
Danaher Corp.
4,342
1,115,026
Elanco Animal Health, Inc. *
8,226
145,436
Eli Lilly & Co.
2,112
1,732,558
Emergent BioSolutions, Inc. *(b)
20,097
114,553
Exact Sciences Corp. *
297
13,499
Exelixis, Inc. *
3,333
72,293
Gilead Sciences, Inc.
29,057
1,867,493
Halozyme Therapeutics, Inc. *
639
28,301
ICON PLC, ADR *
556
180,600
Illumina, Inc. *
1,478
154,126
Incyte Corp. *
1,397
80,733
Innoviva, Inc. *
2,489
39,301
IQVIA Holdings, Inc. *
2,548
558,241
Ironwood Pharmaceuticals, Inc. *
422
2,659
Jazz Pharmaceuticals PLC *
1,093
115,038
Johnson & Johnson
42,468
6,228,781
Ligand Pharmaceuticals, Inc. *
54
4,593
Medpace Holdings, Inc. *
112
43,270
Merck & Co., Inc.
32,063
4,025,189
Mettler-Toledo International, Inc. *
189
265,373
Moderna, Inc. *
3,531
503,344
Myriad Genetics, Inc. *
1,071
24,376
Neurocrine Biosciences, Inc. *
280
37,915
Organon & Co.
24,988
532,994
Pacira BioSciences, Inc. *
160
4,853
Perrigo Co. PLC
6,479
178,367
Pfizer, Inc.
169,880
4,868,761
Prestige Consumer Healthcare, Inc. *
815
52,413
  
11

Schwab Fundamental U.S. Broad Market Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Regeneron Pharmaceuticals, Inc. *
974
954,676
Repligen Corp. *
127
18,934
Revvity, Inc.
1,686
184,212
Royalty Pharma PLC, Class A
3,565
97,717
Supernus Pharmaceuticals, Inc. *
733
19,879
Thermo Fisher Scientific, Inc.
3,355
1,905,573
United Therapeutics Corp. *
517
142,242
Vertex Pharmaceuticals, Inc. *
1,097
499,508
Viatris, Inc.
57,243
606,776
Vir Biotechnology, Inc. *
487
5,001
Waters Corp. *
865
267,198
West Pharmaceutical Services, Inc.
371
122,953
Zoetis, Inc.
2,955
501,050
 
39,043,964
 
Real Estate Management & Development 0.2%
Anywhere Real Estate, Inc. *
24,011
97,725
CBRE Group, Inc., Class A *
7,434
654,712
Compass, Inc., Class A *
2,432
9,120
CoStar Group, Inc. *
1,185
92,631
Cushman & Wakefield PLC *
8,072
89,680
DigitalBridge Group, Inc.
8,903
121,437
eXp World Holdings, Inc.
1,813
20,324
Howard Hughes Holdings, Inc. *
475
31,492
Jones Lang LaSalle, Inc. *
2,578
520,936
Kennedy-Wilson Holdings, Inc.
4,232
43,251
Marcus & Millichap, Inc.
763
24,668
Newmark Group, Inc., Class A
5,280
54,965
Opendoor Technologies, Inc. *
15,198
33,132
Zillow Group, Inc., Class C *
1,739
71,212
 
1,865,285
 
Semiconductors & Semiconductor Equipment 4.6%
Advanced Micro Devices, Inc. *
4,141
691,133
Allegro MicroSystems, Inc. *
136
4,099
Alpha & Omega Semiconductor Ltd. *
186
5,452
Amkor Technology, Inc.
3,390
110,480
Analog Devices, Inc.
4,151
973,368
Applied Materials, Inc.
10,247
2,203,925
Axcelis Technologies, Inc. *
172
19,348
Broadcom, Inc.
3,203
4,255,346
Cirrus Logic, Inc. *
1,347
154,501
Cohu, Inc. *
766
24,696
Diodes, Inc. *
939
69,608
Enphase Energy, Inc. *
244
31,208
Entegris, Inc.
932
117,758
First Solar, Inc. *
771
209,527
FormFactor, Inc. *
979
53,571
GLOBALFOUNDRIES, Inc. *
573
28,077
Ichor Holdings Ltd. *
751
28,530
Intel Corp.
208,765
6,440,400
KLA Corp.
952
723,072
Kulicke & Soffa Industries, Inc.
1,244
56,813
Lam Research Corp.
1,532
1,428,498
Lattice Semiconductor Corp. *
340
25,242
Marvell Technology, Inc.
3,588
246,890
MaxLinear, Inc. *
317
5,633
Microchip Technology, Inc.
4,831
469,718
Micron Technology, Inc.
31,659
3,957,375
MKS Instruments, Inc.
1,259
159,377
Monolithic Power Systems, Inc.
110
80,919
NVIDIA Corp.
2,505
2,746,307
NXP Semiconductors NV
3,266
888,679
ON Semiconductor Corp. *
3,440
251,258
Onto Innovation, Inc. *
252
54,608
Photronics, Inc. *
1,602
43,815
Power Integrations, Inc.
612
46,518
SECURITY
NUMBER
OF SHARES
VALUE ($)
Qorvo, Inc. *
3,254
320,161
QUALCOMM, Inc.
21,333
4,352,999
Rambus, Inc. *
97
5,360
Semtech Corp. *
2,060
80,113
Silicon Laboratories, Inc. *
683
86,174
Skyworks Solutions, Inc.
3,348
310,226
SMART Global Holdings, Inc. *
1,277
26,281
SolarEdge Technologies, Inc. *
406
19,890
Synaptics, Inc. *
568
53,227
Teradyne, Inc.
2,686
378,565
Texas Instruments, Inc.
12,810
2,498,078
Ultra Clean Holdings, Inc. *
1,262
58,531
Universal Display Corp.
213
37,424
Wolfspeed, Inc. *
638
16,397
 
34,849,175
 
Software & Services 4.6%
Accenture PLC, Class A
6,545
1,847,588
ACI Worldwide, Inc. *
2,149
77,385
Adobe, Inc. *
2,499
1,111,455
Akamai Technologies, Inc. *
2,390
220,454
Alarm.com Holdings, Inc. *
359
23,482
Amdocs Ltd.
3,131
247,349
ANSYS, Inc. *
408
129,520
AppLovin Corp., Class A *
801
65,265
ASGN, Inc. *
1,542
144,809
Autodesk, Inc. *
795
160,272
Bentley Systems, Inc., Class B
649
32,606
Blackbaud, Inc. *
371
28,916
Cadence Design Systems, Inc. *
799
228,762
Cerence, Inc. *
1,059
3,643
Check Point Software Technologies Ltd. *
1,478
222,439
Cognizant Technology Solutions Corp.,
Class A
16,702
1,104,837
CommVault Systems, Inc. *
608
65,412
Consensus Cloud Solutions, Inc. *
956
18,040
Dolby Laboratories, Inc., Class A
935
75,744
Dropbox, Inc., Class A *
4,088
92,103
DXC Technology Co. *
16,348
254,211
Dynatrace, Inc. *
95
4,344
Envestnet, Inc. *
568
37,210
EPAM Systems, Inc. *
437
77,755
Fair Isaac Corp. *
107
138,022
Fortinet, Inc. *
2,338
138,690
Gartner, Inc. *
468
196,406
Gen Digital, Inc.
10,599
263,173
Globant SA *
182
29,324
GoDaddy, Inc., Class A *
1,258
175,655
Guidewire Software, Inc. *
249
28,366
InterDigital, Inc.
483
54,999
International Business Machines Corp.
21,508
3,588,610
Intuit, Inc.
1,167
672,705
Kyndryl Holdings, Inc. *
17,411
463,307
LiveRamp Holdings, Inc. *
1,535
48,030
Manhattan Associates, Inc. *
244
53,568
Microsoft Corp.
42,658
17,708,615
NCR Voyix Corp. *
5,403
71,212
Okta, Inc. *
62
5,498
Oracle Corp.
20,720
2,428,177
Palantir Technologies, Inc., Class A *
1,627
35,273
Palo Alto Networks, Inc. *
676
199,359
Pegasystems, Inc.
382
21,950
Perficient, Inc. *
352
26,101
Progress Software Corp.
494
25,021
PTC, Inc. *
338
59,569
Qualys, Inc. *
209
29,390
RingCentral, Inc., Class A *
1,455
49,761
Roper Technologies, Inc.
674
359,080
12
  

Schwab Fundamental U.S. Broad Market Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Salesforce, Inc.
3,287
770,604
ServiceNow, Inc. *
162
106,423
Snowflake, Inc., Class A *
101
13,754
SPS Commerce, Inc. *
104
19,561
Synopsys, Inc. *
417
233,854
Teradata Corp. *
2,178
71,025
Twilio, Inc., Class A *
890
51,086
Tyler Technologies, Inc. *
143
68,691
Unisys Corp. *
6,800
29,172
Verint Systems, Inc. *
680
20,169
VeriSign, Inc. *
571
99,537
Workday, Inc., Class A *
215
45,462
Zoom Video Communications, Inc.,
Class A *
1,289
79,067
 
34,751,867
 
Technology Hardware & Equipment 6.3%
ADTRAN Holdings, Inc.
3,036
16,850
Advanced Energy Industries, Inc.
520
55,864
Amphenol Corp., Class A
5,174
684,882
Apple, Inc.
142,426
27,381,398
Arista Networks, Inc. *
767
228,298
Arrow Electronics, Inc. *
4,676
614,006
Avnet, Inc.
10,607
579,142
Badger Meter, Inc.
189
36,469
Belden, Inc.
788
75,404
Benchmark Electronics, Inc.
3,222
138,772
Calix, Inc. *
143
5,105
CDW Corp.
1,873
418,840
Ciena Corp. *
3,333
160,551
Cisco Systems, Inc.
106,650
4,959,225
Cognex Corp.
1,955
88,992
CommScope Holding Co., Inc. *
27,081
38,997
Comtech Telecommunications Corp. *
1,651
4,111
Corning, Inc.
23,775
885,856
Crane NXT Co.
750
47,415
CTS Corp.
599
31,717
ePlus, Inc. *
856
64,063
F5, Inc. *
1,077
181,981
Fabrinet *
518
124,077
Flex Ltd. *
13,533
448,348
Hewlett Packard Enterprise Co.
77,878
1,374,547
HP, Inc.
42,585
1,554,352
Insight Enterprises, Inc. *
863
168,716
IPG Photonics Corp. *
789
68,430
Itron, Inc. *
742
79,802
Jabil, Inc.
3,328
395,699
Juniper Networks, Inc.
10,678
380,884
Keysight Technologies, Inc. *
1,464
202,735
Kimball Electronics, Inc. *
381
8,733
Knowles Corp. *
2,514
44,045
Littelfuse, Inc.
360
92,376
Lumentum Holdings, Inc. *
1,467
63,814
Methode Electronics, Inc.
1,787
21,051
Motorola Solutions, Inc.
1,092
398,482
NetApp, Inc.
5,337
642,735
NETGEAR, Inc. *
2,857
39,455
NetScout Systems, Inc. *
2,289
47,016
Novanta, Inc. *
156
25,297
OSI Systems, Inc. *
344
49,447
PC Connection, Inc.
697
47,145
Plexus Corp. *
954
105,074
Pure Storage, Inc., Class A *
563
33,943
Rogers Corp. *
323
38,114
Sanmina Corp. *
3,588
245,921
ScanSource, Inc. *
2,227
105,627
Seagate Technology Holdings PLC
7,507
699,953
Super Micro Computer, Inc. *
286
224,370
SECURITY
NUMBER
OF SHARES
VALUE ($)
TD SYNNEX Corp.
1,482
193,905
TE Connectivity Ltd.
5,295
792,661
Teledyne Technologies, Inc. *
370
146,871
Trimble, Inc. *
3,283
182,797
TTM Technologies, Inc. *
6,060
112,716
Viasat, Inc. *
3,013
50,890
Viavi Solutions, Inc. *
4,819
36,239
Vishay Intertechnology, Inc.
5,010
118,386
Vontier Corp.
2,483
99,270
Western Digital Corp. *
16,779
1,263,291
Xerox Holdings Corp.
13,909
195,561
Zebra Technologies Corp., Class A *
753
235,192
 
47,855,905
 
Telecommunication Services 2.8%
AT&T, Inc.
470,392
8,570,542
ATN International, Inc.
506
12,316
Cogent Communications Holdings, Inc.
568
33,637
Consolidated Communications Holdings,
Inc. *
9,698
42,671
Frontier Communications Parent, Inc. *
7,375
196,618
GCI Liberty, Inc. *(d)
188
0
Iridium Communications, Inc.
1,165
35,078
Liberty Global Ltd., Class C *
34,427
587,669
Liberty Latin America Ltd., Class C *
15,245
138,272
Lumen Technologies, Inc. *
642,384
828,675
Shenandoah Telecommunications Co.
1,744
32,805
Telephone & Data Systems, Inc.
15,076
299,862
T-Mobile U.S., Inc.
8,397
1,469,139
Verizon Communications, Inc.
222,532
9,157,192
 
21,404,476
 
Transportation 1.9%
Air Transport Services Group, Inc. *
3,406
45,981
Alaska Air Group, Inc. *
1,118
46,978
American Airlines Group, Inc. *
3,943
45,344
ArcBest Corp.
867
91,486
Avis Budget Group, Inc.
1,512
171,960
CH Robinson Worldwide, Inc.
5,140
443,942
Costamare, Inc.
2,255
36,103
Covenant Logistics Group, Inc., Class A
435
20,676
CSX Corp.
45,344
1,530,360
Danaos Corp.
340
32,902
Delta Air Lines, Inc.
3,709
189,233
FedEx Corp.
8,090
2,054,536
Forward Air Corp.
1,055
17,724
Genco Shipping & Trading Ltd.
1,310
29,501
Global Ship Lease, Inc., Class A
356
10,648
GXO Logistics, Inc. *
2,381
119,598
Heartland Express, Inc.
2,254
25,515
Hertz Global Holdings, Inc. *
5,633
24,560
Hub Group, Inc., Class A
2,958
127,638
JB Hunt Transport Services, Inc.
1,649
265,077
JetBlue Airways Corp. *
6,339
35,435
Kirby Corp. *
983
122,059
Knight-Swift Transportation Holdings, Inc.
4,934
238,065
Landstar System, Inc.
928
168,924
Lyft, Inc., Class A *
2,739
42,756
Marten Transport Ltd.
2,039
36,090
Matson, Inc.
315
40,383
Norfolk Southern Corp.
5,808
1,305,638
Old Dominion Freight Line, Inc.
1,639
287,235
RXO, Inc. *
4,678
95,478
Ryder System, Inc.
3,472
421,744
Saia, Inc. *
225
92,133
Schneider National, Inc., Class B
2,719
61,123
SkyWest, Inc. *
794
59,288
  
13

Schwab Fundamental U.S. Broad Market Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Southwest Airlines Co.
5,625
150,975
Star Bulk Carriers Corp.
1,740
47,119
Uber Technologies, Inc. *
3,822
246,748
U-Haul Holding Co. *
57
3,604
U-Haul Holding Co., Non Voting Shares
1,945
118,237
Union Pacific Corp.
11,791
2,745,181
United Airlines Holdings, Inc. *
2,706
143,391
United Parcel Service, Inc., Class B
12,823
1,781,499
Werner Enterprises, Inc.
3,202
120,299
XPO, Inc. *
1,349
144,316
ZIM Integrated Shipping Services Ltd. *(a)
22,495
507,037
 
14,344,519
 
Utilities 3.6%
AES Corp.
26,024
561,858
ALLETE, Inc.
1,501
94,788
Alliant Energy Corp.
5,192
267,336
Ameren Corp.
5,604
411,165
American Electric Power Co., Inc.
12,989
1,172,257
American States Water Co.
405
29,804
American Water Works Co., Inc.
2,306
301,556
Atlantica Sustainable Infrastructure PLC
2,601
57,170
Atmos Energy Corp.
2,011
233,115
Avangrid, Inc.
2,381
85,740
Avista Corp.
2,374
87,791
Black Hills Corp.
2,127
120,069
California Water Service Group
839
41,858
CenterPoint Energy, Inc.
14,934
455,636
Chesapeake Utilities Corp.
299
33,491
Clearway Energy, Inc., Class C
1,619
45,332
CMS Energy Corp.
6,660
419,114
Consolidated Edison, Inc.
9,228
872,507
Constellation Energy Corp.
4,141
899,632
Dominion Energy, Inc.
24,332
1,311,981
DTE Energy Co.
4,920
573,328
Duke Energy Corp.
21,276
2,203,555
Edison International
9,080
697,798
Entergy Corp.
6,224
700,138
Essential Utilities, Inc.
3,059
115,416
Evergy, Inc.
8,570
468,436
Eversource Energy
9,142
541,481
Exelon Corp.
31,748
1,192,137
FirstEnergy Corp.
16,782
675,643
Hawaiian Electric Industries, Inc.
7,083
77,842
IDACORP, Inc.
1,054
100,625
MGE Energy, Inc.
521
41,748
National Fuel Gas Co.
2,423
138,499
New Jersey Resources Corp.
1,960
85,182
NextEra Energy, Inc.
25,378
2,030,748
NiSource, Inc.
9,735
282,899
Northwest Natural Holding Co.
1,075
40,227
Northwestern Energy Group, Inc.
1,716
89,163
NRG Energy, Inc.
10,497
850,257
OGE Energy Corp.
5,502
199,723
ONE Gas, Inc.
1,407
86,713
Ormat Technologies, Inc.
657
49,538
Otter Tail Corp.
667
60,344
PG&E Corp.
10,220
189,479
Pinnacle West Capital Corp.
3,619
285,394
PNM Resources, Inc.
2,273
87,147
Portland General Electric Co.
2,842
126,640
PPL Corp.
26,273
770,587
Public Service Enterprise Group, Inc.
10,206
773,207
Sempra
10,572
814,361
SJW Group
436
23,854
Southern Co.
23,496
1,882,969
SECURITY
NUMBER
OF SHARES
VALUE ($)
Southwest Gas Holdings, Inc.
2,077
161,154
Spire, Inc.
1,585
97,145
UGI Corp.
13,363
340,222
Unitil Corp.
472
25,247
Vistra Corp.
12,063
1,195,202
WEC Energy Group, Inc.
6,325
512,515
Xcel Energy, Inc.
12,396
687,358
 
26,776,121
Total Common Stocks
(Cost $570,652,830)
751,794,039
INVESTMENT COMPANIES 0.1% OF NET ASSETS
 
Equity Funds 0.1%
iShares Core S&P Total U.S. Stock Market
ETF
3,200
370,016
Total Investment Companies
(Cost $334,143)
370,016
 
 
 
SHORT-TERM INVESTMENTS 0.2% OF NET ASSETS
 
Money Market Funds 0.2%
State Street Institutional U.S. Government
Money Market Fund, Premier Class
5.26% (e)
391,949
391,949
State Street Institutional U.S. Government
Money Market Fund, Premier Class
5.26% (e)(f)
1,049,790
1,049,790
 
1,441,739
Total Short-Term Investments
(Cost $1,441,739)
1,441,739
Total Investments in Securities
(Cost $572,428,712)
753,605,794
 
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
($)
CURRENT VALUE/
UNREALIZED
APPRECIATION
($)
FUTURES CONTRACTS
Long
S&P 500 Index, e-mini, expires
06/21/24
6
1,588,650
6,205
*
Non-income producing security.
(a)
All or a portion of this security is on loan. Securities on loan were valued at
$1,046,322.
(b)
Issuer is an affiliated company, as the investment adviser owns at least 5% of
the voting securities of such company.
(c)
Issuer is affiliated with the fund’s investment adviser.
(d)
Fair valued using significant unobservable inputs (see notes to portfolio
holdings for additional information).
(e)
The rate shown is the annualized 7-day yield.
(f)
Security purchased with cash collateral received for securities on loan.
ADR —
American Depositary Receipt
ETF —
Exchange-Traded Fund
REIT —
Real Estate Investment Trust
14
  

Schwab Fundamental U.S. Broad Market Index ETF
Portfolio Holdings (Unaudited) continued
Below is a summary of the fund’s transactions with affiliated issuers and companies which are or were affiliates during the period ended May 31, 2024. An affiliated company is a company in which the investment adviser has or had an ownership of at least 5% of the voting securities of a security issue during the report period. A dash in the Value at February 29, 2024, and/or Value at May 31, 2024, columns means either the issuer was not held or not held as an affiliate at the beginning of period and is no longer held at period end or the issuer is held at period end but is no longer an affiliate.
SECURITY
VALUE AT
2/29/24
PURCHASES
SALES
REALIZED
GAINS (LOSSES)
NET CHANGE
IN UNREALIZED
APPRECIATION
(DEPRECIATION)
VALUE AT
5/31/24
BALANCE
OF SHARES
HELD AT
5/31/24
DIVIDENDS
RECEIVED
COMMON STOCKS 0.2% OF NET ASSETS
 
Consumer Durables & Apparel 0.0%
Fossil Group, Inc.
$
$334
($12,279
)
($35,567
)
$32,859
$
$
Tupperware Brands Corp.
5,960
10,667
46,935
26,974
 
46,935
 
Equity Real Estate Investment Trusts (REITs) 0.0%
Ashford Hospitality Trust, Inc.
360
(13,252
)
(20,460
)
15,238
Diversified Healthcare Trust
7,820
(49,007
)
26,630
(82,715
)
119,153
49,034
482
 
119,153
 
Financial Services 0.2%
Charles Schwab Corp.
701,858
119,943
(3,762
)
(702
)
76,606
893,943
12,199
3,011
 
Pharmaceuticals, Biotechnology & Life Sciences 0.0%
Emergent BioSolutions, Inc.
17,575
54,639
114,553
20,097
 
Transportation 0.0%
Daseke, Inc.
15,895
(123,504
)
25,417
(24,678
)
Total
$701,858
$167,887
($201,804
)
($4,682
)
$82,616
$1,174,584
$3,493

The following is a summary of the inputs used to value the fund’s investments as of May 31, 2024 (see notes to portfolio holdings for additional information):
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 Stocks 1
$688,765,240
$
$
$688,765,240
Health Care Equipment & Services
41,624,323
0
*
41,624,323
Telecommunication Services
21,404,476
0
*
21,404,476
Investment Companies 1
370,016
370,016
Short-Term Investments 1
1,441,739
1,441,739
Futures Contracts 2
6,205
6,205
Total
$753,611,999
$—
$0
$753,611,999
*
Level 3 amount shown includes securities determined to have no value at May 31, 2024.
1
As categorized in the Portfolio Holdings.
2
Futures contracts are reported at cumulative unrealized appreciation or depreciation.
  
15

Schwab Strategic Trust
Schwab Fundamental U.S. Large Company Index ETF
Portfolio Holdings as of May 31, 2024 (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. You can also obtain this information at no cost by calling 1-866-414-6349 or by sending an email request to orders@mysummaryprospectus.com.
SECURITY
NUMBER
OF SHARES
VALUE ($)
COMMON STOCKS 99.8% OF NET ASSETS
 
Automobiles & Components 1.6%
Adient PLC *
98,111
2,770,655
Aptiv PLC *
135,664
11,295,385
Autoliv, Inc.
55,103
7,029,490
BorgWarner, Inc.
227,177
8,101,132
Dana, Inc.
241,989
3,402,365
Ford Motor Co.
4,596,288
55,752,973
General Motors Co.
2,497,195
112,348,803
Gentex Corp.
146,789
5,137,615
Goodyear Tire & Rubber Co. *
561,351
6,910,231
Harley-Davidson, Inc.
110,718
3,972,562
Lear Corp.
79,297
9,939,879
Tesla, Inc. *
98,933
17,617,988
Thor Industries, Inc.
56,610
5,617,976
 
249,897,054
 
Banks 7.7%
Bank of America Corp.
5,290,509
211,567,455
Citigroup, Inc.
3,125,353
194,740,745
Citizens Financial Group, Inc.
424,284
14,972,982
Comerica, Inc.
172,073
8,817,021
Credicorp Ltd.
44,525
7,360,873
East West Bancorp, Inc.
54,776
4,063,831
Fifth Third Bancorp
524,164
19,614,217
First Citizens BancShares, Inc.,
Class A
1,577
2,678,424
First Horizon Corp.
287,961
4,561,302
Huntington Bancshares, Inc.
741,531
10,322,112
JPMorgan Chase & Co.
1,571,436
318,420,077
KeyCorp
989,723
14,222,320
M&T Bank Corp.
97,620
14,799,192
New York Community Bancorp, Inc.
383,461
1,261,587
PNC Financial Services Group, Inc.
266,031
41,870,619
Popular, Inc.
60,026
5,342,914
Regions Financial Corp.
546,310
10,571,099
Synovus Financial Corp.
93,654
3,717,127
Truist Financial Corp.
873,767
32,984,704
U.S. Bancorp
1,115,943
45,251,489
Wells Fargo & Co.
3,548,004
212,596,400
Zions Bancorp NA
185,192
7,998,442
 
1,187,734,932
 
Capital Goods 6.9%
3M Co.
496,041
49,673,546
A O Smith Corp.
50,891
4,256,523
Acuity Brands, Inc.
24,362
6,324,619
AECOM
70,246
6,135,286
AerCap Holdings NV
63,075
5,847,683
AGCO Corp.
46,638
5,005,657
Air Lease Corp.
69,501
3,311,028
Allegion PLC
28,994
3,532,049
SECURITY
NUMBER
OF SHARES
VALUE ($)
Allison Transmission Holdings, Inc.
85,181
6,457,572
AMETEK, Inc.
42,779
7,254,463
Beacon Roofing Supply, Inc. *
31,367
3,044,481
Boeing Co. *
142,171
25,250,991
Boise Cascade Co.
40,272
5,528,943
Builders FirstSource, Inc. *
16,932
2,722,496
Carlisle Cos., Inc.
19,905
8,326,062
Carrier Global Corp.
283,219
17,896,609
Caterpillar, Inc.
190,376
64,446,083
CNH Industrial NV
717,378
7,575,512
Cummins, Inc.
94,814
26,711,948
Curtiss-Wright Corp.
14,171
4,007,842
Deere & Co.
84,982
31,847,854
Donaldson Co., Inc.
48,349
3,562,354
Dover Corp.
53,974
9,921,501
Eaton Corp. PLC
121,242
40,355,400
EMCOR Group, Inc.
25,025
9,726,216
Emerson Electric Co.
242,894
27,242,991
Fastenal Co.
148,825
9,819,473
Fluor Corp. *
87,683
3,805,442
Fortive Corp.
68,230
5,079,041
Fortune Brands Innovations, Inc.
78,389
5,491,933
GE Vernova, Inc. *
45,993
8,090,169
Generac Holdings, Inc. *
20,989
3,089,791
General Dynamics Corp.
125,418
37,596,554
General Electric Co.
184,012
30,387,742
Graco, Inc.
36,405
2,939,704
Honeywell International, Inc.
265,551
53,691,757
Howmet Aerospace, Inc.
114,911
9,727,216
Hubbell, Inc.
13,816
5,372,904
Huntington Ingalls Industries, Inc.
26,827
6,789,914
IDEX Corp.
17,713
3,695,640
Illinois Tool Works, Inc.
92,820
22,532,055
Ingersoll Rand, Inc.
50,289
4,679,391
ITT, Inc.
31,235
4,150,507
Johnson Controls International PLC
336,356
24,187,360
L3Harris Technologies, Inc.
109,719
24,668,123
Lennox International, Inc.
8,801
4,423,383
Lincoln Electric Holdings, Inc.
15,457
3,035,136
Lockheed Martin Corp.
105,445
49,595,001
Masco Corp.
116,771
8,164,628
MasTec, Inc. *
46,711
5,243,310
MDU Resources Group, Inc.
147,229
3,716,060
Middleby Corp. *
19,639
2,531,663
MSC Industrial Direct Co., Inc.,
Class A
29,972
2,574,595
Mueller Industries, Inc.
69,487
4,093,479
Nordson Corp.
13,069
3,067,556
Northrop Grumman Corp.
64,395
29,027,334
nVent Electric PLC
54,635
4,446,196
Oshkosh Corp.
57,492
6,538,565
Otis Worldwide Corp.
82,160
8,150,272
Owens Corning
57,584
10,426,735
PACCAR, Inc.
215,388
23,154,210
Parker-Hannifin Corp.
32,665
17,362,101
Pentair PLC
65,634
5,341,295
16
  

Schwab Fundamental U.S. Large Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Quanta Services, Inc.
40,116
11,069,609
Regal Rexnord Corp.
28,877
4,318,267
Resideo Technologies, Inc. *
154,304
3,332,966
Rockwell Automation, Inc.
31,030
7,991,156
RTX Corp.
485,671
52,360,190
Rush Enterprises, Inc., Class A
61,085
2,756,766
Sensata Technologies Holding PLC
98,955
4,088,821
Snap-on, Inc.
24,795
6,765,564
Stanley Black & Decker, Inc.
131,109
11,428,772
Textron, Inc.
113,857
9,975,012
Timken Co.
36,909
3,207,023
Toro Co.
33,857
2,714,993
Trane Technologies PLC
51,730
16,939,506
TransDigm Group, Inc.
9,755
13,103,209
UFP Industries, Inc.
43,332
5,177,307
United Rentals, Inc.
28,768
19,257,587
Watsco, Inc.
11,265
5,349,748
WESCO International, Inc.
29,637
5,319,545
Westinghouse Air Brake
Technologies Corp.
57,378
9,710,079
WW Grainger, Inc.
12,035
11,089,771
Xylem, Inc.
48,530
6,843,701
 
1,055,451,536
 
Commercial & Professional Services 1.1%
ABM Industries, Inc.
71,720
3,390,204
Automatic Data Processing, Inc.
82,230
20,139,772
Booz Allen Hamilton Holding Corp.,
Class A
39,982
6,085,660
Broadridge Financial Solutions, Inc.
26,570
5,334,459
CACI International, Inc., Class A *
11,384
4,832,280
Cintas Corp.
17,865
12,111,934
Copart, Inc. *
71,997
3,820,161
Equifax, Inc.
19,595
4,534,087
Genpact Ltd.
93,471
3,090,151
Jacobs Solutions, Inc.
59,186
8,246,977
KBR, Inc.
48,486
3,183,591
Leidos Holdings, Inc.
82,637
12,151,771
ManpowerGroup, Inc.
110,963
8,280,059
Maximus, Inc.
33,166
2,855,593
Paychex, Inc.
70,725
8,498,316
Republic Services, Inc.
53,464
9,900,998
Robert Half, Inc.
76,125
4,889,509
Science Applications International
Corp.
31,325
4,217,911
SS&C Technologies Holdings, Inc.
79,930
4,959,657
TransUnion
44,672
3,212,810
Verisk Analytics, Inc.
23,939
6,051,301
Waste Management, Inc.
119,392
25,159,476
 
164,946,677
 
Consumer Discretionary Distribution & Retail 4.4%
Academy Sports & Outdoors, Inc.
51,386
2,964,458
Advance Auto Parts, Inc.
100,933
7,129,907
Amazon.com, Inc. *
1,206,853
212,937,143
American Eagle Outfitters, Inc.
149,570
3,286,053
Asbury Automotive Group, Inc. *
15,205
3,574,239
AutoNation, Inc. *
47,655
8,113,264
AutoZone, Inc. *
3,061
8,478,786
Bath & Body Works, Inc.
142,188
7,385,245
Best Buy Co., Inc.
304,399
25,819,123
Big Lots, Inc. *(a)
619,890
2,157,217
Burlington Stores, Inc. *
18,196
4,367,950
CarMax, Inc. *
133,193
9,358,140
Dick's Sporting Goods, Inc.
36,625
8,337,315
eBay, Inc.
506,499
27,462,376
Foot Locker, Inc.
192,709
5,343,820
SECURITY
NUMBER
OF SHARES
VALUE ($)
Gap, Inc.
337,910
9,785,874
Genuine Parts Co.
61,565
8,873,979
Group 1 Automotive, Inc.
20,570
6,396,859
Home Depot, Inc.
331,971
111,167,129
Kohl's Corp.
552,377
12,367,721
Lithia Motors, Inc.
27,982
7,083,363
LKQ Corp.
182,612
7,857,794
Lowe's Cos., Inc.
257,348
56,948,539
Macy's, Inc.
573,646
11,174,624
Murphy USA, Inc.
14,541
6,379,864
Nordstrom, Inc.
184,222
4,071,306
ODP Corp. *
76,655
3,001,810
O'Reilly Automotive, Inc. *
14,302
13,776,544
Penske Automotive Group, Inc.
21,648
3,292,661
Pool Corp.
9,084
3,302,488
Qurate Retail, Inc. *
8,898,385
6,332,091
Ross Stores, Inc.
83,601
11,684,076
TJX Cos., Inc.
316,946
32,677,133
Tractor Supply Co.
34,682
9,894,428
Ulta Beauty, Inc. *
10,987
4,340,854
Williams-Sonoma, Inc.
34,349
10,071,814
 
677,195,987
 
Consumer Durables & Apparel 1.6%
Brunswick Corp.
52,391
4,323,829
Capri Holdings Ltd. *
90,639
3,131,578
Carter's, Inc.
42,181
2,885,180
Deckers Outdoor Corp. *
5,730
6,268,162
DR Horton, Inc.
163,380
24,147,564
Garmin Ltd.
52,631
8,623,589
Hanesbrands, Inc. *
854,726
4,376,197
Hasbro, Inc.
84,172
5,031,802
KB Home
61,949
4,373,599
Leggett & Platt, Inc.
152,687
1,771,169
Lennar Corp., Class A
168,296
26,986,264
Lululemon Athletica, Inc. *
14,472
4,515,119
Meritage Homes Corp.
28,978
5,110,270
Mohawk Industries, Inc. *
79,912
9,743,670
Newell Brands, Inc.
577,100
4,455,212
NIKE, Inc., Class B
336,274
31,962,844
NVR, Inc. *
1,361
10,453,474
Polaris, Inc.
42,836
3,581,090
PulteGroup, Inc.
154,624
18,140,488
PVH Corp.
67,844
8,141,958
Ralph Lauren Corp.
27,425
5,125,184
Skechers USA, Inc., Class A *
59,450
4,245,919
Tapestry, Inc.
138,217
6,011,057
Taylor Morrison Home Corp. *
88,727
5,131,082
Tempur Sealy International, Inc.
63,606
3,266,804
Toll Brothers, Inc.
65,315
7,944,917
TopBuild Corp. *
8,136
3,400,441
Tri Pointe Homes, Inc. *
114,038
4,416,692
VF Corp.
498,653
6,622,112
Whirlpool Corp.
100,696
9,367,749
 
243,555,015
 
Consumer Services 1.4%
Aramark
128,507
4,131,500
Booking Holdings, Inc.
8,540
32,250,029
Caesars Entertainment, Inc. *
57,995
2,062,302
Carnival Corp. *
494,949
7,463,831
Chipotle Mexican Grill, Inc. *
2,171
6,794,188
Darden Restaurants, Inc.
43,638
6,562,719
Domino's Pizza, Inc.
15,287
7,774,663
Expedia Group, Inc. *
31,942
3,604,974
H&R Block, Inc.
71,383
3,543,452
Hilton Worldwide Holdings, Inc.
44,382
8,903,029
  
17

Schwab Fundamental U.S. Large Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Las Vegas Sands Corp.
120,568
5,429,177
Marriott International, Inc., Class A
55,799
12,899,055
Marriott Vacations Worldwide Corp.
27,063
2,442,977
McDonald's Corp.
182,617
47,277,715
MGM Resorts International *
220,330
8,850,656
Penn Entertainment, Inc. *
128,352
2,246,160
Service Corp. International
52,294
3,747,388
Starbucks Corp.
399,895
32,079,577
Travel & Leisure Co.
70,386
3,092,761
Vail Resorts, Inc.
11,841
2,234,634
Yum! Brands, Inc.
96,359
13,242,617
 
216,633,404
 
Consumer Staples Distribution & Retail 3.5%
Albertsons Cos., Inc., Class A
93,486
1,929,551
Andersons, Inc.
43,678
2,286,107
BJ's Wholesale Club Holdings, Inc. *
42,029
3,701,494
Casey's General Stores, Inc.
22,879
7,590,795
Costco Wholesale Corp.
132,606
107,396,273
Dollar General Corp.
148,564
20,339,897
Dollar Tree, Inc. *
96,284
11,356,698
Kroger Co.
861,670
45,125,658
Performance Food Group Co. *
105,886
7,369,666
SpartanNash Co.
145,733
2,863,653
Sprouts Farmers Market, Inc. *
80,837
6,384,506
Sysco Corp.
214,167
15,595,641
Target Corp.
410,034
64,030,909
U.S. Foods Holding Corp. *
195,080
10,306,076
United Natural Foods, Inc. *
226,603
2,721,502
Walgreens Boots Alliance, Inc.
2,166,866
35,146,567
Walmart, Inc.
3,023,553
198,828,845
 
542,973,838
 
Energy 7.2%
Antero Resources Corp. *
130,997
4,667,423
APA Corp.
197,710
6,036,086
Baker Hughes Co.
689,583
23,087,239
Cheniere Energy, Inc.
41,094
6,484,222
Chesapeake Energy Corp.
21,730
1,975,909
Chevron Corp.
1,182,091
191,853,369
CNX Resources Corp. *
129,901
3,416,396
ConocoPhillips
602,118
70,134,705
Delek U.S. Holdings, Inc.
99,565
2,534,925
Devon Energy Corp.
286,119
14,042,720
Diamondback Energy, Inc.
37,758
7,523,659
EOG Resources, Inc.
255,635
31,839,339
EQT Corp.
71,037
2,918,910
Equitrans Midstream Corp.
308,689
4,408,079
Exxon Mobil Corp.
2,694,205
315,922,478
Halliburton Co.
330,491
12,129,020
Hess Corp.
49,860
7,683,426
HF Sinclair Corp.
154,811
8,550,212
Kinder Morgan, Inc.
1,452,419
28,307,646
Marathon Oil Corp.
452,582
13,106,775
Marathon Petroleum Corp.
393,857
69,559,085
Murphy Oil Corp.
87,816
3,757,647
NOV, Inc.
218,397
4,110,232
Occidental Petroleum Corp.
333,303
20,831,437
ONEOK, Inc.
223,726
18,121,806
Ovintiv, Inc.
171,219
8,846,886
PBF Energy, Inc., Class A
114,344
5,297,558
Peabody Energy Corp.
137,768
3,413,891
Phillips 66
455,572
64,741,337
Schlumberger NV
430,156
19,739,859
SM Energy Co.
69,235
3,491,521
Southwestern Energy Co. *
579,201
4,361,384
Targa Resources Corp.
67,427
7,971,894
SECURITY
NUMBER
OF SHARES
VALUE ($)
TechnipFMC PLC
147,775
3,870,227
Valero Energy Corp.
442,825
69,585,520
Williams Cos., Inc.
524,086
21,754,810
World Kinect Corp.
522,808
13,770,763
 
1,099,848,395
 
Equity Real Estate Investment Trusts (REITs) 1.7%
Alexandria Real Estate Equities, Inc.
40,226
4,786,894
American Tower Corp.
92,727
18,150,383
AvalonBay Communities, Inc.
38,426
7,403,922
Boston Properties, Inc.
110,052
6,676,855
Brixmor Property Group, Inc.
140,026
3,151,985
Camden Property Trust
30,012
3,080,732
Crown Castle, Inc.
139,799
14,329,398
Digital Realty Trust, Inc.
80,699
11,728,793
Equinix, Inc.
14,578
11,122,722
Equity Residential
122,816
7,986,724
Essex Property Trust, Inc.
18,479
4,800,659
Extra Space Storage, Inc.
36,403
5,270,062
Gaming & Leisure Properties, Inc.
63,135
2,834,762
Healthpeak Properties, Inc.
292,505
5,820,850
Host Hotels & Resorts, Inc.
356,645
6,398,211
Invitation Homes, Inc.
122,560
4,263,862
Iron Mountain, Inc.
107,445
8,669,737
Kimco Realty Corp.
210,004
4,065,677
Lamar Advertising Co., Class A
30,932
3,653,379
Medical Properties Trust, Inc. (a)
568,894
3,049,272
Mid-America Apartment
Communities, Inc.
34,344
4,592,136
Park Hotels & Resorts, Inc.
280,876
4,454,693
Prologis, Inc.
91,359
10,094,256
Public Storage
26,903
7,366,849
Realty Income Corp.
108,160
5,738,970
Regency Centers Corp.
54,073
3,320,082
SBA Communications Corp.
12,967
2,550,350
Simon Property Group, Inc.
110,473
16,715,670
SL Green Realty Corp.
93,311
4,942,684
Sun Communities, Inc.
27,685
3,266,553
UDR, Inc.
86,464
3,339,240
Ventas, Inc.
223,036
11,209,789
VICI Properties, Inc.
101,561
2,915,816
Vornado Realty Trust
214,739
5,265,400
Welltower, Inc.
139,692
14,481,870
Weyerhaeuser Co.
435,475
13,077,314
WP Carey, Inc.
52,006
2,933,138
 
253,509,689
 
Financial Services 8.3%
Affiliated Managers Group, Inc.
32,896
5,348,890
Ally Financial, Inc.
512,253
19,962,499
American Express Co.
248,590
59,661,600
Ameriprise Financial, Inc.
46,414
20,264,817
Annaly Capital Management, Inc.
211,058
4,157,843
Apollo Global Management, Inc.
57,562
6,686,402
Bank of New York Mellon Corp.
628,395
37,458,626
Berkshire Hathaway, Inc., Class B *
823,813
341,388,107
BlackRock, Inc.
46,535
35,926,416
Blackstone, Inc.
124,864
15,046,112
Block, Inc. *
37,955
2,432,156
Bread Financial Holdings, Inc.
181,357
7,573,468
Capital One Financial Corp.
461,864
63,566,342
Carlyle Group, Inc.
102,015
4,382,564
Cboe Global Markets, Inc.
16,686
2,886,511
Charles Schwab Corp. (b)
267,737
19,619,767
CME Group, Inc.
58,090
11,791,108
Corebridge Financial, Inc.
129,725
3,784,078
Corpay, Inc. *
26,469
7,084,957
18
  

Schwab Fundamental U.S. Large Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Discover Financial Services
268,524
32,937,154
Equitable Holdings, Inc.
190,725
7,913,180
Evercore, Inc., Class A
28,127
5,708,093
Fidelity National Information
Services, Inc.
280,101
21,254,064
Fiserv, Inc. *
99,763
14,940,507
Franklin Resources, Inc.
300,538
7,092,697
Global Payments, Inc.
101,813
10,369,654
Goldman Sachs Group, Inc.
197,559
90,189,635
Intercontinental Exchange, Inc.
128,765
17,241,634
Invesco Ltd.
405,918
6,376,972
Jack Henry & Associates, Inc.
20,506
3,376,928
Jackson Financial, Inc., Class A
72,140
5,483,361
Janus Henderson Group PLC
123,915
4,151,153
Jefferies Financial Group, Inc.
159,423
7,416,358
KKR & Co., Inc.
161,000
16,557,240
Lazard, Inc., Class A
86,193
3,467,544
LPL Financial Holdings, Inc.
20,121
5,758,831
Mastercard, Inc., Class A
91,653
40,975,307
MGIC Investment Corp.
168,290
3,534,090
Moody's Corp.
25,656
10,185,175
Morgan Stanley
566,905
55,465,985
MSCI, Inc.
7,409
3,668,789
Nasdaq, Inc.
69,734
4,116,398
Navient Corp.
219,017
3,300,586
Northern Trust Corp.
125,107
10,539,014
OneMain Holdings, Inc.
181,227
8,901,870
PayPal Holdings, Inc. *
408,060
25,703,699
Raymond James Financial, Inc.
54,942
6,744,131
Rithm Capital Corp.
372,811
4,179,211
S&P Global, Inc.
42,631
18,225,179
SEI Investments Co.
53,844
3,645,777
SLM Corp.
286,349
6,145,050
Starwood Property Trust, Inc.
168,768
3,280,850
State Street Corp.
184,006
13,909,014
Synchrony Financial
991,159
43,412,764
T Rowe Price Group, Inc.
171,130
20,164,248
Visa, Inc., Class A
194,286
52,935,164
Voya Financial, Inc.
58,911
4,466,632
Western Union Co.
500,122
6,401,562
 
1,279,157,763
 
Food, Beverage & Tobacco 3.3%
Altria Group, Inc.
1,170,344
54,128,410
Archer-Daniels-Midland Co.
550,812
34,392,701
Bunge Global SA
157,778
16,975,335
Campbell Soup Co.
111,120
4,931,506
Coca-Cola Co.
953,542
60,006,398
Coca-Cola Europacific Partners PLC
85,358
6,291,738
Conagra Brands, Inc.
325,125
9,714,735
Constellation Brands, Inc., Class A
46,684
11,681,737
Darling Ingredients, Inc. *
76,387
3,086,035
Flowers Foods, Inc.
126,493
2,937,167
General Mills, Inc.
274,112
18,845,200
Hershey Co.
31,767
6,284,466
Hormel Foods Corp.
165,063
5,113,652
Ingredion, Inc.
54,585
6,418,104
J M Smucker Co.
76,153
8,501,721
Kellanova
138,805
8,375,494
Keurig Dr Pepper, Inc.
340,574
11,664,660
Kraft Heinz Co.
470,668
16,647,527
Lamb Weston Holdings, Inc.
28,647
2,529,244
McCormick & Co., Inc. - Non Voting
Shares
70,709
5,106,604
Molson Coors Beverage Co., Class B
132,217
7,246,814
Mondelez International, Inc., Class A
477,795
32,743,291
Monster Beverage Corp. *
119,510
6,204,959
PepsiCo, Inc.
400,320
69,215,328
SECURITY
NUMBER
OF SHARES
VALUE ($)
Philip Morris International, Inc.
651,589
66,058,093
Post Holdings, Inc. *
31,563
3,363,669
Tyson Foods, Inc., Class A
517,306
29,615,768
 
508,080,356
 
Health Care Equipment & Services 5.6%
Abbott Laboratories
436,501
44,606,037
Align Technology, Inc. *
14,070
3,618,945
Baxter International, Inc.
338,209
11,529,545
Becton Dickinson & Co.
71,257
16,529,486
Boston Scientific Corp. *
182,300
13,776,411
Cardinal Health, Inc.
107,846
10,705,872
Cencora, Inc.
17,231
3,904,028
Centene Corp. *
519,605
37,198,522
Chemed Corp.
4,818
2,670,955
Cigna Group
235,484
81,152,496
Community Health Systems, Inc. *
689,205
2,729,252
Cooper Cos., Inc.
38,169
3,599,718
CVS Health Corp.
1,672,402
99,675,159
DaVita, Inc. *
72,060
10,601,467
DENTSPLY SIRONA, Inc.
103,853
2,908,923
Edwards Lifesciences Corp. *
79,210
6,882,557
Elevance Health, Inc.
146,099
78,671,390
Encompass Health Corp.
43,415
3,750,622
GE HealthCare Technologies, Inc.
66,247
5,167,266
HCA Healthcare, Inc.
102,890
34,956,878
Henry Schein, Inc. *
92,898
6,441,547
Hologic, Inc. *
81,159
5,987,911
Humana, Inc.
89,250
31,962,210
IDEXX Laboratories, Inc. *
7,794
3,873,228
Intuitive Surgical, Inc. *
28,174
11,329,329
Labcorp Holdings, Inc.
59,576
11,611,958
McKesson Corp.
30,610
17,435,150
Medtronic PLC
646,427
52,599,765
Molina Healthcare, Inc. *
21,567
6,784,547
Quest Diagnostics, Inc.
74,001
10,505,922
ResMed, Inc.
24,321
5,018,152
Solventum Corp. *
123,385
7,321,666
STERIS PLC
20,188
4,499,501
Stryker Corp.
55,254
18,846,587
Teleflex, Inc.
13,372
2,795,684
Tenet Healthcare Corp. *
87,181
11,788,615
UnitedHealth Group, Inc.
323,504
160,254,176
Universal Health Services, Inc.,
Class B
74,958
14,227,028
Zimmer Biomet Holdings, Inc.
66,335
7,638,475
 
865,556,980
 
Household & Personal Products 1.2%
Church & Dwight Co., Inc.
65,615
7,021,461
Clorox Co.
36,589
4,813,649
Colgate-Palmolive Co.
252,967
23,515,812
Estee Lauder Cos., Inc., Class A
64,952
8,012,479
Kimberly-Clark Corp.
129,533
17,266,749
Procter & Gamble Co.
767,840
126,340,394
 
186,970,544
 
Insurance 3.6%
Aflac, Inc.
336,169
30,211,508
Allstate Corp.
267,725
44,849,292
American Financial Group, Inc.
53,039
6,890,296
American International Group, Inc.
634,760
50,031,783
Aon PLC, Class A
55,204
15,547,654
Arch Capital Group Ltd. *
89,137
9,148,130
Arthur J Gallagher & Co.
27,863
7,058,534
Assurant, Inc.
23,650
4,102,565
  
19

Schwab Fundamental U.S. Large Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Brown & Brown, Inc.
40,017
3,581,922
Chubb Ltd.
164,304
44,496,809
Cincinnati Financial Corp.
85,539
10,057,676
CNO Financial Group, Inc.
190,432
5,463,494
Everest Group Ltd.
14,727
5,757,226
Fidelity National Financial, Inc.
183,274
9,229,679
First American Financial Corp.
102,321
5,687,001
Genworth Financial, Inc., Class A *
744,793
4,684,748
Globe Life, Inc.
43,187
3,574,156
Hanover Insurance Group, Inc.
28,095
3,706,573
Hartford Financial Services Group,
Inc.
221,966
22,962,383
Lincoln National Corp.
322,416
10,636,504
Loews Corp.
106,164
8,153,395
Markel Group, Inc. *
4,678
7,679,358
Marsh & McLennan Cos., Inc.
101,503
21,069,993
MetLife, Inc.
563,145
40,754,804
Old Republic International Corp.
220,683
7,013,306
Primerica, Inc.
14,331
3,237,230
Principal Financial Group, Inc.
157,233
12,899,395
Progressive Corp.
175,611
37,085,531
Prudential Financial, Inc.
340,455
40,973,759
Reinsurance Group of America, Inc.
34,311
7,198,448
Travelers Cos., Inc.
208,597
44,994,373
Unum Group
149,658
8,060,580
W R Berkley Corp.
67,261
5,450,159
Willis Towers Watson PLC
36,965
9,436,795
 
551,685,059
 
Materials 3.7%
Air Products & Chemicals, Inc.
61,892
16,506,596
Albemarle Corp.
30,578
3,748,557
Alcoa Corp.
234,745
10,392,161
AptarGroup, Inc.
23,298
3,440,882
Arch Resources, Inc.
13,260
2,306,312
Avery Dennison Corp.
30,664
6,978,820
Axalta Coating Systems Ltd. *
104,446
3,717,233
Ball Corp.
159,375
11,065,406
Berry Global Group, Inc.
94,285
5,645,786
Celanese Corp.
79,105
12,027,124
CF Industries Holdings, Inc.
106,809
8,515,882
Chemours Co.
158,612
3,936,750
Cleveland-Cliffs, Inc. *
320,535
5,538,845
Commercial Metals Co.
82,823
4,664,591
Corteva, Inc.
236,863
13,250,116
Crown Holdings, Inc.
64,106
5,397,084
Dow, Inc.
590,529
34,032,186
DuPont de Nemours, Inc.
353,093
29,010,121
Eagle Materials, Inc.
14,698
3,415,668
Eastman Chemical Co.
130,341
13,207,454
Ecolab, Inc.
60,615
14,074,803
FMC Corp.
68,279
4,161,605
Freeport-McMoRan, Inc.
527,180
27,798,201
Graphic Packaging Holding Co.
179,487
5,083,072
Huntsman Corp.
235,645
5,843,996
International Flavors & Fragrances,
Inc.
94,187
9,058,906
International Paper Co.
509,288
22,963,796
Linde PLC
116,889
50,907,497
Louisiana-Pacific Corp.
61,256
5,615,950
LyondellBasell Industries NV, Class A
253,238
25,176,922
Martin Marietta Materials, Inc.
13,148
7,521,708
Mosaic Co.
286,293
8,855,042
Newmont Corp.
614,419
25,768,733
Nucor Corp.
188,730
31,867,061
O-I Glass, Inc. *
185,055
2,348,348
Olin Corp.
98,209
5,279,716
Packaging Corp. of America
53,115
9,746,071
SECURITY
NUMBER
OF SHARES
VALUE ($)
PPG Industries, Inc.
101,737
13,369,259
Reliance, Inc.
42,609
12,815,935
RPM International, Inc.
46,904
5,257,938
Sealed Air Corp.
119,859
4,658,919
Sherwin-Williams Co.
38,237
11,616,401
Sonoco Products Co.
77,223
4,739,176
Steel Dynamics, Inc.
125,547
16,806,977
U.S. Steel Corp.
332,196
12,739,717
Vulcan Materials Co.
28,130
7,194,810
Westlake Corp.
18,656
2,995,407
Westrock Co.
407,258
21,845,319
 
572,908,859
 
Media & Entertainment 6.6%
Alphabet, Inc., Class A *
1,244,101
214,607,422
Alphabet, Inc., Class C *
1,092,191
189,997,546
Charter Communications, Inc.,
Class A *
141,953
40,757,545
Comcast Corp., Class A
2,889,473
115,665,604
Electronic Arts, Inc.
87,404
11,614,244
Fox Corp., Class A
347,622
11,968,625
Interpublic Group of Cos., Inc.
188,191
5,903,552
Liberty Media Corp.-Liberty
SiriusXM, Class C *
309,430
7,011,684
Meta Platforms, Inc., Class A
586,830
273,949,849
Netflix, Inc. *
33,853
21,720,762
News Corp., Class A
245,008
6,661,768
Nexstar Media Group, Inc.
29,208
4,839,474
Omnicom Group, Inc.
130,109
12,094,933
Paramount Global, Class B
1,435,883
17,101,367
Take-Two Interactive Software, Inc. *
24,508
3,930,103
TEGNA, Inc.
197,706
2,947,796
Walt Disney Co.
664,266
69,023,880
Warner Bros Discovery, Inc. *
1,078,539
8,887,161
 
1,018,683,315
 
Pharmaceuticals, Biotechnology & Life Sciences 5.4%
AbbVie, Inc.
477,013
76,913,576
Agilent Technologies, Inc.
69,023
9,001,289
Amgen, Inc.
240,430
73,535,515
Avantor, Inc. *
146,255
3,521,820
Biogen, Inc. *
79,493
17,881,155
Bristol-Myers Squibb Co.
1,018,112
41,834,222
Catalent, Inc. *
61,385
3,301,899
Charles River Laboratories
International, Inc. *
11,671
2,432,703
Danaher Corp.
95,464
24,515,155
Eli Lilly & Co.
46,437
38,094,129
Gilead Sciences, Inc.
638,043
41,007,024
ICON PLC, ADR *
12,380
4,021,272
Illumina, Inc. *
32,494
3,388,474
IQVIA Holdings, Inc. *
55,916
12,250,636
Jazz Pharmaceuticals PLC *
23,847
2,509,897
Johnson & Johnson
932,513
136,771,682
Merck & Co., Inc.
704,526
88,446,194
Mettler-Toledo International, Inc. *
4,174
5,860,672
Moderna, Inc. *
77,489
11,046,057
Organon & Co.
549,506
11,720,963
Perrigo Co. PLC
143,189
3,941,993
Pfizer, Inc.
3,729,694
106,893,030
Regeneron Pharmaceuticals, Inc. *
21,442
21,016,591
Revvity, Inc.
36,919
4,033,770
Thermo Fisher Scientific, Inc.
73,720
41,871,486
Vertex Pharmaceuticals, Inc. *
24,167
11,004,202
Viatris, Inc.
1,256,706
13,321,084
Waters Corp. *
19,138
5,911,728
20
  

Schwab Fundamental U.S. Large Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
West Pharmaceutical Services, Inc.
8,180
2,710,934
Zoetis, Inc.
64,960
11,014,618
 
829,773,770
 
Real Estate Management & Development 0.2%
Anywhere Real Estate, Inc. *
529,460
2,154,902
CBRE Group, Inc., Class A *
163,093
14,363,601
Jones Lang LaSalle, Inc. *
57,045
11,527,083
 
28,045,586
 
Semiconductors & Semiconductor Equipment 4.8%
Advanced Micro Devices, Inc. *
90,874
15,166,871
Analog Devices, Inc.
91,132
21,369,543
Applied Materials, Inc.
225,128
48,420,530
Broadcom, Inc.
70,346
93,458,178
First Solar, Inc. *
16,920
4,598,179
Intel Corp.
4,584,098
141,419,423
KLA Corp.
21,012
15,959,244
Lam Research Corp.
33,621
31,349,565
Marvell Technology, Inc.
78,965
5,433,582
Microchip Technology, Inc.
106,008
10,307,158
Micron Technology, Inc.
695,564
86,945,500
MKS Instruments, Inc.
27,349
3,462,110
NVIDIA Corp.
55,002
60,300,343
NXP Semiconductors NV
71,778
19,530,794
ON Semiconductor Corp. *
75,599
5,521,751
Qorvo, Inc. *
71,390
7,024,062
QUALCOMM, Inc.
468,701
95,638,439
Skyworks Solutions, Inc.
73,340
6,795,684
Teradyne, Inc.
58,864
8,296,292
Texas Instruments, Inc.
281,397
54,875,229
 
735,872,477
 
Software & Services 4.8%
Accenture PLC, Class A
143,704
40,566,202
Adobe, Inc. *
55,021
24,471,140
Akamai Technologies, Inc. *
52,567
4,848,780
Amdocs Ltd.
68,638
5,422,402
ANSYS, Inc. *
8,968
2,846,892
ASGN, Inc. *
34,106
3,202,895
Autodesk, Inc. *
17,635
3,555,216
Cadence Design Systems, Inc. *
17,343
4,965,474
Check Point Software Technologies
Ltd. *
32,567
4,901,334
Cognizant Technology Solutions
Corp., Class A
365,983
24,209,776
Dropbox, Inc., Class A *
88,065
1,984,104
DXC Technology Co. *
358,580
5,575,919
EPAM Systems, Inc. *
9,755
1,735,707
Fortinet, Inc. *
51,381
3,047,921
Gartner, Inc. *
10,214
4,286,509
Gen Digital, Inc.
232,773
5,779,754
GoDaddy, Inc., Class A *
27,773
3,877,944
International Business Machines
Corp.
472,409
78,821,442
Intuit, Inc.
25,743
14,839,295
Kyndryl Holdings, Inc. *
382,710
10,183,913
Microsoft Corp.
936,686
388,846,459
Oracle Corp.
454,605
53,275,160
Palo Alto Networks, Inc. *
14,963
4,412,738
Roper Technologies, Inc.
14,780
7,874,193
Salesforce, Inc.
72,180
16,921,879
ServiceNow, Inc. *
3,565
2,341,955
SECURITY
NUMBER
OF SHARES
VALUE ($)
Synopsys, Inc. *
9,223
5,172,258
VeriSign, Inc. *
12,749
2,222,406
 
730,189,667
 
Technology Hardware & Equipment 6.6%
Amphenol Corp., Class A
113,870
15,072,972
Apple, Inc.
3,127,420
601,246,495
Arista Networks, Inc. *
16,900
5,030,285
Arrow Electronics, Inc. *
102,685
13,483,567
Avnet, Inc.
232,000
12,667,200
CDW Corp.
41,143
9,200,398
Ciena Corp. *
73,257
3,528,790
Cisco Systems, Inc.
2,341,612
108,884,958
Corning, Inc.
522,136
19,454,787
F5, Inc. *
23,748
4,012,699
Flex Ltd. *
297,965
9,871,580
Hewlett Packard Enterprise Co.
1,710,448
30,189,407
HP, Inc.
936,218
34,171,957
Insight Enterprises, Inc. *
18,824
3,680,092
Jabil, Inc.
73,162
8,698,962
Juniper Networks, Inc.
234,624
8,369,038
Keysight Technologies, Inc. *
32,095
4,444,515
Motorola Solutions, Inc.
23,870
8,710,402
NetApp, Inc.
117,339
14,131,136
Sanmina Corp. *
78,826
5,402,734
Seagate Technology Holdings PLC
165,032
15,387,584
TD SYNNEX Corp.
32,696
4,277,945
TE Connectivity Ltd.
116,217
17,397,685
Teledyne Technologies, Inc. *
8,106
3,217,677
Trimble, Inc. *
72,250
4,022,880
Vishay Intertechnology, Inc.
110,457
2,610,099
Western Digital Corp. *
368,930
27,776,740
Xerox Holdings Corp.
305,480
4,295,049
Zebra Technologies Corp., Class A *
16,522
5,160,481
 
1,004,398,114
 
Telecommunication Services 3.1%
AT&T, Inc.
10,328,913
188,192,795
Frontier Communications Parent,
Inc. *
161,781
4,313,081
Liberty Global Ltd., Class C *
755,621
12,898,451
Liberty Latin America Ltd., Class C *
331,945
3,010,741
Lumen Technologies, Inc. *
14,090,493
18,176,736
Telephone & Data Systems, Inc.
332,805
6,619,491
T-Mobile U.S., Inc.
184,612
32,299,716
Verizon Communications, Inc.
4,886,389
201,074,907
 
466,585,918
 
Transportation 1.9%
Avis Budget Group, Inc.
33,215
3,777,542
CH Robinson Worldwide, Inc.
112,664
9,730,790
CSX Corp.
997,710
33,672,712
Delta Air Lines, Inc.
81,754
4,171,089
FedEx Corp.
177,728
45,135,803
GXO Logistics, Inc. *
51,258
2,574,689
Hertz Global Holdings, Inc. *
122,034
532,068
Hub Group, Inc., Class A
64,730
2,793,099
JB Hunt Transport Services, Inc.
36,183
5,816,417
Knight-Swift Transportation
Holdings, Inc.
108,154
5,218,430
Landstar System, Inc.
20,203
3,677,552
Norfolk Southern Corp.
127,726
28,712,805
Old Dominion Freight Line, Inc.
36,231
6,349,483
Ryder System, Inc.
76,238
9,260,630
Southwest Airlines Co.
123,456
3,313,559
Uber Technologies, Inc. *
84,292
5,441,892
  
21

Schwab Fundamental U.S. Large Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
U-Haul Holding Co. *
1,107
69,996
U-Haul Holding Co., Non Voting
Shares
43,080
2,618,833
Union Pacific Corp.
258,990
60,298,052
United Parcel Service, Inc., Class B
281,681
39,133,941
Werner Enterprises, Inc.
70,433
2,646,168
ZIM Integrated Shipping Services
Ltd. *(a)
493,742
11,128,945
 
286,074,495
 
Utilities 3.6%
AES Corp.
570,128
12,309,064
Alliant Energy Corp.
113,351
5,836,443
Ameren Corp.
122,771
9,007,708
American Electric Power Co., Inc.
285,396
25,756,989
American Water Works Co., Inc.
50,181
6,562,169
Atmos Energy Corp.
44,535
5,162,497
CenterPoint Energy, Inc.
327,677
9,997,425
CMS Energy Corp.
146,278
9,205,275
Consolidated Edison, Inc.
203,092
19,202,349
Constellation Energy Corp.
90,963
19,761,712
Dominion Energy, Inc.
534,289
28,808,863
DTE Energy Co.
107,957
12,580,229
Duke Energy Corp.
467,358
48,404,268
Edison International
199,325
15,318,126
Entergy Corp.
136,600
15,366,134
Essential Utilities, Inc.
65,782
2,481,955
Evergy, Inc.
187,417
10,244,213
Eversource Energy
200,563
11,879,346
Exelon Corp.
697,886
26,205,619
FirstEnergy Corp.
369,868
14,890,886
National Fuel Gas Co.
53,014
3,030,280
NextEra Energy, Inc.
558,131
44,661,643
NiSource, Inc.
213,821
6,213,638
NRG Energy, Inc.
230,742
18,690,102
OGE Energy Corp.
120,349
4,368,669
PG&E Corp.
224,145
4,155,648
Pinnacle West Capital Corp.
79,417
6,262,825
Portland General Electric Co.
61,639
2,746,634
PPL Corp.
580,143
17,015,594
Public Service Enterprise Group, Inc.
224,727
17,025,317
Sempra
232,855
17,936,821
Southern Co.
515,989
41,351,358
UGI Corp.
292,723
7,452,728
SECURITY
NUMBER
OF SHARES
VALUE ($)
Vistra Corp.
265,428
26,298,606
WEC Energy Group, Inc.
138,639
11,233,918
Xcel Energy, Inc.
272,039
15,084,563
 
552,509,614
Total Common Stocks
(Cost $12,456,904,142)
15,308,239,044
 
 
 
SHORT-TERM INVESTMENTS 0.1% OF NET ASSETS
 
Money Market Funds 0.1%
State Street Institutional
U.S. Government Money Market
Fund, Premier Class 5.26% (c)
9,043,490
9,043,490
State Street Institutional
U.S. Government Money Market
Fund, Premier Class 5.26% (c)(d)
12,107,070
12,107,070
 
21,150,560
Total Short-Term Investments
(Cost $21,150,560)
21,150,560
Total Investments in Securities
(Cost $12,478,054,702)
15,329,389,604
 
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
($)
CURRENT VALUE/
UNREALIZED
APPRECIATION
($)
FUTURES CONTRACTS
Long
S&P 500 Index, e-mini, expires
06/21/24
141
37,333,275
380,917
*
Non-income producing security.
(a)
All or a portion of this security is on loan. Securities on loan were valued at
$11,782,452.
(b)
Issuer is affiliated with the fund’s investment adviser.
(c)
The rate shown is the annualized 7-day yield.
(d)
Security purchased with cash collateral received for securities on loan.
ADR —
American Depositary Receipt
Below is a summary of the fund’s transactions with affiliated issuers and companies which are or were affiliates during the period ended May 31, 2024. An affiliated company is a company in which the investment adviser has or had an ownership of at least 5% of the voting securities of a security issue during the report period. A dash in the Value at February 29, 2024, and/or Value at May 31, 2024, columns means either the issuer was not held or not held as an affiliate at the beginning of period and is no longer held at period end or the issuer is held at period end but is no longer an affiliate.
SECURITY
VALUE AT
2/29/24
PURCHASES
SALES
REALIZED
GAINS (LOSSES)
NET CHANGE
IN UNREALIZED
APPRECIATION
(DEPRECIATION)
VALUE AT
5/31/24
BALANCE
OF SHARES
HELD AT
5/31/24
DIVIDENDS
RECEIVED
COMMON STOCKS 0.1% OF NET ASSETS
 
Financial Services 0.1%
Charles Schwab Corp.
$15,600,142
$2,463,498
($135,254
)
$3,152
$1,688,229
$19,619,767
267,737
$66,630
 
Transportation 0.0%
Daseke, Inc.
2,707,756
(2,724,143
)
16,387
Total
$15,600,142
$5,171,254
($2,859,397
)
$19,539
$1,688,229
$19,619,767
$66,630

22
  

Schwab Fundamental U.S. Large Company Index ETF
Portfolio Holdings (Unaudited) continued
The following is a summary of the inputs used to value the fund’s investments as of May 31, 2024 (see notes to portfolio holdings for additional information):
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 Stocks 1
$15,308,239,044
$
$
$15,308,239,044
Short-Term Investments 1
21,150,560
21,150,560
Futures Contracts 2
380,917
380,917
Total
$15,329,770,521
$—
$—
$15,329,770,521
1
As categorized in the Portfolio Holdings.
2
Futures contracts are reported at cumulative unrealized appreciation or depreciation.
  
23

Schwab Strategic Trust
Schwab Fundamental U.S. Small Company Index ETF
Portfolio Holdings as of May 31, 2024 (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. You can also obtain this information at no cost by calling 1-866-414-6349 or by sending an email request to orders@mysummaryprospectus.com.
SECURITY
NUMBER
OF SHARES
VALUE ($)
COMMON STOCKS 99.9% OF NET ASSETS
 
Automobiles & Components 1.5%
American Axle & Manufacturing
Holdings, Inc. *
1,600,656
12,229,012
Cooper-Standard Holdings, Inc. *
431,797
5,699,720
Dorman Products, Inc. *
90,001
8,277,392
Fox Factory Holding Corp. *
76,099
3,547,735
Gentherm, Inc. *
137,281
7,404,937
LCI Industries
124,511
13,681,269
Modine Manufacturing Co. *
152,289
15,369,006
Patrick Industries, Inc.
118,504
13,580,558
Phinia, Inc.
295,148
13,210,825
Standard Motor Products, Inc.
174,304
5,352,876
Stoneridge, Inc. *
203,926
3,236,306
Visteon Corp. *
77,473
8,628,168
Winnebago Industries, Inc.
195,080
12,104,714
 
122,322,518
 
Banks 8.0%
1st Source Corp.
58,023
2,983,543
Ameris Bancorp
171,301
8,556,485
Associated Banc-Corp.
756,801
16,210,677
Atlantic Union Bankshares Corp.
54,104
1,765,414
Axos Financial, Inc. *
137,874
7,427,272
BancFirst Corp.
32,647
2,812,539
Bancorp, Inc. *
15,067
506,101
Bank of Hawaii Corp.
169,104
9,764,065
Bank of NT Butterfield & Son Ltd.
227,370
7,746,496
Bank OZK
354,542
14,848,219
BankUnited, Inc.
670,321
19,231,509
Banner Corp.
153,185
7,173,654
Berkshire Hills Bancorp, Inc.
35,400
786,942
BOK Financial Corp.
97,251
8,812,886
Brookline Bancorp, Inc.
348,130
3,011,324
Cadence Bank
526,541
15,032,746
Capitol Federal Financial, Inc.
827,775
4,279,597
Cathay General Bancorp
281,638
10,375,544
Central Pacific Financial Corp.
170,216
3,451,980
City Holding Co.
32,380
3,309,884
Columbia Banking System, Inc.
721,209
13,904,910
Commerce Bancshares, Inc.
272,342
15,153,109
Community Financial System, Inc.
146,126
6,642,888
ConnectOne Bancorp, Inc.
143,183
2,668,931
Cullen/Frost Bankers, Inc.
139,112
14,130,997
Customers Bancorp, Inc. *
108,895
4,932,943
CVB Financial Corp.
434,466
7,186,068
Eagle Bancorp, Inc.
214,930
3,875,188
Eastern Bankshares, Inc.
304,871
4,176,733
Enterprise Financial Services Corp.
85,283
3,299,599
FB Financial Corp.
18,026
666,962
First BanCorp
483,277
8,568,501
First Bancorp/Southern Pines NC
87,795
2,769,932
First Busey Corp.
202,389
4,576,015
SECURITY
NUMBER
OF SHARES
VALUE ($)
First Commonwealth Financial Corp.
321,970
4,349,815
First Financial Bancorp
358,586
7,996,468
First Financial Bankshares, Inc.
188,984
5,665,740
First Hawaiian, Inc.
685,490
13,936,012
First Interstate BancSystem, Inc.,
Class A
274,023
7,272,570
First Merchants Corp.
189,291
6,256,068
FNB Corp.
1,254,184
17,270,114
Fulton Financial Corp.
641,725
10,806,649
Glacier Bancorp, Inc.
281,704
10,530,096
Hancock Whitney Corp.
320,866
14,994,068
Hanmi Financial Corp.
166,486
2,623,819
Heartland Financial USA, Inc.
158,857
6,983,354
Heritage Financial Corp.
148,515
2,692,577
Hilltop Holdings, Inc.
291,244
8,909,154
Home BancShares, Inc.
114,849
2,701,248
HomeStreet, Inc.
427,637
3,904,326
Hope Bancorp, Inc.
774,999
8,160,739
Independent Bank Corp.
104,578
5,311,517
Independent Bank Group, Inc.
124,928
5,751,685
International Bancshares Corp.
146,529
8,327,243
Kearny Financial Corp.
381,033
2,160,457
Lakeland Financial Corp.
51,570
3,198,887
Midland States Bancorp, Inc.
24,851
564,615
National Bank Holdings Corp., Class A
19,686
717,948
NBT Bancorp, Inc.
133,772
4,973,643
Nicolet Bankshares, Inc.
7,564
609,129
Northwest Bancshares, Inc.
484,138
5,301,311
NU Holdings Ltd., Class A *
97,030
1,152,716
OceanFirst Financial Corp.
217,321
3,270,681
OFG Bancorp
144,880
5,383,741
Old National Bancorp
664,869
11,362,611
Pacific Premier Bancorp, Inc.
317,313
7,057,041
Park National Corp.
41,727
5,735,793
Pathward Financial, Inc.
77,648
4,139,415
Peoples Bancorp, Inc.
21,905
638,531
Pinnacle Financial Partners, Inc.
173,594
13,802,459
Preferred Bank
9,238
690,263
Premier Financial Corp.
150,658
2,969,469
Prosperity Bancshares, Inc.
242,067
15,080,774
Provident Financial Services, Inc.
484,939
6,983,122
S&T Bancorp, Inc.
139,344
4,446,467
Sandy Spring Bancorp, Inc.
231,447
5,425,118
Seacoast Banking Corp. of Florida
29,027
687,069
Simmons First National Corp., Class A
562,278
9,772,392
Southside Bancshares, Inc.
124,092
3,326,907
Texas Capital Bancshares, Inc. *
144,573
8,714,860
Tompkins Financial Corp.
54,888
2,574,796
Towne Bank
215,199
5,851,261
TriCo Bancshares
85,321
3,249,024
Trustmark Corp.
295,237
8,606,159
UMB Financial Corp.
133,862
11,035,583
United Bankshares, Inc.
395,957
12,844,845
United Community Banks, Inc.
255,615
6,559,081
Valley National Bancorp
1,517,038
10,816,481
Veritex Holdings, Inc.
185,567
3,785,567
24
  

Schwab Fundamental U.S. Small Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
WaFd, Inc.
390,031
10,924,768
Washington Trust Bancorp, Inc.
101,037
2,652,221
Webster Financial Corp.
333,263
14,736,890
WesBanco, Inc.
270,458
7,464,641
Westamerica BanCorp
67,081
3,274,894
Western Alliance Bancorp
282,802
17,825,010
Wintrust Financial Corp.
158,904
15,669,523
WSFS Financial Corp.
139,455
6,144,387
 
667,263,465
 
Capital Goods 12.3%
AAON, Inc.
59,850
4,491,742
AAR Corp. *
159,269
11,306,506
Advanced Drainage Systems, Inc.
67,762
11,756,029
Alamo Group, Inc.
30,221
5,741,688
Albany International Corp., Class A
90,321
7,922,958
Ameresco, Inc., Class A *
26,916
982,972
American Woodmark Corp. *
128,753
11,086,921
API Group Corp. *
336,977
12,009,860
Apogee Enterprises, Inc.
166,499
10,817,440
Applied Industrial Technologies, Inc.
92,498
17,852,114
Arcosa, Inc.
160,268
14,089,160
Argan, Inc.
68,739
4,855,036
Armstrong World Industries, Inc.
151,373
17,528,993
Astec Industries, Inc.
167,143
5,430,476
Atkore, Inc.
90,179
13,720,735
AZEK Co., Inc. *
146,312
7,017,124
AZZ, Inc.
135,634
11,376,980
Barnes Group, Inc.
323,524
12,452,439
BlueLinx Holdings, Inc. *
22,490
2,313,996
BWX Technologies, Inc.
191,449
17,638,196
Columbus McKinnon Corp.
113,217
4,426,785
Comfort Systems USA, Inc.
58,362
19,104,217
Construction Partners, Inc., Class A *
84,023
4,890,979
Core & Main, Inc., Class A *
162,919
9,377,618
Crane Co.
110,638
16,493,913
CSW Industrials, Inc.
18,255
4,641,516
DNOW, Inc. *
969,645
14,147,121
Douglas Dynamics, Inc.
105,002
2,610,350
Ducommun, Inc. *
61,614
3,584,703
DXP Enterprises, Inc. *
104,927
5,212,773
Dycom Industries, Inc. *
142,726
25,684,971
Encore Wire Corp.
74,605
21,540,702
Enerpac Tool Group Corp.
114,750
4,511,970
EnerSys
170,315
18,366,770
Enpro, Inc.
52,296
8,014,885
Esab Corp.
125,206
12,873,681
ESCO Technologies, Inc.
53,949
5,887,454
Federal Signal Corp.
120,212
11,061,908
Flowserve Corp.
471,227
23,419,982
Franklin Electric Co., Inc.
103,771
10,323,139
FTAI Aviation Ltd.
185,660
15,654,851
Gates Industrial Corp. PLC *
593,600
10,340,512
GATX Corp.
138,418
19,096,147
Gibraltar Industries, Inc. *
98,545
7,436,206
Global Industrial Co.
13,988
484,125
GMS, Inc. *
186,022
17,478,627
GrafTech International Ltd. *
5,401,587
8,912,619
Granite Construction, Inc.
265,400
16,531,766
Great Lakes Dredge & Dock Corp. *
448,280
4,101,762
Greenbrier Cos., Inc.
306,336
16,925,064
Griffon Corp.
133,991
9,049,752
H&E Equipment Services, Inc.
167,294
7,924,717
Hayward Holdings, Inc. *
96,202
1,393,967
HEICO Corp.
84,130
18,657,510
Helios Technologies, Inc.
26,684
1,336,335
Herc Holdings, Inc.
104,137
15,107,155
Hexcel Corp.
239,165
16,471,294
SECURITY
NUMBER
OF SHARES
VALUE ($)
Hillenbrand, Inc.
250,398
11,641,003
Hillman Solutions Corp. *
555,913
5,108,840
Hyster-Yale Materials Handling, Inc.
8,522
618,612
Insteel Industries, Inc.
30,303
996,060
JELD-WEN Holding, Inc. *
940,145
14,581,649
John Bean Technologies Corp.
78,903
7,537,604
Kadant, Inc.
18,880
5,399,869
Kennametal, Inc.
522,982
13,466,786
Kratos Defense & Security Solutions,
Inc. *
208,496
4,532,703
Leonardo DRS, Inc. *
51,402
1,210,517
Lindsay Corp.
26,332
3,023,440
Manitowoc Co., Inc. *
363,814
4,522,208
Masterbrand, Inc. *
240,984
4,026,843
McGrath RentCorp
63,357
6,904,646
Mercury Systems, Inc. *
134,879
4,174,505
Moog, Inc., Class A
101,443
17,187,487
MRC Global, Inc. *
656,215
8,721,097
Mueller Water Products, Inc., Class A
500,716
9,293,289
MYR Group, Inc. *
56,995
8,837,645
National Presto Industries, Inc.
37,240
2,773,635
Proto Labs, Inc. *
133,839
4,144,994
Quanex Building Products Corp.
193,357
6,373,047
RBC Bearings, Inc. *
24,358
7,192,430
REV Group, Inc.
301,337
8,259,647
Shyft Group, Inc.
286,342
3,627,953
Simpson Manufacturing Co., Inc.
80,370
13,334,990
SiteOne Landscape Supply, Inc. *
81,367
12,597,239
Spirit AeroSystems Holdings, Inc.,
Class A *
667,844
20,249,030
SPX Technologies, Inc. *
60,567
8,444,251
Standex International Corp.
31,113
5,233,518
Sterling Infrastructure, Inc. *
60,371
7,417,785
Stratasys Ltd. *
233,710
2,023,929
Sunrun, Inc. *
42,928
620,739
Tennant Co.
60,746
6,236,184
Terex Corp.
293,663
17,522,871
Thermon Group Holdings, Inc. *
21,590
728,878
Titan International, Inc. *
61,357
507,422
Titan Machinery, Inc. *
167,067
3,144,201
TPI Composites, Inc. *(a)
820,600
4,496,888
Trex Co., Inc. *
136,382
11,794,315
Trinity Industries, Inc.
524,001
16,479,831
Tutor Perini Corp. *
1,377,345
30,384,231
Valmont Industries, Inc.
64,167
16,131,584
Vertiv Holdings Co.
207,628
20,362,078
Wabash National Corp.
327,528
7,405,408
Watts Water Technologies, Inc., Class A
54,799
10,912,125
WillScot Mobile Mini Holdings Corp. *
191,099
7,535,034
Woodward, Inc.
132,257
24,665,930
Zurn Elkay Water Solutions Corp.
138,813
4,346,235
 
1,030,200,416
 
Commercial & Professional Services 6.0%
ACCO Brands Corp.
1,404,755
7,150,203
Alight, Inc., Class A *
286,242
2,218,376
Barrett Business Services, Inc.
28,289
3,743,766
BrightView Holdings, Inc. *
621,633
8,584,752
Brink's Co.
140,915
14,548,065
Casella Waste Systems, Inc., Class A *
44,447
4,470,924
CBIZ, Inc. *
95,645
7,251,804
Cimpress PLC *
89,662
7,398,012
Clarivate PLC *
673,754
3,840,398
Clean Harbors, Inc. *
97,301
21,074,424
Concentrix Corp.
205,004
12,572,895
Conduent, Inc. *
2,099,939
7,349,786
CoreCivic, Inc. *
1,279,289
20,532,588
CRA International, Inc.
25,067
4,411,040
  
25

Schwab Fundamental U.S. Small Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
CSG Systems International, Inc.
122,437
5,283,157
Dayforce, Inc. *
41,658
2,060,405
Deluxe Corp.
592,442
13,466,207
Dun & Bradstreet Holdings, Inc.
788,558
7,562,271
Ennis, Inc.
181,552
3,818,039
Enviri Corp. *
874,104
7,735,820
ExlService Holdings, Inc. *
255,979
7,643,533
Exponent, Inc.
58,745
5,587,824
FTI Consulting, Inc. *
84,590
18,169,932
GEO Group, Inc. *
1,611,587
23,432,475
Healthcare Services Group, Inc. *
873,224
9,413,355
Heidrick & Struggles International, Inc.
105,011
3,599,777
HNI Corp.
324,992
15,290,874
Huron Consulting Group, Inc. *
37,763
3,334,851
ICF International, Inc.
52,283
7,463,398
Insperity, Inc.
75,485
7,149,939
Interface, Inc.
525,713
8,469,236
Kelly Services, Inc., Class A
757,192
16,461,354
Kforce, Inc.
106,284
6,569,414
Korn Ferry
254,296
16,768,278
Matthews International Corp., Class A
172,304
4,881,372
MillerKnoll, Inc.
560,376
15,455,170
MSA Safety, Inc.
47,203
8,496,540
NV5 Global, Inc. *
28,986
2,724,104
OPENLANE, Inc. *
693,241
11,958,407
Parsons Corp. *
94,826
7,221,000
Paycom Software, Inc.
30,752
4,468,881
Pitney Bowes, Inc.
2,300,114
12,466,618
Resources Connection, Inc.
291,892
3,342,163
Rollins, Inc.
234,014
10,692,100
Steelcase, Inc., Class A
1,136,696
15,527,267
Stericycle, Inc. *
270,859
13,960,073
Tetra Tech, Inc.
91,224
19,110,516
TriNet Group, Inc.
88,828
9,235,447
TrueBlue, Inc. *
605,624
6,540,739
TTEC Holdings, Inc.
139,108
873,598
UniFirst Corp.
72,970
11,573,042
Veralto Corp.
210,849
20,785,494
Verra Mobility Corp. *
176,156
4,692,796
Vestis Corp.
544,742
6,711,221
VSE Corp.
9,729
796,416
 
505,940,136
 
Consumer Discretionary Distribution & Retail 5.0%
1-800-Flowers.com, Inc., Class A *
327,203
3,167,325
Aaron's Co., Inc.
684,613
5,805,518
Abercrombie & Fitch Co., Class A *
319,388
55,212,604
America's Car-Mart, Inc. *
34,893
2,103,001
Arko Corp.
434,358
2,606,148
Beyond, Inc. *
387,088
5,856,641
Boot Barn Holdings, Inc. *
67,443
8,020,996
Buckle, Inc.
182,648
7,039,254
Caleres, Inc.
168,692
5,850,239
Camping World Holdings, Inc., Class A
165,687
3,330,309
Children's Place, Inc. *(a)
194,748
2,385,663
Citi Trends, Inc. *
165,133
4,034,199
ContextLogic, Inc., Class A *
873,498
4,769,299
Coupang, Inc., Class A *
187,003
4,252,448
Designer Brands, Inc., Class A
639,283
6,424,794
Dillard's, Inc., Class A
25,299
11,317,508
Etsy, Inc. *
159,135
10,100,298
Five Below, Inc. *
54,396
7,513,719
Floor & Decor Holdings, Inc., Class A *
102,567
11,985,980
GameStop Corp., Class A *(a)
1,026,927
23,763,091
Genesco, Inc. *
225,663
6,431,396
Guess?, Inc.
272,821
6,348,545
Haverty Furniture Cos., Inc.
169,159
4,805,807
Hibbett, Inc.
154,077
13,339,987
SECURITY
NUMBER
OF SHARES
VALUE ($)
Leslie's, Inc. *
372,662
2,131,627
MarineMax, Inc. *
258,400
7,359,232
MercadoLibre, Inc. *
5,195
8,964,388
Monro, Inc.
205,336
4,856,196
National Vision Holdings, Inc. *
356,545
5,380,264
Ollie's Bargain Outlet Holdings, Inc. *
153,697
12,669,244
OneWater Marine, Inc., Class A *
28,899
746,750
Petco Health & Wellness Co., Inc. *
1,054,339
4,069,749
PetMed Express, Inc.
308,489
1,314,163
RH *
38,212
10,390,989
Sally Beauty Holdings, Inc. *
1,215,266
14,801,940
Shoe Carnival, Inc.
161,135
6,082,846
Signet Jewelers Ltd.
198,570
21,741,429
Sleep Number Corp. *
665,136
10,056,856
Sonic Automotive, Inc., Class A
221,957
12,578,303
Sportsman's Warehouse Holdings, Inc. *
256,503
977,276
Stitch Fix, Inc., Class A *
1,186,405
2,930,420
Upbound Group, Inc.
361,703
11,871,092
Urban Outfitters, Inc. *
417,350
17,407,669
Valvoline, Inc. *
351,455
14,269,073
Victoria's Secret & Co. *
644,826
14,695,585
Vroom, Inc. *(a)
116,854
1,233,978
Wayfair, Inc., Class A *
94,911
5,646,255
Zumiez, Inc. *
306,425
5,754,662
 
414,394,755
 
Consumer Durables & Apparel 4.0%
Acushnet Holdings Corp.
101,111
6,663,215
Beazer Homes USA, Inc. *
226,693
6,510,623
Cavco Industries, Inc. *
27,203
9,716,912
Century Communities, Inc.
172,513
14,561,822
Columbia Sportswear Co.
183,334
15,697,057
Crocs, Inc. *
134,767
20,975,136
Ethan Allen Interiors, Inc.
154,364
4,493,536
G-III Apparel Group Ltd. *
563,255
16,931,445
GoPro, Inc., Class A *
834,001
1,267,682
Green Brick Partners, Inc. *
18,386
1,003,876
Helen of Troy Ltd. *
125,883
13,454,375
Hovnanian Enterprises, Inc., Class A *
4,620
664,264
Installed Building Products, Inc.
41,223
8,732,680
iRobot Corp. *
321,222
3,086,943
Kontoor Brands, Inc.
159,128
11,670,448
La-Z-Boy, Inc.
324,422
12,172,313
LGI Homes, Inc. *
106,281
10,202,976
M/I Homes, Inc. *
147,032
18,367,237
Malibu Boats, Inc., Class A *
25,429
977,999
Mattel, Inc. *
752,800
13,392,312
Movado Group, Inc.
98,339
2,605,984
Oxford Industries, Inc.
60,684
6,717,112
Peloton Interactive, Inc., Class A *
615,928
2,241,978
SharkNinja, Inc.
191,081
14,640,626
Skyline Champion Corp. *
129,230
8,995,700
Smith & Wesson Brands, Inc.
516,487
8,661,487
Sonos, Inc. *
325,637
5,145,065
Steven Madden Ltd.
360,783
16,036,804
Sturm Ruger & Co., Inc.
134,510
5,977,624
Topgolf Callaway Brands Corp. *
438,411
6,861,132
Tupperware Brands Corp. *(a)(b)
4,122,438
7,173,042
Under Armour, Inc., Class A *
1,925,556
13,844,748
Vista Outdoor, Inc. *
302,540
10,552,595
Wolverine World Wide, Inc.
1,040,334
14,169,349
Worthington Enterprises, Inc.
184,036
10,495,573
YETI Holdings, Inc. *
147,848
6,023,328
 
330,684,998
 
26
  

Schwab Fundamental U.S. Small Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Consumer Services 5.1%
ADT, Inc.
1,844,924
13,117,410
Adtalem Global Education, Inc. *
230,788
14,860,439
Airbnb, Inc., Class A *
53,573
7,764,335
Arcos Dorados Holdings, Inc., Class A
363,454
3,510,966
BJ's Restaurants, Inc. *
113,109
3,963,339
Bloomin' Brands, Inc.
348,710
7,601,878
Boyd Gaming Corp.
207,718
11,075,524
Bright Horizons Family Solutions, Inc. *
102,308
10,754,617
Brinker International, Inc. *
181,832
12,842,794
Carriage Services, Inc.
96,858
2,604,512
Cheesecake Factory, Inc.
143,647
5,527,536
Chegg, Inc. *
75,624
289,640
Choice Hotels International, Inc. (a)
43,000
4,867,170
Churchill Downs, Inc.
97,018
12,563,831
Cracker Barrel Old Country Store, Inc.
179,995
8,780,156
Dave & Buster's Entertainment, Inc. *
140,025
7,153,877
Denny's Corp. *
339,884
2,481,153
Dine Brands Global, Inc.
65,038
2,565,749
DoorDash, Inc., Class A *
89,263
9,828,749
Everi Holdings, Inc. *
314,143
2,271,254
Frontdoor, Inc. *
145,625
5,150,756
Golden Entertainment, Inc.
19,990
605,097
Graham Holdings Co., Class B
23,436
17,633,949
Grand Canyon Education, Inc. *
129,339
18,425,634
Hilton Grand Vacations, Inc. *
197,868
8,177,884
Hyatt Hotels Corp., Class A
88,400
13,036,348
International Game Technology PLC
416,326
8,218,275
Jack in the Box, Inc.
152,891
8,464,046
Krispy Kreme, Inc.
52,092
544,882
Laureate Education, Inc.
772,501
12,097,366
Light & Wonder, Inc. *
179,520
17,140,570
Papa John's International, Inc.
50,145
2,329,737
Perdoceo Education Corp.
345,194
7,766,865
Planet Fitness, Inc., Class A *
119,181
7,584,679
Red Rock Resorts, Inc., Class A
133,777
6,856,071
Royal Caribbean Cruises Ltd. *
241,615
35,681,703
Sabre Corp. *
1,749,936
5,477,300
Six Flags Entertainment Corp. *
482,687
12,284,384
Strategic Education, Inc.
84,839
9,622,439
Stride, Inc. *
125,335
8,605,501
Texas Roadhouse, Inc.
135,783
23,445,651
United Parks & Resorts, Inc. *
93,637
4,896,279
Wendy's Co.
577,384
10,075,351
Wingstop, Inc.
13,258
4,887,562
Wyndham Hotels & Resorts, Inc.
185,413
13,119,824
Wynn Resorts Ltd.
174,719
16,577,339
 
423,130,421
 
Consumer Staples Distribution & Retail 0.6%
Chefs' Warehouse, Inc. *
113,078
4,457,535
Grocery Outlet Holding Corp. *
293,647
6,457,297
Ingles Markets, Inc., Class A
186,199
13,618,595
PriceSmart, Inc.
163,745
13,779,142
Weis Markets, Inc.
195,653
12,825,054
 
51,137,623
 
Energy 4.2%
Antero Midstream Corp.
538,633
7,890,973
Archrock, Inc.
592,336
11,988,881
Berry Corp.
658,647
4,590,770
Bristow Group, Inc. *
25,115
901,880
Cactus, Inc., Class A
76,516
3,929,097
California Resources Corp.
245,969
11,646,632
ChampionX Corp.
277,007
9,035,968
Chord Energy Corp.
47,307
8,771,191
SECURITY
NUMBER
OF SHARES
VALUE ($)
Civitas Resources, Inc.
96,510
7,099,276
Comstock Resources, Inc.
346,188
4,053,861
CONSOL Energy, Inc. *
113,003
11,715,021
Core Laboratories, Inc.
190,738
3,574,430
Crescent Energy Co., Class A
75,510
951,426
CVR Energy, Inc.
208,275
5,802,541
DHT Holdings, Inc.
650,513
7,871,207
Diamond Offshore Drilling, Inc. *
216,498
3,286,440
Dorian LPG Ltd.
110,975
5,616,445
Dril-Quip, Inc. *
161,407
3,121,611
DT Midstream, Inc.
215,902
14,482,706
Expro Group Holdings NV *
48,367
1,061,656
Golar LNG Ltd.
196,095
5,155,338
Green Plains, Inc. *
292,654
5,024,869
Helix Energy Solutions Group, Inc. *
605,972
6,974,738
Helmerich & Payne, Inc.
515,752
19,629,521
International Seaways, Inc.
61,606
3,968,659
Kosmos Energy Ltd. *
1,341,409
8,182,595
Liberty Energy, Inc.
553,593
13,668,211
Magnolia Oil & Gas Corp., Class A
232,035
6,021,308
Matador Resources Co.
210,420
13,351,149
Nabors Industries Ltd. *
104,709
7,828,045
Newpark Resources, Inc. *
118,243
1,002,701
Noble Corp. PLC
22,375
1,039,542
Northern Oil & Gas, Inc.
36,452
1,491,980
Oceaneering International, Inc. *
277,041
6,560,331
Oil States International, Inc. *
476,816
2,131,368
Par Pacific Holdings, Inc. *
125,568
3,407,916
Patterson-UTI Energy, Inc.
1,465,039
16,144,730
Permian Resources Corp.
297,302
4,872,780
ProPetro Holding Corp. *
863,492
8,272,253
Range Resources Corp.
275,862
10,182,066
REX American Resources Corp. *
16,986
849,130
RPC, Inc.
458,154
3,129,192
Scorpio Tankers, Inc.
101,417
8,323,293
Select Water Solutions, Inc.
419,233
4,582,217
SFL Corp. Ltd.
647,119
9,260,273
SilverBow Resources, Inc. *
28,930
1,134,056
Talos Energy, Inc. *
519,782
6,242,582
Teekay Corp. *
114,589
1,121,826
Teekay Tankers Ltd., Class A
74,696
5,440,110
Texas Pacific Land Corp.
11,527
7,081,151
Transocean Ltd. *
1,761,320
10,920,184
Tsakos Energy Navigation Ltd.
163,728
5,108,314
U.S. Silica Holdings, Inc. *
101,364
1,570,128
Valaris Ltd. *
46,983
3,636,484
Viper Energy, Inc.
23,915
919,771
Vital Energy, Inc. *
33,184
1,621,038
Vitesse Energy, Inc.
38,431
980,759
W&T Offshore, Inc.
221,702
494,395
Weatherford International PLC *
49,745
5,986,313
 
350,703,328
 
Equity Real Estate Investment Trusts (REITs) 7.8%
Acadia Realty Trust
327,876
5,652,582
Agree Realty Corp.
75,662
4,597,223
Alexander & Baldwin, Inc.
416,810
7,002,408
American Assets Trust, Inc.
224,344
4,879,482
American Homes 4 Rent, Class A
402,436
14,503,793
Americold Realty Trust, Inc.
547,996
14,615,053
Apartment Income REIT Corp.
439,519
17,031,361
Apple Hospitality REIT, Inc.
907,677
13,106,856
Brandywine Realty Trust
2,478,392
11,425,387
Broadstone Net Lease, Inc.
245,834
3,773,552
CareTrust REIT, Inc.
30,754
786,380
CBL & Associates Properties, Inc.
208,421
4,606,104
Centerspace
49,492
3,378,324
Chatham Lodging Trust
312,443
2,643,268
  
27

Schwab Fundamental U.S. Small Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
COPT Defense Properties
411,832
10,159,895
Cousins Properties, Inc.
567,501
13,126,298
CubeSmart
316,255
13,380,749
DiamondRock Hospitality Co.
1,170,271
9,912,195
Diversified Healthcare Trust (b)
7,473,599
18,160,846
Douglas Emmett, Inc.
1,093,173
15,249,763
Easterly Government Properties, Inc.
338,788
4,011,250
EastGroup Properties, Inc.
38,253
6,318,631
Elme Communities
356,401
5,492,139
Empire State Realty Trust, Inc., Class A
817,010
7,786,105
EPR Properties
253,978
10,423,257
Equity LifeStyle Properties, Inc.
246,890
15,497,285
Essential Properties Realty Trust, Inc.
128,170
3,432,393
Federal Realty Investment Trust
180,504
18,221,879
First Industrial Realty Trust, Inc.
169,199
7,972,657
Four Corners Property Trust, Inc.
138,857
3,389,499
Getty Realty Corp.
87,237
2,408,614
Global Net Lease, Inc.
916,474
6,855,226
Healthcare Realty Trust, Inc.
881,242
14,302,558
Highwoods Properties, Inc.
642,614
16,688,686
Hudson Pacific Properties, Inc.
2,148,674
10,549,989
Independence Realty Trust, Inc.
276,620
4,619,554
Industrial Logistics Properties Trust
1,441,386
5,434,025
Innovative Industrial Properties, Inc.
7,163
772,028
InvenTrust Properties Corp.
42,789
1,059,884
JBG SMITH Properties
655,163
9,434,347
Kilroy Realty Corp.
468,825
15,719,702
Kite Realty Group Trust
319,736
7,008,613
LTC Properties, Inc.
103,733
3,568,415
LXP Industrial Trust
785,419
6,676,062
Macerich Co.
1,423,697
21,526,299
National Health Investors, Inc.
113,030
7,469,022
National Storage Affiliates Trust
131,646
4,815,611
NNN REIT, Inc.
329,221
13,751,561
Office Properties Income Trust
1,622,344
3,715,168
Omega Healthcare Investors, Inc.
596,038
19,269,909
Outfront Media, Inc.
832,126
12,024,221
Paramount Group, Inc.
2,252,352
10,248,202
Peakstone Realty Trust (a)
84,841
1,052,028
Pebblebrook Hotel Trust
509,153
7,204,515
Phillips Edison & Co., Inc.
243,020
7,762,059
Piedmont Office Realty Trust, Inc.,
Class A
1,645,682
11,997,022
PotlatchDeltic Corp.
303,938
12,987,271
Rayonier, Inc.
377,453
11,331,139
Retail Opportunity Investments Corp.
392,630
4,915,728
Rexford Industrial Realty, Inc.
120,101
5,447,781
RLJ Lodging Trust
1,095,131
10,929,407
Ryman Hospitality Properties, Inc.
75,171
7,898,217
Sabra Health Care REIT, Inc.
941,726
13,730,365
Service Properties Trust
2,565,380
13,801,744
SITE Centers Corp.
707,352
10,200,016
STAG Industrial, Inc.
248,271
8,704,381
Sunstone Hotel Investors, Inc.
912,030
9,375,668
Tanger, Inc.
291,912
8,100,558
Terreno Realty Corp.
63,919
3,616,537
Uniti Group, Inc.
3,088,706
9,760,311
Urban Edge Properties
410,792
7,283,342
Veris Residential, Inc.
269,916
4,127,016
Xenia Hotels & Resorts, Inc.
678,824
9,836,160
 
648,515,575
 
Financial Services 7.2%
AGNC Investment Corp.
2,049,118
19,651,042
A-Mark Precious Metals, Inc.
316,956
12,025,311
Apollo Commercial Real Estate Finance,
Inc.
722,737
7,299,644
Arbor Realty Trust, Inc. (a)
495,072
6,772,585
SECURITY
NUMBER
OF SHARES
VALUE ($)
ARES Management Corp., Class A
79,306
11,116,322
Artisan Partners Asset Management,
Inc., Class A
270,991
11,931,734
B Riley Financial, Inc. (a)
200,840
4,812,126
BGC Group, Inc., Class A
1,169,757
10,141,793
Blackstone Mortgage Trust, Inc., Class A
604,117
10,535,800
Brightsphere Investment Group, Inc.
414,482
9,189,066
BrightSpire Capital, Inc.
493,243
2,984,120
Cannae Holdings, Inc. *
237,452
4,316,877
Chimera Investment Corp.
1,098,488
13,072,014
Claros Mortgage Trust, Inc.
98,334
775,855
Cohen & Steers, Inc.
70,571
4,960,436
Coinbase Global, Inc., Class A *
188,139
42,504,363
Compass Diversified Holdings
379,094
8,628,179
Credit Acceptance Corp. *
30,468
14,954,608
Diamond Hill Investment Group, Inc.
18,406
2,761,636
Donnelley Financial Solutions, Inc. *
86,099
5,248,595
Encore Capital Group, Inc. *
202,215
8,945,992
Enova International, Inc. *
183,807
11,331,702
Essent Group Ltd.
246,476
13,975,189
Euronet Worldwide, Inc. *
147,344
17,177,363
EVERTEC, Inc.
141,739
4,956,613
FactSet Research Systems, Inc.
34,656
14,010,035
Federal Agricultural Mortgage Corp.,
Class C
4,038
705,317
FirstCash Holdings, Inc.
120,339
14,190,375
Franklin BSP Realty Trust, Inc.
91,201
1,161,901
Granite Point Mortgage Trust, Inc.
573,271
1,805,804
Green Dot Corp., Class A *
405,498
4,018,485
Hamilton Lane, Inc., Class A
5,778
725,081
Hannon Armstrong Sustainable
Infrastructure Capital, Inc.
106,554
3,547,183
Houlihan Lokey, Inc.
97,044
13,134,905
Interactive Brokers Group, Inc., Class A
58,283
7,327,339
KKR Real Estate Finance Trust, Inc.
327,515
3,098,292
Ladder Capital Corp.
575,138
6,430,043
MarketAxess Holdings, Inc.
40,829
8,122,113
MFA Financial, Inc.
787,885
8,430,369
Moelis & Co., Class A
238,460
13,499,221
Morningstar, Inc.
28,958
8,347,143
Mr Cooper Group, Inc. *
198,388
16,545,559
Nelnet, Inc., Class A
53,642
5,560,530
New York Mortgage Trust, Inc.
710,146
4,225,369
NMI Holdings, Inc., Class A *
162,226
5,382,659
Pagseguro Digital Ltd., Class A *
620,824
7,605,094
PennyMac Financial Services, Inc.
147,380
13,359,997
PennyMac Mortgage Investment Trust
563,022
7,702,141
Piper Sandler Cos.
50,711
10,739,576
PJT Partners, Inc., Class A
38,491
4,105,835
PRA Group, Inc. *
320,844
6,923,813
PROG Holdings, Inc.
511,156
19,316,585
Radian Group, Inc.
664,939
20,772,694
Ready Capital Corp.
127,294
1,056,540
Redwood Trust, Inc.
687,427
4,358,287
Rocket Cos., Inc., Class A *
85,581
1,189,576
StepStone Group, Inc., Class A
92,803
3,984,961
Stifel Financial Corp.
246,106
19,922,281
StoneCo Ltd., Class A *
420,725
5,822,834
StoneX Group, Inc. *
10,290
772,470
Toast, Inc., Class A *
41,445
1,004,212
TPG RE Finance Trust, Inc.
683,711
5,866,240
TPG, Inc.
251,404
10,538,856
Tradeweb Markets, Inc., Class A
65,958
7,190,082
Two Harbors Investment Corp.
442,122
5,681,268
Victory Capital Holdings, Inc., Class A
17,905
931,597
Virtu Financial, Inc., Class A
582,234
12,809,148
Walker & Dunlop, Inc.
125,221
12,019,964
WEX, Inc. *
55,959
10,482,240
28
  

Schwab Fundamental U.S. Small Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
World Acceptance Corp. *
40,027
5,143,069
XP, Inc., Class A
283,427
5,382,279
 
605,018,327
 
Food, Beverage & Tobacco 2.3%
Adecoagro SA
661,722
6,511,344
B&G Foods, Inc.
999,120
9,531,605
Boston Beer Co., Inc., Class A *
23,565
7,391,634
Brown-Forman Corp., Class B
272,025
12,475,067
Calavo Growers, Inc.
177,864
4,796,992
Cal-Maine Foods, Inc.
176,705
10,897,397
Coca-Cola Consolidated, Inc.
9,506
9,325,766
Dole PLC
944,734
11,686,360
Fresh Del Monte Produce, Inc.
524,590
12,254,422
Hain Celestial Group, Inc. *
1,117,071
8,556,764
J & J Snack Foods Corp.
41,760
6,794,770
John B Sanfilippo & Son, Inc.
47,393
4,778,636
Lancaster Colony Corp.
47,245
8,763,948
MGP Ingredients, Inc.
7,393
573,845
Mission Produce, Inc. *
286,671
3,397,051
National Beverage Corp. *
61,192
2,827,070
Nomad Foods Ltd.
763,361
13,404,619
Pilgrim's Pride Corp. *
302,379
10,864,477
Seneca Foods Corp., Class A *
95,899
5,669,549
Simply Good Foods Co. *
107,866
4,151,762
TreeHouse Foods, Inc. *
319,499
11,601,009
Universal Corp.
248,850
11,934,846
Vector Group Ltd.
625,706
6,863,995
WK Kellogg Co.
313,693
5,957,030
 
191,009,958
 
Health Care Equipment & Services 4.0%
Acadia Healthcare Co., Inc. *
195,974
13,500,649
AdaptHealth Corp. *
420,438
3,985,752
Addus HomeCare Corp. *
37,406
4,294,583
agilon health, Inc. *
164,526
1,036,514
Amedisys, Inc. *
112,883
10,289,286
AMN Healthcare Services, Inc. *
180,552
10,100,079
Astrana Health, Inc. *
19,284
798,936
Avanos Medical, Inc. *
180,840
3,600,524
Brookdale Senior Living, Inc. *
1,250,247
8,389,157
Clover Health Investments Corp. *
958,430
1,054,273
CONMED Corp.
51,171
3,911,511
CorVel Corp. *
2,391
573,481
Cross Country Healthcare, Inc. *
174,486
2,638,228
Dexcom, Inc. *
73,459
8,724,725
Embecta Corp.
708,837
8,768,314
Enhabit, Inc. *
733,599
6,741,775
Enovis Corp. *
171,317
8,612,106
Ensign Group, Inc.
80,228
9,726,843
Envista Holdings Corp. *
592,125
11,463,540
Evolent Health, Inc., Class A *
21,442
454,356
Fulgent Genetics, Inc. *
107,385
2,217,500
Globus Medical, Inc., Class A *
211,136
14,169,337
Haemonetics Corp. *
93,949
7,899,232
HealthEquity, Inc. *
56,793
4,638,852
ICU Medical, Inc. *
67,524
7,180,502
Inmode Ltd. *
33,793
646,460
Insulet Corp. *
13,987
2,478,357
Integer Holdings Corp. *
88,451
10,723,799
Integra LifeSciences Holdings Corp. *
162,087
5,008,488
LivaNova PLC *
73,947
4,515,943
Masimo Corp. *
79,851
9,941,450
Merit Medical Systems, Inc. *
75,680
6,141,432
ModivCare, Inc. *
89,382
2,441,916
Multiplan Corp. *(a)
5,066,724
2,720,324
National HealthCare Corp.
74,401
7,867,906
SECURITY
NUMBER
OF SHARES
VALUE ($)
Neogen Corp. *
228,742
3,007,957
OmniAb, Inc., Class A *(c)
9,356
0
OmniAb, Inc., Class B *(c)
9,356
0
Omnicell, Inc. *
119,796
3,904,152
OPKO Health, Inc. *(a)
2,162,928
2,963,211
Option Care Health, Inc. *
248,654
7,414,862
Owens & Minor, Inc. *
914,565
15,940,868
Patterson Cos., Inc.
585,373
14,394,322
Pediatrix Medical Group, Inc. *
952,462
6,962,497
Penumbra, Inc. *
10,685
2,024,487
Premier, Inc., Class A
681,152
12,887,396
Privia Health Group, Inc. *
39,929
693,567
QuidelOrtho Corp. *
180,506
7,976,560
RadNet, Inc. *
82,997
4,866,944
Select Medical Holdings Corp.
555,387
19,188,621
Surgery Partners, Inc. *
34,230
944,748
Teladoc Health, Inc. *
265,158
2,980,376
U.S. Physical Therapy, Inc.
27,729
2,844,164
Varex Imaging Corp. *
172,035
2,657,941
Veeva Systems, Inc., Class A *
56,816
9,900,188
Zimvie, Inc. *
354,048
5,894,899
 
334,703,890
 
Household & Personal Products 1.2%
BellRing Brands, Inc. *
63,703
3,705,603
Central Garden & Pet Co., Class A *
206,911
7,728,126
Coty, Inc., Class A *
652,005
6,754,772
Edgewell Personal Care Co.
255,950
9,874,551
Energizer Holdings, Inc.
247,725
7,089,889
Herbalife Ltd. *
1,178,018
12,133,585
Inter Parfums, Inc.
21,737
2,603,658
Medifast, Inc.
95,677
2,462,726
Nu Skin Enterprises, Inc., Class A
832,425
11,112,874
Reynolds Consumer Products, Inc.
185,517
5,276,103
Spectrum Brands Holdings, Inc.
230,167
20,655,187
USANA Health Sciences, Inc. *
118,958
5,662,401
WD-40 Co.
19,143
4,301,241
 
99,360,716
 
Insurance 2.5%
Ambac Financial Group, Inc. *
246,952
4,375,989
AMERISAFE, Inc.
22,080
967,766
Assured Guaranty Ltd.
324,014
25,182,368
Axis Capital Holdings Ltd.
251,635
18,590,794
CNA Financial Corp.
145,974
6,706,046
Employers Holdings, Inc.
161,528
6,813,251
Enstar Group Ltd. *
30,661
9,601,186
Horace Mann Educators Corp.
159,873
5,462,860
James River Group Holdings Ltd.
279,114
2,179,880
Kemper Corp.
410,733
24,578,263
Kinsale Capital Group, Inc.
1,393
534,383
Mercury General Corp.
223,727
12,490,678
ProAssurance Corp. *
396,110
5,692,101
RenaissanceRe Holdings Ltd.
89,368
20,363,393
RLI Corp.
54,584
7,968,172
Safety Insurance Group, Inc.
83,322
6,444,957
Selective Insurance Group, Inc.
126,493
12,346,982
Stewart Information Services Corp.
244,811
15,498,984
United Fire Group, Inc.
162,214
3,609,262
Universal Insurance Holdings, Inc.
230,695
4,546,998
White Mountains Insurance Group Ltd.
8,377
15,137,239
 
209,091,552
 
Materials 6.5%
AdvanSix, Inc.
216,375
5,128,087
Alpha Metallurgical Resources, Inc.
38,214
12,053,078
  
29

Schwab Fundamental U.S. Small Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Alto Ingredients, Inc. *
2,203,157
3,348,799
American Vanguard Corp.
204,981
1,781,285
Ardagh Metal Packaging SA
172,048
679,590
Ashland, Inc.
189,373
18,969,493
ATI, Inc. *
119,321
7,319,150
Avient Corp.
406,694
18,171,088
Balchem Corp.
48,466
7,444,378
Cabot Corp.
191,542
19,594,747
Carpenter Technology Corp.
168,835
18,718,736
Clearwater Paper Corp. *
170,922
9,082,795
Coeur Mining, Inc. *
1,413,270
8,126,302
Compass Minerals International, Inc.
260,821
3,380,240
Constellium SE, Class A *
610,489
13,229,297
Ecovyst, Inc. *
420,527
3,910,901
Element Solutions, Inc.
685,155
16,464,275
Ferroglobe PLC
119,189
709,174
Greif, Inc., Class A
164,077
10,655,160
Hawkins, Inc.
58,376
5,097,392
Haynes International, Inc.
10,091
593,553
HB Fuller Co.
192,347
15,316,592
Hecla Mining Co.
1,299,948
7,656,694
Ingevity Corp. *
202,518
9,893,004
Innospec, Inc.
89,223
11,670,368
Kaiser Aluminum Corp.
128,482
12,565,540
Knife River Corp. *
194,373
13,744,115
Koppers Holdings, Inc.
144,085
6,387,288
LSB Industries, Inc. *
93,379
916,048
Materion Corp.
53,667
6,138,431
Mativ Holdings, Inc.
480,343
8,631,764
Mercer International, Inc.
617,548
5,866,706
Metallus, Inc. *
298,170
7,159,062
Minerals Technologies, Inc.
170,979
14,832,428
Myers Industries, Inc.
177,738
2,808,260
NewMarket Corp.
21,270
11,380,939
Olympic Steel, Inc.
102,725
5,356,081
Orion SA
288,284
7,169,623
Pactiv Evergreen, Inc.
551,656
6,818,468
Perimeter Solutions SA *
104,093
791,107
Quaker Chemical Corp.
27,245
4,940,881
Radius Recycling, Inc., Class A
397,296
6,797,735
Rayonier Advanced Materials, Inc. *
337,673
1,907,852
Royal Gold, Inc.
82,609
10,589,648
Ryerson Holding Corp.
203,719
4,838,326
Scotts Miracle-Gro Co.
269,929
18,811,352
Sensient Technologies Corp.
174,295
13,537,493
Silgan Holdings, Inc.
87,894
4,152,991
Southern Copper Corp.
191,017
22,660,347
Stepan Co.
130,028
11,334,541
Summit Materials, Inc., Class A *
346,845
13,402,091
SunCoke Energy, Inc.
737,226
7,777,734
Sylvamo Corp.
339,799
24,234,465
TriMas Corp.
195,148
5,194,840
Trinseo PLC
1,604,056
6,143,534
Tronox Holdings PLC
956,616
18,950,563
Warrior Met Coal, Inc.
424,935
29,078,302
 
543,912,733
 
Media & Entertainment 3.7%
AMC Entertainment Holdings, Inc.,
Class A *(a)
260,281
1,127,017
AMC Networks, Inc., Class A *
1,043,435
18,093,163
Bumble, Inc., Class A *
189,938
2,222,275
Cable One, Inc.
23,680
9,138,349
Cargurus, Inc. *
174,015
4,212,903
Cars.com, Inc. *
150,300
3,040,569
Cinemark Holdings, Inc. *
496,546
8,575,349
Clear Channel Outdoor Holdings, Inc. *
5,632,627
8,110,983
EchoStar Corp., Class A *
2,541,548
48,797,722
SECURITY
NUMBER
OF SHARES
VALUE ($)
EW Scripps Co., Class A *
745,542
2,027,874
Gannett Co., Inc. *
2,113,086
7,945,203
Gray Television, Inc.
1,466,738
9,152,445
IAC, Inc. *
191,417
9,530,652
iHeartMedia, Inc., Class A *
2,903,635
2,687,605
John Wiley & Sons, Inc., Class A
264,454
9,639,348
Liberty Broadband Corp., Class C *
51,116
2,764,864
Liberty Media Corp.-Liberty Formula
One, Class C *
158,724
11,767,797
Lions Gate Entertainment Corp.,
Class A *
919,776
7,643,339
Live Nation Entertainment, Inc. *
8,197
768,387
Match Group, Inc. *
341,476
10,459,410
New York Times Co., Class A
298,909
15,304,141
Pinterest, Inc., Class A *
242,181
10,048,090
Roku, Inc. *
83,483
4,791,924
Scholastic Corp.
187,456
6,800,904
Shutterstock, Inc.
67,438
2,740,006
Sinclair, Inc.
422,192
5,995,126
Sirius XM Holdings, Inc. (a)
2,494,524
7,034,558
Spotify Technology SA *
82,982
24,627,398
Taboola.com Ltd. *
753,107
3,019,959
Thryv Holdings, Inc. *
351,269
7,401,238
TKO Group Holdings, Inc.
8,516
928,840
Trade Desk, Inc., Class A *
52,793
4,898,134
TripAdvisor, Inc. *
363,960
6,678,666
WideOpenWest, Inc. *
695,304
3,497,379
Yelp, Inc. *
307,324
11,361,768
Ziff Davis, Inc. *
188,580
10,864,094
ZoomInfo Technologies, Inc. *
197,527
2,425,632
 
306,123,111
 
Pharmaceuticals, Biotechnology & Life Sciences 2.3%
Alkermes PLC *
133,633
3,127,012
Amphastar Pharmaceuticals, Inc. *
11,565
489,546
Azenta, Inc. *
85,085
4,297,643
BioMarin Pharmaceutical, Inc. *
95,002
7,131,800
Bio-Rad Laboratories, Inc., Class A *
39,950
11,460,057
Bio-Techne Corp.
118,901
9,177,968
Bruker Corp.
149,450
9,790,470
Corcept Therapeutics, Inc. *
160,490
4,841,983
Elanco Animal Health, Inc. *
1,265,211
22,368,930
Emergent BioSolutions, Inc. *(b)
3,061,693
17,451,650
Exact Sciences Corp. *
47,648
2,165,602
Exelixis, Inc. *
493,994
10,714,730
Halozyme Therapeutics, Inc. *
97,412
4,314,377
Incyte Corp. *
209,077
12,082,560
Innoviva, Inc. *
363,864
5,745,413
Ironwood Pharmaceuticals, Inc. *
52,250
329,175
Ligand Pharmaceuticals, Inc. *
9,025
767,576
Medpace Holdings, Inc. *
17,814
6,882,261
Myriad Genetics, Inc. *
163,243
3,715,411
Neurocrine Biosciences, Inc. *
41,649
5,639,691
Pacira BioSciences, Inc. *
20,417
619,248
Prestige Consumer Healthcare, Inc. *
125,344
8,060,873
Repligen Corp. *
19,776
2,948,404
Royalty Pharma PLC, Class A
539,174
14,778,759
Supernus Pharmaceuticals, Inc. *
118,292
3,208,079
United Therapeutics Corp. *
78,155
21,502,785
Vir Biotechnology, Inc. *
70,740
726,500
 
194,338,503
 
Real Estate Management & Development 1.1%
Compass, Inc., Class A *
365,375
1,370,156
CoStar Group, Inc. *
180,856
14,137,513
Cushman & Wakefield PLC *
1,228,684
13,650,679
DigitalBridge Group, Inc.
1,356,695
18,505,320
30
  

Schwab Fundamental U.S. Small Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
eXp World Holdings, Inc.
275,617
3,089,667
Howard Hughes Holdings, Inc. *
69,252
4,591,408
Kennedy-Wilson Holdings, Inc.
623,668
6,373,887
Marcus & Millichap, Inc.
118,905
3,844,199
Newmark Group, Inc., Class A
836,629
8,709,308
Opendoor Technologies, Inc. *
2,198,529
4,792,793
Zillow Group, Inc., Class C *
266,078
10,895,894
 
89,960,824
 
Semiconductors & Semiconductor Equipment 2.4%
Allegro MicroSystems, Inc. *
19,357
583,420
Alpha & Omega Semiconductor Ltd. *
27,840
815,990
Amkor Technology, Inc.
518,943
16,912,352
Axcelis Technologies, Inc. *
28,752
3,234,313
Cirrus Logic, Inc. *
206,382
23,672,015
Cohu, Inc. *
114,969
3,706,601
Diodes, Inc. *
143,931
10,669,605
Enphase Energy, Inc. *
37,158
4,752,508
Entegris, Inc.
140,051
17,695,444
FormFactor, Inc. *
147,704
8,082,363
GLOBALFOUNDRIES, Inc. *
87,930
4,308,570
Ichor Holdings Ltd. *
121,667
4,622,129
Kulicke & Soffa Industries, Inc.
189,729
8,664,923
Lattice Semiconductor Corp. *
49,951
3,708,362
MaxLinear, Inc. *
46,279
822,378
Monolithic Power Systems, Inc.
16,749
12,321,067
Onto Innovation, Inc. *
38,156
8,268,405
Photronics, Inc. *
246,387
6,738,685
Power Integrations, Inc.
91,898
6,985,167
Rambus, Inc. *
15,470
854,872
Semtech Corp. *
312,146
12,139,358
Silicon Laboratories, Inc. *
105,059
13,255,294
SMART Global Holdings, Inc. *
196,736
4,048,827
SolarEdge Technologies, Inc. *
62,127
3,043,602
Synaptics, Inc. *
84,942
7,959,915
Ultra Clean Holdings, Inc. *
190,399
8,830,706
Universal Display Corp.
33,383
5,865,393
Wolfspeed, Inc. *
97,546
2,506,932
 
205,069,196
 
Software & Services 2.7%
ACI Worldwide, Inc. *
332,140
11,960,361
Alarm.com Holdings, Inc. *
51,056
3,339,573
AppLovin Corp., Class A *
121,736
9,919,049
Bentley Systems, Inc., Class B
100,334
5,040,780
Blackbaud, Inc. *
58,040
4,523,638
Cerence, Inc. *
168,651
580,159
CommVault Systems, Inc. *
93,113
10,017,562
Consensus Cloud Solutions, Inc. *
126,778
2,392,301
Dolby Laboratories, Inc., Class A
138,708
11,236,735
Dynatrace, Inc. *
14,388
657,963
Envestnet, Inc. *
89,428
5,858,428
Fair Isaac Corp. *
16,559
21,359,951
Globant SA *
29,668
4,780,108
Guidewire Software, Inc. *
35,015
3,988,909
InterDigital, Inc.
74,177
8,446,535
LiveRamp Holdings, Inc. *
225,622
7,059,712
Manhattan Associates, Inc. *
36,829
8,085,439
NCR Voyix Corp. *
823,146
10,849,064
Okta, Inc. *
9,737
863,477
Palantir Technologies, Inc., Class A *
238,141
5,162,897
Pegasystems, Inc.
59,230
3,403,356
Perficient, Inc. *
54,652
4,052,446
Progress Software Corp.
68,154
3,452,000
PTC, Inc. *
51,178
9,019,611
Qualys, Inc. *
32,409
4,557,354
RingCentral, Inc., Class A *
225,217
7,702,421
SECURITY
NUMBER
OF SHARES
VALUE ($)
Snowflake, Inc., Class A *
16,860
2,295,995
SPS Commerce, Inc. *
15,338
2,884,924
Teradata Corp. *
327,124
10,667,514
Twilio, Inc., Class A *
135,929
7,802,325
Tyler Technologies, Inc. *
21,134
10,151,928
Unisys Corp. *
1,043,406
4,476,212
Verint Systems, Inc. *
107,821
3,197,971
Workday, Inc., Class A *
33,770
7,140,666
Zoom Video Communications, Inc.,
Class A *
196,355
12,044,416
 
228,971,780
 
Technology Hardware & Equipment 3.9%
ADTRAN Holdings, Inc.
435,191
2,415,310
Advanced Energy Industries, Inc.
77,276
8,301,761
Badger Meter, Inc.
28,487
5,496,851
Belden, Inc.
121,226
11,600,116
Benchmark Electronics, Inc.
483,637
20,830,246
Calix, Inc. *
21,952
783,686
Cognex Corp.
296,913
13,515,480
CommScope Holding Co., Inc. *
4,105,281
5,911,605
Comtech Telecommunications Corp. *(a)
292,497
728,317
Crane NXT Co.
119,095
7,529,186
CTS Corp.
88,456
4,683,745
ePlus, Inc. *
127,995
9,579,146
Fabrinet *
77,823
18,640,943
IPG Photonics Corp. *
119,901
10,399,014
Itron, Inc. *
114,132
12,274,897
Kimball Electronics, Inc. *
56,533
1,295,736
Knowles Corp. *
374,200
6,555,984
Littelfuse, Inc.
55,073
14,131,732
Lumentum Holdings, Inc. *
224,314
9,757,659
Methode Electronics, Inc.
270,388
3,185,171
NETGEAR, Inc. *
439,561
6,070,337
NetScout Systems, Inc. *
358,392
7,361,372
Novanta, Inc. *
24,074
3,903,840
OSI Systems, Inc. *
53,518
7,692,677
PC Connection, Inc.
108,253
7,322,233
Plexus Corp. *
147,209
16,213,599
Pure Storage, Inc., Class A *
87,741
5,289,905
Rogers Corp. *
50,203
5,923,954
ScanSource, Inc. *
337,498
16,007,530
Super Micro Computer, Inc. *
43,943
34,473,723
TTM Technologies, Inc. *
905,872
16,849,219
Viasat, Inc. *
458,258
7,739,978
Viavi Solutions, Inc. *
726,064
5,460,001
Vontier Corp.
374,161
14,958,957
 
322,883,910
 
Telecommunication Services 0.3%
ATN International, Inc.
77,300
1,881,482
Cogent Communications Holdings, Inc.
83,382
4,937,882
Consolidated Communications Holdings,
Inc. *
1,461,578
6,430,944
GCI Liberty, Inc. *(c)
31,423
0
Iridium Communications, Inc.
173,920
5,236,731
Shenandoah Telecommunications Co.
279,773
5,262,530
 
23,749,569
 
Transportation 2.4%
Air Transport Services Group, Inc. *
515,506
6,959,331
Alaska Air Group, Inc. *
169,730
7,132,055
American Airlines Group, Inc. *
598,314
6,880,611
ArcBest Corp.
133,090
14,043,657
Costamare, Inc.
314,749
5,039,131
Covenant Logistics Group, Inc., Class A
71,615
3,403,861
  
31

Schwab Fundamental U.S. Small Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Danaos Corp.
53,917
5,217,548
Forward Air Corp.
159,215
2,674,812
Genco Shipping & Trading Ltd.
204,414
4,603,403
Global Ship Lease, Inc., Class A
54,269
1,623,186
Heartland Express, Inc.
305,252
3,455,453
JetBlue Airways Corp. *
1,006,500
5,626,335
Kirby Corp. *
149,351
18,544,914
Lyft, Inc., Class A *
420,391
6,562,303
Marten Transport Ltd.
291,992
5,168,258
Matson, Inc.
48,036
6,158,215
RXO, Inc. *
727,592
14,850,153
Saia, Inc. *
34,096
13,961,630
Schneider National, Inc., Class B
410,217
9,221,678
SkyWest, Inc. *
118,867
8,875,799
Star Bulk Carriers Corp.
261,409
7,078,956
United Airlines Holdings, Inc. *
408,529
21,647,952
XPO, Inc. *
206,752
22,118,329
 
200,847,570
 
Utilities 2.9%
ALLETE, Inc.
232,208
14,663,935
American States Water Co.
61,291
4,510,405
Atlantica Sustainable Infrastructure PLC
387,961
8,527,383
Avangrid, Inc.
359,397
12,941,886
Avista Corp.
372,521
13,775,826
Black Hills Corp.
321,244
18,134,224
California Water Service Group
125,948
6,283,546
Chesapeake Utilities Corp.
44,169
4,947,370
Clearway Energy, Inc., Class C
238,798
6,686,344
Hawaiian Electric Industries, Inc.
1,076,560
11,831,394
IDACORP, Inc.
157,729
15,058,388
MGE Energy, Inc.
84,893
6,802,476
New Jersey Resources Corp.
299,783
13,028,569
Northwest Natural Holding Co.
162,075
6,064,846
Northwestern Energy Group, Inc.
259,496
13,483,412
ONE Gas, Inc.
212,768
13,112,892
Ormat Technologies, Inc.
101,029
7,617,587
Otter Tail Corp.
98,151
8,879,721
PNM Resources, Inc.
342,970
13,149,470
SJW Group
64,362
3,521,245
Southwest Gas Holdings, Inc.
320,105
24,836,947
Spire, Inc.
241,140
14,779,470
Unitil Corp.
69,235
3,703,380
 
246,340,716
Total Common Stocks
(Cost $7,522,116,007)
8,345,675,590
SECURITY
NUMBER
OF SHARES
VALUE ($)
SHORT-TERM INVESTMENTS 0.6% OF NET ASSETS
 
Money Market Funds 0.6%
State Street Institutional
U.S. Government Money Market
Fund, Premier Class 5.26% (d)
7,463,565
7,463,565
State Street Institutional
U.S. Government Money Market
Fund, Premier Class 5.26% (d)(e)
43,642,892
43,642,892
 
51,106,457
Total Short-Term Investments
(Cost $51,106,457)
51,106,457
Total Investments in Securities
(Cost $7,573,222,464)
8,396,782,047
 
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
($)
CURRENT VALUE/
UNREALIZED
DEPRECIATION
($)
FUTURES CONTRACTS
Long
Russell 2000 Index, e-mini,
expires 06/21/24
96
9,963,840
(124,139
)
*
Non-income producing security.
(a)
All or a portion of this security is on loan. Securities on loan were valued at
$43,072,345.
(b)
Issuer is an affiliated company, as the investment adviser owns at least 5% of
the voting securities of such company.
(c)
Fair valued using significant unobservable inputs (see notes to portfolio
holdings for additional information).
(d)
The rate shown is the annualized 7-day yield.
(e)
Security purchased with cash collateral received for securities on loan.
REIT —
Real Estate Investment Trust
Below is a summary of the fund’s transactions with affiliated issuers and companies which are or were affiliates during the period ended May 31, 2024. An affiliated company is a company in which the investment adviser has or had an ownership of at least 5% of the voting securities of a security issue during the report period. A dash in the Value at February 29, 2024, and/or Value at May 31, 2024, columns means either the issuer was not held or not held as an affiliate at the beginning of period and is no longer held at period end or the issuer is held at period end but is no longer an affiliate.
SECURITY
VALUE AT
2/29/24
PURCHASES
SALES
REALIZED
GAINS (LOSSES)
NET CHANGE
IN UNREALIZED
APPRECIATION
(DEPRECIATION)
VALUE AT
5/31/24
BALANCE
OF SHARES
HELD AT
5/31/24
DIVIDENDS
RECEIVED
COMMON STOCKS 0.5% OF NET ASSETS
 
Consumer Durables & Apparel 0.1%
Fossil Group, Inc.
$
$171,200
($2,008,625
)
($4,815,951
)
$4,400,006
$
$
Tupperware Brands Corp.
883,118
(18,901
)
7,637
1,622,090
7,173,042
4,122,438
 
7,173,042
 
32
  

Schwab Fundamental U.S. Small Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
VALUE AT
2/29/24
PURCHASES
SALES
REALIZED
GAINS (LOSSES)
NET CHANGE
IN UNREALIZED
APPRECIATION
(DEPRECIATION)
VALUE AT
5/31/24
BALANCE
OF SHARES
HELD AT
5/31/24
DIVIDENDS
RECEIVED
Equity Real Estate Investment Trusts (REITs) 0.2%
Ashford Hospitality Trust, Inc.
$
$183,080
($2,168,913
)
($3,336,645
)
$2,535,292
$
$
Diversified Healthcare Trust
3,138,304
(9,825,116
)
2,279,997
(11,102,206
)
18,160,846
7,473,599
73,342
 
18,160,846
 
Pharmaceuticals, Biotechnology & Life Sciences 0.2%
Emergent BioSolutions, Inc.
2,649,048
(25,658
)
9,724
8,280,926
17,451,650
3,061,693
 
Transportation 0.0%
Daseke, Inc.
1,535,237
(18,118,057
)
3,725,718
(3,729,879
)
Total
$—
$8,559,987
($32,165,270
)
($2,129,520
)
$2,006,229
$42,785,538
$73,342

The following is a summary of the inputs used to value the fund’s investments as of May 31, 2024 (see notes to portfolio holdings for additional information):
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 Stocks 1
$7,987,222,131
$
$
$7,987,222,131
Health Care Equipment & Services
334,703,890
0
*
334,703,890
Telecommunication Services
23,749,569
0
*
23,749,569
Short-Term Investments 1
51,106,457
51,106,457
Liabilities
Futures Contracts 2
(124,139
)
(124,139
)
Total
$8,396,657,908
$—
$0
$8,396,657,908
*
Level 3 amount shown includes securities determined to have no value at May 31, 2024.
1
As categorized in the Portfolio Holdings.
2
Futures contracts are reported at cumulative unrealized appreciation or depreciation.
  
33

Schwab Strategic Trust
Schwab Fundamental International Large Company Index ETF
Portfolio Holdings as of May 31, 2024 (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. You can also obtain this information at no cost by calling 1-866-414-6349 or by sending an email request to orders@mysummaryprospectus.com.
SECURITY
NUMBER
OF SHARES
VALUE ($)
COMMON STOCKS 98.1% OF NET ASSETS
 
Australia 4.9%
AGL Energy Ltd.
1,360,464
9,255,867
Amcor PLC
991,151
9,782,010
Ampol Ltd.
339,012
7,827,971
ANZ Group Holdings Ltd.
2,154,181
40,472,035
APA Group
764,289
4,188,314
Aristocrat Leisure Ltd.
167,470
5,004,121
Aurizon Holdings Ltd.
2,226,779
5,449,785
BHP Group Ltd.
3,486,391
103,201,993
BlueScope Steel Ltd.
704,564
9,905,578
Brambles Ltd.
860,676
8,150,872
Coles Group Ltd.
932,510
10,183,124
Commonwealth Bank of Australia
728,640
57,926,949
Computershare Ltd.
195,038
3,442,505
CSL Ltd.
83,897
15,628,379
Downer EDI Ltd.
1,543,169
4,926,167
Endeavour Group Ltd.
1,068,982
3,526,196
Fortescue Ltd.
1,279,373
21,049,960
Goodman Group
223,006
4,971,357
Incitec Pivot Ltd.
1,796,527
3,536,550
Insurance Australia Group Ltd.
1,300,698
5,363,182
James Hardie Industries PLC *
100,718
3,134,112
JB Hi-Fi Ltd.
111,474
4,316,928
Lendlease Corp. Ltd.
1,291,587
5,119,462
Macquarie Group Ltd.
135,575
17,216,849
Medibank Pvt Ltd.
2,099,050
5,193,022
Metcash Ltd.
1,521,238
3,733,171
Mineral Resources Ltd.
70,004
3,336,215
Mirvac Group
2,412,741
3,145,004
National Australia Bank Ltd.
1,806,699
40,744,406
Northern Star Resources Ltd.
296,921
2,833,657
Orica Ltd.
301,034
3,667,714
Origin Energy Ltd.
1,101,366
7,463,804
QBE Insurance Group Ltd.
617,451
7,309,319
Ramsay Health Care Ltd.
112,084
3,511,649
Rio Tinto Ltd.
422,126
36,203,581
Santos Ltd.
1,457,941
7,398,078
Scentre Group
2,992,530
6,269,075
Sims Ltd.
291,006
2,053,391
Sonic Healthcare Ltd.
294,469
4,764,706
South32 Ltd.
4,607,357
12,164,570
Stockland
1,557,670
4,661,679
Suncorp Group Ltd.
1,023,562
10,830,256
Telstra Group Ltd.
4,183,009
9,653,230
Transurban Group
760,387
6,326,251
Treasury Wine Estates Ltd.
401,201
3,023,057
Viva Energy Group Ltd.
1,319,940
3,054,836
Wesfarmers Ltd.
619,386
26,729,667
Westpac Banking Corp.
2,652,383
45,827,881
Whitehaven Coal Ltd.
494,092
2,648,483
Woodside Energy Group Ltd.
659,690
12,152,736
SECURITY
NUMBER
OF SHARES
VALUE ($)
Woolworths Group Ltd.
600,917
12,628,622
Worley Ltd.
292,234
2,847,231
 
653,755,557
 
Austria 0.3%
BAWAG Group AG
76,701
5,045,954
Erste Group Bank AG
251,603
12,318,619
OMV AG
245,671
12,332,223
Raiffeisen Bank International AG
252,330
4,634,884
voestalpine AG
250,234
7,296,624
Wienerberger AG
121,682
4,557,378
 
46,185,682
 
Belgium 0.7%
Ageas SA
209,965
10,416,762
Anheuser-Busch InBev SA
562,813
35,205,216
Colruyt Group NV
78,178
3,995,680
Groupe Bruxelles Lambert NV
117,800
8,977,430
KBC Group NV
176,616
12,819,352
Proximus SADP
487,600
3,827,116
Syensqo SA
61,196
6,073,428
UCB SA
60,879
8,502,506
Umicore SA
320,568
6,309,394
 
96,126,884
 
Canada 7.5%
Agnico Eagle Mines Ltd.
161,976
11,044,763
Algonquin Power & Utilities Corp.
524,477
3,297,339
Alimentation Couche-Tard, Inc.
554,182
32,340,665
AltaGas Ltd.
191,520
4,320,317
ARC Resources Ltd.
232,264
4,394,299
Atco Ltd., Class I
125,058
3,625,641
AtkinsRealis Group, Inc.
114,205
4,468,837
B2Gold Corp.
980,312
2,761,544
Bank of Montreal
343,013
30,585,944
Bank of Nova Scotia
952,359
45,076,626
Barrick Gold Corp.
1,221,271
20,830,100
Bausch Health Cos., Inc. *
534,851
3,511,658
BCE, Inc.
270,448
9,249,375
Brookfield Corp.
242,755
10,569,277
Brookfield Infrastructure Corp.,
Class A (a)
83,589
2,880,223
Canadian Imperial Bank of
Commerce
605,998
30,043,168
Canadian National Railway Co.
207,868
26,457,175
Canadian Natural Resources Ltd.
591,350
45,420,053
Canadian Pacific Kansas City Ltd.
177,958
14,163,271
Canadian Tire Corp. Ltd., Class A
68,910
6,877,098
Cenovus Energy, Inc.
596,296
12,427,663
CGI, Inc. *
97,591
9,635,603
CI Financial Corp.
350,162
3,758,112
Constellation Software, Inc.
1,523
4,235,630
Dollarama, Inc.
59,961
5,674,335
34
  

Schwab Fundamental International Large Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Emera, Inc.
186,612
6,497,161
Enbridge, Inc.
1,393,008
50,921,460
Fairfax Financial Holdings Ltd.
11,872
13,362,674
Finning International, Inc.
147,176
4,395,360
First Quantum Minerals Ltd.
435,379
5,592,551
Fortis, Inc.
307,512
12,296,871
Franco-Nevada Corp.
22,398
2,755,325
George Weston Ltd.
78,243
11,114,679
Gildan Activewear, Inc.
130,079
4,975,475
Great-West Lifeco, Inc.
146,393
4,390,233
Hydro One Ltd.
149,113
4,294,594
iA Financial Corp., Inc.
52,383
3,410,092
Imperial Oil Ltd.
150,015
10,597,839
Intact Financial Corp.
47,078
7,875,632
Interfor Corp. *
137,289
1,786,676
Keyera Corp.
158,251
4,189,765
Kinross Gold Corp.
1,209,772
9,824,433
Linamar Corp.
75,603
3,938,355
Loblaw Cos. Ltd.
127,297
14,782,757
Lundin Mining Corp.
517,063
5,943,863
Magna International, Inc.
513,687
23,235,844
Manulife Financial Corp.
1,222,701
31,752,643
MEG Energy Corp. *
138,982
3,016,893
Methanex Corp.
71,618
3,841,097
Metro, Inc.
173,026
9,218,999
National Bank of Canada
145,071
12,397,257
Northland Power, Inc.
144,494
2,469,802
Nutrien Ltd.
501,607
29,390,273
Onex Corp.
169,426
12,008,906
Open Text Corp.
116,820
3,417,659
Parkland Corp.
140,517
4,054,237
Pembina Pipeline Corp.
294,745
10,947,393
Power Corp. of Canada
380,869
11,056,000
Restaurant Brands International, Inc.
82,223
5,637,356
RioCan Real Estate Investment Trust
180,099
2,284,350
Royal Bank of Canada
655,469
71,636,850
Russel Metals, Inc.
82,374
2,209,894
Saputo, Inc.
228,081
4,614,660
Stelco Holdings, Inc.
62,597
1,871,734
Sun Life Financial, Inc.
275,829
13,822,308
Suncor Energy, Inc.
1,463,946
59,711,255
TC Energy Corp.
659,639
25,434,197
Teck Resources Ltd., Class B
318,983
16,588,567
TELUS Corp.
287,831
4,731,902
TFI International, Inc.
31,309
4,142,072
Thomson Reuters Corp.
40,345
6,941,655
Toromont Industries Ltd.
32,046
2,798,486
Toronto-Dominion Bank
896,777
50,129,778
Tourmaline Oil Corp.
89,140
4,421,198
Veren, Inc.
496,496
4,319,732
Vermilion Energy, Inc.
213,963
2,646,382
Waste Connections, Inc.
52,707
8,654,133
West Fraser Timber Co. Ltd.
123,856
9,906,481
Wheaton Precious Metals Corp.
67,721
3,708,596
WSP Global, Inc.
36,731
5,523,864
 
999,136,964
 
Denmark 1.0%
AP Moller - Maersk AS, Class A
5,996
10,507,203
AP Moller - Maersk AS, Class B
11,436
20,747,484
Carlsberg AS, Class B
47,474
6,419,047
Coloplast AS, Class B
31,088
3,731,990
Danske Bank AS
393,836
12,077,553
DSV AS
65,581
10,060,456
Novo Nordisk AS, Class B
301,389
40,676,790
Orsted AS *
101,265
6,174,030
Pandora AS
39,241
6,419,562
SECURITY
NUMBER
OF SHARES
VALUE ($)
Svitzer AS *
34,593
1,356,894
Vestas Wind Systems AS *
360,346
10,114,359
 
128,285,368
 
Finland 1.0%
Elisa OYJ
74,840
3,469,216
Fortum OYJ
529,999
8,063,764
Huhtamaki OYJ
79,320
3,198,116
Kesko OYJ, B Shares
306,373
5,561,045
Kone OYJ, B Shares
158,138
8,032,652
Neste OYJ
295,115
6,172,057
Nokia OYJ
4,924,716
19,198,453
Nordea Bank Abp
2,323,403
28,489,211
Outokumpu OYJ
855,793
3,543,391
Sampo OYJ, A Shares
282,443
12,093,092
Stora Enso OYJ, R Shares
727,056
10,584,401
UPM-Kymmene OYJ
477,982
18,239,231
Valmet OYJ
97,517
2,610,616
Wartsila OYJ Abp
286,227
5,967,529
 
135,222,774
 
France 8.5%
Accor SA *
83,883
3,632,517
Air Liquide SA
183,792
36,006,193
Airbus SE
119,078
20,153,352
Alstom SA (a)
314,692
6,145,914
Arkema SA
84,933
8,644,052
Atos SE *(a)
782,483
1,419,453
AXA SA
1,235,690
44,335,401
Ayvens SA
422,825
3,151,163
BNP Paribas SA
1,091,819
80,243,333
Bollore SE
712,240
4,770,690
Bouygues SA
382,967
14,966,956
Bureau Veritas SA
109,366
3,276,884
Capgemini SE
64,214
12,938,304
Carrefour SA
1,294,630
21,067,691
Cie de Saint-Gobain SA
505,108
44,185,640
Cie Generale des Etablissements
Michelin SCA
786,330
31,712,706
Credit Agricole SA
1,084,521
17,572,031
Danone SA
420,869
27,011,643
Dassault Systemes SE
77,227
3,107,860
Edenred SE
49,952
2,334,510
Eiffage SA
90,472
9,954,228
Elis SA
191,656
4,839,514
Engie SA
1,927,326
32,503,945
EssilorLuxottica SA
81,571
18,180,021
Eurazeo SE
51,870
4,349,951
Eurofins Scientific SE
53,883
3,238,303
Forvia SE *
368,047
6,009,257
Hermes International SCA
2,367
5,591,480
Kering SA
32,508
11,194,200
Klepierre SA
119,950
3,463,790
Legrand SA
92,866
9,990,795
L'Oreal SA
59,263
29,086,253
LVMH Moet Hennessy Louis Vuitton
SE
48,590
38,765,446
Orange SA
3,514,569
40,920,320
Pernod Ricard SA
62,628
9,311,084
Publicis Groupe SA
128,135
14,299,819
Renault SA
512,946
29,836,234
Rexel SA
317,139
9,574,592
Rubis SCA
179,247
6,363,108
Safran SA
88,425
20,552,345
Sanofi SA
666,288
64,925,377
Schneider Electric SE
179,750
44,383,800
SCOR SE
169,227
4,864,714
  
35

Schwab Fundamental International Large Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
SES SA, Class A
693,705
3,953,701
Societe Generale SA
1,353,323
40,240,479
Sodexo SA
51,377
4,779,904
STMicroelectronics NV
206,019
8,466,427
Teleperformance SE
41,437
4,696,328
Thales SA
35,835
6,483,095
TotalEnergies SE
2,531,210
184,135,463
Unibail-Rodamco-Westfield
58,515
5,123,834
Valeo SE
645,008
7,905,488
Veolia Environnement SA
523,846
17,458,690
Vinci SA
295,184
36,675,687
Vivendi SE
424,605
4,655,605
Wendel SE
39,487
3,890,186
 
1,137,339,756
 
Germany 7.3%
adidas AG
104,920
26,368,105
Allianz SE
274,327
79,902,225
Aurubis AG
99,438
8,382,305
BASF SE
1,499,953
78,828,339
Bayer AG
897,745
27,522,465
Bayerische Motoren Werke AG
456,146
46,141,979
Beiersdorf AG
28,205
4,419,901
Brenntag SE
116,795
8,365,776
Commerzbank AG
471,623
7,956,382
Continental AG
200,377
13,539,016
Covestro AG *
341,725
18,322,529
Daimler Truck Holding AG
353,174
15,017,994
Deutsche Bank AG
1,385,228
22,896,902
Deutsche Boerse AG
37,819
7,509,195
Deutsche Lufthansa AG
557,571
3,887,229
Deutsche Telekom AG
3,546,210
85,811,237
DHL Group
965,235
40,510,216
E.ON SE
1,932,630
25,764,204
Evonik Industries AG
309,573
6,778,578
Freenet AG
148,747
3,872,283
Fresenius Medical Care AG
316,495
13,461,732
Fresenius SE & Co. KGaA *
796,961
25,332,484
GEA Group AG
107,632
4,472,836
Hannover Rueck SE
26,363
6,531,006
Heidelberg Materials AG
186,600
19,390,275
Henkel AG & Co. KGaA
87,493
6,990,702
Infineon Technologies AG
349,672
13,978,908
K&S AG
305,957
4,483,981
KION Group AG
123,861
5,789,996
Kloeckner & Co. SE
330,225
2,179,632
Knorr-Bremse AG
47,763
3,660,715
Lanxess AG
201,566
5,426,735
Mercedes-Benz Group AG
1,059,592
76,379,427
Merck KGaA
43,042
7,779,941
METRO AG
469,939
2,502,362
MTU Aero Engines AG
17,028
4,223,957
Muenchener
Rueckversicherungs-Gesellschaft
AG in Muenchen
56,184
27,928,843
ProSiebenSat.1 Media SE (a)
415,842
3,428,671
Puma SE
52,563
2,713,316
Rheinmetall AG
15,403
8,825,602
RWE AG
283,913
10,738,239
Salzgitter AG
104,678
2,579,591
SAP SE
305,625
55,063,263
Siemens AG
339,229
64,910,713
Siemens Energy AG *
597,826
16,108,171
Siemens Healthineers AG
87,960
5,097,221
Symrise AG
38,486
4,568,685
thyssenkrupp AG
1,523,276
7,484,500
United Internet AG
190,903
4,522,069
Volkswagen AG
82,372
11,723,356
SECURITY
NUMBER
OF SHARES
VALUE ($)
Vonovia SE
433,085
13,540,518
Zalando SE *
128,068
3,371,491
 
976,985,798
 
Hong Kong 1.6%
AIA Group Ltd.
3,895,809
30,102,405
BOC Hong Kong Holdings Ltd.
2,726,779
8,539,320
CK Asset Holdings Ltd.
1,937,373
7,639,688
CK Hutchison Holdings Ltd.
5,509,377
26,830,867
CLP Holdings Ltd.
1,393,713
11,018,445
Galaxy Entertainment Group Ltd.
619,390
2,968,949
Hang Seng Bank Ltd.
497,431
6,905,099
Hong Kong & China Gas Co. Ltd.
6,458,466
5,011,010
Hong Kong Exchanges & Clearing
Ltd.
145,223
4,878,294
Hongkong Land Holdings Ltd.
943,951
3,199,994
Jardine Matheson Holdings Ltd.
475,682
17,505,098
Lenovo Group Ltd.
9,075,493
13,015,784
Link REIT
848,207
3,556,173
MTR Corp. Ltd.
851,119
2,882,992
New World Development Co. Ltd. (a)
3,747,457
4,052,418
Orient Overseas International Ltd.
221,013
3,751,657
Pacific Basin Shipping Ltd.
8,652,104
3,041,317
PCCW Ltd.
5,898,173
3,151,382
SITC International Holdings Co.
Ltd. (a)
1,205,475
3,081,736
Sun Hung Kai Properties Ltd.
1,312,475
12,632,615
Swire Pacific Ltd., A Shares
844,759
7,337,186
Techtronic Industries Co. Ltd.
512,348
6,267,354
WH Group Ltd.
22,244,238
15,126,429
Wharf Real Estate Investment Co.
Ltd.
882,886
2,556,113
Xinyi Glass Holdings Ltd.
2,376,817
2,937,849
 
207,990,174
 
Ireland 0.1%
Bank of Ireland Group PLC
395,633
4,516,182
Glanbia PLC
153,808
3,140,779
Kerry Group PLC, Class A
72,266
6,103,560
Kingspan Group PLC
49,764
4,764,897
 
18,525,418
 
Israel 0.2%
Bank Hapoalim BM
674,580
6,165,019
Bank Leumi Le-Israel BM
979,542
8,083,203
ICL Group Ltd.
720,810
3,353,821
Israel Corp. Ltd.
8,623
2,014,652
Israel Discount Bank Ltd., A Shares
610,186
3,114,650
Oil Refineries Ltd.
5,165,987
1,394,149
Teva Pharmaceutical Industries Ltd. *
423,401
6,987,829
 
31,113,323
 
Italy 3.0%
A2A SpA
1,934,463
4,051,001
Assicurazioni Generali SpA
1,100,122
28,185,289
Banco BPM SpA
1,047,978
7,513,268
BPER Banca SpA
762,658
4,082,578
Enel SpA
8,759,306
63,292,559
Eni SpA
3,395,093
53,428,072
Ferrari NV
13,274
5,438,428
Hera SpA
967,819
3,561,750
Intesa Sanpaolo SpA
13,672,585
53,523,684
Iveco Group NV
320,064
3,813,388
Leonardo SpA *
348,110
8,907,293
36
  

Schwab Fundamental International Large Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Mediobanca Banca di Credito
Finanziario SpA
373,051
5,880,367
Moncler SpA
38,878
2,584,692
Pirelli & C SpA
529,085
3,489,899
Poste Italiane SpA
324,304
4,436,010
Prysmian SpA
141,485
9,218,835
Snam SpA
1,187,316
5,605,642
Stellantis NV
2,918,235
63,994,297
Telecom Italia SpA *(a)
40,544,197
10,651,572
Tenaris SA
260,541
4,269,518
Terna - Rete Elettrica Nazionale
566,252
4,746,890
UniCredit SpA
1,197,579
47,303,818
Unipol Gruppo SpA
530,973
5,450,089
 
403,428,939
 
Japan 26.0%
Advantest Corp.
131,188
4,435,406
Aeon Co. Ltd.
719,609
15,509,979
AGC, Inc.
326,766
11,409,622
Air Water, Inc.
291,970
4,270,534
Aisin Corp.
446,060
16,574,147
Ajinomoto Co., Inc.
209,079
7,457,366
Alfresa Holdings Corp.
506,801
7,138,655
Alps Alpine Co. Ltd.
693,870
6,530,489
Amada Co. Ltd.
348,652
3,929,254
Asahi Group Holdings Ltd.
411,536
15,034,702
Asahi Kasei Corp.
2,511,040
16,378,606
Astellas Pharma, Inc.
1,190,702
11,733,126
Bandai Namco Holdings, Inc.
345,374
6,290,117
Bridgestone Corp.
690,703
30,064,008
Brother Industries Ltd.
396,428
7,610,953
Canon, Inc.
1,016,366
29,440,950
Central Japan Railway Co.
692,005
15,461,068
Chubu Electric Power Co., Inc.
1,296,186
17,870,037
Chugai Pharmaceutical Co. Ltd.
181,183
5,512,335
Chugoku Electric Power Co., Inc.
652,903
4,674,128
Coca-Cola Bottlers Japan Holdings,
Inc.
329,811
3,845,994
COMSYS Holdings Corp.
166,009
3,325,568
Cosmo Energy Holdings Co. Ltd.
208,676
10,373,712
Dai Nippon Printing Co. Ltd.
309,216
9,610,302
Daicel Corp.
376,280
3,801,231
Daido Steel Co. Ltd.
328,874
3,313,958
Daifuku Co. Ltd.
159,364
2,782,240
Dai-ichi Life Holdings, Inc.
881,783
23,606,612
Daiichi Sankyo Co. Ltd.
338,029
11,998,637
Daikin Industries Ltd.
128,676
18,788,194
Daito Trust Construction Co. Ltd.
84,269
8,901,749
Daiwa House Industry Co. Ltd.
965,201
25,643,286
Daiwa Securities Group, Inc.
899,686
7,064,892
Daiwabo Holdings Co. Ltd.
187,118
3,300,121
Denka Co. Ltd.
196,787
2,779,400
Denso Corp.
1,648,394
26,675,147
Dentsu Group, Inc.
172,149
4,555,000
DIC Corp.
220,154
4,555,925
Disco Corp.
14,209
5,559,906
Dowa Holdings Co. Ltd.
94,079
3,481,902
East Japan Railway Co.
957,846
16,637,123
Ebara Corp.
75,028
5,471,513
EDION Corp.
301,938
3,026,201
Eisai Co. Ltd.
136,083
5,847,902
Electric Power Development Co. Ltd.
411,939
6,919,170
ENEOS Holdings, Inc.
10,113,028
52,153,094
EXEO Group, Inc.
329,100
3,380,110
FANUC Corp.
441,496
12,358,910
Fast Retailing Co. Ltd.
34,574
8,846,737
Fuji Electric Co. Ltd.
110,614
6,578,628
FUJIFILM Holdings Corp.
852,881
19,424,488
SECURITY
NUMBER
OF SHARES
VALUE ($)
Fujikura Ltd.
388,737
7,975,361
Fujitsu Ltd.
1,791,184
25,857,017
Furukawa Electric Co. Ltd.
215,198
5,796,768
Hakuhodo DY Holdings, Inc.
393,346
3,251,497
Hankyu Hanshin Holdings, Inc.
154,488
4,053,289
Hanwa Co. Ltd.
116,781
4,941,892
Haseko Corp.
417,202
4,707,112
Hino Motors Ltd. *
1,201,041
3,353,697
Hitachi Construction Machinery Co.
Ltd.
136,303
3,686,326
Hitachi Ltd.
758,848
77,963,670
Honda Motor Co. Ltd.
8,817,974
99,293,041
Hoya Corp.
88,132
10,689,465
Idemitsu Kosan Co. Ltd.
3,614,682
24,681,369
IHI Corp.
212,382
5,470,886
Iida Group Holdings Co. Ltd.
331,798
4,522,647
INFRONEER Holdings, Inc.
283,412
2,457,277
Inpex Corp.
1,044,806
16,113,063
Isetan Mitsukoshi Holdings Ltd.
372,034
7,720,277
Isuzu Motors Ltd.
782,462
10,441,457
ITOCHU Corp.
1,138,950
53,705,937
Iwatani Corp.
77,427
4,493,028
Japan Exchange Group, Inc.
142,358
3,339,155
Japan Post Bank Co. Ltd.
352,196
3,480,610
Japan Post Holdings Co. Ltd.
2,727,758
26,297,708
Japan Post Insurance Co. Ltd.
293,099
5,634,618
Japan Tobacco, Inc.
892,594
25,287,655
JFE Holdings, Inc.
1,252,185
18,948,716
JGC Holdings Corp.
274,386
2,177,348
JSR Corp. *
22,257
613,981
JTEKT Corp.
636,709
4,610,868
Kajima Corp.
612,854
10,367,955
Kaneka Corp.
166,113
4,463,999
Kansai Electric Power Co., Inc.
1,138,370
20,551,438
Kao Corp.
402,989
17,663,866
Kawasaki Heavy Industries Ltd.
223,903
8,506,163
Kawasaki Kisen Kaisha Ltd.
375,142
5,565,838
KDDI Corp.
1,559,943
43,052,422
Kewpie Corp.
182,451
3,614,305
Keyence Corp.
24,520
11,030,060
Kikkoman Corp.
364,660
4,221,048
Kinden Corp.
199,763
4,255,983
Kintetsu Group Holdings Co. Ltd.
114,193
2,426,361
Kirin Holdings Co. Ltd.
783,056
10,838,059
Kobe Steel Ltd.
699,254
9,075,240
Koito Manufacturing Co. Ltd.
343,092
4,843,613
Komatsu Ltd.
894,261
26,160,029
Konica Minolta, Inc.
1,668,573
4,990,482
K's Holdings Corp.
467,297
4,344,528
Kubota Corp.
962,422
13,602,337
Kuraray Co. Ltd.
550,181
6,688,859
Kurita Water Industries Ltd.
72,585
3,103,956
Kyocera Corp.
1,075,232
12,220,334
Kyushu Electric Power Co., Inc.
1,334,419
15,552,441
Kyushu Railway Co.
139,936
3,079,313
Lixil Corp.
583,449
6,404,591
LY Corp.
1,494,751
3,546,996
Makita Corp.
224,433
6,616,807
Marubeni Corp.
1,465,060
28,528,325
MatsukiyoCocokara & Co.
246,737
3,482,533
Mazda Motor Corp.
1,525,662
16,092,047
Medipal Holdings Corp.
414,264
6,094,870
MEIJI Holdings Co. Ltd.
397,905
8,905,354
Minebea Mitsumi, Inc.
407,953
8,535,744
MISUMI Group, Inc.
205,093
3,519,907
Mitsubishi Chemical Group Corp.
2,817,429
14,893,495
Mitsubishi Corp.
3,359,949
70,622,110
Mitsubishi Electric Corp.
2,552,286
44,339,564
Mitsubishi Estate Co. Ltd.
904,786
15,197,319
  
37

Schwab Fundamental International Large Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Mitsubishi Gas Chemical Co., Inc.
309,976
5,813,098
Mitsubishi Heavy Industries Ltd.
2,990,433
26,032,724
Mitsubishi Materials Corp.
386,431
7,532,140
Mitsubishi Motors Corp.
1,171,394
3,258,241
Mitsubishi UFJ Financial Group, Inc.
6,272,413
66,178,757
Mitsui & Co. Ltd.
1,222,853
62,020,035
Mitsui Chemicals, Inc.
310,194
9,378,165
Mitsui Fudosan Co. Ltd.
1,981,933
18,167,772
Mitsui Mining & Smelting Co. Ltd.
124,726
4,028,822
Mitsui OSK Lines Ltd.
303,241
10,003,509
Mizuho Financial Group, Inc.
1,689,929
34,563,186
Morinaga Milk Industry Co. Ltd.
140,745
2,905,449
MS&AD Insurance Group Holdings,
Inc.
1,185,469
24,751,178
Murata Manufacturing Co. Ltd.
1,024,436
19,338,760
Nagase & Co. Ltd.
237,525
4,650,892
Nagoya Railroad Co. Ltd.
213,297
2,443,866
NEC Corp.
304,488
22,524,885
NGK Insulators Ltd.
348,665
4,649,384
NH Foods Ltd.
235,492
7,218,588
NHK Spring Co. Ltd.
350,332
3,887,995
Nichirei Corp.
148,735
3,364,745
NIDEC Corp.
264,199
13,185,992
Nikon Corp.
384,830
3,991,682
Nintendo Co. Ltd.
453,779
24,703,804
NIPPON EXPRESS HOLDINGS, Inc.
37,430
1,845,240
Nippon Paint Holdings Co. Ltd.
333,370
2,242,337
Nippon Paper Industries Co. Ltd.
461,475
2,848,520
Nippon Sanso Holdings Corp.
95,535
2,817,810
Nippon Steel Corp.
1,329,857
29,043,681
Nippon Telegraph & Telephone Corp.
32,617,440
32,026,924
Nippon Yusen KK
558,310
17,710,874
Nissan Chemical Corp.
73,611
2,041,874
Nissan Motor Co. Ltd.
5,851,765
20,793,697
Nisshin Seifun Group, Inc.
330,778
3,708,873
Nissin Foods Holdings Co. Ltd.
103,933
2,617,753
Nissui Corp.
558,820
3,135,039
Niterra Co. Ltd.
215,758
6,488,735
Nitori Holdings Co. Ltd.
43,546
4,813,351
Nitto Denko Corp.
131,575
10,043,222
NOK Corp.
256,934
3,556,152
Nomura Holdings, Inc.
2,146,826
12,985,193
Nomura Research Institute Ltd.
153,148
4,097,071
NSK Ltd.
974,224
4,773,013
NTT Data Group Corp.
548,276
8,403,212
Obayashi Corp.
1,185,136
13,797,488
Oji Holdings Corp.
2,183,066
8,807,559
Olympus Corp.
457,124
7,195,241
Omron Corp.
163,208
5,336,235
Ono Pharmaceutical Co. Ltd.
246,820
3,573,232
ORIX Corp.
859,108
18,691,592
Osaka Gas Co. Ltd.
608,237
13,825,591
Otsuka Corp.
171,692
3,256,953
Otsuka Holdings Co. Ltd.
337,479
13,903,332
PALTAC Corp.
97,402
2,555,528
Pan Pacific International Holdings
Corp.
184,765
4,746,548
Panasonic Holdings Corp.
3,702,525
32,596,922
Persol Holdings Co. Ltd.
2,271,936
3,268,858
Recruit Holdings Co. Ltd.
549,933
27,814,232
Renesas Electronics Corp.
339,678
6,346,334
Rengo Co. Ltd.
487,309
3,285,525
Resona Holdings, Inc.
1,307,687
9,020,540
Resonac Holdings Corp.
350,911
7,753,113
Ricoh Co. Ltd.
1,301,041
11,619,912
Rohm Co. Ltd.
244,474
3,155,005
Ryohin Keikaku Co. Ltd.
265,255
4,359,165
Sankyu, Inc.
92,575
3,342,585
Sanwa Holdings Corp.
202,097
3,750,777
SECURITY
NUMBER
OF SHARES
VALUE ($)
SBI Holdings, Inc.
200,990
5,195,338
Secom Co. Ltd.
131,755
8,193,133
Seiko Epson Corp.
374,601
6,023,843
Seino Holdings Co. Ltd.
241,962
3,152,612
Sekisui Chemical Co. Ltd.
501,325
7,187,535
Sekisui House Ltd.
754,605
16,960,545
Seven & i Holdings Co. Ltd.
2,315,021
29,875,991
SG Holdings Co. Ltd.
465,555
4,704,581
Shimadzu Corp.
140,933
3,648,321
Shimamura Co. Ltd.
66,392
3,181,341
Shimano, Inc.
37,244
6,088,634
Shimizu Corp.
1,037,258
5,740,579
Shin-Etsu Chemical Co. Ltd.
847,499
31,576,612
Shionogi & Co. Ltd.
138,419
6,201,087
Shiseido Co. Ltd.
213,819
6,763,780
SMC Corp.
19,043
9,550,281
SoftBank Corp.
2,835,982
34,063,547
SoftBank Group Corp.
1,098,993
63,235,195
Sojitz Corp.
335,524
8,762,547
Sompo Holdings, Inc.
862,518
18,249,848
Sony Group Corp.
633,250
51,963,211
Stanley Electric Co. Ltd.
210,012
3,856,245
Subaru Corp.
1,112,095
24,769,051
SUMCO Corp.
292,944
4,395,698
Sumitomo Chemical Co. Ltd.
4,728,732
9,698,497
Sumitomo Corp.
1,166,503
30,293,670
Sumitomo Electric Industries Ltd.
1,644,382
26,625,919
Sumitomo Forestry Co. Ltd.
172,347
5,950,904
Sumitomo Heavy Industries Ltd.
232,211
6,294,943
Sumitomo Metal Mining Co. Ltd.
296,074
9,637,077
Sumitomo Mitsui Financial Group,
Inc.
836,116
54,749,649
Sumitomo Mitsui Trust Holdings, Inc.
482,994
11,196,966
Sumitomo Realty & Development Co.
Ltd.
295,702
9,226,045
Sumitomo Rubber Industries Ltd.
440,412
4,963,376
Sundrug Co. Ltd.
97,463
2,478,362
Suntory Beverage & Food Ltd.
128,335
4,696,647
Suzuken Co. Ltd.
230,080
6,948,740
Suzuki Motor Corp.
2,417,740
28,670,709
Sysmex Corp.
216,461
3,690,905
T&D Holdings, Inc.
303,708
5,460,733
Taiheiyo Cement Corp.
316,708
7,892,256
Taisei Corp.
296,401
11,254,731
Taiyo Yuden Co. Ltd.
129,453
2,724,242
Takeda Pharmaceutical Co. Ltd.
1,243,175
33,012,627
TDK Corp.
286,877
14,332,440
Teijin Ltd.
613,354
5,963,950
Terumo Corp.
455,218
7,734,462
TIS, Inc.
161,006
2,940,003
Tobu Railway Co. Ltd.
135,037
2,383,739
Toho Gas Co. Ltd.
187,730
4,926,651
Tohoku Electric Power Co., Inc.
1,535,559
15,541,739
Tokio Marine Holdings, Inc.
1,003,572
34,671,115
Tokyo Electric Power Co. Holdings,
Inc. *
5,480,511
32,769,023
Tokyo Electron Ltd.
139,099
29,768,045
Tokyo Gas Co. Ltd.
646,192
14,495,064
Tokyu Corp.
406,336
4,744,832
Tokyu Fudosan Holdings Corp.
698,107
4,824,488
TOPPAN Holdings, Inc.
391,435
10,138,028
Toray Industries, Inc.
2,714,010
13,571,345
Tosoh Corp.
613,967
7,786,670
TOTO Ltd.
165,334
4,125,328
Toyo Seikan Group Holdings Ltd.
275,615
4,557,482
Toyo Suisan Kaisha Ltd.
69,989
5,037,231
Toyoda Gosei Co. Ltd.
163,757
3,173,121
Toyota Industries Corp.
140,529
13,235,096
Toyota Motor Corp.
9,891,389
214,073,715
38
  

Schwab Fundamental International Large Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Toyota Tsusho Corp.
314,378
19,083,342
Tsuruha Holdings, Inc.
50,377
2,982,003
UBE Corp.
265,004
4,874,441
Unicharm Corp.
132,684
4,264,767
West Japan Railway Co.
389,325
7,774,360
Yakult Honsha Co. Ltd.
137,061
2,495,348
Yamada Holdings Co. Ltd.
2,105,474
5,900,606
Yamaha Corp.
137,879
3,131,440
Yamaha Motor Co. Ltd.
1,279,049
12,473,465
Yamato Holdings Co. Ltd.
562,485
6,450,081
Yamazaki Baking Co. Ltd.
169,052
3,718,940
Yaskawa Electric Corp.
102,487
3,904,608
Yokogawa Electric Corp.
170,692
4,383,931
Yokohama Rubber Co. Ltd.
194,649
4,880,315
 
3,469,003,434
 
Netherlands 2.8%
Aalberts NV
77,025
3,647,430
ABN AMRO Bank NV, GDR
447,845
7,608,722
Aegon Ltd.
1,839,988
11,873,081
Akzo Nobel NV
243,084
16,926,025
Aperam SA
95,562
2,732,566
ArcelorMittal SA
1,313,092
34,439,888
ASM International NV
5,028
3,494,464
ASML Holding NV
50,747
47,973,172
ASR Nederland NV
133,386
6,429,288
EXOR NV
218,614
24,420,974
Heineken Holding NV
99,822
8,138,340
Heineken NV
119,418
11,911,335
IMCD NV
16,657
2,520,747
ING Groep NV, Series N
2,677,674
47,568,211
Koninklijke Ahold Delhaize NV
1,605,815
49,752,983
Koninklijke KPN NV
2,719,336
10,167,066
Koninklijke Philips NV *
962,873
26,006,926
NN Group NV
427,222
19,845,660
Prosus NV
167,368
6,064,966
Randstad NV
206,102
10,829,221
SBM Offshore NV
225,622
3,465,832
Signify NV
187,553
5,073,898
Universal Music Group NV
25,365
786,986
Wolters Kluwer NV
54,803
8,689,115
 
370,366,896
 
New Zealand 0.0%
Fletcher Building Ltd.
1,401,597
2,678,149
Spark New Zealand Ltd.
1,282,723
3,290,339
 
5,968,488
 
Norway 0.7%
Aker BP ASA
153,124
3,920,854
DNB Bank ASA
673,173
13,153,782
Equinor ASA
1,070,890
30,882,968
Mowi ASA
325,008
5,812,142
Norsk Hydro ASA
1,705,484
11,517,626
Orkla ASA
620,976
4,940,466
Subsea 7 SA
240,349
4,435,501
Telenor ASA
972,857
11,339,059
Yara International ASA
245,378
7,591,576
 
93,593,974
 
Poland 0.3%
KGHM Polska Miedz SA
167,832
6,466,882
ORLEN SA
759,155
12,257,933
PGE Polska Grupa Energetyczna SA *
1,615,582
2,779,770
SECURITY
NUMBER
OF SHARES
VALUE ($)
Powszechna Kasa Oszczednosci
Bank Polski SA
345,333
5,206,748
Powszechny Zaklad Ubezpieczen SA
507,382
6,443,764
 
33,155,097
 
Portugal 0.2%
EDP - Energias de Portugal SA
2,642,638
10,703,666
Galp Energia SGPS SA
587,950
12,328,344
Jeronimo Martins SGPS SA
177,549
3,966,736
 
26,998,746
 
Republic of Korea 5.9%
BNK Financial Group, Inc.
617,840
3,770,718
CJ CheilJedang Corp.
20,871
5,268,437
CJ Corp.
75,840
7,553,599
Coway Co. Ltd.
79,931
3,256,010
DB Insurance Co. Ltd.
66,394
4,963,186
DL E&C Co. Ltd.
169,960
4,173,659
Doosan Enerbility Co. Ltd. *
276,181
4,149,048
E-MART, Inc.
106,744
4,726,017
GS Engineering & Construction
Corp. *
294,893
3,192,695
GS Holdings Corp.
201,205
6,336,021
Hana Financial Group, Inc.
421,265
18,772,923
Hankook Tire & Technology Co. Ltd.
139,501
4,418,128
Hanwha Corp.
262,671
5,131,812
Hanwha Solutions Corp.
124,002
2,816,701
HD Hyundai Co. Ltd.
109,254
5,421,075
HMM Co. Ltd.
333,878
4,340,619
Hyundai Engineering & Construction
Co. Ltd.
180,561
4,329,656
Hyundai Glovis Co. Ltd.
38,442
4,983,814
Hyundai Marine & Fire Insurance Co.
Ltd.
146,816
3,478,072
Hyundai Mobis Co. Ltd.
116,398
18,032,842
Hyundai Motor Co.
197,253
36,044,209
Hyundai Steel Co.
317,903
6,807,861
Industrial Bank of Korea
422,161
4,195,540
KB Financial Group, Inc.
456,528
26,180,581
Kia Corp.
363,459
30,897,493
Korea Electric Power Corp.
1,061,238
14,908,150
Korea Gas Corp. *
157,167
3,382,743
Korea Zinc Co. Ltd.
11,428
4,349,829
Korean Air Lines Co. Ltd.
215,524
3,245,586
KT&G Corp.
104,665
6,312,179
Kumho Petrochemical Co. Ltd.
34,514
3,674,381
LG Chem Ltd.
35,537
9,021,888
LG Corp.
54,967
3,227,631
LG Display Co. Ltd. *
1,078,992
7,738,536
LG Electronics, Inc.
260,875
19,746,271
LG H&H Co. Ltd.
15,332
4,623,242
LG Innotek Co. Ltd.
20,577
3,685,743
LG Uplus Corp.
744,820
5,191,227
Lotte Chemical Corp.
53,677
4,384,723
Lotte Shopping Co. Ltd.
54,532
2,595,543
NAVER Corp.
35,671
4,384,966
POSCO Holdings, Inc.
139,341
37,136,130
Samsung C&T Corp.
99,016
9,661,667
Samsung Electro-Mechanics Co. Ltd.
64,285
7,196,689
Samsung Electronics Co. Ltd.
4,669,419
247,880,031
Samsung Fire & Marine Insurance
Co. Ltd.
41,531
10,453,616
Samsung Life Insurance Co. Ltd.
93,843
5,713,745
Samsung SDI Co. Ltd.
18,614
5,034,808
Samsung SDS Co. Ltd.
45,750
5,062,222
Shinhan Financial Group Co. Ltd.
634,582
21,610,300
  
39

Schwab Fundamental International Large Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
SK Hynix, Inc.
505,885
69,129,639
SK Innovation Co. Ltd. *
105,403
7,612,798
SK, Inc.
135,862
17,290,011
S-Oil Corp.
78,945
3,888,664
Woori Financial Group, Inc.
992,638
10,159,027
 
781,542,701
 
Singapore 0.7%
ComfortDelGro Corp. Ltd.
3,170,073
3,259,896
DBS Group Holdings Ltd.
872,793
23,238,751
Golden Agri-Resources Ltd.
4,515,749
885,310
Jardine Cycle & Carriage Ltd.
143,549
2,733,559
Olam Group Ltd.
2,290,625
1,931,873
Oversea-Chinese Banking Corp. Ltd.
1,643,743
17,644,974
Singapore Airlines Ltd.
695,447
3,483,152
Singapore Telecommunications Ltd.
5,722,889
10,499,937
United Overseas Bank Ltd.
622,778
14,186,087
Venture Corp. Ltd.
297,570
3,086,433
Wilmar International Ltd.
3,442,483
7,869,551
 
88,819,523
 
Spain 3.1%
Acciona SA
19,052
2,438,507
Acerinox SA
314,616
3,439,378
ACS Actividades de Construccion y
Servicios SA
259,357
11,577,658
Aena SME SA
22,743
4,434,286
Amadeus IT Group SA
93,947
6,663,949
Banco Bilbao Vizcaya Argentaria SA
5,390,854
58,171,947
Banco de Sabadell SA
5,810,623
12,228,077
Banco Santander SA
21,500,494
112,841,707
CaixaBank SA
994,217
5,688,024
Cellnex Telecom SA *
58,214
2,118,998
Enagas SA
194,009
2,976,005
Endesa SA
321,675
6,390,547
Ferrovial SE
117,692
4,632,809
Grifols SA *
257,294
2,605,481
Iberdrola SA
4,050,420
53,205,322
Industria de Diseno Textil SA
396,740
18,761,325
Mapfre SA
1,428,509
3,427,243
Naturgy Energy Group SA
114,499
3,067,726
Redeia Corp. SA
266,479
4,784,848
Repsol SA
2,072,388
33,791,747
Telefonica SA
13,398,957
62,329,187
 
415,574,771
 
Sweden 2.1%
Alfa Laval AB
116,548
5,376,820
Assa Abloy AB, B Shares
382,972
11,186,342
Atlas Copco AB, A Shares
642,396
12,264,968
Atlas Copco AB, B Shares
408,781
6,733,856
Boliden AB
323,519
11,283,114
Electrolux AB, B Shares *
395,003
3,747,518
Epiroc AB, A Shares
198,641
4,130,642
Epiroc AB, B Shares
119,164
2,225,289
Essity AB, B Shares
438,013
11,223,948
H & M Hennes & Mauritz AB,
B Shares
594,805
10,496,692
Hexagon AB, B Shares
532,777
5,835,765
Investor AB, A Shares
275,557
7,393,811
Investor AB, B Shares
895,365
24,211,939
Sandvik AB
579,626
12,703,362
Securitas AB, B Shares
656,634
6,730,417
Skandinaviska Enskilda Banken AB,
A Shares
791,185
11,220,215
Skanska AB, B Shares
560,025
9,864,282
SECURITY
NUMBER
OF SHARES
VALUE ($)
SKF AB, B Shares
400,138
8,723,961
SSAB AB, A Shares
383,668
2,226,742
SSAB AB, B Shares
870,768
5,033,915
Svenska Cellulosa AB SCA, B Shares
276,597
4,230,273
Svenska Handelsbanken AB,
A Shares
955,669
8,963,145
Svenska Handelsbanken AB,
B Shares
3,000
34,601
Swedbank AB, A Shares
663,572
13,760,797
Tele2 AB, B Shares
680,303
6,636,661
Telefonaktiebolaget LM Ericsson,
B Shares
2,889,386
17,742,037
Telia Co. AB
4,887,016
12,662,228
Trelleborg AB, B Shares
118,135
4,594,114
Volvo AB, A Shares
195,008
5,280,710
Volvo AB, B Shares
1,263,192
33,870,245
Volvo Car AB, B Shares *
914,230
3,053,315
 
283,441,724
 
Switzerland 4.8%
ABB Ltd.
551,324
30,189,443
Adecco Group AG
302,701
11,455,093
Alcon, Inc.
106,493
9,483,620
ams-OSRAM AG *
887,457
1,416,055
Baloise Holding AG
25,250
4,363,437
Barry Callebaut AG
1,887
3,275,555
Chocoladefabriken Lindt & Spruengli
AG
18
2,138,890
Chocoladefabriken Lindt & Spruengli
AG, Participation Certificates
248
2,889,187
Cie Financiere Richemont SA,
Class A
138,240
22,073,349
Coca-Cola HBC AG
121,021
4,080,140
DKSH Holding AG
42,911
2,910,994
Galenica AG
33,404
2,765,925
Geberit AG
11,284
6,884,347
Georg Fischer AG
48,329
3,492,824
Givaudan SA
1,988
9,336,758
Holcim AG
412,390
36,011,843
Julius Baer Group Ltd.
90,726
5,438,632
Kuehne & Nagel International AG
21,326
6,039,786
Logitech International SA
53,616
5,313,164
Lonza Group AG
14,375
7,750,374
Nestle SA
1,004,847
106,438,153
Novartis AG
709,280
73,251,253
Partners Group Holding AG
4,520
6,042,366
Roche Holding AG
391,901
100,348,203
Roche Holding AG, Bearer Shares
16,197
4,538,715
Sandoz Group AG
170,183
6,047,849
Schindler Holding AG
7,624
1,926,810
Schindler Holding AG, Participation
Certificates
16,484
4,268,317
SGS SA
62,608
5,829,487
Sika AG
28,725
8,689,301
Sonova Holding AG
13,397
4,229,303
Swatch Group AG
40,505
1,688,176
Swatch Group AG, Bearer Shares
22,286
4,771,425
Swiss Life Holding AG
15,534
10,810,004
Swiss Prime Site AG
28,821
2,661,186
Swiss Re AG
147,372
18,736,982
Swisscom AG
17,582
9,709,419
UBS Group AG
1,741,325
54,991,242
Zurich Insurance Group AG
74,887
39,321,589
 
641,609,196
 
40
  

Schwab Fundamental International Large Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
United Kingdom 15.4%
3i Group PLC
291,959
10,642,401
abrdn PLC
2,963,462
5,850,157
Admiral Group PLC
140,356
4,849,949
Anglo American PLC
1,706,978
54,626,478
Antofagasta PLC
225,322
6,319,962
Ashtead Group PLC
175,399
12,702,321
Associated British Foods PLC
313,730
10,185,741
AstraZeneca PLC
310,145
48,135,432
Aviva PLC
3,043,644
18,596,919
B&M European Value Retail SA
635,386
4,405,667
BAE Systems PLC
1,393,698
24,700,418
Balfour Beatty PLC
781,371
3,694,839
Barclays PLC
18,706,759
52,398,351
Barratt Developments PLC
1,455,022
9,321,946
Bellway PLC
169,855
5,791,423
Berkeley Group Holdings PLC
91,428
6,099,678
BP PLC
22,041,815
136,992,576
British American Tobacco PLC
2,425,491
74,578,422
BT Group PLC
15,810,924
26,290,377
Bunzl PLC
185,664
6,940,330
Burberry Group PLC
253,397
3,339,167
Centrica PLC
4,895,543
8,822,814
Compass Group PLC
721,854
20,145,883
CRH PLC
458,851
35,741,892
Croda International PLC
50,413
2,914,035
Currys PLC *
8,306,183
8,195,955
DCC PLC
145,334
10,528,727
Diageo PLC
640,116
21,438,450
Direct Line Insurance Group PLC
2,722,520
7,431,770
Dowlais Group PLC
1,418,027
1,248,455
DS Smith PLC
1,733,135
8,407,246
Entain PLC
333,585
2,867,711
Experian PLC
218,061
10,014,298
Ferguson PLC
94,127
19,054,946
Firstgroup PLC
1,922,263
4,177,753
Flutter Entertainment PLC *
22,329
4,235,961
Glencore PLC
20,107,248
123,074,566
Grafton Group PLC
231,146
2,922,349
GSK PLC
2,522,480
56,733,262
Haleon PLC
3,097,390
12,820,626
Harbour Energy PLC
745,073
3,130,467
Hays PLC
3,120,996
4,283,595
HSBC Holdings PLC
11,451,655
101,536,784
IG Group Holdings PLC
292,801
3,019,632
Imperial Brands PLC
1,071,023
26,467,975
Inchcape PLC
503,319
5,100,970
Informa PLC
371,334
4,008,247
InterContinental Hotels Group PLC
34,946
3,514,965
International Distribution Services
PLC *
2,683,153
11,485,226
Intertek Group PLC
81,241
4,940,103
ITV PLC
4,849,326
4,914,630
J Sainsbury PLC
4,040,054
14,258,597
John Wood Group PLC *
2,629,639
5,922,708
Johnson Matthey PLC
432,476
9,680,043
Kingfisher PLC
4,737,715
15,930,658
Legal & General Group PLC
4,789,886
15,246,199
Lloyds Banking Group PLC
69,407,195
49,062,575
London Stock Exchange Group PLC
47,764
5,571,695
M&G PLC
4,382,010
11,108,131
Man Group PLC
1,031,146
3,460,684
Marks & Spencer Group PLC
2,831,857
10,888,665
Melrose Industries PLC
667,491
5,233,371
Mondi PLC
596,985
11,864,862
National Grid PLC
2,138,370
24,023,968
NatWest Group PLC
4,253,917
17,060,665
Next PLC
56,104
6,670,280
SECURITY
NUMBER
OF SHARES
VALUE ($)
Pearson PLC
570,853
6,890,155
Persimmon PLC
723,251
13,306,176
Phoenix Group Holdings PLC
527,460
3,332,289
Prudential PLC
1,144,507
10,885,176
Reckitt Benckiser Group PLC
228,421
12,947,549
RELX PLC
433,134
18,838,075
Rentokil Initial PLC
513,009
2,706,053
Rio Tinto PLC
1,234,163
86,046,329
RS Group PLC
264,540
2,369,473
Sage Group PLC
291,855
3,799,503
Severn Trent PLC
139,490
4,237,502
Shell PLC
9,280,572
332,207,335
Smith & Nephew PLC
487,427
6,146,340
Smiths Group PLC
213,333
4,677,218
Smurfit Kappa Group PLC
249,239
12,122,041
Spectris PLC
63,392
2,639,238
SSE PLC
852,590
19,050,823
St. James's Place PLC
313,027
1,991,135
Standard Chartered PLC
1,643,841
16,270,494
Tate & Lyle PLC
385,280
3,394,524
Taylor Wimpey PLC
5,082,071
9,521,325
Tesco PLC
11,721,435
46,412,777
Travis Perkins PLC
458,759
5,020,268
Unilever PLC
1,301,114
70,884,947
United Utilities Group PLC
393,444
5,089,475
Vodafone Group PLC
76,458,410
73,613,645
Whitbread PLC
71,953
2,705,258
WPP PLC
968,289
10,069,713
 
2,052,799,784
Total Common Stocks
(Cost $10,509,669,590)
13,096,970,971
PREFERRED STOCKS 1.1% OF NET ASSETS
 
Germany 0.7%
Bayerische Motoren Werke AG
83,658
8,028,407
FUCHS SE
77,958
3,761,009
Henkel AG & Co. KGaA
141,255
12,746,149
Volkswagen AG
538,786
67,264,170
 
91,799,735
 
Italy 0.0%
Telecom Italia SpA - RSP *
23,035,338
6,596,887
 
Republic of Korea 0.4%
Hyundai Motor Co.
28,957
3,208,265
Hyundai Motor Co. 2nd
45,035
4,996,119
LG Chem Ltd.
5,721
979,291
Samsung Electronics Co. Ltd.
865,813
37,707,937
 
46,891,612
 
Spain 0.0%
Grifols SA, B Shares *
215,741
1,550,459
Total Preferred Stocks
(Cost $143,234,258)
146,838,693
  
41

Schwab Fundamental International Large Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
RIGHTS 0.0% OF NET ASSETS
 
France 0.0%
Alstom SA
expires 06/11/24, strike EUR
13.00 *(a)
299,199
321,043
 
United Kingdom 0.0%
National Grid PLC
expires 06/10/24, strike GBP
6.45 *
733,717
1,831,436
Total Rights
(Cost $0)
2,152,479
WARRANTS 0.0% OF NET ASSETS
 
Canada 0.0%
Constellation Software, Inc.
expires 03/31/40 *(b)
1,396
7,107
Total Warrants
(Cost $0)
7,107
 
 
 
SHORT-TERM INVESTMENTS 0.2% OF NET ASSETS
 
Money Market Funds 0.2%
State Street Institutional
U.S. Government Money Market
Fund, Premier Class 5.26% (c)
5,495,313
5,495,313
State Street Institutional
U.S. Government Money Market
Fund, Premier Class 5.26% (c)(d)
26,260,755
26,260,755
 
31,756,068
Total Short-Term Investments
(Cost $31,756,068)
31,756,068
 
Total Investments in Securities
(Cost $10,684,659,916)
13,277,725,318
 
 
 
 
 
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
($)
CURRENT VALUE/
UNREALIZED
APPRECIATION
($)
FUTURES CONTRACTS
Long
MSCI EAFE Index, expires
06/21/24
836
99,074,360
1,958,119
*
Non-income producing security.
(a)
All or a portion of this security is on loan. Securities on loan were valued at
$23,958,894.
(b)
Fair valued using significant unobservable inputs (see notes to portfolio
holdings for additional information).
(c)
The rate shown is the annualized 7-day yield.
(d)
Security purchased with cash collateral received for securities on loan.
GDR —
Global Depositary Receipt
REIT —
Real Estate Investment Trust
RSP —
Risparmio (Savings Shares)
EUR —
Euro
GBP —
British Pound

42
  

Schwab Fundamental International Large Company Index ETF
Portfolio Holdings (Unaudited) continued
The following is a summary of the inputs used to value the fund’s investments as of May 31, 2024 (see notes to portfolio holdings for additional information):
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 Stocks1
$13,096,970,971
$
$
$13,096,970,971
Preferred Stocks1
146,838,693
146,838,693
Rights1
2,152,479
2,152,479
Warrants
Canada
7,107
7,107
Short-Term Investments1
31,756,068
31,756,068
Futures Contracts2
1,958,119
1,958,119
Total
$13,279,676,330
$—
$7,107
$13,279,683,437
1
As categorized in the Portfolio Holdings.
2
Futures contracts are reported at cumulative unrealized appreciation or depreciation.
  
43

Schwab Strategic Trust
Schwab Fundamental International Small Company Index ETF
Portfolio Holdings as of May 31, 2024 (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. You can also obtain this information at no cost by calling 1-866-414-6349 or by sending an email request to orders@mysummaryprospectus.com.
SECURITY
NUMBER
OF SHARES
VALUE ($)
COMMON STOCKS 99.1% OF NET ASSETS
 
Australia 5.2%
Accent Group Ltd.
100,677
125,876
Adbri Ltd. *
1,194,994
2,527,244
ALS Ltd.
326,404
3,062,929
AMP Ltd.
5,712,066
4,045,733
Ansell Ltd.
234,740
3,816,984
ARB Corp. Ltd.
43,143
1,101,783
ASX Ltd.
75,405
3,126,734
Austal Ltd.
1,088,352
1,729,903
Bank of Queensland Ltd.
865,811
3,310,894
Bapcor Ltd.
477,571
1,349,837
Beach Energy Ltd.
2,893,266
3,222,980
Bega Cheese Ltd.
682,717
2,025,023
Bendigo & Adelaide Bank Ltd.
700,256
5,090,160
Breville Group Ltd.
80,028
1,418,383
Brickworks Ltd.
7,906
137,231
CAR Group Ltd.
78,414
1,819,487
Challenger Ltd. (a)
489,727
2,110,491
Champion Iron Ltd.
413,762
1,931,711
Charter Hall Group
230,841
1,860,673
Charter Hall Retail REIT
295,884
643,463
Cleanaway Waste Management Ltd.
1,779,612
3,302,052
Cochlear Ltd.
15,437
3,311,523
Collins Foods Ltd.
139,409
852,969
Coronado Global Resources, Inc.
1,853,211
1,374,213
Credit Corp. Group Ltd.
65,716
651,196
Cromwell Property Group
2,241,465
663,356
CSR Ltd.
811,961
4,805,954
Deterra Royalties Ltd.
38,126
117,397
Dexus
724,111
3,265,045
Domino's Pizza Enterprises Ltd.
43,661
1,124,013
Eagers Automotive Ltd.
326,005
2,194,114
Elders Ltd.
325,174
1,781,958
Evolution Mining Ltd.
1,924,990
5,018,442
EVT Ltd.
113,783
880,815
FleetPartners Group Ltd. *
730,100
1,738,280
Flight Centre Travel Group Ltd.
80,503
1,009,201
G8 Education Ltd.
1,985,563
1,591,201
GPT Group
1,082,227
3,015,691
GrainCorp Ltd., Class A
608,980
3,369,619
GUD Holdings Ltd.
114,840
813,387
Harvey Norman Holdings Ltd.
1,164,213
3,453,200
Healius Ltd. *
1,433,414
1,210,681
Helia Group Ltd.
462,994
1,268,607
HomeCo Daily Needs REIT
202,368
162,848
IDP Education Ltd.
18,362
194,776
IGO Ltd.
241,036
1,120,504
Iluka Resources Ltd.
331,294
1,575,339
Inghams Group Ltd.
392,027
922,940
Insignia Financial Ltd.
1,114,717
1,630,954
IRESS Ltd. *
239,361
1,275,088
Johns Lyng Group Ltd.
34,220
128,128
Lottery Corp. Ltd.
697,316
2,258,463
SECURITY
NUMBER
OF SHARES
VALUE ($)
Lynas Rare Earths Ltd. *
172,414
763,662
Magellan Financial Group Ltd.
326,295
1,772,911
McMillan Shakespeare Ltd.
84,205
927,369
Monadelphous Group Ltd.
157,999
1,450,066
Myer Holdings Ltd.
309,807
133,924
National Storage REIT
409,627
610,226
New Hope Corp. Ltd.
180,692
597,241
nib holdings Ltd.
448,572
2,219,522
Nickel Industries Ltd.
459,476
293,352
Nine Entertainment Co. Holdings Ltd.
1,619,168
1,512,943
NRW Holdings Ltd.
1,220,467
2,499,949
Nufarm Ltd.
743,313
2,209,702
oOh!media Ltd.
874,992
829,227
Orora Ltd.
2,011,071
2,741,799
Perenti Ltd.
2,822,403
1,886,425
Perpetual Ltd.
96,975
1,396,279
Perseus Mining Ltd.
842,915
1,317,365
Pilbara Minerals Ltd.
65,673
165,531
Platinum Asset Management Ltd.
1,294,202
877,923
Premier Investments Ltd.
71,035
1,420,090
Qantas Airways Ltd. *
846,904
3,463,887
Qube Holdings Ltd.
1,331,539
3,179,089
Ramelius Resources Ltd.
1,040,915
1,363,754
REA Group Ltd.
8,925
1,108,231
Reece Ltd.
121,594
2,099,284
Region RE Ltd.
700,566
992,392
Regis Resources Ltd. *
1,571,934
1,944,472
Reliance Worldwide Corp. Ltd.
689,242
2,223,145
Resolute Mining Ltd. *
740,989
275,965
Sandfire Resources Ltd. *
446,725
2,748,124
SEEK Ltd.
149,509
2,231,231
Seven Group Holdings Ltd.
157,533
4,105,832
Sigma Healthcare Ltd.
3,295,089
2,750,206
Silver Lake Resources Ltd. *
1,371,961
1,400,569
Star Entertainment Group Ltd. *
6,373,838
1,907,515
Steadfast Group Ltd.
310,476
1,139,781
Super Retail Group Ltd.
271,410
2,362,761
Tabcorp Holdings Ltd.
1,924,416
787,097
TPG Telecom Ltd.
454,359
1,405,098
Ventia Services Group Pty. Ltd.
151,271
362,170
Vicinity Ltd.
3,323,708
4,310,343
Washington H Soul Pattinson & Co. Ltd.
92,353
1,906,457
Waypoint REIT Ltd.
418,343
656,597
West African Resources Ltd. *
316,575
322,124
Westgold Resources Ltd.
567,004
871,069
Xero Ltd. *
2,307
207,127
Yancoal Australia Ltd. (a)
460,275
1,977,444
 
174,266,743
 
Austria 0.5%
ANDRITZ AG
77,223
4,606,637
AT&S Austria Technologie &
Systemtechnik AG (a)
43,369
1,000,008
EVN AG
46,697
1,457,459
Lenzing AG *(a)
36,094
1,363,590
44
  

Schwab Fundamental International Small Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Mayr Melnhof Karton AG
15,157
1,882,387
Oesterreichische Post AG (a)
48,128
1,598,781
Schoeller-Bleckmann Oilfield Equipment
AG
3,080
130,737
UNIQA Insurance Group AG
162,179
1,443,704
Verbund AG
27,896
2,295,519
Vienna Insurance Group AG Wiener
Versicherung Gruppe
60,002
1,921,575
 
17,700,397
 
Belgium 1.1%
Ackermans & van Haaren NV
23,639
4,180,419
Aedifica SA (a)
13,760
892,537
Azelis Group NV
21,656
457,029
Barco NV
71,091
994,031
Bekaert SA
76,284
3,580,872
bpost SA
599,904
2,178,450
Cofinimmo SA
24,041
1,586,813
Deme Group NV
2,075
366,726
D'ieteren Group
15,708
3,403,698
Elia Group SA
25,874
2,623,494
Fagron
46,242
944,770
KBC Ancora
25,999
1,301,150
Lotus Bakeries NV
94
998,013
Melexis NV
12,982
1,164,807
Ontex Group NV *
294,313
2,904,310
Recticel SA
76,447
1,141,954
Sofina SA
12,850
3,099,680
Solvay SA
114,057
4,164,074
Tessenderlo Group SA
9,360
258,603
Warehouses De Pauw CVA
40,935
1,189,188
 
37,430,618
 
Canada 7.0%
ADENTRA, Inc.
39,375
1,116,706
Advantage Energy Ltd. *
124,109
1,055,220
Aecon Group, Inc.
228,380
2,752,656
Ag Growth International, Inc.
16,194
617,752
Air Canada *
125,886
1,680,758
Alamos Gold, Inc., Class A
166,950
2,791,175
Algoma Steel Group, Inc.
400,092
3,078,873
Allied Properties Real Estate Investment
Trust
140,067
1,735,489
Altus Group Ltd.
23,456
808,394
Aritzia, Inc. *
42,334
1,057,457
Artis Real Estate Investment Trust (a)
248,806
1,184,573
Athabasca Oil Corp. *
60,397
221,978
ATS Corp. *
26,844
855,054
AutoCanada, Inc. *
91,242
1,372,161
Badger Infrastructure Solution
34,138
1,025,029
Baytex Energy Corp.
578,078
2,124,616
Birchcliff Energy Ltd.
333,101
1,517,483
BlackBerry Ltd. *
202,395
564,209
Boardwalk Real Estate Investment Trust
19,901
1,027,351
Bombardier, Inc., Class B *
70,927
4,773,908
Boralex, Inc., Class A
45,069
1,143,628
Boyd Group Services, Inc.
9,794
1,639,291
Brookfield Renewable Corp., Class A (a)
74,735
2,355,840
BRP, Inc.
31,313
1,956,215
CAE, Inc. *
178,211
3,345,501
Cameco Corp.
72,112
4,000,903
Canaccord Genuity Group, Inc.
190,705
1,296,875
Canada Goose Holdings, Inc. *
48,471
700,494
Canadian Apartment Properties REIT
89,441
2,926,361
Canadian Western Bank
110,059
2,045,112
Canfor Corp. *
275,262
3,024,924
Capital Power Corp.
128,455
3,706,221
SECURITY
NUMBER
OF SHARES
VALUE ($)
Capstone Copper Corp. *
71,517
503,659
Cardinal Energy Ltd.
34,108
176,401
Cascades, Inc.
392,703
2,805,947
Celestica, Inc. *
193,741
10,828,689
Centerra Gold, Inc.
653,894
4,494,727
CES Energy Solutions Corp.
496,464
2,629,549
Chartwell Retirement Residences
207,694
1,899,970
Chemtrade Logistics Income Fund
241,291
1,655,042
Choice Properties Real Estate
Investment Trust
153,740
1,432,343
Chorus Aviation, Inc. *
418,553
684,718
Cineplex, Inc. *
117,028
667,063
Cogeco Communications, Inc.
25,429
975,821
Cogeco, Inc.
33,158
1,154,200
Colliers International Group, Inc.
12,525
1,404,244
Crombie Real Estate Investment Trust
140,657
1,302,198
Definity Financial Corp.
29,259
927,900
Descartes Systems Group, Inc. *
11,914
1,100,023
Doman Building Materials Group Ltd.
227,096
1,196,163
Dream Industrial Real Estate Investment
Trust
83,910
755,292
Dundee Precious Metals, Inc.
170,181
1,404,494
Eldorado Gold Corp. *
151,907
2,456,098
Element Fleet Management Corp.
218,542
3,882,982
Enerflex Ltd.
332,718
1,728,088
Enerplus Corp.
155,337
3,157,678
Enghouse Systems Ltd.
32,467
651,174
Ensign Energy Services, Inc. *
665,441
1,147,186
EQB, Inc.
13,251
851,742
Equinox Gold Corp. *
204,996
1,112,842
ERO Copper Corp. *
47,870
1,019,101
Exchange Income Corp.
26,167
850,766
Fiera Capital Corp.
154,515
791,193
First Capital Real Estate Investment
Trust
244,060
2,572,822
First Majestic Silver Corp.
36,662
262,496
FirstService Corp.
12,735
1,869,401
Fortuna Silver Mines, Inc. *
308,141
1,930,473
GFL Environmental, Inc.
56,092
1,765,695
Gibson Energy, Inc.
255,400
4,268,064
goeasy Ltd.
8,540
1,143,595
Granite Real Estate Investment Trust
21,364
1,056,642
H&R Real Estate Investment Trust
452,395
3,053,247
Hudbay Minerals, Inc.
413,349
4,032,969
IAMGOLD Corp. *
917,805
3,608,873
IGM Financial, Inc.
99,895
2,668,215
Innergex Renewable Energy, Inc.
161,483
1,156,200
International Petroleum Corp. *
115,889
1,548,134
Kelt Exploration Ltd. *
146,266
675,990
Killam Apartment Real Estate
Investment Trust
71,335
902,710
Labrador Iron Ore Royalty Corp.
7,406
164,077
Laurentian Bank of Canada
71,936
1,316,659
Major Drilling Group International, Inc. *
24,771
180,628
Maple Leaf Foods, Inc.
122,226
2,026,415
Martinrea International, Inc.
313,179
2,754,661
Mattr Corp. *
103,366
1,270,890
MDA Space Ltd. *
14,335
123,879
Mullen Group Ltd.
161,698
1,543,257
NFI Group, Inc. *
247,371
2,809,158
North American Construction Group Ltd.
5,834
123,600
North West Co., Inc. (a)
81,719
2,257,067
NorthWest Healthcare Properties Real
Estate Investment Trust
290,828
1,081,684
NuVista Energy Ltd. *
146,591
1,468,975
Obsidian Energy Ltd. *
123,996
948,742
OceanaGold Corp.
1,048,484
2,407,479
Pan American Silver Corp.
230,167
5,067,169
  
45

Schwab Fundamental International Small Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Paramount Resources Ltd., Class A
39,760
956,410
Parex Resources, Inc.
201,112
3,300,352
Pason Systems, Inc.
77,055
932,133
Peyto Exploration & Development Corp.
185,414
2,079,727
PrairieSky Royalty Ltd.
61,892
1,258,135
Precision Drilling Corp. *
31,403
2,337,573
Premium Brands Holdings Corp.
38,894
2,550,800
Primo Water Corp.
186,605
4,209,444
Quebecor, Inc., Class B
79,080
1,667,865
RB Global, Inc.
67,669
4,917,501
Richelieu Hardware Ltd.
49,745
1,388,182
Secure Energy Services, Inc.
304,174
2,521,488
Shopify, Inc., Class A *
50,954
3,015,038
Sienna Senior Living, Inc.
104,375
1,099,530
Sleep Country Canada Holdings, Inc.
52,403
986,052
SmartCentres Real Estate Investment
Trust
127,271
2,087,650
Spartan Delta Corp.
85,597
269,384
SSR Mining, Inc.
273,991
1,461,259
Stantec, Inc.
56,794
4,583,017
Stella-Jones, Inc.
62,057
3,703,890
Superior Plus Corp.
302,935
2,088,977
Tamarack Valley Energy Ltd.
89,780
252,911
TMX Group Ltd.
103,929
2,788,925
Torex Gold Resources, Inc. *
198,696
3,126,603
TransAlta Corp.
365,682
2,626,290
Transcontinental, Inc., Class A
309,277
3,106,043
Trican Well Service Ltd.
353,420
1,161,517
Westshore Terminals Investment Corp.
43,759
740,900
Whitecap Resources, Inc. (a)
233,025
1,823,993
Winpak Ltd.
33,811
1,081,932
 
237,332,887
 
Denmark 2.0%
Alm Brand AS
609,914
1,214,378
Ambu AS, Class B *
12,346
236,113
D/S Norden AS
52,344
2,535,416
Demant AS *
49,066
2,349,501
Dfds AS
63,447
1,970,627
FLSmidth & Co. AS (a)
76,180
4,372,974
Genmab AS *
10,545
2,972,865
GN Store Nord AS *
130,046
4,111,079
H Lundbeck AS
393,495
2,161,425
ISS AS
272,425
5,281,414
Jyske Bank AS
43,069
3,541,704
Matas AS
57,178
986,990
NKT AS *
26,906
2,322,217
Novonesis (Novozymes) B, Class B
161,121
9,581,853
Per Aarsleff Holding AS
41,562
2,277,511
Ringkjoebing Landbobank AS
6,893
1,233,992
Rockwool AS, Class B
9,043
3,790,566
Royal Unibrew AS *
37,291
3,055,705
Scandinavian Tobacco Group AS,
A Shares
109,597
1,548,877
Schouw & Co. AS
27,201
2,268,499
Solar AS, B Shares
18,013
926,775
Spar Nord Bank AS
51,564
954,625
Sydbank AS
48,818
2,596,256
Topdanmark AS
39,011
1,663,618
TORM PLC, Class A
5,715
211,775
Tryg AS
183,990
3,781,185
 
67,947,940
 
Finland 1.2%
Cargotec OYJ, B Shares
62,211
5,166,522
Kemira OYJ
170,022
4,001,603
Kojamo OYJ *
148,100
1,620,635
SECURITY
NUMBER
OF SHARES
VALUE ($)
Konecranes OYJ
100,314
5,728,184
Mandatum OYJ (a)
503,517
2,259,171
Metsa Board OYJ, B Shares
261,651
2,209,895
Metso OYJ
284,848
3,460,293
Nokian Renkaat OYJ
596,498
5,453,733
Orion OYJ, B Shares
82,854
3,371,186
TietoEVRY OYJ
145,224
2,922,926
Tokmanni Group Corp.
81,264
1,201,559
YIT OYJ
929,424
2,419,539
 
39,815,246
 
France 4.1%
Aeroports de Paris SA
20,429
2,907,498
Air France-KLM *(a)
237,280
2,698,266
Alten SA
23,678
3,025,458
Amundi SA *(a)
74,514
5,715,045
Beneteau SACA (a)
62,670
910,302
BioMerieux
25,131
2,650,466
Carmila SA
59,231
1,143,274
Chargeurs SA *
11,765
166,548
Clariane SE (a)
1,042,563
3,639,888
Coface SA
136,634
2,091,450
Covivio SA
61,376
3,184,902
Dassault Aviation SA
11,888
2,568,216
Derichebourg SA
334,512
1,891,991
Elior Group SA *
903,001
3,603,574
Eramet SA *
19,091
2,184,434
Euroapi SA *
23,355
91,529
Euronext NV
32,419
3,179,783
Eutelsat Communications SACA *(a)
727,861
3,660,047
Fnac Darty SA
111,725
4,184,457
Gaztransport Et Technigaz SA
12,876
1,871,678
Gecina SA
30,994
3,331,060
Getlink SE
140,653
2,471,333
ICADE
76,368
2,347,871
ID Logistics Group SACA *
378
166,400
Imerys SA
105,653
4,101,559
Ipsen SA
22,633
2,963,187
IPSOS SA
53,207
3,861,356
JCDecaux SE *
125,619
2,972,908
La Francaise des Jeux SAEM
50,183
1,795,616
Mercialys SA
168,124
2,122,653
Mersen SA
6,336
263,097
Metropole Television SA
170,196
2,586,706
Nexans SA
41,762
5,036,919
Nexity SA *
236,947
3,210,225
Opmobility
226,121
2,668,333
Quadient SA
99,311
2,388,035
Remy Cointreau SA
11,572
1,074,099
Sartorius Stedim Biotech
4,886
968,819
SEB SA
37,087
4,565,669
SMCP SA *
193,969
545,383
Societe BIC SA *
47,606
3,555,656
SOITEC *
6,182
744,941
Sopra Steria Group
16,721
3,946,312
SPIE SA
139,012
5,725,577
Technip Energies NV
48,520
1,164,080
Television Francaise 1 SA
323,707
3,173,288
Trigano SA
12,007
1,822,264
Ubisoft Entertainment SA *
144,153
3,508,560
Vallourec SACA *
116,561
2,065,742
Verallia SA
75,407
3,107,474
Vicat SACA
55,598
2,200,019
Virbac SACA
3,116
1,211,017
Viridien *
4,813,322
3,300,325
Worldline SA *
192,884
2,565,086
 
138,900,375
 
46
  

Schwab Fundamental International Small Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Germany 3.4%
1&1 AG
154,262
2,923,970
AIXTRON SE
23,379
531,462
Aroundtown SA *
1,571,375
3,672,768
Auto1 Group SE *
205,077
1,551,742
Bechtle AG *
83,069
4,025,620
Befesa SA
42,389
1,518,577
Bilfinger SE
71,399
3,891,038
BRANICKS Group AG *(a)
196,403
528,773
CANCOM SE
66,839
2,234,860
Carl Zeiss Meditec AG, Bearer Shares
14,566
1,338,557
Ceconomy AG *
983,093
3,314,864
CompuGroup Medical SE & Co. KGaA
18,464
555,233
CTS Eventim AG & Co. KGaA
14,901
1,284,416
Delivery Hero SE *
41,063
1,244,171
Deutsche Pfandbriefbank AG *(a)
318,567
1,981,641
Deutsche Wohnen SE
37,377
726,319
Deutz AG
406,046
2,300,993
Duerr AG
95,299
2,425,022
DWS Group GmbH & Co. KGaA
50,681
2,347,122
Encavis AG *
50,197
934,024
Evotec SE *
45,511
427,615
Fielmann Group AG
23,574
1,123,485
Fraport AG Frankfurt Airport Services
Worldwide *
38,456
2,216,809
Gerresheimer AG
26,190
2,985,344
Grand City Properties SA *
181,063
2,215,253
Grenke AG
36,728
861,233
Heidelberger Druckmaschinen AG *(a)
576,135
728,026
HelloFresh SE *
167,588
1,000,270
Hensoldt AG
19,005
770,805
HOCHTIEF AG
31,834
3,459,353
Hornbach Holding AG & Co. KGaA
43,246
3,638,457
Hugo Boss AG
53,702
2,839,738
Jenoptik AG
44,727
1,329,453
Kontron AG
45,189
1,065,521
Krones AG *
17,711
2,422,609
LEG Immobilien SE
54,056
4,767,421
Mutares SE & Co. KGaA
7,851
356,263
Nemetschek SE
9,066
822,303
Nordex SE *
108,186
1,693,581
Norma Group SE
109,425
2,162,009
Qiagen NV *
80,547
3,442,583
Rational AG
1,728
1,461,339
RTL Group SA
104,989
3,504,762
SAF-Holland SE *
91,175
1,744,019
Sartorius AG
431
90,959
Scout24 SE
31,038
2,331,683
Siltronic AG
33,372
2,702,656
Sixt SE *
23,111
1,891,733
Stabilus SE
30,315
1,885,740
Stroeer SE & Co. KGaA
30,965
2,201,821
Suedzucker AG
132,424
2,024,133
Synlab AG *
59,995
721,646
TAG Immobilien AG *
230,862
3,573,894
Talanx AG
56,152
4,459,120
TeamViewer SE *
43,119
542,528
Traton SE
31,765
1,129,353
Varta AG *(a)
9,017
104,153
Verbio SE (a)
8,093
197,504
Vitesco Technologies Group AG, Class A
18,662
1,298,631
Wacker Chemie AG
21,162
2,340,995
 
113,865,972
 
Hong Kong 2.5%
AAC Technologies Holdings, Inc.
1,718,285
5,282,233
ASMPT Ltd.
402,567
4,798,376
SECURITY
NUMBER
OF SHARES
VALUE ($)
BOC Aviation Ltd.
236,174
1,750,924
Brightoil Petroleum Holdings Ltd. *(b)
2,380,161
0
Budweiser Brewing Co. APAC Ltd.
1,079,314
1,363,051
Cafe de Coral Holdings Ltd.
215,832
227,327
Cathay Pacific Airways Ltd.
1,493,562
1,563,559
Chow Tai Fook Jewellery Group Ltd.
1,676,106
2,151,010
CITIC Telecom International Holdings
Ltd.
3,101,929
1,015,030
CK Infrastructure Holdings Ltd.
211,729
1,220,574
Cowell e Holdings, Inc. *(a)
494,946
1,344,386
ESR Group Ltd.
186,784
262,627
Fortune Real Estate Investment Trust
1,398,632
711,531
Giordano International Ltd.
786,688
196,085
Hang Lung Properties Ltd. (a)
2,018,264
1,839,394
Henderson Land Development Co. Ltd.
1,546,144
4,802,457
HKBN Ltd.
2,453,834
812,367
Hysan Development Co. Ltd.
729,671
1,128,547
IGG, Inc. *
4,007,059
1,562,186
Jinchuan Group International Resources
Co. Ltd. (a)
23,787,722
2,645,327
Kerry Properties Ltd.
2,229,526
4,018,268
L'Occitane International SA
338,439
1,405,954
Luk Fook Holdings International Ltd.
792,026
1,939,734
Man Wah Holdings Ltd.
2,340,574
1,944,657
Melco International Development Ltd. *
2,043,961
1,609,387
MMG Ltd. *(a)
7,860,685
3,838,230
Nexteer Automotive Group Ltd.
3,469,606
1,787,279
NWS Holdings Ltd. (a)
1,715,763
1,462,818
Powerlong Real Estate Holdings Ltd. *(a)
30,183,895
2,816,472
PRADA SpA
251,751
2,075,574
Samsonite International SA *
604,438
1,916,067
Sands China Ltd. *
1,327,584
3,163,116
Sino Land Co. Ltd.
3,935,176
4,174,933
SJM Holdings Ltd. *
3,038,084
1,106,756
Swire Properties Ltd.
915,448
1,677,993
Texhong International Group Ltd. *
2,274,033
1,281,866
Theme International Holdings Ltd.
3,909,648
289,850
United Energy Group Ltd. (a)
10,533,604
861,716
United Laboratories International
Holdings Ltd.
882,515
1,015,247
Vitasoy International Holdings Ltd.
995,041
844,532
VSTECS Holdings Ltd.
3,770,966
2,222,086
VTech Holdings Ltd.
456,432
3,270,084
Wharf Holdings Ltd.
1,342,992
3,991,201
Wynn Macau Ltd. *
1,218,113
1,155,310
 
84,546,121
 
Ireland 0.3%
AIB Group PLC
725,828
4,113,144
Cairn Homes PLC
1,271,391
2,313,251
Dalata Hotel Group PLC
166,836
762,503
Glenveagh Properties PLC *
111,017
167,041
Irish Continental Group PLC
145,433
874,666
 
8,230,605
 
Israel 1.3%
Alony Hetz Properties & Investments
Ltd.
111,183
732,195
Ashtrom Group Ltd. *
48,033
600,106
Azrieli Group Ltd.
15,395
927,764
Bezeq The Israeli Telecommunication
Corp. Ltd.
2,528,969
3,038,597
Cellcom Israel Ltd. *
247,037
970,140
Clal Insurance Enterprises Holdings
Ltd. *
87,055
1,418,040
Danel Adir Yeoshua Ltd. *
1,596
146,074
  
47

Schwab Fundamental International Small Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Delek Automotive Systems Ltd.
154,324
822,165
Delek Group Ltd.
14,181
1,611,589
Delta Galil Ltd.
3,005
133,760
Elbit Systems Ltd.
12,613
2,383,393
Electra Ltd.
376
132,903
Fattal Holdings 1998 Ltd. *
1,087
124,732
FIBI Holdings Ltd.
31,746
1,348,243
First International Bank Of Israel Ltd.
41,808
1,692,413
Formula Systems 1985 Ltd.
12,706
976,780
Fox Wizel Ltd.
2,098
158,747
G City Ltd. *
312,694
773,268
Harel Insurance Investments & Financial
Services Ltd.
189,246
1,615,074
Isracard Ltd.
243,988
840,773
Melisron Ltd.
2,337
154,154
Migdal Insurance & Financial Holdings
Ltd.
139,418
166,539
Mivne Real Estate KD Ltd. (a)
336,825
780,791
Mizrahi Tefahot Bank Ltd.
92,883
3,367,986
Nice Ltd. *
17,585
3,337,572
Nova Ltd. *
1,051
226,060
Partner Communications Co. Ltd. *
190,455
883,599
Paz Oil Co. Ltd.
21,984
2,209,450
Phoenix Holdings Ltd.
179,133
1,705,478
Rami Levy Chain Stores Hashikma
Marketing 2006 Ltd.
11,839
660,957
Shikun & Binui Ltd. *
353,439
731,712
Shufersal Ltd.
606,215
3,992,223
Strauss Group Ltd.
45,011
736,451
Tower Semiconductor Ltd. *
99,384
3,694,543
 
43,094,271
 
Italy 2.4%
ACEA SpA
105,375
1,989,330
Amplifon SpA
46,637
1,713,795
Anima Holding SpA
494,852
2,633,409
Ariston Holding NV
28,431
143,891
Azimut Holding SpA
122,952
3,262,169
Banca Generali SpA
46,995
1,965,204
Banca Mediolanum SpA
225,336
2,580,790
Banca Monte dei Paschi di Siena SpA
422,523
2,265,932
Banca Popolare di Sondrio SpA
428,350
3,345,794
BFF Bank SpA
129,983
1,292,563
Brembo NV
170,460
1,971,907
Brunello Cucinelli SpA
1,260
126,458
Buzzi SpA
119,540
5,032,580
Cementir Holding NV
84,554
925,261
Credito Emiliano SpA
84,898
885,708
Danieli & C Officine Meccaniche SpA
13,706
549,788
Davide Campari-Milano NV
159,662
1,590,120
De' Longhi SpA
76,402
2,672,390
DiaSorin SpA
12,443
1,336,493
doValue SpA *
195,130
515,602
Enav SpA
310,008
1,270,792
ERG SpA
52,076
1,454,046
Esprinet SpA *
242,028
1,302,167
FinecoBank Banca Fineco SpA
236,680
3,814,270
Infrastrutture Wireless Italiane SpA
95,501
1,041,942
Interpump Group SpA
49,655
2,321,168
Iren SpA
1,743,798
3,576,002
Italgas SpA
744,344
3,965,956
Maire SpA
211,512
1,737,055
MFE-MediaForEurope NV, Class A
877,453
3,006,287
MFE-MediaForEurope NV, Class B
299,036
1,360,214
Nexi SpA *
208,590
1,379,051
OVS SpA
565,009
1,672,056
Piaggio & C SpA
256,303
789,096
SECURITY
NUMBER
OF SHARES
VALUE ($)
Recordati Industria Chimica e
Farmaceutica SpA
54,612
2,869,479
Reply SpA
11,587
1,589,966
Saipem SpA *
788,399
1,956,554
Salvatore Ferragamo SpA
71,558
725,562
Saras SpA
2,338,789
4,125,856
Sesa SpA
1,114
128,434
SOL SpA
8,260
299,500
Technogym SpA
92,894
938,369
Unieuro SpA (a)
110,606
1,161,114
Webuild SpA
549,401
1,253,695
 
80,537,815
 
Japan 35.0%
77 Bank Ltd.
66,207
1,973,845
ABC-Mart, Inc.
102,491
1,970,968
Acom Co. Ltd.
741,195
1,897,501
Activia Properties, Inc.
422
990,919
Adastria Co. Ltd.
61,240
1,410,728
ADEKA Corp. (a)
223,214
4,789,701
Advance Residence Investment Corp.
626
1,288,689
Aeon Delight Co. Ltd.
62,175
1,622,180
AEON Financial Service Co. Ltd.
287,211
2,411,626
Aeon Hokkaido Corp.
137,475
816,215
Aeon Mall Co. Ltd.
235,439
2,833,898
AEON REIT Investment Corp.
1,297
1,099,369
Ahresty Corp.
40,036
187,002
Ai Holdings Corp.
42,709
669,940
Aica Kogyo Co. Ltd.
105,944
2,329,966
Aichi Steel Corp.
77,821
1,847,162
Aida Engineering Ltd.
139,141
793,346
Aiful Corp.
389,081
1,002,754
Ain Holdings, Inc.
82,646
3,076,643
Aisan Industry Co. Ltd.
26,524
230,394
Alconix Corp.
146,616
1,356,579
Alpen Co. Ltd.
70,059
896,106
Amano Corp.
105,199
2,527,132
ANA Holdings, Inc.
168,260
3,203,627
Anritsu Corp.
284,731
2,090,932
AOKI Holdings, Inc.
149,574
1,204,054
Aoyama Trading Co. Ltd.
209,119
2,053,330
Aozora Bank Ltd.
176,499
2,656,835
Arata Corp.
181,068
3,704,436
ARCLANDS Corp.
94,000
1,147,895
Arcs Co. Ltd.
203,598
3,842,767
ARE Holdings, Inc.
142,771
1,870,664
Ariake Japan Co. Ltd.
21,604
727,259
Artience Co. Ltd.
131,684
2,819,795
As One Corp.
45,950
727,943
Asahi Intecc Co. Ltd.
55,645
800,974
Asanuma Corp.
42,079
959,962
Asics Corp.
99,785
5,524,385
ASKUL Corp.
76,260
1,078,302
Autobacs Seven Co. Ltd.
192,827
1,888,452
Avex, Inc.
111,941
854,811
Awa Bank Ltd.
48,889
905,323
Axial Retailing, Inc.
58,896
375,912
Azbil Corp.
126,770
3,497,882
Bando Chemical Industries Ltd.
27,508
319,639
BayCurrent Consulting, Inc.
31,118
634,459
Belc Co. Ltd.
28,166
1,315,590
Bell System24 Holdings, Inc.
61,435
629,421
Belluna Co. Ltd.
228,910
1,042,983
Bic Camera, Inc.
507,444
5,072,987
BIPROGY, Inc.
88,940
2,349,359
BML, Inc.
58,468
1,041,779
Bunka Shutter Co. Ltd.
154,920
1,790,287
C Uyemura & Co. Ltd.
11,852
782,114
48
  

Schwab Fundamental International Small Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Calbee, Inc.
135,786
2,671,738
Canon Electronics, Inc.
51,948
759,658
Canon Marketing Japan, Inc.
117,505
3,312,528
Capcom Co. Ltd.
98,690
1,821,254
Casio Computer Co. Ltd. (a)
496,181
3,694,243
Cawachi Ltd.
79,030
1,462,466
Central Glass Co. Ltd.
87,288
1,996,884
Chiba Bank Ltd.
457,712
4,350,077
Chori Co. Ltd.
11,296
255,543
Chudenko Corp.
72,360
1,510,330
Chugin Financial Group, Inc.
44,576
481,799
Chugoku Marine Paints Ltd.
87,798
1,107,916
Citizen Watch Co. Ltd.
540,686
3,499,174
CKD Corp.
107,365
2,090,661
Colowide Co. Ltd.
55,201
700,090
Comforia Residential REIT, Inc.
324
661,835
Concordia Financial Group Ltd.
1,049,520
6,308,006
Cosmos Pharmaceutical Corp.
29,074
2,347,826
Create SD Holdings Co. Ltd.
53,961
1,155,485
Credit Saison Co. Ltd.
259,369
5,619,978
CTI Engineering Co. Ltd.
5,924
188,300
CyberAgent, Inc.
641,038
3,856,957
Dai-Dan Co. Ltd.
22,384
465,784
Daihen Corp.
37,463
1,995,388
Daiho Corp.
28,790
623,818
Daiichikosho Co. Ltd.
112,096
1,171,999
Daiki Aluminium Industry Co. Ltd.
130,385
1,099,368
Daikokutenbussan Co. Ltd.
16,949
921,089
Daio Paper Corp.
326,187
1,837,416
Daiseki Co. Ltd.
40,894
841,847
Daishi Hokuetsu Financial Group, Inc.
52,406
1,677,446
Daiwa House REIT Investment Corp.
1,143
1,809,656
Daiwa Office Investment Corp.
336
594,834
Daiwa Securities Living Investments
Corp.
1,003
663,156
DCM Holdings Co. Ltd.
360,330
3,503,670
DeNA Co. Ltd.
144,442
1,353,009
Descente Ltd.
34,397
733,272
Dexerials Corp.
41,305
1,733,209
DMG Mori Co. Ltd.
141,196
4,014,533
Doshisha Co. Ltd.
64,200
908,184
Doutor Nichires Holdings Co. Ltd.
73,238
1,004,346
DTS Corp.
56,827
1,506,153
Duskin Co. Ltd.
94,646
2,197,736
DyDo Group Holdings, Inc.
49,438
802,862
Eagle Industry Co. Ltd.
92,743
1,111,889
Earth Corp.
39,444
1,178,463
Eizo Corp.
37,760
1,201,438
Elecom Co. Ltd.
79,897
788,573
Elematec Corp.
12,096
154,794
en Japan, Inc.
42,287
720,368
eRex Co. Ltd. *
120,203
530,088
Exedy Corp.
151,699
2,483,830
Ezaki Glico Co. Ltd.
131,393
3,394,671
Fancl Corp.
75,836
952,142
FCC Co. Ltd.
151,509
2,163,519
Ferrotec Holdings Corp.
73,712
1,258,984
Food & Life Cos. Ltd.
75,281
1,365,305
Foster Electric Co. Ltd.
150,388
1,675,710
FP Corp.
80,585
1,252,530
Frontier Real Estate Investment Corp.
276
785,962
F-Tech, Inc.
50,764
211,268
Fuji Co. Ltd.
90,372
1,116,243
Fuji Corp.
169,603
2,736,507
Fuji Media Holdings, Inc.
136,593
1,550,682
Fuji Oil Co. Ltd.
474,783
1,571,079
Fuji Oil Holdings, Inc.
139,234
2,189,805
Fuji Seal International, Inc.
145,829
2,242,952
Fuji Soft, Inc.
46,372
1,912,187
SECURITY
NUMBER
OF SHARES
VALUE ($)
Fujimi, Inc.
38,811
731,789
Fujitec Co. Ltd.
92,407
2,426,239
Fujitsu General Ltd.
85,199
1,168,101
Fukuda Denshi Co. Ltd.
6,032
237,219
Fukuoka Financial Group, Inc.
154,690
4,507,465
Fukuoka REIT Corp.
683
701,928
Fukushima Galilei Co. Ltd.
3,624
139,753
Fukuyama Transporting Co. Ltd.
94,965
2,275,244
Furukawa Co. Ltd.
28,800
363,242
Furuno Electric Co. Ltd.
10,788
141,350
Fuso Chemical Co. Ltd.
23,791
582,115
Futaba Industrial Co. Ltd.
84,980
486,156
Fuyo General Lease Co. Ltd.
16,053
1,268,753
Gakken Holdings Co. Ltd.
116,277
727,356
Geo Holdings Corp.
129,694
1,429,444
GLOBERIDE, Inc.
61,508
812,957
Glory Ltd.
132,497
2,307,283
GLP J-Reit
1,866
1,549,607
GMO internet group, Inc.
57,690
908,972
Godo Steel Ltd.
30,000
1,000,350
Goldwin, Inc.
18,841
980,027
GS Yuasa Corp.
237,816
5,047,035
G-Tekt Corp.
130,699
1,626,824
GungHo Online Entertainment, Inc.
58,613
985,431
Gunma Bank Ltd.
459,630
3,163,256
Gunze Ltd.
52,581
1,793,466
H.U. Group Holdings, Inc.
172,912
2,754,136
H2O Retailing Corp.
340,831
5,398,380
Hachijuni Bank Ltd.
396,667
2,742,554
Hagiwara Electric Holdings Co. Ltd.
7,056
180,278
Hakuto Co. Ltd.
20,594
665,739
Halows Co. Ltd.
4,532
125,452
Hamamatsu Photonics KK
70,193
2,064,986
Happinet Corp.
75,993
1,711,892
Harmonic Drive Systems, Inc.
23,317
617,998
Hazama Ando Corp.
452,360
3,270,107
Heiwa Corp.
89,244
1,144,904
Heiwa Real Estate Co. Ltd.
31,672
763,861
Heiwado Co. Ltd.
170,885
2,580,484
Hikari Tsushin, Inc.
21,892
3,585,861
Hirata Corp.
15,348
676,838
Hirogin Holdings, Inc.
56,680
460,596
Hirose Electric Co. Ltd.
31,086
3,461,803
Hisamitsu Pharmaceutical Co., Inc.
78,597
1,868,582
Hitachi Zosen Corp.
441,053
3,115,396
Hogy Medical Co. Ltd.
33,622
846,193
Hokkaido Electric Power Co., Inc.
1,203,024
12,627,752
Hokkoku Financial Holdings, Inc.
8,248
273,980
Hokuetsu Corp.
329,441
2,563,915
Hokuhoku Financial Group, Inc.
220,875
3,182,163
Hokuriku Electric Power Co. (a)
717,400
5,302,492
Horiba Ltd.
50,385
4,001,431
Hoshizaki Corp.
103,184
3,696,751
Hosiden Corp.
220,125
2,804,354
Hosokawa Micron Corp.
24,355
666,432
House Foods Group, Inc.
147,637
2,712,323
Hulic Co. Ltd.
404,562
3,738,102
Hulic Reit, Inc.
663
609,228
Hyakugo Bank Ltd.
239,883
1,073,135
Hyakujushi Bank Ltd.
45,447
999,201
Ibiden Co. Ltd.
87,587
3,529,788
Ichikoh Industries Ltd.
46,084
164,224
Idec Corp.
37,513
660,049
IDOM, Inc.
180,208
1,528,634
Iino Kaiun Kaisha Ltd.
136,313
1,135,472
Inaba Denki Sangyo Co. Ltd.
151,255
3,729,760
Inabata & Co. Ltd.
175,387
3,733,301
Inageya Co. Ltd.
28,240
211,694
  
49

Schwab Fundamental International Small Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Industrial & Infrastructure Fund
Investment Corp.
1,011
806,767
Integrated Design & Engineering
Holdings Co. Ltd.
44,178
1,218,694
Internet Initiative Japan, Inc.
92,567
1,304,462
Invincible Investment Corp.
1,972
857,091
Iriso Electronics Co. Ltd.
32,956
636,492
Ishihara Sangyo Kaisha Ltd.
119,184
1,243,072
Ito En Ltd.
84,676
2,021,189
Itochu Enex Co. Ltd.
245,902
2,406,677
Itoham Yonekyu Holdings, Inc.
164,764
4,345,966
Itoki Corp.
14,120
137,655
Iyogin Holdings, Inc.
51,132
480,750
Izumi Co. Ltd.
169,519
3,637,520
J Front Retailing Co. Ltd.
431,708
4,186,726
Jaccs Co. Ltd.
47,301
1,462,871
JAFCO Group Co. Ltd.
107,229
1,218,349
Japan Airlines Co. Ltd.
193,475
3,259,570
Japan Airport Terminal Co. Ltd.
20,002
702,224
Japan Aviation Electronics Industry Ltd.
99,258
1,540,553
Japan Excellent, Inc.
1,104
844,448
Japan Hotel REIT Investment Corp.
1,849
920,117
Japan Lifeline Co. Ltd.
114,454
829,572
Japan Logistics Fund, Inc.
395
682,694
Japan Metropolitan Fund Invest
4,288
2,524,038
Japan Petroleum Exploration Co. Ltd.
67,360
2,824,795
Japan Prime Realty Investment Corp.
571
1,193,633
Japan Real Estate Investment Corp.
769
2,534,869
Japan Steel Works Ltd.
118,852
3,578,153
Japan Wool Textile Co. Ltd.
158,207
1,362,144
Jeol Ltd.
31,483
1,349,515
JM Holdings Co. Ltd.
8,972
171,167
J-Oil Mills, Inc.
18,452
227,443
Joshin Denki Co. Ltd.
158,489
2,663,587
Joyful Honda Co. Ltd.
175,376
2,367,065
Juki Corp.
205,288
649,261
Juroku Financial Group, Inc.
9,172
279,284
JVCKenwood Corp.
511,100
2,803,578
Kadokawa Corp.
75,570
1,560,018
Kaga Electronics Co. Ltd.
45,412
1,652,974
Kagome Co. Ltd.
86,196
1,960,932
Kakaku.com, Inc.
103,883
1,256,353
Kaken Pharmaceutical Co. Ltd.
71,436
1,625,147
Kameda Seika Co. Ltd.
29,349
741,452
Kamei Corp.
44,876
587,133
Kamigumi Co. Ltd.
187,825
3,813,991
Kanamoto Co. Ltd.
125,119
2,099,582
Kandenko Co. Ltd.
386,830
4,608,137
Kanematsu Corp.
307,460
5,265,041
Kansai Paint Co. Ltd.
244,415
4,075,009
Kanto Denka Kogyo Co. Ltd.
146,005
815,759
Katitas Co. Ltd.
50,838
515,352
Kato Sangyo Co. Ltd.
115,317
3,038,037
Kawada Technologies, Inc.
9,680
167,611
KDX Realty Investment Corp.
2,091
2,015,887
Keihan Holdings Co. Ltd.
109,601
2,032,373
Keikyu Corp.
315,591
2,326,591
Keio Corp.
130,444
3,141,049
Keisei Electric Railway Co. Ltd.
63,908
2,295,312
Keiyo Bank Ltd.
184,749
1,034,580
KH Neochem Co. Ltd.
83,947
1,207,828
Kissei Pharmaceutical Co. Ltd.
34,377
687,999
Kitz Corp.
212,022
1,513,816
Kiyo Bank Ltd.
92,438
1,119,409
Koa Corp.
61,944
582,604
Kobayashi Pharmaceutical Co. Ltd.
57,157
1,974,644
Kobe Bussan Co. Ltd.
64,906
1,437,766
Koei Tecmo Holdings Co. Ltd.
72,806
633,801
Kohnan Shoji Co. Ltd.
92,650
2,476,248
SECURITY
NUMBER
OF SHARES
VALUE ($)
Kojima Co. Ltd.
153,932
857,110
Kokuyo Co. Ltd.
192,385
3,304,867
Komeri Co. Ltd.
103,586
2,465,313
Komori Corp.
20,876
169,777
Konami Group Corp.
69,329
4,837,523
Konishi Co. Ltd.
22,992
179,231
Konoike Transport Co. Ltd.
104,452
1,501,525
Kose Corp.
36,685
2,423,178
KPP Group Holdings Co. Ltd.
231,187
1,213,715
Kumagai Gumi Co. Ltd.
137,088
3,157,966
Kumiai Chemical Industry Co. Ltd.
156,688
766,764
Kura Sushi, Inc.
29,769
914,978
Kureha Corp.
138,594
2,542,661
Kusuri No. Aoki Holdings Co. Ltd.
61,786
1,250,307
KYB Corp.
62,788
2,177,572
Kyoei Steel Ltd.
99,828
1,356,916
Kyokuto Kaihatsu Kogyo Co. Ltd.
94,513
1,501,190
Kyorin Pharmaceutical Co. Ltd.
96,046
1,048,197
Kyoritsu Maintenance Co. Ltd.
37,408
738,186
Kyoto Financial Group, Inc.
133,928
2,401,235
Kyowa Kirin Co. Ltd.
211,979
3,582,107
Kyudenko Corp.
104,072
4,237,186
Kyushu Financial Group, Inc.
330,401
2,196,085
LaSalle Logiport REIT
653
613,752
Lasertec Corp.
4,863
1,253,001
Life Corp.
90,281
2,352,609
Lintec Corp.
152,711
3,153,439
Lion Corp.
464,212
3,727,994
M3, Inc.
148,176
1,437,018
Mabuchi Motor Co. Ltd.
167,116
2,589,503
Macnica Holdings, Inc.
95,647
3,913,648
Makino Milling Machine Co. Ltd.
47,355
2,019,017
Mandom Corp.
99,209
753,166
Marubun Corp.
86,069
675,867
Maruha Nichiro Corp.
196,549
4,087,449
Marui Group Co. Ltd.
195,284
2,902,325
Maruichi Steel Tube Ltd.
105,062
2,501,779
MARUKA FURUSATO Corp.
41,389
574,961
Maruwa Co. Ltd.
4,191
937,438
Matsuda Sangyo Co. Ltd.
77,288
1,397,278
Max Co. Ltd. (a)
56,003
1,332,853
Maxell Ltd.
114,899
1,223,240
McDonald's Holdings Co. Japan Ltd.
76,200
3,122,772
MCJ Co. Ltd.
176,363
1,542,033
Mebuki Financial Group, Inc.
1,281,871
5,137,436
Megachips Corp.
37,869
1,015,736
Megmilk Snow Brand Co. Ltd. (a)
244,240
3,949,307
Meidensha Corp.
124,896
3,401,667
Meiko Electronics Co. Ltd.
39,699
1,781,017
Meisei Industrial Co. Ltd.
25,376
209,764
MEITEC Group Holdings, Inc.
86,436
1,717,774
Menicon Co. Ltd.
56,107
465,223
METAWATER Co. Ltd.
47,172
593,759
Mimasu Semiconductor Industry Co.
Ltd.
35,848
842,905
Mirait One Corp.
320,101
3,886,555
Mirarth Holdings, Inc.
269,676
823,726
Mitsuba Corp.
35,496
243,951
Mitsubishi HC Capital, Inc.
472,498
3,128,538
Mitsubishi Logisnext Co. Ltd.
170,822
1,672,946
Mitsubishi Logistics Corp.
103,515
3,406,256
Mitsubishi Paper Mills Ltd.
45,384
214,870
Mitsubishi Pencil Co. Ltd.
63,835
952,173
Mitsubishi Shokuhin Co. Ltd.
151,400
5,019,530
Mitsuboshi Belting Ltd.
26,852
746,720
Mitsui DM Sugar Holdings Co. Ltd.
10,356
209,894
Mitsui E&S Co. Ltd.
257,146
2,405,451
Mitsui High-Tec, Inc. (a)
13,154
588,538
Mitsui Matsushima Holdings Co. Ltd.
39,982
1,193,265
50
  

Schwab Fundamental International Small Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Mitsui-Soko Holdings Co. Ltd.
65,264
1,794,142
Miura Co. Ltd.
94,250
1,943,237
MIXI, Inc.
108,600
1,981,331
Mizuho Leasing Co. Ltd.
167,829
1,135,271
Mizuno Corp.
53,756
2,787,944
Mochida Pharmaceutical Co. Ltd.
54,204
1,045,137
Modec, Inc.
86,993
1,484,713
MonotaRO Co. Ltd.
95,159
1,004,000
Mori Hills REIT Investment Corp.
762
634,737
Morinaga & Co. Ltd.
139,438
2,226,287
MOS Food Services, Inc.
34,554
754,209
Musashi Seimitsu Industry Co. Ltd.
149,660
1,639,027
Musashino Bank Ltd.
46,456
969,650
Nabtesco Corp.
222,554
3,644,677
Nachi-Fujikoshi Corp.
77,530
1,707,046
Nakanishi, Inc.
45,424
649,224
Nankai Electric Railway Co. Ltd.
138,066
2,281,259
Nanto Bank Ltd.
49,384
1,121,899
NEC Networks & System Integration
Corp.
110,214
1,561,210
NET One Systems Co. Ltd.
122,378
2,321,479
Nexon Co. Ltd.
197,618
3,384,701
Nextage Co. Ltd.
43,189
676,919
Nichias Corp.
133,629
4,043,437
Nichicon Corp.
130,137
941,588
Nichiha Corp.
76,596
1,732,787
Nichireki Co. Ltd.
10,080
155,037
Nifco, Inc.
134,201
3,200,772
Nihon Kohden Corp.
110,914
3,384,343
Nihon M&A Center Holdings, Inc.
170,768
790,676
Nihon Parkerizing Co. Ltd.
200,530
1,591,275
Nikkiso Co. Ltd.
190,058
1,481,568
Nikkon Holdings Co. Ltd.
123,733
2,349,545
Nippn Corp.
155,704
2,207,570
Nippon Accommodations Fund, Inc.
222
897,070
Nippon Building Fund, Inc.
827
3,089,179
Nippon Carbon Co. Ltd.
22,478
799,593
Nippon Chemi-Con Corp. *
98,920
1,030,463
Nippon Denko Co. Ltd.
379,307
692,743
Nippon Densetsu Kogyo Co. Ltd.
113,671
1,456,106
Nippon Electric Glass Co. Ltd.
233,344
5,486,691
Nippon Gas Co. Ltd.
128,641
1,956,077
Nippon Kanzai Holdings Co. Ltd.
37,099
605,076
Nippon Kayaku Co. Ltd.
395,892
3,218,378
Nippon Light Metal Holdings Co. Ltd.
417,020
5,042,082
Nippon Prologis REIT, Inc.
912
1,504,282
NIPPON REIT Investment Corp.
295
637,325
Nippon Road Co. Ltd.
61,349
707,010
Nippon Seiki Co. Ltd.
57,024
505,485
Nippon Sheet Glass Co. Ltd. *
626,425
1,853,623
Nippon Shinyaku Co. Ltd.
56,609
1,107,000
Nippon Shokubai Co. Ltd.
450,084
4,743,002
Nippon Soda Co. Ltd.
55,776
1,803,061
Nippon Thompson Co. Ltd.
193,935
744,171
Nippon Yakin Kogyo Co. Ltd.
39,820
1,241,643
Nipro Corp.
362,785
2,806,104
Nishimatsu Construction Co. Ltd.
73,696
2,051,267
Nishimatsuya Chain Co. Ltd.
89,907
1,314,749
Nishi-Nippon Financial Holdings, Inc.
178,998
2,483,157
Nishi-Nippon Railroad Co. Ltd.
155,080
2,442,970
Nishio Holdings Co. Ltd.
58,523
1,465,449
Nissha Co. Ltd.
140,794
1,743,518
Nisshin Oillio Group Ltd.
84,576
2,626,433
Nisshinbo Holdings, Inc.
481,575
3,334,205
Nitta Corp.
36,373
948,992
Nittetsu Mining Co. Ltd.
40,513
1,363,796
Nitto Boseki Co. Ltd.
44,289
1,950,300
Nitto Kogyo Corp.
54,567
1,196,241
Noevir Holdings Co. Ltd.
17,852
616,859
SECURITY
NUMBER
OF SHARES
VALUE ($)
NOF Corp.
211,538
2,724,572
Nojima Corp.
324,130
3,646,707
Nomura Co. Ltd.
177,193
929,123
Nomura Real Estate Holdings, Inc.
198,148
5,092,875
Nomura Real Estate Master Fund, Inc.
2,858
2,686,224
Noritake Co. Ltd.
75,774
1,928,766
Noritz Corp.
135,989
1,538,633
North Pacific Bank Ltd. (a)
415,327
1,538,199
NPR-RIKEN Corp.
14,320
251,690
NS Solutions Corp.
48,090
1,560,718
NS United Kaiun Kaisha Ltd.
33,159
1,043,439
NSD Co. Ltd.
60,847
1,140,700
NTN Corp.
1,807,220
3,680,107
NTT UD REIT Investment Corp.
871
649,599
Obic Co. Ltd.
15,573
2,018,163
Odakyu Electric Railway Co. Ltd.
285,490
2,991,246
Ogaki Kyoritsu Bank Ltd.
64,035
943,747
Oiles Corp.
63,113
905,258
Okamura Corp.
163,833
2,365,567
Oki Electric Industry Co. Ltd.
441,040
3,014,267
Okinawa Cellular Telephone Co.
39,403
895,152
Okinawa Electric Power Co., Inc.
246,910
1,769,198
OKUMA Corp.
57,688
2,467,282
Okumura Corp.
79,783
2,475,053
Onoken Co. Ltd.
135,473
1,381,929
Onward Holdings Co. Ltd.
332,010
1,358,506
Open House Group Co. Ltd.
110,036
3,171,995
Open Up Group, Inc.
10,888
143,215
Oracle Corp.
25,671
1,818,182
Organo Corp.
23,006
1,289,782
Orient Corp.
173,111
1,145,664
Oriental Land Co. Ltd.
126,756
3,538,634
Oriental Shiraishi Corp.
49,016
111,666
Orix JREIT, Inc.
1,743
1,768,012
Osaka Soda Co. Ltd.
27,907
1,642,685
OSG Corp.
153,976
1,900,878
Outsourcing, Inc. *
36,707
408,543
Pacific Industrial Co. Ltd.
180,641
1,788,650
Pack Corp.
34,724
879,452
PAL GROUP Holdings Co. Ltd.
9,680
111,741
Paramount Bed Holdings Co. Ltd.
71,033
1,205,543
Park24 Co. Ltd. *
135,197
1,404,063
Pasona Group, Inc.
62,575
870,065
Penta-Ocean Construction Co. Ltd.
797,176
3,201,995
PHC Holdings Corp.
69,749
486,461
Pigeon Corp.
180,228
1,726,069
Pilot Corp.
59,373
1,655,621
Piolax, Inc.
53,097
752,809
Pola Orbis Holdings, Inc.
141,562
1,207,121
Press Kogyo Co. Ltd.
439,113
1,880,576
Pressance Corp.
14,120
163,982
Prima Meat Packers Ltd.
152,578
2,295,297
Qol Holdings Co. Ltd.
82,911
787,192
Raito Kogyo Co. Ltd.
100,273
1,282,565
Rakuten Group, Inc. *
780,219
4,051,409
Relo Group, Inc.
99,961
1,008,229
Resorttrust, Inc.
73,549
1,141,064
Restar Corp.
21,576
411,900
Retail Partners Co. Ltd.
167,177
1,825,548
Riken Technos Corp.
32,172
208,004
Rinnai Corp.
193,225
4,634,351
Rohto Pharmaceutical Co. Ltd.
127,826
2,245,872
Round One Corp.
196,546
871,759
Ryobi Ltd.
118,189
1,895,296
Ryoyo Ryosan Holdings, Inc.
141,032
2,777,651
S Foods, Inc.
89,681
1,622,470
Saibu Gas Holdings Co. Ltd.
84,071
1,034,671
Saizeriya Co. Ltd.
29,126
954,525
Sakai Chemical Industry Co. Ltd.
80,912
1,427,268
  
51

Schwab Fundamental International Small Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Sakai Moving Service Co. Ltd.
40,900
617,098
Sakata INX Corp.
41,496
503,830
Sakata Seed Corp.
34,886
749,246
SAMTY Co. Ltd. *(b)
42,845
701,519
San-A Co. Ltd.
50,825
1,558,920
San-Ai Obbli Co. Ltd.
407,944
5,391,834
Sangetsu Corp.
96,403
1,839,169
San-In Godo Bank Ltd.
179,132
1,660,857
Sanken Electric Co. Ltd.
23,734
879,764
Sanki Engineering Co. Ltd.
176,806
2,475,250
Sankyo Co. Ltd.
170,803
1,664,608
Sanoh Industrial Co. Ltd.
115,963
743,840
Santen Pharmaceutical Co. Ltd.
494,168
5,119,511
Sanyo Chemical Industries Ltd.
42,509
1,084,738
Sanyo Denki Co. Ltd.
20,030
919,000
Sanyo Special Steel Co. Ltd.
70,162
984,487
Sapporo Holdings Ltd.
82,449
2,784,939
Sato Holdings Corp.
67,719
916,164
Sawai Group Holdings Co. Ltd.
14,920
580,299
SBS Holdings, Inc.
38,002
611,582
SCREEN Holdings Co. Ltd.
63,746
6,086,791
Scroll Corp.
109,679
747,502
SCSK Corp.
149,324
2,828,837
Sega Sammy Holdings, Inc.
228,405
3,214,341
Seibu Holdings, Inc.
251,825
3,745,846
Seikitokyu Kogyo Co. Ltd.
10,888
116,193
Seiko Group Corp.
75,059
2,182,822
Seiren Co. Ltd.
76,728
1,202,590
Sekisui House REIT, Inc.
2,015
1,050,167
Sekisui Jushi Corp.
55,712
854,762
Senko Group Holdings Co. Ltd.
404,524
2,919,152
Senshu Ikeda Holdings, Inc.
364,468
981,068
Seria Co. Ltd.
129,200
2,236,304
Seven Bank Ltd.
887,806
1,496,578
Sharp Corp. *
720,876
4,450,628
Shibaura Machine Co. Ltd.
42,754
946,794
Shiga Bank Ltd.
45,455
1,300,202
Shikoku Electric Power Co., Inc.
626,892
6,015,802
Shinagawa Refractories Co. Ltd.
10,888
140,166
Shindengen Electric Manufacturing Co.
Ltd.
33,390
633,187
Shin-Etsu Polymer Co. Ltd.
72,750
703,218
Shinko Electric Industries Co. Ltd.
50,284
1,790,315
Shinmaywa Industries Ltd.
201,065
1,828,387
Shinnihon Corp. (a)
18,652
179,938
Shinsho Corp.
6,940
312,233
Ship Healthcare Holdings, Inc.
189,587
2,794,733
Shizuoka Financial Group, Inc.
82,396
850,727
Shizuoka Gas Co. Ltd.
217,094
1,334,518
SHO-BOND Holdings Co. Ltd.
30,539
1,150,860
Shoei Foods Corp.
29,172
852,076
Showa Sangyo Co. Ltd.
20,744
419,777
Siix Corp.
123,346
1,057,285
Sinfonia Technology Co. Ltd.
70,558
1,533,333
Sintokogio Ltd.
36,632
251,758
SKY Perfect JSAT Holdings, Inc.
292,023
1,702,205
Skylark Holdings Co. Ltd.
253,949
3,493,829
Socionext, Inc.
17,444
508,184
Sodick Co. Ltd.
162,932
748,588
Sohgo Security Services Co. Ltd.
768,680
4,629,347
Sotetsu Holdings, Inc.
102,653
1,596,186
Square Enix Holdings Co. Ltd.
94,540
2,832,981
Star Micronics Co. Ltd.
74,915
1,012,088
Starts Corp., Inc.
72,789
1,514,652
Sugi Holdings Co. Ltd.
268,606
4,165,534
Sumida Corp.
73,832
547,826
Sumitomo Bakelite Co. Ltd.
97,244
2,685,666
Sumitomo Densetsu Co. Ltd.
7,964
184,726
Sumitomo Mitsui Construction Co. Ltd.
869,306
2,174,026
SECURITY
NUMBER
OF SHARES
VALUE ($)
Sumitomo Osaka Cement Co. Ltd.
131,379
3,251,347
Sumitomo Pharma Co. Ltd. *
907,652
1,761,646
Sumitomo Riko Co. Ltd.
41,852
336,371
Sumitomo Seika Chemicals Co. Ltd.
34,205
1,114,446
Sumitomo Warehouse Co. Ltd.
105,056
1,701,406
Sun Frontier Fudousan Co. Ltd.
62,322
773,349
Suruga Bank Ltd.
271,426
1,906,865
SWCC Corp.
68,178
2,086,838
Systena Corp.
343,017
617,734
Tachibana Eletech Co. Ltd.
17,620
337,498
Tachi-S Co. Ltd.
144,638
1,811,369
Tadano Ltd.
227,964
1,609,508
Taikisha Ltd.
71,219
2,365,733
Taiyo Holdings Co. Ltd.
46,816
962,268
Takamatsu Construction Group Co. Ltd.
66,936
1,213,959
Takara Holdings, Inc.
401,955
2,710,053
Takara Standard Co. Ltd.
148,767
1,639,660
Takasago Thermal Engineering Co. Ltd.
122,790
5,047,716
Takashimaya Co. Ltd.
304,972
5,056,505
Takeuchi Manufacturing Co. Ltd.
50,606
1,961,186
Takuma Co. Ltd.
138,031
1,515,183
Tama Home Co. Ltd.
27,640
736,973
Tamura Corp.
207,821
964,087
Tanseisha Co. Ltd.
166,652
869,609
TBS Holdings, Inc.
58,301
1,362,688
TechnoPro Holdings, Inc.
83,355
1,385,493
T-Gaia Corp.
93,622
1,156,982
THK Co. Ltd.
209,133
4,043,056
TKC Corp.
34,685
728,375
Toa Corp.
181,288
1,128,255
TOA ROAD Corp.
24,708
186,004
Toagosei Co. Ltd.
299,745
2,937,461
Tobishima Corp.
26,084
244,001
Tocalo Co. Ltd.
82,336
1,038,991
Toda Corp.
614,175
4,258,129
Toei Co. Ltd.
36,817
843,433
Toho Co Ltd. /Kobe
7,664
148,749
Toho Co. Ltd.
89,137
2,815,151
Toho Holdings Co. Ltd.
236,372
5,973,039
Toho Zinc Co. Ltd. *
96,398
509,150
Tokai Carbon Co. Ltd.
459,286
2,910,998
TOKAI Holdings Corp.
341,073
2,090,129
Tokai Rika Co. Ltd.
224,947
3,180,707
Tokai Tokyo Financial Holdings, Inc.
245,044
891,948
Token Corp.
34,506
2,384,646
Tokuyama Corp.
280,652
5,432,838
Tokyo Century Corp.
282,480
2,607,383
Tokyo Kiraboshi Financial Group, Inc.
6,148
191,899
Tokyo Ohka Kogyo Co. Ltd.
94,191
2,457,495
Tokyo Seimitsu Co. Ltd.
40,569
2,884,970
Tokyo Steel Manufacturing Co. Ltd.
145,317
1,448,130
Tokyo Tatemono Co. Ltd.
313,032
5,067,634
Tokyo Tekko Co. Ltd.
4,632
151,506
Tokyu Construction Co. Ltd.
319,593
1,565,984
Tomen Devices Corp.
4,840
217,137
Tomy Co. Ltd.
143,674
2,607,517
Topcon Corp.
162,306
1,760,996
Topre Corp.
203,009
2,906,680
Topy Industries Ltd.
21,868
340,937
Toshiba TEC Corp.
69,297
1,402,300
Totetsu Kogyo Co. Ltd.
85,910
1,730,282
Towa Pharmaceutical Co. Ltd.
61,279
1,126,961
Toyo Construction Co. Ltd.
166,168
1,462,410
Toyo Tire Corp.
265,147
4,728,591
Toyobo Co. Ltd.
507,477
3,500,621
Toyota Boshoku Corp.
239,694
3,492,948
TPR Co. Ltd.
153,606
2,308,806
Trancom Co. Ltd.
24,103
929,487
Transcosmos, Inc.
79,499
1,714,987
52
  

Schwab Fundamental International Small Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Trend Micro, Inc.
91,000
4,098,750
Trusco Nakayama Corp.
110,694
1,744,111
TS Tech Co. Ltd.
350,976
4,185,491
TSI Holdings Co. Ltd.
294,111
1,667,587
Tsubaki Nakashima Co. Ltd.
151,855
756,642
Tsubakimoto Chain Co.
115,770
4,361,312
Tsugami Corp.
104,980
967,998
Tsumura & Co.
120,613
3,031,731
TV Asahi Holdings Corp.
77,777
995,815
UACJ Corp.
132,869
3,800,606
Uchida Yoko Co. Ltd.
25,033
1,134,207
Ulvac, Inc.
75,534
5,383,441
Unipres Corp.
299,758
2,846,027
United Arrows Ltd.
89,304
1,020,081
United Super Markets Holdings, Inc.
388,515
2,153,403
United Urban Investment Corp.
1,970
1,753,813
Ushio, Inc.
164,790
2,213,174
USS Co. Ltd.
322,644
2,514,096
UT Group Co. Ltd.
39,081
748,569
V Technology Co. Ltd.
47,281
923,686
Valor Holdings Co. Ltd.
238,652
3,704,046
Valqua Ltd.
28,953
665,120
VT Holdings Co. Ltd.
331,414
1,029,177
Wacoal Holdings Corp.
94,809
2,340,285
Wacom Co. Ltd.
270,814
1,221,847
Wakita & Co. Ltd.
21,176
220,863
Warabeya Nichiyo Holdings Co. Ltd.
81,709
1,226,064
Welcia Holdings Co. Ltd.
210,648
2,904,126
Workman Co. Ltd.
37,094
863,941
World Co. Ltd.
77,418
1,043,440
Xebio Holdings Co. Ltd.
152,388
1,110,339
YAMABIKO Corp.
116,928
1,598,278
Yamaguchi Financial Group, Inc.
207,603
2,536,497
Yamaichi Electronics Co. Ltd.
9,780
215,024
Yamato Kogyo Co. Ltd.
36,552
1,907,324
Yamazen Corp.
328,984
2,945,563
Yaoko Co. Ltd.
45,586
2,688,833
Yellow Hat Ltd.
106,340
1,410,243
Yodogawa Steel Works Ltd.
78,183
2,845,822
Yokogawa Bridge Holdings Corp.
78,567
1,377,904
Yokorei Co. Ltd.
37,332
238,989
Yokowo Co. Ltd.
75,344
988,637
Yoshinoya Holdings Co. Ltd.
70,012
1,291,799
Yuasa Trading Co. Ltd.
73,201
2,613,240
Zenkoku Hosho Co. Ltd.
35,781
1,282,374
Zensho Holdings Co. Ltd.
52,142
2,044,270
Zeon Corp.
360,263
3,336,809
ZERIA Pharmaceutical Co. Ltd.
47,391
599,229
Zojirushi Corp.
75,623
740,614
ZOZO, Inc.
64,199
1,502,586
 
1,180,243,465
 
Luxembourg 0.0%
Espirito Santo Financial Group SA *(b)
8,470
0
 
Netherlands 1.8%
Adyen NV *
2,807
3,610,415
Allfunds Group PLC
161,815
960,895
AMG Critical Materials NV
28,509
634,462
Arcadis NV
67,547
4,403,406
Basic-Fit NV *(a)
24,735
604,177
BE Semiconductor Industries NV
22,468
3,292,819
Corbion NV
79,330
1,755,138
DSM-Firmenich AG
150,615
17,274,575
Eurocommercial Properties NV
54,531
1,361,573
Flow Traders Ltd.
16,270
349,368
Fugro NV
112,662
2,998,939
SECURITY
NUMBER
OF SHARES
VALUE ($)
JDE Peet's NV
95,353
2,093,077
Just Eat Takeaway.com NV *
132,861
1,732,248
Koninklijke Heijmans NV
94,468
2,066,471
Koninklijke Vopak NV
78,220
3,204,715
OCI NV
117,005
3,183,136
PostNL NV
1,487,010
2,140,558
Royal BAM Group NV
999,672
4,178,187
TKH Group NV
60,405
2,809,260
Van Lanschot Kempen NV
30,019
1,225,332
Wereldhave NV
65,925
1,003,385
 
60,882,136
 
New Zealand 0.9%
a2 Milk Co. Ltd. *
612,305
2,892,980
Auckland International Airport Ltd.
353,568
1,694,411
Contact Energy Ltd.
850,332
4,816,934
EBOS Group Ltd.
180,803
3,671,371
Fisher & Paykel Healthcare Corp. Ltd.
242,546
4,396,098
Genesis Energy Ltd.
253,631
327,245
Infratil Ltd.
217,240
1,414,806
Mainfreight Ltd.
69,119
2,932,327
Mercury NZ Ltd.
493,432
2,025,140
Meridian Energy Ltd.
999,122
4,149,698
Ryman Healthcare Ltd. *
274,254
613,346
 
28,934,356
 
Norway 1.7%
Aker ASA, A Shares
19,234
1,144,712
Aker Solutions ASA
300,877
1,310,484
Austevoll Seafood ASA
253,166
2,061,190
Bakkafrost P
31,840
1,749,426
Bluenord ASA *
4,111
215,306
Borregaard ASA
79,826
1,462,501
BW LPG Ltd.
122,161
2,528,941
DNO ASA
2,016,220
2,242,474
Elkem ASA *
1,181,744
2,448,662
Europris ASA
208,181
1,384,695
Frontline PLC
22,836
654,100
Gjensidige Forsikring ASA
156,665
2,740,487
Golden Ocean Group Ltd.
44,855
642,186
Grieg Seafood ASA
100,777
696,218
Hafnia Ltd.
47,394
414,975
Hoegh Autoliners ASA
14,529
172,109
Kongsberg Gruppen ASA
34,961
3,001,209
Leroy Seafood Group ASA
545,922
2,392,345
MPC Container Ships ASA
229,355
491,621
Nordic Semiconductor ASA *
24,036
307,844
Norske Skog ASA (a)
92,021
375,040
Odfjell Drilling Ltd.
201,956
1,107,709
PGS ASA *
1,931,279
1,732,745
Protector Forsikring ASA
7,081
163,513
Salmar ASA
45,628
2,774,207
Scatec ASA *
22,471
186,482
Schibsted ASA, A Shares
52,292
1,513,754
Schibsted ASA, B Shares
62,611
1,690,844
SpareBank 1 Nord Norge
145,917
1,392,260
SpareBank 1 SMN
159,953
2,328,877
SpareBank 1 SR-Bank ASA
160,442
2,071,688
Stolt-Nielsen Ltd.
43,650
2,013,838
Storebrand ASA
384,971
4,157,073
TGS ASA
175,272
2,286,545
TOMRA Systems ASA
134,791
1,768,710
Var Energi ASA (a)
646,611
2,287,434
Wallenius Wilhelmsen ASA
161,109
1,713,640
 
57,625,844
 
  
53

Schwab Fundamental International Small Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Poland 1.3%
Alior Bank SA
125,394
3,046,784
Allegro.eu SA *
117,114
1,123,693
Asseco Poland SA
136,052
2,856,159
Bank Handlowy w Warszawie SA *
6,446
175,845
Bank Polska Kasa Opieki SA
138,172
5,615,321
Budimex SA
1,624
308,341
CCC SA *
60,837
2,062,926
CD Projekt SA
21,868
723,749
Cyfrowy Polsat SA *
923,337
2,930,428
Dino Polska SA *
12,410
1,235,957
Enea SA *
1,232,032
3,213,860
Eurocash SA
56,279
192,123
Grupa Azoty SA *
270,448
1,518,136
Grupa Kety SA
11,745
2,574,533
Jastrzebska Spolka Weglowa SA *
208,895
1,510,072
KRUK SA
9,097
1,053,653
LPP SA
544
2,395,977
mBank SA *
7,716
1,226,877
Orange Polska SA
1,666,977
3,471,987
Pepco Group NV *
134,517
830,609
Santander Bank Polska SA
19,792
2,535,709
Tauron Polska Energia SA *(a)
4,195,982
4,314,284
 
44,917,023
 
Portugal 0.3%
Banco Comercial Portugues SA,
Class R *
1,540,596
621,657
EDP Renovaveis SA
89,947
1,437,355
Navigator Co. SA *
436,672
1,902,841
NOS SGPS SA
535,841
1,928,365
REN - Redes Energeticas Nacionais
SGPS SA
601,963
1,499,761
Sonae SGPS SA
3,167,494
3,259,821
 
10,649,800
 
Republic of Korea 7.8%
Amorepacific Corp.
48,875
6,855,314
AMOREPACIFIC Group
98,586
2,723,567
Asia Paper Manufacturing Co. Ltd.
109,050
640,336
Asiana Airlines, Inc. *
182,075
1,434,718
BGF retail Co. Ltd.
16,331
1,374,137
BH Co. Ltd.
47,085
899,497
Binggrae Co. Ltd.
4,844
298,082
Celltrion, Inc.
31,656
4,028,592
Cheil Worldwide, Inc.
149,113
2,012,872
Chong Kun Dang Pharmaceutical Corp.
12,532
945,863
CJ ENM Co. Ltd. *
47,396
3,063,769
CJ Logistics Corp.
40,137
3,006,180
Com2uSCorp
22,214
644,977
Cosmax, Inc.
8,526
1,046,853
Daeduck Electronics Co. Ltd.
57,015
953,304
Daesang Corp.
111,926
1,899,723
Daesang Holdings Co. Ltd.
119,058
803,150
Daewoo Engineering & Construction Co.
Ltd. *
882,742
2,330,304
Daou Data Corp.
25,917
216,201
Daou Technology, Inc.
120,089
1,709,548
DB HiTek Co. Ltd.
43,583
1,276,437
DGB Financial Group, Inc.
544,311
3,239,408
DL Holdings Co. Ltd.
40,931
1,637,772
Dongjin Semichem Co. Ltd.
25,331
767,495
Doosan Bobcat, Inc.
53,443
2,227,194
Doosan Co. Ltd.
31,565
4,696,392
E1 Corp.
6,843
354,864
Ecopro BM Co. Ltd. *
963
133,055
SECURITY
NUMBER
OF SHARES
VALUE ($)
Ecopro Co. Ltd. *
2,563
174,748
F&F Co. Ltd.
6,408
310,091
Fila Holdings Corp.
105,024
2,988,657
Gradiant Corp.
77,137
835,133
Green Cross Corp.
8,434
698,696
Green Cross Holdings Corp.
66,741
672,447
GS Global Corp.
349,586
595,878
GS Retail Co. Ltd.
167,498
2,398,964
Handsome Co. Ltd.
71,706
928,597
Hanjin Transportation Co. Ltd.
26,656
370,995
Hanmi Pharm Co. Ltd.
3,304
676,526
Hanon Systems
322,323
1,166,327
Hansol Chemical Co. Ltd.
6,437
881,017
Hanwha Aerospace Co. Ltd.
26,414
3,910,924
Hanwha General Insurance Co. Ltd.
592,964
2,077,119
Hanwha Life Insurance Co. Ltd.
1,711,782
3,467,949
Hanwha Systems Co. Ltd.
11,960
150,736
Harim Holdings Co. Ltd.
323,532
1,451,110
HD Hyundai Construction Equipment
Co. Ltd.
36,670
1,509,653
HD Hyundai Heavy Industries Co. Ltd. *
8,975
834,266
HD Hyundai Infracore Co. Ltd.
240,846
1,445,546
HD HYUNDAI MIPO *
22,771
1,187,437
HD Korea Shipbuilding & Offshore
Engineering Co. Ltd. *
65,312
6,151,230
HDC Hyundai Development
Co-Engineering & Construction,
Class E
273,351
3,464,888
Hite Jinro Co. Ltd.
62,534
907,828
HL Mando Co. Ltd.
112,618
3,530,115
Hotel Shilla Co. Ltd.
31,708
1,303,084
HYBE Co. Ltd.
1,112
160,630
Hyosung Advanced Materials Corp.
4,570
1,227,865
Hyosung Corp.
28,865
1,244,621
Hyosung Heavy Industries Corp.
10,333
3,298,679
Hyosung TNC Corp.
14,533
4,214,365
HYUNDAI Corp.
58,301
841,323
Hyundai Department Store Co. Ltd.
52,973
1,899,613
Hyundai Elevator Co. Ltd.
33,454
970,119
Hyundai Green Food
133,513
1,160,060
Hyundai Rotem Co. Ltd.
39,631
1,029,023
Hyundai Wia Corp.
77,209
3,100,517
Innocean Worldwide, Inc.
48,514
762,110
INTOPS Co. Ltd.
34,372
582,156
IS Dongseo Co. Ltd.
38,606
709,633
JB Financial Group Co. Ltd.
320,351
3,382,710
Kakao Corp.
79,588
2,489,011
Kangwon Land, Inc.
119,518
1,287,070
KCC Corp.
11,821
2,510,111
KCC Glass Corp.
35,682
1,041,171
KEPCO Plant Service & Engineering Co.
Ltd.
46,680
1,252,510
KG Chemical Corp.
154,496
560,160
KG Dongbusteel
43,513
216,221
KISWIRE Ltd.
53,467
849,571
KIWOOM Securities Co. Ltd.
19,960
1,928,892
Kolmar Korea Co. Ltd.
19,056
884,981
Kolon Industries, Inc.
87,811
2,666,897
Korea Aerospace Industries Ltd.
32,937
1,232,268
Korea Electric Terminal Co. Ltd.
19,431
973,971
Korea Investment Holdings Co. Ltd.
81,888
3,856,197
Korea Line Corp. *
474,585
853,502
Korea Petrochemical Ind Co. Ltd.
16,920
1,851,417
Korean Reinsurance Co.
355,650
2,075,513
Krafton, Inc. *
13,789
2,489,798
Kukdo Chemical Co. Ltd.
21,375
549,601
Kumho Tire Co., Inc. *
202,499
1,047,194
Kwang Dong Pharmaceutical Co. Ltd.
143,460
682,822
54
  

Schwab Fundamental International Small Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
L&F Co. Ltd. *
1,380
155,886
LG Energy Solution Ltd. *
8,043
1,922,815
LIG Nex1 Co. Ltd.
1,523
176,219
Lotte Chilsung Beverage Co. Ltd.
8,079
753,313
Lotte Corp.
77,137
1,456,887
LOTTE Fine Chemical Co. Ltd.
45,704
1,582,830
Lotte Rental Co. Ltd.
66,171
1,331,019
LS Corp.
55,573
6,827,465
LS Electric Co. Ltd.
29,318
4,520,886
LX Hausys Ltd.
48,660
1,467,303
LX International Corp.
167,508
3,792,839
LX Semicon Co. Ltd.
18,026
925,679
Mcnex Co. Ltd.
38,055
611,552
Meritz Financial Group, Inc.
112,261
6,235,146
Mirae Asset Securities Co. Ltd.
426,205
2,219,449
Namyang Dairy Products Co. Ltd.
359
128,349
NCSoft Corp.
20,648
2,837,972
Netmarble Corp. *
19,791
860,509
Nexen Tire Corp.
137,930
825,857
NH Investment & Securities Co. Ltd.
243,905
2,163,269
NHN Corp.
47,981
760,668
NongShim Co. Ltd.
6,024
1,999,226
OCI Holdings Co. Ltd.
24,307
1,701,165
Orion Corp.
25,273
1,673,854
Orion Holdings Corp.
83,252
895,926
Ottogi Corp.
772
253,700
Pan Ocean Co. Ltd.
509,981
1,585,691
Partron Co. Ltd.
169,440
938,648
Poongsan Corp.
80,092
3,580,726
POSCO Future M Co. Ltd.
2,882
521,426
Posco International Corp.
120,077
3,733,570
S-1 Corp.
46,880
2,153,456
Samchully Co. Ltd.
15,582
1,007,251
Samsung Biologics Co. Ltd. *
271
142,884
Samsung Card Co. Ltd.
73,121
2,138,890
Samsung E&A Co. Ltd. *
173,214
2,927,455
Samsung Heavy Industries Co. Ltd. *
405,054
2,679,784
Samsung Securities Co. Ltd.
96,011
2,503,338
SAMT Co. Ltd.
347,204
846,350
Samyang Corp.
21,281
771,591
SD Biosensor, Inc. *
100,477
728,604
SeAH Besteel Holdings Corp.
59,070
972,732
SeAH Steel Corp.
6,369
589,267
Sebang Global Battery Co. Ltd.
24,282
1,801,135
Seegene, Inc.
56,038
856,021
Seohee Construction Co. Ltd.
916,559
910,237
Seoul Semiconductor Co. Ltd.
111,858
786,088
Seoyon Co. Ltd.
17,064
112,770
Seoyon E-Hwa Co. Ltd.
48,919
590,399
SFA Engineering Corp.
54,682
1,099,920
Shinsegae, Inc.
26,820
3,161,333
SIMMTECH Co. Ltd.
29,859
725,691
SK Chemicals Co. Ltd.
25,344
971,988
SK Discovery Co. Ltd.
66,577
2,118,173
SK Gas Ltd.
12,405
1,599,287
SK Networks Co. Ltd.
870,754
3,175,983
SK Square Co. Ltd. *
18,835
1,055,647
SKC Co. Ltd. *
21,297
2,141,160
SL Corp.
34,942
922,415
SNT Motiv Co. Ltd.
21,529
712,165
Songwon Industrial Co. Ltd.
54,918
517,230
Soulbrain Co. Ltd.
5,747
1,367,691
Sungwoo Hitech Co. Ltd.
197,676
1,185,014
TKG Huchems Co. Ltd.
53,154
758,219
Unid Co. Ltd.
15,496
1,231,129
WONIK IPS Co. Ltd. *
41,808
1,068,942
Young Poong Corp.
2,692
700,925
Youngone Corp.
67,940
1,665,930
SECURITY
NUMBER
OF SHARES
VALUE ($)
Youngone Holdings Co. Ltd.
21,191
1,334,625
Yuhan Corp.
33,609
1,670,073
 
261,333,503
 
Singapore 1.3%
AEM Holdings Ltd. *
76,093
103,018
CapitaLand Ascendas REIT
1,536,253
2,966,354
CapitaLand Ascott Trust
1,272,025
842,245
CapitaLand China Trust
1,010,908
501,079
CapitaLand Integrated Commercial Trust
1,780,928
2,582,392
CapitaLand Investment Ltd.
1,243,606
2,447,283
City Developments Ltd.
453,645
1,882,776
ESR-LOGOS REIT
614,824
131,907
First Resources Ltd.
764,043
796,997
Frasers Logistics & Commercial Trust
1,001,009
733,150
Genting Singapore Ltd.
4,196,173
2,824,974
Geo Energy Resources Ltd.
791,904
187,474
Keppel DC REIT
119,716
159,421
Keppel Infrastructure Trust
4,582,753
1,542,615
Keppel Ltd.
1,248,396
6,206,422
Manulife U.S. Real Estate Investment
Trust *
9,803,119
666,612
Mapletree Industrial Trust
728,890
1,186,327
Mapletree Logistics Trust
1,109,284
1,091,476
Mapletree Pan Asia Commercial Trust
762,906
688,574
Netlink NBN Trust
1,717,055
1,060,695
SATS Ltd. *
579,115
1,191,048
Seatrium Ltd. *
473,497
616,523
Sembcorp Industries Ltd.
649,631
2,446,269
Sheng Siong Group Ltd.
139,076
153,306
Singapore Exchange Ltd.
384,328
2,718,189
Singapore Technologies Engineering Ltd.
1,278,340
3,953,141
Suntec Real Estate Investment Trust
1,094,294
866,238
Thai Beverage PCL
2,590,316
948,588
UOL Group Ltd.
499,021
1,989,882
 
43,484,975
 
Spain 1.2%
Abengoa SA, B Shares *(b)
192,522,094
209
Almirall SA
74,439
789,927
Applus Services SA
185,926
2,567,420
Atresmedia Corp. de Medios de
Comunicacion SA
164,466
944,499
Bankinter SA
537,796
4,740,708
Cia de Distribucion Integral Logista
Holdings SA
67,533
1,941,349
CIE Automotive SA
59,187
1,802,307
Construcciones y Auxiliar de
Ferrocarriles SA
33,322
1,238,971
Corp. ACCIONA Energias Renovables SA
33,296
773,527
Ence Energia y Celulosa SA *
226,653
829,695
Faes Farma SA
330,703
1,366,037
Fluidra SA
86,972
2,109,271
Gestamp Automocion SA
516,674
1,615,395
Indra Sistemas SA
114,713
2,627,633
Inmobiliaria Colonial Socimi SA
204,498
1,380,858
Melia Hotels International SA *
122,454
1,053,518
Merlin Properties Socimi SA
353,292
4,226,541
Obrascon Huarte Lain SA *(a)
1,716,633
785,684
Prosegur Compania de Seguridad SA
671,492
1,296,111
Sacyr SA
678,324
2,540,539
Unicaja Banco SA
1,076,249
1,573,802
Vidrala SA
16,842
2,047,771
Viscofan SA
38,894
2,537,621
 
40,789,393
 
  
55

Schwab Fundamental International Small Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Sweden 4.4%
AAK AB
139,398
3,902,062
AddLife AB, B Shares
79,049
859,849
AddTech AB, B Shares
62,223
1,467,244
AFRY AB
180,343
3,261,442
Alleima AB
100,700
685,555
Ambea AB
195,526
1,354,359
Arjo AB, B Shares
332,539
1,464,573
Avanza Bank Holding AB
37,221
969,702
Axfood AB
110,375
2,924,877
Beijer Alma AB
38,949
801,778
Beijer Ref AB
99,155
1,604,155
Betsson AB, Class B
153,261
1,754,519
BHG Group AB *
99,792
166,048
Bilia AB, A Shares
237,381
3,349,498
Billerud Aktiebolag
474,526
4,742,011
Bonava AB, B Shares *
1,902,434
1,776,319
Bravida Holding AB
308,981
2,434,020
Castellum AB *
232,246
2,882,869
Clas Ohlson AB, B Shares
84,422
1,227,335
Cloetta AB, B Shares
514,657
949,335
Coor Service Management Holding AB
262,336
1,225,725
Corem Property Group AB, B Shares
162,429
148,264
Dometic Group AB
473,362
3,344,122
Dustin Group AB *
774,260
1,068,940
Electrolux Professional AB, B Shares
172,086
1,133,910
Elekta AB, B Shares
342,122
2,802,439
Embracer Group AB *(a)
229,933
572,362
EQT AB
62,846
1,900,223
Evolution AB
23,387
2,508,323
Fabege AB
144,710
1,229,399
Fastighets AB Balder, B Shares *
261,745
1,758,539
Getinge AB, B Shares
217,533
3,867,823
Granges AB
196,436
2,525,211
Hexpol AB
275,977
3,364,037
Holmen AB, B Shares
91,148
3,808,089
Husqvarna AB, B Shares
609,097
5,021,176
Industrivarden AB, A Shares
77,338
2,742,847
Industrivarden AB, C Shares
94,479
3,306,747
Indutrade AB
121,887
3,133,747
Instalco AB
176,757
671,587
Intrum AB (a)
531,026
1,762,648
Investment AB Latour, B Shares
46,189
1,281,954
Inwido AB
93,345
1,299,367
JM AB
206,045
3,969,185
Kinnevik AB, B Shares *
318,539
3,678,409
KNOW IT AB
10,765
188,335
L E Lundbergforetagen AB, B Shares
52,796
2,675,643
Lagercrantz Group AB, B Shares
59,708
1,015,079
Lifco AB, B Shares
66,324
1,751,874
Lindab International AB
88,053
2,007,674
Loomis AB
126,065
3,495,280
Munters Group AB
10,526
228,191
Mycronic AB
36,592
1,437,627
NCAB Group AB
33,639
257,637
NCC AB, B Shares
285,258
3,723,988
New Wave Group AB, B Shares
98,306
1,098,292
Nibe Industrier AB, B Shares
501,143
2,543,549
Nolato AB, B Shares
243,891
1,441,242
Nordnet AB publ
10,269
203,872
Nyfosa AB
20,997
213,021
Pandox AB
68,076
1,227,248
Peab AB, B Shares
841,295
5,463,474
Ratos AB, B Shares
594,800
2,248,626
Resurs Holding AB
535,187
866,603
Saab AB, B Shares
233,544
5,626,978
Sagax AB, B Shares
29,122
765,902
SECURITY
NUMBER
OF SHARES
VALUE ($)
Samhallsbyggnadsbolaget i Norden
AB *(a)
2,571,459
1,252,820
Samhallsbyggnadsbolaget i Norden AB,
D Shares *(a)
174,093
122,080
Scandic Hotels Group AB *(a)
217,571
1,290,879
Sinch AB *
378,079
828,976
Stillfront Group AB *
180,977
203,567
Storskogen Group AB, B Shares
2,291,900
1,720,254
Sweco AB, B Shares
185,622
2,594,458
Swedish Orphan Biovitrum AB *
93,815
2,519,050
Thule Group AB
86,123
2,587,653
Wihlborgs Fastigheter AB
160,648
1,522,896
 
149,825,391
 
Switzerland 2.5%
Accelleron Industries AG
42,091
1,698,290
Allreal Holding AG
12,156
2,061,595
ALSO Holding AG
6,236
1,811,042
Aryzta AG *
609,829
1,219,455
Autoneum Holding AG
6,687
1,086,642
Avolta AG
89,059
3,609,153
Banque Cantonale Vaudoise
13,789
1,452,801
Belimo Holding AG
3,435
1,596,895
BKW AG
10,854
1,708,439
Bucher Industries AG
7,835
3,230,749
Burckhardt Compression Holding AG
1,317
880,287
Cembra Money Bank AG
27,545
2,231,934
Clariant AG
292,691
4,671,895
Comet Holding AG
2,662
984,068
Daetwyler Holding AG
4,723
972,713
dormakaba Holding AG
3,747
2,018,558
Emmi AG
1,773
1,768,775
EMS-Chemie Holding AG
3,751
3,093,437
Flughafen Zurich AG
10,166
2,162,451
Forbo Holding AG
1,240
1,511,944
Helvetia Holding AG
30,719
4,123,561
Huber & Suhner AG
20,961
1,772,792
Implenia AG
24,840
949,931
Inficon Holding AG
771
1,223,823
Interroll Holding AG
292
896,569
Kardex Holding AG
2,972
820,294
Komax Holding AG
2,878
519,996
Landis & Gyr Group AG
23,252
1,974,287
Mobilezone Holding AG
9,184
145,576
Mobimo Holding AG
4,430
1,261,996
OC Oerlikon Corp. AG
519,034
2,879,527
PSP Swiss Property AG
15,258
1,916,235
Schweiter Technologies AG
2,386
1,183,545
SFS Group AG
16,555
2,238,774
Siegfried Holding AG
1,400
1,395,112
SIG Group AG
168,627
3,500,952
Softwareone Holding AG
87,822
1,674,376
St. Galler Kantonalbank AG
1,563
751,917
Stadler Rail AG (a)
41,153
1,256,737
Straumann Holding AG
17,395
2,255,961
Sulzer AG
15,655
2,130,947
Tecan Group AG
4,194
1,484,857
Temenos AG
29,230
1,879,222
u-blox Holding AG
6,605
700,658
Valiant Holding AG
11,912
1,360,013
VAT Group AG
5,566
3,002,179
Vontobel Holding AG
24,966
1,491,623
Zehnder Group AG
14,579
982,545
 
85,545,128
 
56
  

Schwab Fundamental International Small Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
United Kingdom 9.9%
4imprint Group PLC
14,782
1,221,446
Airtel Africa PLC
2,254,537
3,499,109
Ashmore Group PLC
550,574
1,366,931
ASOS PLC *(a)
450,622
2,142,314
Assura PLC
1,343,689
703,132
Auto Trader Group PLC
259,397
2,695,615
Babcock International Group PLC
216,565
1,559,255
Bank of Georgia Group PLC
23,534
1,111,645
Beazley PLC
336,191
2,953,463
Big Yellow Group PLC
68,778
1,092,850
Bodycote PLC
282,468
2,711,671
Breedon Group PLC
101,324
497,317
British Land Co. PLC
812,685
4,529,960
Britvic PLC
242,155
2,976,748
C&C Group PLC
850,320
1,838,300
Capita PLC *(a)
4,000,894
726,395
Capricorn Energy PLC
82,314
199,941
Card Factory PLC
869,152
1,081,152
Carnival PLC *
98,679
1,356,891
Centamin PLC
2,814,438
4,274,925
Chemring Group PLC
253,302
1,244,865
Clarkson PLC
19,737
1,034,064
Close Brothers Group PLC
372,563
2,271,173
Coats Group PLC
1,948,821
2,126,421
Computacenter PLC (a)
93,178
3,338,365
Conduit Holdings Ltd.
31,433
212,108
ConvaTec Group PLC
1,088,043
3,443,845
Cranswick PLC
84,947
4,807,466
Crest Nicholson Holdings PLC
838,745
2,526,627
Deliveroo PLC *
593,060
1,033,709
Derwent London PLC
64,821
1,921,300
Diploma PLC
42,311
2,204,374
DiscoverIE Group PLC
85,457
792,092
Diversified Energy Co. PLC
41,549
621,577
Domino's Pizza Group PLC
199,036
843,864
Dr Martens PLC
885,240
985,074
Drax Group PLC
685,524
4,525,513
Dunelm Group PLC
96,896
1,358,281
easyJet PLC
405,779
2,376,533
Elementis PLC
795,480
1,521,232
Endeavour Mining PLC
125,790
2,749,874
EnQuest PLC *
9,318,957
1,912,620
Essentra PLC
877,258
1,842,925
Evoke PLC *
662,727
759,405
FDM Group Holdings PLC
119,895
687,689
Ferrexpo PLC *(a)
3,371,323
1,783,478
Forterra PLC
502,694
1,070,130
Frasers Group PLC *
146,508
1,644,296
Fresnillo PLC
289,685
2,284,882
Future PLC
78,274
1,056,379
Games Workshop Group PLC
14,411
1,832,055
Genuit Group PLC
294,719
1,690,438
Genus PLC
39,609
908,751
Georgia Capital PLC *
18,011
217,850
Grainger PLC
401,597
1,278,283
Greencore Group PLC *
1,481,698
3,308,915
Greggs PLC
76,052
2,846,783
Gulf Keystone Petroleum Ltd. *
480,240
876,195
Halfords Group PLC
883,382
1,727,572
Halma PLC
153,076
4,338,391
Hammerson PLC
2,789,697
991,674
Hargreaves Lansdown PLC
269,783
3,625,511
Hikma Pharmaceuticals PLC
181,512
4,460,248
Hill & Smith PLC
67,149
1,744,079
Hilton Food Group PLC
170,550
1,941,269
Hiscox Ltd.
159,202
2,314,787
Hochschild Mining PLC *
1,024,169
2,433,210
SECURITY
NUMBER
OF SHARES
VALUE ($)
Howden Joinery Group PLC
465,249
5,375,619
Hunting PLC
403,754
2,146,198
Ibstock PLC
648,613
1,321,302
IMI PLC
224,557
5,303,553
Intermediate Capital Group PLC
183,640
5,401,018
International Consolidated Airlines
Group SA *
1,352,468
2,951,442
International Workplace Group PLC
1,801,923
4,189,222
Investec PLC
479,844
3,167,709
J D Wetherspoon PLC *
99,706
972,403
JD Sports Fashion PLC
2,259,394
3,667,740
Jupiter Fund Management PLC
1,801,049
1,919,320
Just Group PLC
2,098,970
2,768,614
Keller Group PLC
264,064
4,337,059
Kenmare Resources PLC
82,035
376,009
Kier Group PLC
1,338,371
2,498,083
Lancashire Holdings Ltd.
115,397
930,025
Land Securities Group PLC
558,507
4,639,867
Liontrust Asset Management PLC
19,390
202,683
LondonMetric Property PLC
338,689
880,548
Marshalls PLC
339,251
1,364,912
Mears Group PLC
56,857
285,218
Mitchells & Butlers PLC *
467,363
1,832,742
Mitie Group PLC
1,528,793
2,359,107
Mobico Group PLC
3,053,689
2,091,720
MONY Group PLC
483,505
1,385,096
Morgan Advanced Materials PLC
498,983
1,963,092
Morgan Sindall Group PLC
97,467
3,127,192
Ninety One PLC
325,013
704,298
Ocado Group PLC *
234,474
1,115,316
OSB Group PLC
486,843
2,876,095
Oxford Instruments PLC
27,377
871,409
Pagegroup PLC
551,420
3,212,661
Paragon Banking Group PLC
236,328
2,300,324
PayPoint PLC
23,734
165,897
Pennon Group PLC
452,928
3,586,872
Petrofac Ltd. *(a)(b)
2,108,600
360,282
Pets at Home Group PLC
661,986
2,496,492
Pinewood Technologies Group PLC
38,737
175,086
Playtech PLC *
410,320
2,497,163
Plus500 Ltd.
182,098
5,184,100
Premier Foods PLC
868,229
1,892,494
Primary Health Properties PLC
629,207
747,031
PZ Cussons PLC
118,915
167,148
QinetiQ Group PLC
574,197
3,269,333
Quilter PLC
2,151,376
3,226,696
Rathbones Group PLC
42,154
927,425
Reach PLC
1,140,535
1,173,320
Redrow PLC
610,557
5,534,808
Renewi PLC *
145,930
1,226,267
Renishaw PLC
21,006
1,069,793
RHI Magnesita NV
36,996
1,606,222
Rightmove PLC
241,787
1,641,419
Rolls-Royce Holdings PLC *
1,456,528
8,408,078
Rotork PLC
656,502
2,828,543
Safestore Holdings PLC
97,116
1,112,832
Savills PLC
221,897
3,220,718
Schroders PLC
772,958
3,855,820
Segro PLC
315,253
3,657,374
Senior PLC
153,024
311,338
Serco Group PLC
1,961,856
4,446,144
Sirius Real Estate Ltd.
803,565
997,521
Softcat PLC
61,304
1,295,667
Spirax-Sarco Engineering PLC
32,094
3,640,809
Spire Healthcare Group PLC
358,986
1,156,364
Spirent Communications PLC
775,447
1,812,680
SSP Group PLC
739,830
1,566,465
SThree PLC
314,442
1,745,514
Synthomer PLC *
671,634
2,479,859
  
57

Schwab Fundamental International Small Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
TBC Bank Group PLC
37,048
1,202,822
Telecom Plus PLC
67,812
1,624,885
THG PLC *
1,301,781
1,145,282
TI Fluid Systems PLC
1,313,717
2,284,804
TP ICAP Group PLC
1,621,821
4,522,134
Tritax Big Box REIT PLC
627,596
1,262,507
TUI AG *
477,559
3,271,189
Tullow Oil PLC *(a)
2,909,035
1,449,660
Tyman PLC
428,515
1,985,929
UNITE Group PLC
86,296
1,023,458
Vanquis Banking Group PLC
725,210
501,372
Vesuvius PLC
473,934
2,947,670
Victrex PLC
104,914
1,720,464
Virgin Money U.K. PLC
1,045,203
2,831,840
Vistry Group PLC *
356,072
5,839,156
Watches of Switzerland Group PLC *
180,862
943,200
Weir Group PLC
192,167
5,196,725
WH Smith PLC
67,764
992,186
Wickes Group PLC
792,746
1,406,997
Workspace Group PLC
119,244
812,244
Zigup PLC
689,690
3,828,572
 
334,869,498
Total Common Stocks
(Cost $3,018,424,528)
3,342,769,502
PREFERRED STOCKS 0.1% OF NET ASSETS
 
Germany 0.0%
Sartorius AG
4,398
1,153,034
 
Italy 0.1%
Danieli & C Officine Meccaniche SpA -
RSP
41,120
1,232,060
Total Preferred Stocks
(Cost $1,881,405)
2,385,094
RIGHTS 0.0% OF NET ASSETS
 
Spain 0.0%
Almirall SA
expires 06/06/24, strike EUR 0.18 *
74,439
25,051
Viscofan SA
expires 06/11/24, strike EUR 1.60 *
38,894
67,980
 
93,031
Total Rights
(Cost $82,301)
93,031
WARRANTS 0.0% OF NET ASSETS
 
Italy 0.0%
Webuild SpA
expires 08/02/30 *(a)(b)
9,734
22,212
Total Warrants
(Cost $0)
22,212
SECURITY
NUMBER
OF SHARES
VALUE ($)
SHORT-TERM INVESTMENTS 1.9% OF NET ASSETS
 
Money Market Funds 1.9%
State Street Institutional
U.S. Government Money Market
Fund, Premier Class 5.26% (c)
1,867,952
1,867,952
State Street Institutional
U.S. Government Money Market
Fund, Premier Class 5.26% (c)(d)
63,740,866
63,740,866
 
65,608,818
Total Short-Term Investments
(Cost $65,608,818)
65,608,818
 
Total Investments in Securities
(Cost $3,085,997,052)
3,410,878,657
 
 
 
 
 
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
($)
CURRENT VALUE/
UNREALIZED
APPRECIATION
($)
FUTURES CONTRACTS
Long
MSCI EAFE Index, expires
06/21/24
237
28,086,870
531,111
*
Non-income producing security.
(a)
All or a portion of this security is on loan. Securities on loan were valued at
$60,264,079.
(b)
Fair valued using significant unobservable inputs (see notes to portfolio
holdings for additional information).
(c)
The rate shown is the annualized 7-day yield.
(d)
Security purchased with cash collateral received for securities on loan.
CVA —
Dutch Certificate
REIT —
Real Estate Investment Trust
RSP —
Risparmio (Savings Shares)
EUR —
Euro

58
  

Schwab Fundamental International Small Company Index ETF
Portfolio Holdings (Unaudited) continued
The following is a summary of the inputs used to value the fund’s investments as of May 31, 2024 (see notes to portfolio holdings for additional information):
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 Stocks1
$1,702,321,025
$
$
$1,702,321,025
Hong Kong
84,546,121
0
*
84,546,121
Japan
1,179,541,946
701,519
1,180,243,465
Luxembourg
0
*
0
Spain
40,789,184
209
40,789,393
United Kingdom
334,509,216
360,282
334,869,498
Preferred Stocks1
2,385,094
2,385,094
Rights1
93,031
93,031
Warrants
Italy
22,212
22,212
Short-Term Investments1
65,608,818
65,608,818
Futures Contracts2
531,111
531,111
Total
$3,410,325,546
$—
$1,084,222
$3,411,409,768
*
Level 3 amount shown includes securities determined to have no value at May 31, 2024.
1
As categorized in the Portfolio Holdings.
2
Futures contracts are reported at cumulative unrealized appreciation or depreciation.
  
59

Schwab Strategic Trust
Schwab Fundamental Emerging Markets Large Company Index ETF
Portfolio Holdings as of May 31, 2024 (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. You can also obtain this information at no cost by calling 1-866-414-6349 or by sending an email request to orders@mysummaryprospectus.com.
SECURITY
NUMBER
OF SHARES
VALUE ($)
COMMON STOCKS 95.3% OF NET ASSETS
 
Brazil 6.6%
Ambev SA
5,375,987
11,824,236
B3 SA - Brasil Bolsa Balcao
3,304,991
6,728,389
Banco Bradesco SA
2,754,842
6,001,492
Banco do Brasil SA
3,676,922
18,972,787
Banco Santander Brasil SA
1,022,394
5,398,068
Centrais Eletricas Brasileiras SA
1,563,728
10,350,771
Cia de Saneamento Basico do Estado de
Sao Paulo SABESP
489,261
6,875,542
Cia Energetica de Minas Gerais
560,227
1,287,621
Cia Paranaense de Energia - Copel
232,804
360,555
Cia Siderurgica Nacional SA
2,166,087
5,390,644
Equatorial Energia SA
895,838
4,982,133
Itau Unibanco Holding SA
658,037
3,374,164
JBS SA
8,040,838
44,121,839
Klabin SA
1,137,263
4,396,850
Natura & Co. Holding SA
1,831,705
5,175,342
Petroleo Brasileiro SA
11,261,767
87,208,333
Suzano SA
856,704
7,938,104
Telefonica Brasil SA
1,063,132
8,758,548
Ultrapar Participacoes SA
2,703,265
11,917,130
Vale SA
9,377,396
112,760,339
Vibra Energia SA
5,733,413
23,497,192
 
387,320,079
 
Chile 0.6%
Banco de Chile
49,130,961
5,828,934
Cencosud SA
4,718,898
8,854,418
Empresas CMPC SA
3,298,023
6,896,219
Empresas Copec SA
1,662,877
13,790,943
 
35,370,514
 
China 34.6%
Agile Group Holdings Ltd. *(a)
58,205,908
4,389,614
Agricultural Bank of China Ltd., A Shares
14,697,900
8,877,852
Agricultural Bank of China Ltd.,
H Shares
78,115,867
32,650,832
Alibaba Group Holding Ltd.
12,906,032
123,561,108
Aluminum Corp. of China Ltd., A Shares
2,303,700
2,595,959
Aluminum Corp. of China Ltd., H Shares
10,661,650
7,958,743
Anhui Conch Cement Co. Ltd., A Shares
1,176,700
3,887,281
Anhui Conch Cement Co. Ltd., H Shares
5,776,225
14,279,329
ANTA Sports Products Ltd.
604,050
6,427,830
BAIC Motor Corp. Ltd., H Shares
36,679,303
10,408,336
Baidu, Inc., A Shares *
1,888,466
22,569,816
Bank of China Ltd., A Shares
7,312,800
4,467,399
Bank of China Ltd., H Shares
204,359,297
96,650,335
Bank of Communications Co. Ltd.,
A Shares
7,322,200
7,102,623
SECURITY
NUMBER
OF SHARES
VALUE ($)
Bank of Communications Co. Ltd.,
H Shares
21,440,899
16,142,304
Beijing Enterprises Holdings Ltd.
1,564,718
5,500,169
BYD Co. Ltd., A Shares
40,100
1,263,589
BYD Co. Ltd., H Shares
259,420
7,281,872
China CITIC Bank Corp. Ltd., A Shares
2,114,600
2,097,740
China CITIC Bank Corp. Ltd., H Shares
29,607,247
18,051,930
China Coal Energy Co. Ltd., A Shares
2,908,997
5,315,320
China Coal Energy Co. Ltd., H Shares
4,996,000
6,290,221
China Communications Services Corp.
Ltd., H Shares
13,897,926
6,697,282
China Construction Bank Corp.,
A Shares
2,016,300
1,953,061
China Construction Bank Corp.,
H Shares
305,849,213
216,583,003
China Everbright Bank Co. Ltd.,
A Shares
11,101,800
4,949,103
China Everbright Bank Co. Ltd.,
H Shares (a)
11,423,120
3,664,930
China Everbright Environment Group
Ltd.
17,206,458
8,005,715
China Gas Holdings Ltd.
9,071,991
8,569,476
China Hongqiao Group Ltd.
9,178,834
15,135,071
China Jinmao Holdings Group Ltd.
54,746,699
4,828,523
China Life Insurance Co. Ltd., H Shares
5,318,329
7,532,206
China Mengniu Dairy Co. Ltd.
3,624,025
6,652,010
China Merchants Bank Co. Ltd.,
A Shares
2,224,100
10,490,186
China Merchants Bank Co. Ltd.,
H Shares
6,510,341
28,959,444
China Minsheng Banking Corp. Ltd.,
A Shares
11,230,900
6,041,981
China Minsheng Banking Corp. Ltd.,
H Shares
30,350,799
11,483,363
China National Building Material Co.
Ltd., H Shares
57,732,809
23,097,994
China Overseas Land & Investment Ltd.
13,807,553
26,014,857
China Pacific Insurance Group Co. Ltd.,
A Shares
678,100
2,685,175
China Pacific Insurance Group Co. Ltd.,
H Shares *
4,458,449
11,625,756
China Petroleum & Chemical Corp.,
A Shares
12,429,700
11,030,836
China Petroleum & Chemical Corp.,
H Shares
147,859,030
93,742,551
China Railway Group Ltd., A Shares
5,333,500
4,828,656
China Railway Group Ltd., H Shares
15,830,325
8,498,580
China Resources Building Materials
Technology Holdings Ltd.
21,072,075
3,770,879
China Resources Gas Group Ltd.
1,683,524
5,842,469
China Resources Land Ltd.
6,096,247
22,130,342
China Resources Power Holdings Co.
Ltd.
4,250,325
12,033,809
China Shenhua Energy Co. Ltd.,
A Shares
961,300
5,598,804
60
  

Schwab Fundamental Emerging Markets Large Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
China Shenhua Energy Co. Ltd.,
H Shares
6,153,151
29,848,093
China State Construction Engineering
Corp. Ltd., A Shares
12,355,000
9,570,601
China Taiping Insurance Holdings Co.
Ltd.
6,315,337
6,821,195
China Tower Corp. Ltd., H Shares
105,888,386
12,452,123
China United Network Communications
Ltd., A Shares
7,700,900
4,842,234
China Vanke Co. Ltd., A Shares
3,295,800
3,741,131
China Vanke Co. Ltd., H Shares (a)
11,416,837
7,836,594
China Yongda Automobiles Services
Holdings Ltd.
13,583,500
3,368,377
CITIC Ltd.
20,795,052
20,998,793
COSCO SHIPPING Holdings Co. Ltd.,
A Shares
2,610,000
5,401,028
COSCO SHIPPING Holdings Co. Ltd.,
H Shares
8,057,853
13,451,470
Country Garden Holdings Co. Ltd. *(a)(b)
188,696,728
7,959,496
CRRC Corp. Ltd., A Shares
3,560,000
3,414,058
CRRC Corp. Ltd., H Shares
8,077,104
4,831,798
CSPC Pharmaceutical Group Ltd.
8,858,095
7,506,908
Dongfeng Motor Group Co. Ltd.,
H Shares (a)
15,047,626
4,866,265
ENN Energy Holdings Ltd.
1,248,820
11,445,275
Fosun International Ltd.
12,381,131
6,931,730
GCL Technology Holdings Ltd.
35,810,564
6,682,997
Geely Automobile Holdings Ltd.
12,086,675
14,630,665
Guangzhou R&F Properties Co. Ltd.,
H Shares *(a)
57,265,642
6,953,845
Haier Smart Home Co. Ltd., A Shares
575,300
2,338,261
Haier Smart Home Co. Ltd., H Shares
2,937,896
10,627,475
Hengan International Group Co. Ltd.
1,632,660
5,676,386
Huaneng Power International, Inc.,
A Shares *
992,100
1,223,071
Huaneng Power International, Inc.,
H Shares *
9,183,225
6,080,401
Industrial & Commercial Bank of China
Ltd., A Shares
13,398,600
10,010,305
Industrial & Commercial Bank of China
Ltd., H Shares
213,951,036
120,877,064
Industrial Bank Co. Ltd., A Shares
3,539,300
8,711,958
JD.com, Inc., A Shares
4,448,791
64,769,861
Jiangxi Copper Co. Ltd., A Shares
875,500
3,070,535
Jiangxi Copper Co. Ltd., H Shares
6,840,320
14,758,972
Kingboard Holdings Ltd. (a)
4,601,292
11,163,060
Kunlun Energy Co. Ltd.
15,390,765
15,974,360
Kweichow Moutai Co. Ltd., A Shares
23,600
5,352,736
Li Ning Co. Ltd.
1,417,500
3,687,183
Longfor Group Holdings Ltd.
8,490,175
13,348,393
Lufax Holding Ltd., ADR (a)
1,429,548
6,404,375
Meituan, B Shares *
946,762
12,718,936
NetEase, Inc.
901,090
15,848,707
Nine Dragons Paper Holdings Ltd. *
10,181,218
5,309,665
People's Insurance Co. Group of China
Ltd., A Shares
920,100
670,964
People's Insurance Co. Group of China
Ltd., H Shares
13,793,931
4,795,835
PetroChina Co. Ltd., A Shares
5,919,700
8,258,967
PetroChina Co. Ltd., H Shares
71,192,388
72,526,901
PICC Property & Casualty Co. Ltd.,
H Shares
15,381,148
19,975,134
Ping An Bank Co. Ltd., A Shares
3,352,700
5,125,035
Ping An Insurance Group Co. of China
Ltd., A Shares
1,658,300
9,827,115
Ping An Insurance Group Co. of China
Ltd., H Shares
15,080,659
76,238,448
SECURITY
NUMBER
OF SHARES
VALUE ($)
Postal Savings Bank of China Co. Ltd.,
A Shares
2,490,700
1,723,763
Postal Savings Bank of China Co. Ltd.,
H Shares
19,913,599
11,225,239
Seazen Group Ltd. *(a)
43,128,936
7,938,500
Shanghai Pharmaceuticals Holding Co.
Ltd., A Shares
1,493,400
3,731,471
Shanghai Pudong Development Bank
Co. Ltd., A Shares
8,090,500
9,283,879
Shenzhou International Group Holdings
Ltd.
622,701
6,224,344
Sino Biopharmaceutical Ltd.
11,346,000
4,118,778
Sinopharm Group Co. Ltd., H Shares
5,673,686
15,374,762
Sunny Optical Technology Group Co.
Ltd.
727,702
3,995,066
Tencent Holdings Ltd.
3,179,687
146,235,485
Tingyi Cayman Islands Holding Corp.
4,355,707
5,317,032
Vipshop Holdings Ltd., ADR
734,246
11,799,333
Weichai Power Co. Ltd., A Shares
925,600
2,026,197
Weichai Power Co. Ltd., H Shares
4,112,733
7,349,282
Xiaomi Corp., B Shares *
15,340,144
34,275,051
Yankuang Energy Group Co. Ltd.,
A Shares
315,150
1,092,279
Yankuang Energy Group Co. Ltd.,
H Shares
4,710,381
11,752,847
Yum China Holdings, Inc.
348,083
12,048,659
Zhongsheng Group Holdings Ltd.
2,832,953
5,120,307
Zijin Mining Group Co. Ltd., A Shares
1,044,300
2,501,567
Zijin Mining Group Co. Ltd., H Shares
4,356,120
9,209,638
 
2,021,484,522
 
Colombia 0.2%
Ecopetrol SA
15,836,237
9,654,010
 
Czech Republic 0.1%
CEZ AS
178,351
7,433,137
 
Greece 0.4%
Alpha Services & Holdings SA *
5,818,469
9,796,934
Eurobank Ergasias Services & Holdings
SA, A Shares *
3,198,782
6,986,863
National Bank of Greece SA *
604,622
5,237,891
 
22,021,688
 
Hungary 0.4%
MOL Hungarian Oil & Gas PLC
1,719,886
13,355,293
OTP Bank Nyrt
256,226
12,344,395
 
25,699,688
 
India 12.4%
Axis Bank Ltd.
1,026,001
14,284,763
Bharat Petroleum Corp. Ltd.
3,874,048
29,137,306
Bharti Airtel Ltd.
1,125,868
18,515,780
Bharti Airtel Ltd. - Partly Paid Shares
49,821
588,956
Coal India Ltd.
2,860,579
16,833,537
GAIL India Ltd.
6,116,492
14,970,416
Grasim Industries Ltd.
454,006
12,598,247
HCL Technologies Ltd.
694,416
11,015,484
HDFC Bank Ltd.
437,019
8,018,527
Hero MotoCorp Ltd.
182,477
11,191,988
Hindalco Industries Ltd.
2,968,122
24,512,331
Hindustan Petroleum Corp. Ltd.
4,010,920
25,820,481
Hindustan Unilever Ltd.
292,961
8,174,321
ICICI Bank Ltd.
541,714
7,275,421
  
61

Schwab Fundamental Emerging Markets Large Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Indian Oil Corp. Ltd.
17,944,883
34,913,207
Infosys Ltd.
2,609,080
43,975,796
ITC Ltd.
1,637,069
8,363,695
JSW Steel Ltd.
1,106,538
11,673,026
Larsen & Toubro Ltd.
372,612
16,379,594
Mahindra & Mahindra Ltd.
687,067
20,629,398
Maruti Suzuki India Ltd.
85,528
12,704,821
NTPC Ltd.
6,071,184
26,111,446
Oil & Natural Gas Corp. Ltd.
12,931,575
40,953,764
Petronet LNG Ltd.
2,016,485
7,183,333
Power Finance Corp. Ltd.
2,877,411
16,975,678
Power Grid Corp. of India Ltd.
3,919,488
14,556,405
Rajesh Exports Ltd. *
2,766,925
9,828,453
REC Ltd.
1,815,831
11,698,197
Reliance Industries Ltd.
2,245,741
76,968,008
State Bank of India
1,331,383
13,244,247
Steel Authority of India Ltd.
5,364,693
10,186,787
Sun Pharmaceutical Industries Ltd.
425,427
7,440,147
Tata Consultancy Services Ltd.
627,652
27,603,266
Tata Motors Ltd.
1,856,045
20,523,588
Tata Motors Ltd., A Shares, DVR
386,940
2,866,892
Tata Steel Ltd.
19,035,300
38,129,322
Tech Mahindra Ltd.
586,068
8,625,188
UltraTech Cement Ltd.
51,450
6,111,715
UPL Ltd.
861,863
5,253,496
Vedanta Ltd.
4,170,051
22,481,069
Wipro Ltd.
1,294,705
6,796,828
 
725,114,924
 
Indonesia 1.2%
Adaro Energy Indonesia Tbk. PT
34,872,900
5,944,488
Astra International Tbk. PT
39,883,742
10,529,308
Bank Central Asia Tbk. PT
16,668,990
9,488,502
Bank Mandiri Persero Tbk. PT
31,483,972
11,431,104
Bank Rakyat Indonesia Persero Tbk. PT
43,163,182
11,527,890
Telkom Indonesia Persero Tbk. PT
75,547,846
13,482,385
United Tractors Tbk. PT
4,514,764
6,133,133
 
68,536,810
 
Kuwait 0.5%
Kuwait Finance House KSCP
3,392,402
8,067,938
Mobile Telecommunications Co. KSCP
4,806,052
7,014,534
National Bank of Kuwait SAKP
5,255,111
14,672,195
 
29,754,667
 
Malaysia 1.7%
Axiata Group Bhd.
13,321,272
7,924,275
CIMB Group Holdings Bhd.
8,790,324
12,773,702
Genting Bhd.
6,173,600
6,243,114
Malayan Banking Bhd.
9,472,158
19,982,691
Petronas Chemicals Group Bhd.
4,254,100
6,064,375
Public Bank Bhd.
12,165,400
10,596,588
Sime Darby Bhd.
12,897,300
7,617,271
Tenaga Nasional Bhd.
9,429,900
26,124,048
 
97,326,064
 
Mexico 3.2%
Alfa SAB de CV, A Shares
15,402,078
10,657,315
America Movil SAB de CV, Series B
45,213,220
41,677,768
Cemex SAB de CV, Series CPO *
26,574,965
19,899,862
Fomento Economico Mexicano SAB de
CV
1,870,428
21,337,149
Grupo Bimbo SAB de CV, Series A
1,870,315
7,007,032
Grupo Financiero Banorte SAB de CV,
O Shares
2,501,603
23,671,603
SECURITY
NUMBER
OF SHARES
VALUE ($)
Grupo Mexico SAB de CV, Series B
4,261,201
26,206,630
Grupo Televisa SAB, Series CPO
15,271,608
9,949,134
Ollamani SAB *
663,180
1,727,414
Orbia Advance Corp. SAB de CV
3,676,898
5,963,761
Wal-Mart de Mexico SAB de CV
4,524,717
16,925,071
 
185,022,739
 
Qatar 0.6%
Ooredoo QPSC
2,088,749
5,406,883
Qatar Fuel QSC
2,164,253
7,994,837
Qatar Islamic Bank SAQ
1,203,944
5,687,404
Qatar National Bank QPSC
4,407,590
16,342,341
 
35,431,465
 
Russia 0.0%
Alrosa PJSC *(b)(c)
49,456
0
Federal Grid Co.-Rosseti PJSC *(b)(c)
19,817,058
0
Gazprom PJSC *(b)(c)
197,560
0
GMK Norilskiy Nickel PAO *(b)(c)
54,400
0
Inter RAO UES PJSC *(b)(c)
1,590,272
0
LUKOIL PJSC *(b)(c)
15,008
0
Magnit PJSC *(b)(c)
2,064
0
Mobile TeleSystems PJSC *(b)(c)
26,384
0
Novatek PJSC *(b)(c)
5,557
0
Novolipetsk Steel PJSC *(b)(c)
21,760
0
Rosneft Oil Co. PJSC *(b)(c)
28,418
0
Sberbank of Russia PJSC *(b)(c)
90,000
0
Severstal PAO *(b)(c)
3,392
0
Sistema AFK PAO *(b)(c)
127,904
0
Tatneft PJSC *(b)(c)
45,568
0
 
0
 
Saudi Arabia 2.1%
Al Rajhi Bank
653,838
13,266,076
Riyad Bank
891,014
5,796,449
SABIC Agri-Nutrients Co.
113,551
3,209,109
Saudi Arabian Mining Co. *
371,007
4,569,953
Saudi Arabian Oil Co.
2,186,151
16,903,079
Saudi Awwal Bank
512,357
5,231,896
Saudi Basic Industries Corp.
1,554,820
31,505,138
Saudi Electricity Co.
1,977,067
8,813,438
Saudi National Bank
1,443,532
13,027,851
Saudi Telecom Co.
2,081,987
19,983,345
 
122,306,334
 
South Africa 4.1%
Absa Group Ltd.
1,804,707
14,298,667
Anglo American Platinum Ltd. (a)
168,660
5,469,412
Anglogold Ashanti PLC
585,909
13,923,021
Bid Corp. Ltd.
431,665
9,534,116
Bidvest Group Ltd.
497,077
6,484,772
Exxaro Resources Ltd.
692,248
6,670,804
FirstRand Ltd.
6,514,865
22,491,899
Gold Fields Ltd.
884,230
13,745,661
Impala Platinum Holdings Ltd. (a)
2,721,082
13,904,942
MTN Group Ltd.
5,284,710
23,033,504
Naspers Ltd., N Shares
73,562
14,567,171
Nedbank Group Ltd.
913,802
11,089,390
Old Mutual Ltd.
10,461,975
5,906,828
Sanlam Ltd.
2,419,279
9,102,734
Sappi Ltd.
2,986,535
8,492,847
Sasol Ltd.
1,383,867
9,121,652
Shoprite Holdings Ltd.
735,698
9,756,815
Sibanye Stillwater Ltd. (a)
14,328,979
17,968,779
62
  

Schwab Fundamental Emerging Markets Large Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Standard Bank Group Ltd.
2,188,534
20,828,125
Vodacom Group Ltd. (a)
1,360,726
6,681,669
 
243,072,808
 
Taiwan 21.4%
Acer, Inc.
6,153,470
10,048,730
ASE Technology Holding Co. Ltd.
6,278,000
30,426,807
Asia Cement Corp.
4,714,000
6,046,388
Asustek Computer, Inc.
1,742,100
27,588,359
AUO Corp.
32,682,496
17,958,524
Catcher Technology Co. Ltd.
1,669,000
11,566,664
Cathay Financial Holding Co. Ltd.
11,664,994
20,237,472
Chailease Holding Co. Ltd.
1,051,534
4,934,036
China Development Financial Holding
Corp. *
19,108,000
8,317,059
China Steel Corp.
25,317,088
18,561,488
Chunghwa Telecom Co. Ltd.
4,106,764
16,227,258
Compal Electronics, Inc.
17,719,000
20,265,758
CTBC Financial Holding Co. Ltd.
18,172,809
19,859,154
Delta Electronics, Inc.
1,510,696
15,156,393
E.Sun Financial Holding Co. Ltd.
8,439,724
7,451,260
Evergreen Marine Corp. Taiwan Ltd.
3,860,000
25,082,731
Far Eastern New Century Corp.
9,571,061
9,986,475
First Financial Holding Co. Ltd.
7,688,776
6,527,176
Formosa Chemicals & Fibre Corp.
8,360,882
13,653,475
Formosa Petrochemical Corp.
2,919,704
6,074,830
Formosa Plastics Corp.
5,923,476
11,940,575
Fubon Financial Holding Co. Ltd.
10,080,406
22,840,705
Hon Hai Precision Industry Co. Ltd.
44,988,928
238,874,348
Innolux Corp.
41,913,732
18,049,533
Inventec Corp.
6,847,646
11,309,164
Largan Precision Co. Ltd.
112,200
7,879,700
Lite-On Technology Corp., ADR
2,527,229
8,386,649
MediaTek, Inc.
1,152,046
43,920,998
Mega Financial Holding Co. Ltd.
7,693,348
9,274,101
Micro-Star International Co. Ltd.
1,144,000
6,762,857
Nan Ya Plastics Corp.
10,144,588
16,660,248
Novatek Microelectronics Corp.
645,000
11,807,279
Pegatron Corp.
9,087,234
29,735,346
Pou Chen Corp.
10,495,000
12,133,042
Powertech Technology, Inc.
1,868,000
10,264,370
President Chain Store Corp.
630,000
5,250,972
Quanta Computer, Inc.
3,074,058
26,001,478
Realtek Semiconductor Corp.
376,000
6,302,649
Shin Kong Financial Holding Co. Ltd. *
19,633,000
5,727,352
Synnex Technology International Corp.
4,069,178
10,601,921
Taiwan Cement Corp.
9,702,760
9,884,271
Taiwan Cooperative Financial Holding
Co. Ltd.
6,474,357
5,106,496
Taiwan Mobile Co. Ltd.
1,865,530
6,075,613
Taiwan Semiconductor Manufacturing
Co. Ltd.
11,105,352
281,456,257
Unimicron Technology Corp.
819,000
4,614,049
Uni-President Enterprises Corp.
7,371,796
18,205,337
United Microelectronics Corp.
14,651,931
24,876,712
Walsin Lihwa Corp.
5,865,925
6,690,928
Wan Hai Lines Ltd.
2,863,000
7,043,931
Wistron Corp.
5,034,934
17,407,934
WPG Holdings Ltd.
5,745,880
15,289,710
Yageo Corp.
452,635
9,249,996
Yang Ming Marine Transport Corp.
7,693,000
16,979,981
Yuanta Financial Holding Co. Ltd.
11,318,938
11,058,973
Zhen Ding Technology Holding Ltd.
1,750,000
6,590,727
 
1,250,224,239
 
SECURITY
NUMBER
OF SHARES
VALUE ($)
Thailand 2.4%
Advanced Info Service PCL NVDR
1,256,500
6,933,120
Bangkok Dusit Medical Services PCL
NVDR
6,167,600
4,526,371
Banpu PCL NVDR
26,756,000
3,927,219
Charoen Pokphand Foods PCL NVDR *
19,141,600
11,862,693
CP ALL PCL NVDR
5,207,800
8,139,399
Kasikornbank PCL NVDR
3,497,200
12,452,656
Krung Thai Bank PCL NVDR
11,505,400
5,378,986
PTT Exploration & Production PCL
NVDR
2,024,800
8,475,651
PTT Global Chemical PCL NVDR
9,075,900
8,572,643
PTT PCL NVDR
52,649,700
46,868,107
SCB X PCL NVDR
3,205,100
9,234,591
Siam Cement PCL NVDR
1,834,800
11,769,851
Thai Oil PCL NVDR
4,087,487
5,749,591
 
143,890,878
 
Turkey 1.8%
Akbank TAS
9,156,437
18,876,174
BIM Birlesik Magazalar AS
683,278
10,182,585
Eregli Demir ve Celik Fabrikalari TAS
5,844,574
8,699,019
Haci Omer Sabanci Holding AS
2,974,070
9,021,217
KOC Holding AS
1,491,039
11,026,817
Turk Hava Yollari AO *
828,945
7,791,647
Turkcell Iletisim Hizmetleri AS
3,663,822
11,329,561
Turkiye Is Bankasi AS, Class C
20,963,717
10,485,357
Turkiye Petrol Rafinerileri AS
1,497,050
8,212,819
Yapi ve Kredi Bankasi AS
8,238,787
8,267,116
 
103,892,312
 
United Arab Emirates 1.0%
Abu Dhabi Commercial Bank PJSC
3,104,679
6,593,021
Dubai Islamic Bank PJSC
3,512,943
5,279,385
Emaar Properties PJSC
6,895,737
14,380,786
Emirates NBD Bank PJSC
383,203
1,622,305
Emirates Telecommunications Group Co.
PJSC
3,778,297
16,561,327
First Abu Dhabi Bank PJSC
4,142,927
13,083,936
 
57,520,760
Total Common Stocks
(Cost $4,640,967,926)
5,571,077,638
PREFERRED STOCKS 4.1% OF NET ASSETS
 
Brazil 3.8%
Banco Bradesco SA
9,569,352
23,068,332
Centrais Eletricas Brasileiras SA,
B Shares
303,444
2,259,152
Cia Energetica de Minas Gerais
3,218,407
6,092,858
Cia Paranaense de Energia - Copel,
B Shares
3,517,089
6,076,119
Gerdau SA
4,156,458
14,321,842
Itau Unibanco Holding SA
6,723,717
39,696,136
Metalurgica Gerdau SA
4,596,401
9,366,221
Petroleo Brasileiro SA
16,657,614
122,938,982
 
223,819,642
 
Chile 0.1%
Sociedad Quimica y Minera de Chile SA,
B Shares
105,491
4,937,549
 
  
63

Schwab Fundamental Emerging Markets Large Company Index ETF
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Colombia 0.2%
Bancolombia SA
1,069,015
9,410,813
 
Russia 0.0%
Surgutneftegas PJSC *(b)(c)
265,800
0
Tatneft PJSC *(b)(c)
4,870
0
Transneft PJSC *(b)(c)
11,600
0
 
0
Total Preferred Stocks
(Cost $178,961,070)
238,168,004
 
 
 
SHORT-TERM INVESTMENTS 1.6% OF NET ASSETS
 
Money Market Funds 1.6%
State Street Institutional
U.S. Government Money Market
Fund, Premier Class 5.26% (d)
36,712,521
36,712,521
State Street Institutional
U.S. Government Money Market
Fund, Premier Class 5.26% (d)(e)
55,516,633
55,516,633
 
92,229,154
Total Short-Term Investments
(Cost $92,229,154)
92,229,154
 
Total Investments in Securities
(Cost $4,912,158,150)
5,901,474,796
 
 
 
 
 
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
($)
CURRENT VALUE/
UNREALIZED
DEPRECIATION
($)
FUTURES CONTRACTS
Long
MSCI Emerging Markets Index,
expires 06/21/24
609
32,170,425
(286,323
)
*
Non-income producing security.
(a)
All or a portion of this security is on loan. Securities on loan were valued at
$48,697,321.
(b)
Fair valued using significant unobservable inputs (see notes to portfolio
holdings for additional information).
(c)
Trading in Russian securities listed on the Moscow Exchange, Russian ADRs,
and Russian GDRs are subject to trade restrictions; and therefore, the ability of
the fund to buy these securities is currently not permitted, and the ability of the
fund to sell these securities is uncertain.
(d)
The rate shown is the annualized 7-day yield.
(e)
Security purchased with cash collateral received for securities on loan.
ADR —
American Depositary Receipt
DVR —
Differential Voting Rights
GDR —
Global Depositary Receipt
NVDR —
Non-Voting Depositary Receipt

The following is a summary of the inputs used to value the fund’s investments as of May 31, 2024 (see notes to portfolio holdings for additional information):
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 Stocks1
$3,549,593,116
$
$
$3,549,593,116
China
2,013,525,026
7,959,496
2,021,484,522
Russia
0
*
0
Preferred Stocks1
238,168,004
238,168,004
Russia
0
*
0
Short-Term Investments1
92,229,154
92,229,154
Liabilities
Futures Contracts2
(286,323
)
(286,323
)
Total
$5,893,228,977
$—
$7,959,496
$5,901,188,473
*
Level 3 amount shown includes securities determined to have no value at May 31, 2024.
1
As categorized in the Portfolio Holdings.
2
Futures contracts are reported at cumulative unrealized appreciation or depreciation.
64
  

Schwab Fundamental Index ETFs
Notes to Portfolio Holdings (Unaudited)
Pursuant to Rule 2a-5 under the Investment Company Act of 1940, as amended (the 1940 Act), the Board of Trustees (the Board) has designated authority to a Valuation Designee, the funds’ investment adviser, to make fair valuation determinations under adopted procedures, subject to Board oversight. The investment adviser has formed a Pricing Committee to administer the pricing and valuation of portfolio securities and other assets and liabilities as well as to ensure that prices used for internal purposes or provided by third parties reasonably reflect fair value. The Valuation Designee may utilize independent pricing services, quotations from securities and financial instrument dealers and other market sources to determine fair value.
Securities held in the funds’ portfolio are valued every business day. The following valuation policies and procedures are used by the Valuation Designee 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.
● Futures contracts: Futures contracts are valued at their settlement prices as of the close of their exchanges.
● Mutual funds: Mutual funds are valued at their respective net asset values (NAVs).
● Securities for which no quoted value is available: The Valuation Designee has adopted procedures to fair value a fund’s securities when market prices are not “readily available” or are unreliable. For example, a security may be fair valued when it’s 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. Fair value determinations are made in good faith in accordance with adopted valuation procedures. The Valuation Designee considers a number of factors, including unobservable market inputs, when arriving at fair value. The Valuation Designee may employ methods 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. 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.
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 methods 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 it is determined 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 the Valuation Designee’s judgment will be required to estimate fair value.
The three levels of the fair value hierarchy are as follows:
● Level 1 — quoted prices in active markets for identical investments — Investments whose values are based on quoted market prices in active markets. These generally include active listed equities, mutual funds, exchange-traded funds (ETFs) and futures contracts. Mutual funds and ETFs are classified as Level 1 prices, without consideration to the classification level of the underlying securities held which could be Level 1, Level 2 or Level 3 in the fair value hierarchy.
● Level 2 — other 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 forward foreign currency exchange contracts, 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 3 — significant unobservable inputs (including the Valuation Designee’s 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 readily available for these securities, one or more valuation methods are used for which sufficient and reliable data is available. The inputs used 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 in the absence of market information. Assumptions used due to the lack of observable inputs may significantly impact the resulting fair value and therefore a fund’s results of operations.
  
65

Schwab Fundamental Index ETFs
Notes to Portfolio Holdings (Unaudited) (continued)
The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.
The levels associated with valuing the funds’ investments as of May 31, 2024, are disclosed in each fund’s Portfolio Holdings.
REG89447MAY24
66