Semiannual Report   |   June 30, 2023
Vanguard Developed Markets Index Fund

 

Contents
About Your Fund’s Expenses

1
Financial Statements

4
Trustees Approve Advisory Arrangement

71
Liquidity Risk Management

73

 

About Your Fund’s Expenses
As a shareholder of the fund, you incur ongoing costs, which include costs for portfolio management, administrative services, and shareholder reports (like this one), among others. Operating expenses, which are deducted from a fund’s gross income, directly reduce the investment return of the fund.
A fund’s expenses are expressed as a percentage of its average net assets. This figure is known as the expense ratio. The following examples are intended to help you understand the ongoing costs (in dollars) of investing in your fund and to compare these costs with those of other mutual funds. The examples are based on an investment of $1,000 made at the beginning of the period shown and held for the entire period.
The accompanying table illustrates your fund’s costs in two ways:
Based on actual fund return. This section helps you to estimate the actual expenses that you paid over the period. The ”Ending Account Value“ shown is derived from the fund‘s actual return, and the third column shows the dollar amount that would have been paid by an investor who started with $1,000 in the fund. You may use the information here, together with the amount you invested, to estimate the expenses that you paid over the period.
To do so, simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number given for your fund under the heading ”Expenses Paid During Period.“
Based on hypothetical 5% yearly return. This section is intended to help you compare your fund‘s costs with those of other mutual funds. It assumes that the fund had a yearly return of 5% before expenses, but that the expense ratio is unchanged. In this case—because the return used is not the fund’s actual return—the results do not apply to your investment. The example is useful in making comparisons because the Securities and Exchange Commission requires all mutual funds to calculate expenses based on a 5% return. You can assess your fund’s costs by comparing this hypothetical example with the hypothetical examples that appear in shareholder reports of other funds.
Note that the expenses shown in the table are meant to highlight and help you compare ongoing costs only and do not reflect transaction costs incurred by the fund for buying and selling securities. Further, the expenses do not include any purchase, redemption, or account service fees described in the fund prospectus. If such fees were applied to your account, your costs would be higher. Your fund does not carry a “sales load.”
The calculations assume no shares were bought or sold during the period. Your actual costs may have been higher or lower, depending on the amount of your investment and the timing of any purchases or redemptions.
You can find more information about the fund’s expenses, including annual expense ratios, in the Financial Statements section of this report. For additional information on operating expenses and other shareholder costs, please refer to your fund’s current prospectus.
1

 

Six Months Ended June 30, 2023      
  Beginning
Account Value
12/31/2022
Ending
Account Value
6/30/2023
Expenses
Paid During
Period
Based on Actual Fund Return      
Developed Markets Index Fund      
Investor Shares $1,000.00 $1,110.10 $0.89
FTSE Developed Markets ETF Shares 1,000.00 1,111.40 0.31
Admiral™ Shares 1,000.00 1,111.10 0.42
Institutional Shares 1,000.00 1,111.80 0.31
Institutional Plus Shares 1,000.00 1,111.70 0.26
Based on Hypothetical 5% Yearly Return      
Developed Markets Index Fund      
Investor Shares $1,000.00 $1,023.95 $0.85
FTSE Developed Markets ETF Shares 1,000.00 1,024.50 0.30
Admiral Shares 1,000.00 1,024.40 0.40
Institutional Shares 1,000.00 1,024.50 0.30
Institutional Plus Shares 1,000.00 1,024.55 0.25
The calculations are based on expenses incurred in the most recent six-month period. The fund’s annualized six-month expense ratios for that period are 0.17% for Investor Shares, 0.06% for FTSE Developed Markets ETF Shares, 0.08% for Admiral Shares, 0.06% for Institutional Shares, and 0.05% for Institutional Plus Shares. The dollar amounts shown as “Expenses Paid” are equal to the annualized expense ratio multiplied by the average account value over the period, multiplied by the number of days in the most recent six-month period, then divided by the number of days in the most recent 12-month period (181/365).
2

 

Developed Markets Index Fund
Fund Allocation
As of June 30, 2023
Japan 21.1%
United Kingdom 13.1
Canada 9.6
France 9.3
Switzerland 7.8
Germany 6.8
Australia 6.7
South Korea 4.7
Netherlands 3.7
Sweden 2.8
Denmark 2.4
Italy 2.3
Hong Kong 2.2
Spain 2.1
Singapore 1.1
Finland 1.0
Other 3.3
The table reflects the fund’s investments, except for short-term investments and derivatives.
The fund may invest in derivatives (such as futures and swap contracts) for various reasons, including, but not limited to, attempting to remain fully invested and tracking its target index as closely as possible.
3

 

Developed Markets Index Fund
Financial Statements (unaudited)
Schedule of Investments
As of June 30, 2023
The fund files its complete schedule of portfolio holdings with the Securities and Exchange Commission (SEC) for the first and third quarters of each fiscal year as an exhibit to its reports on Form N-PORT. The fund’s Form N-PORT reports are available on the SEC’s website at www.sec.gov.
    Shares Market
Value

($000)
Common Stocks (98.9%)
Australia (6.7%)
  BHP Group Ltd.  39,881,300   1,198,910
  Commonwealth Bank of Australia  13,367,821     894,933
  CSL Ltd.   3,815,898     706,624
  National Australia Bank Ltd.  24,876,042     437,517
  Westpac Banking Corp.  27,659,707     393,836
  ANZ Group Holdings Ltd.  23,804,375     376,818
  Woodside Energy Group Ltd.  14,980,663     346,526
  Macquarie Group Ltd.   2,880,215     342,711
  Wesfarmers Ltd.   8,968,255     295,677
  Woolworths Group Ltd.   9,656,584     255,863
  Transurban Group  24,403,585     232,356
  Rio Tinto Ltd.   2,942,715     225,352
  Goodman Group  14,628,768     196,652
  Fortescue Metals Group Ltd.  12,602,377     187,003
  Aristocrat Leisure Ltd.   5,191,735     134,325
  Coles Group Ltd.  10,305,896     126,545
  Newcrest Mining Ltd. (XASX)   7,076,284     126,230
  QBE Insurance Group Ltd.  11,816,533     123,375
  Santos Ltd.  23,636,488     118,265
  Amcor plc GDR  11,783,147     116,943
  Brambles Ltd.  11,017,516     105,940
* James Hardie Industries plc GDR   3,519,495      93,886
  Telstra Group Ltd.  32,065,310      91,986
  South32 Ltd.  36,191,907      91,117
  Suncorp Group Ltd.  10,027,738      90,101
  Sonic Healthcare Ltd.   3,544,159      84,286
* Xero Ltd.   1,009,999      80,921
  Cochlear Ltd.     507,524      77,757
  Origin Energy Ltd.  13,617,370      76,537
  Pilbara Minerals Ltd.  22,754,953      74,788
  Insurance Australia Group Ltd.  19,415,049      73,833
  Scentre Group  41,134,131      72,746
  Northern Star Resources Ltd.   8,910,879      72,596
    Shares Market
Value

($000)
  WiseTech Global Ltd.   1,272,089      68,233
  Computershare Ltd. (XASX)   4,261,311      66,502
  Mineral Resources Ltd.   1,354,532      64,872
  ASX Ltd.   1,532,877      64,508
  APA Group   9,357,067      60,540
  Lottery Corp. Ltd.  17,615,699      60,391
  Ramsay Health Care Ltd.   1,387,833      52,141
  Medibank Pvt Ltd.  21,823,044      51,262
  Stockland  18,864,002      50,712
  BlueScope Steel Ltd.   3,654,237      50,293
  IGO Ltd.   4,927,182      50,291
* Allkem Ltd.   4,609,446      49,570
  Atlas Arteria Ltd.  11,486,350      47,703
  Mirvac Group  31,166,596      47,065
  Endeavour Group Ltd.  10,836,536      45,608
  carsales.com Ltd.   2,851,483      45,600
  Washington H Soul Pattinson & Co. Ltd.   2,110,328      44,800
  Dexus   8,502,290      44,278
  Treasury Wine Estates Ltd.   5,747,413      43,101
  GPT Group  15,144,543      41,906
  SEEK Ltd.   2,782,942      40,655
  REA Group Ltd.     399,754      38,402
  Ampol Ltd.   1,889,636      37,748
  Vicinity Ltd.  29,919,299      36,846
  Aurizon Holdings Ltd.  13,960,136      36,523
  Orica Ltd.   3,612,098      35,784
* NEXTDC Ltd.   4,062,140      34,255
  AGL Energy Ltd.   4,733,249      34,185
* Lynas Rare Earths Ltd.   7,389,551      33,956
  IDP Education Ltd.   2,216,838      32,829
  Steadfast Group Ltd.   8,080,443      32,387
  Worley Ltd.   2,983,141      31,500
  Cleanaway Waste Management Ltd.  17,700,926      30,622
  Evolution Mining Ltd.  13,728,762      29,890
* Qantas Airways Ltd.   7,103,100      29,436
  ALS Ltd.   3,823,868      28,572
  Lendlease Corp. Ltd.   5,444,162      28,247
  Incitec Pivot Ltd.  15,395,146      28,171
  Charter Hall Group   3,743,621      26,837
4

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  Whitehaven Coal Ltd.   5,904,932      26,471
* Liontown Resources Ltd.  13,659,168      26,011
  Bendigo & Adelaide Bank Ltd.   4,522,690      25,908
  Qube Holdings Ltd.  13,294,058      25,338
  JB Hi-Fi Ltd.     861,691      25,219
  Iluka Resources Ltd.   3,369,568      25,090
  Challenger Ltd.   5,471,885      23,691
  Technology One Ltd.   2,214,175      23,218
  Altium Ltd.     937,276      23,211
  nib holdings Ltd.   3,849,341      21,709
  Reece Ltd.   1,690,455      21,059
  Bank of Queensland Ltd.   5,278,223      19,344
  Metcash Ltd.   7,667,778      19,248
  Seven Group Holdings Ltd.   1,122,388      18,510
  Alumina Ltd.  19,814,428      18,378
  Ansell Ltd.   1,014,060      18,122
  AMP Ltd.  23,418,638      17,697
  Reliance Worldwide Corp. Ltd.   6,280,265      17,268
*,1 Flight Centre Travel Group Ltd.   1,257,991      16,037
  Domino's Pizza Enterprises Ltd.     497,738      15,473
  National Storage REIT   9,799,911      15,383
  Perpetual Ltd.     879,714      15,213
1 Breville Group Ltd.   1,137,394      15,203
  Nine Entertainment Co. Holdings Ltd.  11,447,990      15,061
  Champion Iron Ltd.   3,623,405      14,748
  Orora Ltd.   6,708,378      14,739
  Pro Medicus Ltd.     332,482      14,633
  Downer EDI Ltd.   5,275,194      14,484
* Sandfire Resources Ltd.   3,563,080      14,149
  Charter Hall Long Wale REIT   5,173,397      13,842
  Eagers Automotive Ltd.   1,529,427      13,835
  Region RE Ltd.   9,113,982      13,822
  New Hope Corp. Ltd.   4,238,312      13,730
* Webjet Ltd.   2,969,337      13,725
2 Viva Energy Group Ltd.   6,683,308      13,431
  Tabcorp Holdings Ltd.  18,077,343      13,409
  AUB Group Ltd.     679,002      13,355
  Sims Ltd.   1,262,614      13,319
  CSR Ltd.   3,746,909      12,996
  Beach Energy Ltd.  13,915,665      12,546
  Perseus Mining Ltd.  10,743,289      11,934
  ARB Corp. Ltd.     598,489      11,482
* Paladin Energy Ltd.  23,024,388      11,324
* Chalice Mining Ltd.   2,627,641      11,066
1 Harvey Norman Holdings Ltd.   4,679,525      10,884
  Corporate Travel Management Ltd.     903,503      10,849
  HomeCo Daily Needs REIT  13,634,899      10,711
  Bapcor Ltd.   2,662,901      10,586
  Nufarm Ltd.   2,989,069      10,178
    Shares Market
Value

($000)
  Deterra Royalties Ltd.   3,297,756      10,131
  IRESS Ltd.   1,463,478      10,046
* Telix Pharmaceuticals Ltd.   1,323,357       9,971
  Super Retail Group Ltd.   1,280,400       9,797
  InvoCare Ltd.   1,150,825       9,689
  Insignia Financial Ltd.   5,095,505       9,615
  Charter Hall Retail REIT   3,944,744       9,516
* PEXA Group Ltd.   1,042,429       9,488
  TPG Telecom Ltd.   2,882,590       9,379
* De Grey Mining Ltd.  10,136,605       9,185
  BWP Trust   3,790,044       9,175
  GrainCorp Ltd. Class A   1,749,950       9,155
  Waypoint REIT Ltd.   5,267,709       9,111
* Star Entertainment Group Ltd.  11,637,261       8,990
  Healius Ltd.   4,181,524       8,905
*,1 Core Lithium Ltd.  14,541,871       8,811
1 Centuria Industrial REIT   4,227,822       8,756
  Premier Investments Ltd.     643,580       8,732
  Gold Road Resources Ltd.   8,467,429       8,483
  Brickworks Ltd.     474,785       8,454
  Ingenia Communities Group   2,944,764       7,841
  Lifestyle Communities Ltd.     744,176       7,808
1 Kelsian Group Ltd.   1,584,089       7,698
  HUB24 Ltd.     444,186       7,594
  IPH Ltd.   1,417,412       7,433
  Blackmores Ltd.     116,777       7,358
  Nickel Industries Ltd.  12,166,543       7,241
  Abacus Property Group   4,025,443       7,228
*,2 Life360 Inc. GDR   1,395,993       7,161
* Bellevue Gold Ltd.   8,360,281       7,152
* Boral Ltd.   2,615,065       7,045
  Ventia Services Group Pty. Ltd.   3,452,571       6,991
  EVT Ltd.     881,344       6,914
  Magellan Financial Group Ltd.   1,083,860       6,905
*,1 Sayona Mining Ltd.  58,480,549       6,896
* Neuren Pharmaceuticals Ltd.     843,302       6,895
1 HMC Capital Ltd.   1,984,771       6,760
  Regis Resources Ltd.   5,482,206       6,759
  Arena REIT   2,639,979       6,639
* Capricorn Metals Ltd.   2,399,982       6,518
1 GUD Holdings Ltd.   1,099,784       6,495
  Centuria Capital Group   5,756,437       6,371
  Ramelius Resources Ltd.   7,465,542       6,348
  Costa Group Holdings Ltd.   3,439,427       6,259
 
5

 

Developed Markets Index Fund
    Shares Market
Value

($000)
* United Malt Group Ltd.   2,114,184       6,217
  Credit Corp. Group Ltd.     467,990       6,216
  Netwealth Group Ltd.     661,869       6,146
  Helia Group Ltd.   2,643,173       6,099
2 Coronado Global Resources Inc.   5,734,195       5,884
1 Adbri Ltd.   3,655,186       5,841
* Nanosonics Ltd.   1,828,179       5,815
* Megaport Ltd.   1,190,794       5,802
  Monadelphous Group Ltd.     739,776       5,787
* Strike Energy Ltd.  19,599,045       5,760
  McMillan Shakespeare Ltd.     471,906       5,692
  NRW Holdings Ltd.   3,345,156       5,653
  Collins Foods Ltd.     852,451       5,606
  Lovisa Holdings Ltd.     424,926       5,500
* Boss Energy Ltd.   2,625,279       5,468
* Leo Lithium Ltd.   7,571,266       5,451
  Data#3 Ltd.   1,118,488       5,380
  Elders Ltd.   1,195,088       5,250
  Imdex Ltd.   4,131,862       5,222
* Karoon Energy Ltd.   3,927,260       5,178
  Charter Hall Social Infrastructure REIT   2,625,166       5,158
1 Pinnacle Investment Management Group Ltd.     767,061       5,156
  Codan Ltd.     951,534       5,117
*,1 PolyNovo Ltd.   4,891,939       5,063
  Domain Holdings Australia Ltd.   1,961,568       4,999
  Platinum Asset Management Ltd.   4,186,543       4,867
  Johns Lyng Group Ltd.   1,362,405       4,850
*,1 Weebit Nano Ltd.   1,397,709       4,742
  Hansen Technologies Ltd.   1,361,527       4,705
* West African Resources Ltd.   8,034,083       4,694
  GQG Partners Inc.   5,015,111       4,648
  Bega Cheese Ltd.   2,406,826       4,586
* Silver Lake Resources Ltd.   6,872,683       4,481
  G8 Education Ltd.   6,228,697       4,330
* Resolute Mining Ltd.  16,459,167       4,327
  Link Administration Holdings Ltd.   3,876,288       4,326
  Austal Ltd.   2,576,033       4,079
1 Vulcan Steel Ltd.     740,259       4,058
* Silex Systems Ltd.   1,510,095       3,993
* Mesoblast Ltd.   5,226,315       3,991
  Growthpoint Properties Australia Ltd.   2,114,075       3,946
1 Yancoal Australia Ltd.   1,284,777       3,929
  Cromwell Property Group  10,902,405       3,895
  Jumbo Interactive Ltd.     396,532       3,784
* ioneer Ltd.  16,526,891       3,774
* Perenti Ltd.   5,423,647       3,717
  Sigma Healthcare Ltd.   6,430,133       3,607
    Shares Market
Value

($000)
1 SmartGroup Corp. Ltd.     675,412       3,578
1 Clinuvel Pharmaceuticals Ltd.     296,751       3,554
  Estia Health Ltd.   1,794,647       3,544
* Omni Bridgeway Ltd.   2,018,839       3,526
  Rural Funds Group   2,992,728       3,525
  Centuria Office REIT   3,850,451       3,522
* Fleetpartners Group Ltd.   2,034,352       3,507
* Temple & Webster Group Ltd.     882,572       3,486
*,1 Calix Ltd.   1,214,774       3,397
  APM Human Services International Ltd.   2,346,756       3,316
*,1 SiteMinder Ltd.   1,698,754       3,311
* Judo Capital Holdings Ltd.   4,179,950       3,308
* Macquarie Telecom Group Ltd.      71,796       3,272
* Audinate Group Ltd.     522,666       3,250
* Stanmore Resources Ltd.   1,851,980       3,197
  Hotel Property Investments Ltd.   1,523,451       3,193
* Syrah Resources Ltd.   5,057,461       3,074
* Westgold Resources Ltd.   3,155,793       3,063
  Infomedia Ltd.   2,801,821       2,989
  oOh!media Ltd.   3,748,033       2,956
*,1 Imugene Ltd.  47,962,022       2,943
  Accent Group Ltd.   2,576,925       2,886
1 Integral Diagnostics Ltd.   1,303,918       2,856
*,1 Aussie Broadband Ltd.   1,414,804       2,821
  PWR Holdings Ltd.     486,676       2,820
  Dexus Industria REIT   1,624,308       2,802
* Arafura Rare Earths Ltd.  13,678,880       2,795
* Argosy Minerals Ltd.   9,847,470       2,582
*,1 Mincor Resources NL   2,748,549       2,576
1 Select Harvests Ltd.     921,329       2,550
  Inghams Group Ltd.   1,453,779       2,546
  Myer Holdings Ltd.   6,407,008       2,530
*,1 Tietto Minerals Ltd.   7,797,969       2,430
*,3 AVZ Minerals Ltd.  18,520,485       2,406
  Service Stream Ltd.   4,438,308       2,397
  GWA Group Ltd.   1,983,048       2,315
1 Australian Clinical Labs Ltd.   1,001,538       2,301
* Vulcan Energy Resources Ltd.     814,861       2,290
* Australian Agricultural Co. Ltd.   2,344,991       2,284
* OFX Group Ltd.   1,724,162       2,276
  Dicker Data Ltd.     412,292       2,261
1 Nick Scali Ltd.     361,316       2,202
*,1 Lake Resources NL  10,707,296       2,168
* St Barbara Ltd.   6,363,871       2,067
* Cooper Energy Ltd.  20,475,611       2,049
* Tyro Payments Ltd.   2,617,002       2,000
 
6

 

Developed Markets Index Fund
    Shares Market
Value

($000)
*,1 PointsBet Holdings Ltd.   1,642,457       1,983
1 Mayne Pharma Group Ltd.     657,999       1,936
  Australian Ethical Investment Ltd.     852,169       1,912
  Australian Finance Group Ltd.   1,536,988       1,832
* Seven West Media Ltd.   7,289,604       1,830
  MyState Ltd.     865,011       1,830
* Kogan.com Ltd.     547,988       1,780
* Alkane Resources Ltd.   3,673,294       1,740
1 Emeco Holdings Ltd.   3,941,779       1,710
*,1 BrainChip Holdings Ltd.   6,871,365       1,691
*,1 Appen Ltd.   1,051,414       1,687
  Praemium Ltd.   3,716,078       1,681
* Mount Gibson Iron Ltd.   5,773,933       1,678
*,1 Fineos Corp. Ltd.   1,133,495       1,678
  Cedar Woods Properties Ltd.     460,080       1,542
  GDI Property Group Partnership   3,577,001       1,542
*,1 Zip Co. Ltd.   5,535,072       1,535
1 Regis Healthcare Ltd.   1,027,791       1,520
  Solvar Ltd.   1,338,328       1,382
* Opthea Ltd.   3,529,974       1,294
*,1 Paradigm Biopharmaceuticals Ltd.   1,947,877       1,288
  SG Fleet Group Ltd.     824,704       1,265
* Superloop Ltd.   3,218,749       1,245
*,1 Neometals Ltd.   3,746,652       1,243
  29Metals Ltd.   2,071,479       1,176
1 Navigator Global Investments Ltd.   1,329,992       1,175
*,1 Novonix Ltd.   1,768,371       1,170
*,1 Carnarvon Energy Ltd.  12,791,733       1,109
1 Southern Cross Media Group Ltd.   1,891,003       1,090
  Jupiter Mines Ltd.   7,668,459         996
*,1 EML Payments Ltd.   2,244,691         944
  Ardent Leisure Group Ltd.   3,044,531         914
  Baby Bunting Group Ltd.     980,042         901
  Bravura Solutions Ltd.   2,834,682         889
1 Humm Group Ltd.   2,670,191         831
*,1 Nuix Ltd.   1,430,279         813
*,1,3 Jervois Global Ltd.  15,724,162         703
*,1 Aurelia Metals Ltd.  10,966,322         688
*,1 Incannex Healthcare Ltd.  10,187,172         684
*,1 Australian Strategic Materials Ltd.     911,613         673
*,3 Abacus Storage King Mutual Fund Npv     693,365         651
  Pact Group Holdings Ltd.   1,420,127         626
*,1 Bubs Australia Ltd.   5,079,742         611
* Starpharma Holdings Ltd. Class A   2,934,757         606
    Shares Market
Value

($000)
*,1 Andromeda Metals Ltd.  21,412,926         530
*,1 Betmakers Technology Group Ltd.   5,391,513         471
*,1 AMA Group Ltd.   5,663,807         379
*,3 Firefinch Ltd.   8,031,301         321
*,1 Dubber Corp. Ltd.   2,156,907         288
* PointsBet Holdings Ltd. Warrants Exp. 7/8/24      79,796          —
*,3 Abacus Property Group Rights Exp. 7/27/23     693,364          —
       11,182,086
Austria (0.3%)
  Erste Group Bank AG   2,608,386      91,497
  OMV AG   1,126,084      47,816
  Verbund AG     524,735      42,097
  voestalpine AG     902,933      32,448
  ANDRITZ AG     547,656      30,543
2 BAWAG Group AG     632,966      29,181
  Wienerberger AG     840,558      25,730
* Raiffeisen Bank International AG   1,027,015      16,298
  Mayr Melnhof Karton AG      67,693       9,924
  Oesterreichische Post AG     265,896       9,494
  CA Immobilien Anlagen AG     322,666       9,357
  Telekom Austria AG Class A   1,076,869       7,969
  Vienna Insurance Group AG Wiener Versicherung Gruppe     304,684       7,966
* DO & CO AG      54,512       7,448
  AT&S Austria Technologie & Systemtechnik AG     202,757       7,285
  UNIQA Insurance Group AG     868,342       6,967
  EVN AG     283,913       6,282
* Lenzing AG     105,049       5,147
  Schoeller-Bleckmann Oilfield Equipment AG      85,863       4,973
* IMMOFINANZ AG     247,699       4,587
  Strabag SE      97,707       3,975
  Palfinger AG     109,397       3,330
  Flughafen Wien AG      41,496       2,172
  Agrana Beteiligungs AG      83,748       1,586
  Porr AG      98,955       1,400
* Lenzing AG Rights Exp. 7/5/23     105,049         612
* S IMMO AG (XWBO)      41,656         556
*,3 S IMMO AG Rights Exp. 8/11/23     376,094          —
          416,640
Belgium (0.8%)
  Anheuser-Busch InBev SA   6,856,994     388,637
* Argenx SE     441,458     172,167
  KBC Group NV   1,946,061     135,837
  UCB SA     958,453      84,975
  Solvay SA     551,010      61,614
 
7

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  Groupe Bruxelles Lambert NV     763,209      60,167
  Ageas SA   1,305,193      52,911
  Umicore SA   1,622,710      45,370
  Elia Group SA     298,062      37,870
  Warehouses De Pauw CVA   1,239,869      34,050
  D'ieteren Group     180,139      31,882
  Ackermans & van Haaren NV     176,974      29,138
  Lotus Bakeries NV Class B       3,179      25,242
  Sofina SA     119,679      24,812
  Aedifica SA     318,117      20,400
1 Cofinimmo SA     262,141      19,698
  Melexis NV     159,315      15,644
  Euronav NV     971,099      14,734
  Etablissements Franz Colruyt NV     383,123      14,288
  Barco NV     562,334      14,029
  KBC Ancora     276,228      12,629
  Bekaert SA     265,448      12,031
  Shurgard Self Storage Ltd. (XBRU)     198,463       9,066
  Montea NV     116,705       9,010
  Telenet Group Holding NV     366,032       8,248
  Proximus SADP   1,091,000       8,136
  VGP NV Class B      80,923       7,917
  Fagron     465,313       7,835
  Gimv NV     161,143       7,680
* Deme Group NV      54,178       7,402
  Xior Student Housing NV     247,802       7,370
  Retail Estates NV      89,452       5,791
  Tessenderlo Group SA     175,669       5,755
  Kinepolis Group NV     103,656       4,668
* Ontex Group NV     509,156       3,827
  bpost SA     803,846       3,532
* AGFA-Gevaert NV     972,016       2,388
  Econocom Group SA     802,699       2,325
  Van de Velde NV      45,226       1,630
  Wereldhave Belgium Comm VA      20,290       1,028
* Aedifica SA Rights Exp. 7/3/23     318,117         423
        1,412,156
Canada (9.5%)
  Royal Bank of Canada  10,984,691   1,049,091
  Toronto-Dominion Bank  14,410,244     893,169
  Enbridge Inc.  16,038,660     596,145
  Canadian Pacific Kansas City Ltd.   7,359,440     594,422
* Shopify Inc. Class A   8,825,474     570,400
  Canadian National Railway Co.   4,706,146     569,889
  Bank of Montreal   5,624,243     507,933
  Canadian Natural Resources Ltd.   8,608,034     483,960
  Bank of Nova Scotia   9,445,351     472,571
1 Brookfield Corp. Class A  11,900,081     400,637
1 TC Energy Corp.   8,000,832     323,355
    Shares Market
Value

($000)
  Constellation Software Inc.     151,194     313,260
  Suncor Energy Inc.  10,480,499     307,433
  Alimentation Couche-Tard Inc.   5,944,704     304,830
  Canadian Imperial Bank of Commerce   6,992,416     298,540
  Waste Connections Inc.   2,034,996     290,837
1 Manulife Financial Corp.  14,784,488     279,452
  Sun Life Financial Inc.   4,644,132     242,101
  Nutrien Ltd.   3,961,946     233,904
  Intact Financial Corp.   1,394,125     215,251
  Franco-Nevada Corp.   1,508,709     215,029
  National Bank of Canada   2,659,242     198,126
  Restaurant Brands International Inc.   2,438,397     189,053
  Cenovus Energy Inc.  11,003,532     186,888
  Agnico Eagle Mines Ltd.   3,627,525     181,137
* CGI Inc.   1,671,566     176,273
  Barrick Gold Corp.  10,338,591     174,892
1 Thomson Reuters Corp.   1,284,335     173,403
1 Fortis Inc. (XTSE)   3,839,880     165,479
  Wheaton Precious Metals Corp.   3,577,826     154,726
  Teck Resources Ltd. Class B   3,544,102     149,121
  Dollarama Inc.   2,154,921     145,944
  Pembina Pipeline Corp.   4,358,035     137,016
  Fairfax Financial Holdings Ltd.     171,190     128,228
  WSP Global Inc.     929,379     122,785
  Magna International Inc.   2,108,917     119,061
1 Power Corp. of Canada   4,258,214     114,624
  Loblaw Cos. Ltd.   1,214,379     111,176
1 BCE Inc.   2,407,953     109,787
  Cameco Corp.   3,418,780     107,073
  Tourmaline Oil Corp.   2,268,104     106,869
  Metro Inc.   1,848,071     104,376
  First Quantum Minerals Ltd.   4,403,379     104,172
  Emera Inc.   2,149,673      88,535
1 Open Text Corp.   2,117,669      88,080
  RB Global Inc.   1,432,396      85,960
  TFI International Inc.     652,708      74,364
  TELUS Corp.   3,769,106      73,348
1 Imperial Oil Ltd.   1,407,576      72,018
2 Hydro One Ltd.   2,504,004      71,543
  Brookfield Asset Management Ltd. Class A   2,144,356      69,992
  ARC Resources Ltd.   4,881,708      65,114
  George Weston Ltd.     533,316      63,052
  Great-West Lifeco Inc.   2,152,308      62,502
  GFL Environmental Inc.   1,557,375      60,473
  Barrick Gold Corp. (XLON)   3,561,990      59,863
 
8

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  Stantec Inc.     879,492      57,420
1 Canadian Tire Corp. Ltd. Class A     416,575      56,954
  iA Financial Corp. Inc.     825,731      56,254
* Descartes Systems Group Inc.     670,040      53,674
  Toromont Industries Ltd.     640,505      52,618
  West Fraser Timber Co. Ltd.     611,329      52,520
* CAE Inc.   2,327,259      52,088
1 Canadian Apartment Properties REIT   1,320,648      50,702
  TMX Group Ltd.   2,193,078      49,349
  Element Fleet Management Corp.   3,108,900      47,358
1 FirstService Corp.     302,648      46,610
  Kinross Gold Corp.   9,722,465      46,383
  Gildan Activewear Inc.   1,401,319      45,179
1 Algonquin Power & Utilities Corp.   5,418,097      44,784
  Saputo Inc.   1,933,877      43,327
  Lundin Mining Corp.   5,409,468      42,386
1 Keyera Corp.   1,807,656      41,686
1 Pan American Silver Corp.   2,856,386      41,614
  Northland Power Inc.   1,980,414      41,305
*,1 Ivanhoe Mines Ltd. Class A   4,467,421      40,804
1 AltaGas Ltd.   2,211,990      39,740
  Alamos Gold Inc. Class A   3,100,843      36,936
  Finning International Inc.   1,196,635      36,809
1 SNC-Lavalin Group Inc.   1,391,866      36,510
* MEG Energy Corp.   2,260,843      35,839
1 Brookfield Infrastructure Corp. Class A     772,119      35,209
1 RioCan REIT   2,369,836      34,490
* Bombardier Inc. Class B     675,228      33,289
  Boyd Group Services Inc.     168,681      32,183
  Brookfield Renewable Corp. Class A (XTSE)   1,013,318      31,966
* Kinaxis Inc.     221,469      31,647
  B2Gold Corp.   8,464,887      30,160
  Onex Corp.     540,852      29,873
  PrairieSky Royalty Ltd.   1,674,595      29,276
1 Capital Power Corp.     915,547      29,096
  Granite REIT     473,530      28,017
  Parkland Corp.   1,081,788      26,948
* ATS Corp.     583,903      26,865
  Crescent Point Energy Corp.   3,943,643      26,554
* Air Canada   1,384,608      26,119
  Enerplus Corp.   1,725,018      25,001
  Colliers International Group Inc.     247,437      24,281
  Stella-Jones Inc.     462,111      23,797
  BRP Inc.     281,116      23,765
    Shares Market
Value

($000)
1 Premium Brands Holdings Corp. Class A     294,493      23,237
  SSR Mining Inc.   1,631,777      23,145
* BlackBerry Ltd.   4,119,596      22,825
  Osisko Gold Royalties Ltd.   1,455,465      22,369
1 Dream Industrial REIT   1,967,494      20,956
1 Choice Properties REIT   2,029,531      20,789
* Bausch Health Cos. Inc.   2,519,183      20,157
1 IGM Financial Inc.     649,738      19,780
* Aritzia Inc.     706,026      19,602
1 SmartCentres REIT   1,018,457      18,674
1 First Capital REIT   1,684,368      18,589
  Methanex Corp.     440,439      18,199
*,1 Lightspeed Commerce Inc.   1,073,285      18,156
1 Gibson Energy Inc.   1,134,382      17,837
  Atco Ltd. Class I     593,163      17,659
* Baytex Energy Corp.   5,405,257      17,626
  Linamar Corp.     334,903      17,600
  Boralex Inc. Class A     638,314      17,380
  TransAlta Corp.   1,829,176      17,121
  Tricon Residential Inc.   1,938,634      17,092
  Parex Resources Inc.     833,357      16,708
  Allied Properties REIT     994,256      16,301
  Whitecap Resources Inc.   2,326,105      16,277
  H&R REIT   2,070,635      16,021
* Capstone Mining Corp.   3,479,485      15,785
  Vermilion Energy Inc.   1,263,688      15,758
*,1 Lithium Americas Corp.     776,223      15,709
  Definity Financial Corp.     580,684      15,407
  Primo Water Corp.   1,229,107      15,401
1 CI Financial Corp.   1,336,550      15,174
* Eldorado Gold Corp.   1,457,810      14,757
*,2 Nuvei Corp.     489,206      14,446
  Canadian Western Bank     744,260      13,888
1 Boardwalk REIT     292,301      13,722
  Russel Metals Inc.     493,536      13,673
  Chartwell Retirement Residences   1,875,159      13,405
* Shopify Inc. Class A (XTSE)     204,980      13,242
1 Paramount Resources Ltd. Class A     601,427      13,075
1 First Majestic Silver Corp.   2,160,926      12,218
  Lundin Gold Inc.   1,018,567      12,187
* Celestica Inc.     816,214      11,848
  Maple Leaf Foods Inc.     590,609      11,538
  Innergex Renewable Energy Inc.   1,215,428      11,322
  Topaz Energy Corp.     722,133      11,246
  Hudbay Minerals Inc.   2,338,823      11,211
  Stelco Holdings Inc.     336,397      10,975
 
9

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  OceanaGold Corp.   5,492,382      10,821
  Centerra Gold Inc.   1,726,619      10,349
  Quebecor Inc. Class B     411,507      10,142
* IAMGOLD Corp.   3,777,900      10,010
1 Home Capital Group, Inc. Class B     302,058       9,830
* Torex Gold Resources Inc.     674,480       9,582
* Equinox Gold Corp.   2,079,726       9,529
1 Superior Plus Corp.   1,324,005       9,485
  North West Co. Inc.     373,651       8,856
*,1 Ballard Power Systems Inc.   1,981,132       8,674
  Laurentian Bank of Canada     341,803       8,530
* Canfor Corp.     466,940       8,382
  Enghouse Systems Ltd.     343,281       8,341
  Mullen Group Ltd.     695,078       7,965
1 NorthWest Healthcare Properties REIT   1,668,286       7,908
1 Primaris REIT     752,083       7,647
  Winpak Ltd.     243,417       7,572
* Novagold Resources Inc.   1,890,637       7,493
1 Westshore Terminals Investment Corp.     305,773       7,211
1 TransAlta Renewables Inc.     836,153       7,183
*,1 Canada Goose Holdings Inc.     376,376       6,699
1 Cascades Inc.     737,969       6,512
  Transcontinental Inc. Class A     566,057       6,264
1 Cargojet Inc.      66,089       4,800
  Cogeco Communications Inc.      76,544       4,084
1 First National Financial Corp.     135,781       3,892
1 Artis REIT     635,078       3,466
  Dye & Durham Ltd.     251,216       3,434
*,1 Cronos Group Inc.   1,535,803       3,026
*,1 Canopy Growth Corp.   2,752,557       1,060
       15,923,481
Denmark (2.4%)
  Novo Nordisk A/S Class B  12,397,247   2,002,649
  DSV A/S   1,404,846     295,076
* Vestas Wind Systems A/S   7,972,048     211,956
* Genmab A/S     517,111     195,963
2 Orsted A/S   1,492,958     141,536
* Danske Bank A/S   5,248,556     127,836
  Carlsberg A/S Class B     727,029     116,420
  Coloplast A/S Class B     925,274     115,785
  Novozymes A/S Class B   1,577,243      73,593
  AP Moller - Maersk A/S Class B      36,248      63,733
  Pandora A/S     667,428      59,656
  Tryg A/S   2,721,943      58,946
    Shares Market
Value

($000)
  Chr Hansen Holding A/S     813,582      56,559
  AP Moller - Maersk A/S Class A      22,150      38,623
  Royal Unibrew A/S     394,479      35,311
  SimCorp A/S     311,085      32,957
* Demant A/S     756,466      32,019
  Ringkjoebing Landbobank A/S     214,740      30,782
*,1 GN Store Nord A/S   1,153,878      28,857
* Jyske Bank A/S (Registered)     364,853      27,755
  ISS A/S   1,218,070      25,768
*,1 Ambu A/S Class B   1,460,948      23,950
1 FLSmidth & Co. A/S     448,275      21,716
* NKT A/S (XCSE)     340,983      20,691
  Sydbank A/S     447,474      20,690
  ROCKWOOL A/S Class B      69,434      17,956
* Bavarian Nordic A/S     618,645      17,623
* Zealand Pharma A/S     463,999      16,656
  Topdanmark A/S     337,952      16,613
* ALK-Abello A/S   1,050,322      11,476
  Alm Brand A/S   6,817,171      10,679
*,2 Netcompany Group A/S     257,688      10,676
  Spar Nord Bank AS Class B     631,187       9,878
  H Lundbeck A/S   2,019,408       9,613
  D/S Norden A/S     178,782       8,927
* Chemometec A/S     123,293       8,438
  Dfds A/S     228,901       8,340
  Schouw & Co. A/S     100,627       7,954
* NTG Nordic Transport Group A/S Class A     115,353       7,298
2 Scandinavian Tobacco Group A/S     437,160       7,282
  Torm plc Class A     234,855       5,659
* NKT A/S      84,956       5,152
  H Lundbeck A/S Class A     448,123       1,993
        4,041,040
Finland (1.0%)
  Nordea Bank Abp (XHEL)  27,058,429     294,746
  Nokia OYJ  41,675,538     174,615
  Sampo OYJ Class A   3,765,597     169,122
  Kone OYJ Class B   2,584,510     135,027
  Neste OYJ   3,296,709     126,934
  UPM-Kymmene OYJ   4,223,248     125,839
  Metso Outotec OYJ   5,062,408      61,087
  Elisa OYJ   1,129,657      60,306
  Stora Enso OYJ Class R   4,548,773      52,775
  Fortum OYJ   3,452,932      46,209
  Wartsila OYJ Abp   3,835,296      43,247
  Kesko OYJ Class B   2,143,799      40,373
  Valmet OYJ   1,306,616      36,372
  Orion OYJ Class B     828,720      34,393
  Huhtamaki OYJ     732,548      24,041
  Konecranes OYJ Class A     561,254      22,605
  TietoEVRY OYJ (XHEL)     790,437      21,823
  Cargotec OYJ Class B     387,738      21,337
  Outokumpu OYJ   2,884,584      15,441
 
10

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  Kojamo OYJ   1,538,061      14,458
  Kemira OYJ     904,266      14,425
  Uponor OYJ     424,973      13,300
*,1 QT Group OYJ     153,930      12,834
1 Metsa Board OYJ Class B   1,363,973      10,063
  Nokian Renkaat OYJ     996,894       8,694
  Revenio Group OYJ Class B     179,346       6,208
2 Terveystalo OYJ     593,337       5,351
  Tokmanni Group Corp.     379,231       4,958
  Sanoma OYJ     583,834       4,229
  Citycon OYJ     569,775       3,621
* Finnair OYJ   4,808,803       2,969
  YIT OYJ   1,242,744       2,892
  F-Secure OYJ     848,223       2,165
  Raisio OYJ Class V     911,665       2,037
  Oriola OYJ Class B     992,213       1,392
*,3 Ahlstrom-Munksjo Oyj Rights      70,191       1,366
        1,617,254
France (9.2%)
  LVMH Moet Hennessy Louis Vuitton SE   1,959,967   1,848,078
  TotalEnergies SE  17,934,789   1,029,540
  Sanofi   8,623,532     928,373
  Schneider Electric SE   4,226,836     767,918
  Airbus SE   4,638,356     670,622
  Hermes International     270,800     588,643
  BNP Paribas SA   8,734,036     551,170
  L'Oreal SA Loyalty Shares   1,077,995     502,859
  Vinci SA   3,881,548     451,018
  EssilorLuxottica SA   2,380,922     448,971
  Safran SA   2,742,737     429,814
  AXA SA  14,081,699     416,133
  Air Liquide SA Loyalty Shares   2,317,116     415,540
  Pernod Ricard SA   1,623,942     358,850
  Kering SA     568,634     313,999
  Danone SA   4,940,169     302,751
  STMicroelectronics NV   5,158,311     257,263
  L'Oreal SA (XPAR)     522,921     243,930
  Air Liquide SA (XPAR)   1,351,420     242,357
  Capgemini SE   1,275,935     241,589
  Dassault Systemes SE   5,300,103     234,853
  Cie de Saint-Gobain   3,698,128     225,166
  Legrand SA   2,112,357     209,554
  Orange SA  15,180,589     177,407
  Cie Generale des Etablissements Michelin SCA   5,549,146     164,151
  Veolia Environnement SA   5,036,116     159,421
  Publicis Groupe SA   1,812,776     145,487
  Societe Generale SA   5,494,280     142,886
  Edenred   1,973,226     132,175
  Engie SA Loyalty Shares   7,440,768     123,911
  Thales SA     784,723     117,574
  Credit Agricole SA   8,700,651     103,310
    Shares Market
Value

($000)
  Carrefour SA   4,678,939      88,669
  Teleperformance     458,560      76,925
  Alstom SA   2,440,353      72,846
  Engie SA (XPAR)   4,325,104      72,026
*,2 Worldline SA   1,938,754      70,997
  L'Oreal SA PF25     148,958      69,485
  Renault SA   1,515,596      63,948
  Bureau Veritas SA   2,258,570      61,964
  Eurofins Scientific SE     970,406      61,667
  Eiffage SA     577,555      60,302
  Bouygues SA   1,650,925      55,460
  Accor SA   1,458,785      54,284
  Vivendi SE   5,514,145      50,623
  Bollore SE   7,842,116      48,906
  Getlink SE   2,789,260      47,467
  Sartorius Stedim Biotech     189,540      47,338
  Rexel SA   1,886,700      46,628
  L Air Liquide Prime Fidelite     256,252      45,955
2 Euronext NV     645,116      43,878
  Gecina SA     409,032      43,635
  Arkema SA     458,754      43,259
* Unibail-Rodamco-Westfield     817,498      43,118
  Klepierre SA   1,631,011      40,521
  L'Oreal SA Loyalty Line 2024      82,735      38,594
  Dassault Aviation SA     183,335      36,731
  Aeroports de Paris     254,876      36,624
* Alten SA     229,064      36,124
  BioMerieux     340,053      35,705
  Valeo   1,653,073      35,523
  SCOR SE   1,196,014      35,160
* SOITEC     196,455      33,235
  SPIE SA   1,012,591      32,746
  Ipsen SA     271,660      32,701
2 La Francaise des Jeux SAEM     792,161      31,178
  Remy Cointreau SA     193,862      31,119
* Forvia (XPAR)   1,249,379      29,487
  Elis SA   1,472,595      28,647
  Sodexo SA ACT Loyalty Shares     247,865      27,294
  Sodexo SA (XPAR)     244,189      26,889
2 Amundi SA     452,287      26,721
  Gaztransport Et Technigaz SA Class B     261,179      26,588
  Air Liquide SA     143,409      25,718
  Technip Energies NV   1,072,837      24,714
  Nexans SA     266,856      23,142
  Sopra Steria Group SACA     113,209      22,602
  Wendel SE     217,047      22,292
* Ubisoft Entertainment SA     761,627      21,528
2 Verallia SA     553,214      20,780
  Covivio SA     391,646      18,501
  Rubis SCA     736,004      17,880
  SES SA Class A   2,962,665      17,454
2 Neoen SA     542,706      17,204
  IPSOS     304,039      16,918
* Air France-KLM   8,941,499      16,847
* Vallourec SA   1,280,470      15,158
  SEB SA Loyalty Shares     134,815      13,942
 
11

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  Engie S/A     834,909      13,904
  Sodexo SA Loyalty Shares 2023     124,704      13,732
  Eurazeo Prime De Fidelite     193,320      13,611
  Imerys SA     309,667      12,070
  Coface SA     835,702      11,528
* JCDecaux SE     578,073      11,523
2 ALD SA   1,071,652      11,475
  Rothschild & Co.     220,232      11,191
  Societe BIC SA     193,776      11,107
* Atos SE     763,075      10,918
  ICADE     257,143      10,732
  Interparfums SA     149,895      10,689
  Virbac SA      34,353      10,149
  Engie SA     553,090       9,211
  Trigano SA      62,495       8,963
  Eurazeo SE (XPAR)     119,264       8,397
  Cie Plastic Omnium SA     429,488       7,554
  Metropole Television SA     503,620       7,134
1 Eutelsat Communications SA   1,083,644       7,070
  Nexity SA     345,436       6,984
  Carmila SA     446,055       6,938
  Eramet SA      75,087       6,868
*,1 SES-imagotag SA      61,147       6,274
  Mercialys SA     690,260       6,238
1 Mersen SA     132,987       6,028
  ARGAN SA      80,044       5,942
  Television Francaise 1     834,306       5,732
* ID Logistics Group      19,189       5,657
*,1 Valneva SE     771,370       5,621
  Quadient SA     268,493       5,529
  Cie de L'Odet SE       3,086       5,243
*,1 Voltalia SA (Registered)     311,414       4,955
  PEUGEOT Investment      43,061       4,805
  Beneteau SA     282,877       4,785
*,2 X-Fab Silicon Foundries SE     411,875       4,462
  Sodexo SA Loyalty Shares 2026      39,000       4,295
* CGG SA   5,642,760       4,282
* Euroapi SA     372,744       4,272
  Derichebourg SA     753,479       4,192
  Vicat SA     122,025       3,878
  Korian SA     514,501       3,742
  Altarea SCA      32,343       3,592
  Eurazeo SE      49,881       3,512
  Antin Infrastructure Partners SA     214,007       3,475
*,2 Maisons du Monde SA     330,371       3,327
  Fnac Darty SA      87,396       3,272
  Vilmorin & Cie SA      47,470       3,244
  Vetoquinol SA      30,609       3,053
*,2 SMCP SA     329,050       2,868
  Lagardere SA     113,486       2,657
  Equasens      28,095       2,599
  Manitou BF SA      95,088       2,541
*,2 Elior Group SA     866,632       2,482
  Sodexo Inc.      22,289       2,454
* GL Events      99,788       2,150
    Shares Market
Value

($000)
  Lisi SA      73,787       2,120
  SEB SA (XPAR)      20,327       2,102
  Jacquet Metals SACA      92,407       1,916
  Etablissements Maurel et Prom SA     427,935       1,824
*,1 OVH Groupe SAS     169,635       1,753
  LISI      51,695       1,485
  SEB SA PF25      13,702       1,417
*,1 Casino Guichard Perrachon SA     301,325       1,339
  Bonduelle SCA     105,888       1,284
* Believe SA Class B     102,436       1,273
  Sodexo SA Loyalty Shares 2025      11,102       1,223
  Eurazeo SE Prime Fidelite 2024      16,261       1,145
  SEB Prime De Fidelite 2024      10,361       1,072
  Boiron SA      22,376         957
1,2 Aramis Group SAS     146,609         822
*,1 Orpea SA     365,908         754
  Lisi SA Prime De Fidelite       3,549         102
       15,512,454
Germany (6.7%)
  SAP SE   8,690,061   1,187,127
  Siemens AG (Registered)   5,532,586     922,287
  Allianz SE (Registered)   3,147,700     733,174
  Deutsche Telekom AG (Registered)  26,813,972     585,041
  Mercedes-Benz Group AG   6,808,338     548,012
  Bayer AG (Registered)   7,788,386     431,127
  Infineon Technologies AG  10,323,073     425,128
  Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen (Registered)   1,090,682     409,456
  Deutsche Post AG (Registered)   7,463,870     364,702
  BASF SE   7,045,400     342,288
  Bayerische Motoren Werke AG (XETR)   2,496,992     307,148
  Deutsche Boerse AG   1,456,500     268,891
  adidas AG   1,307,762     253,873
  RWE AG   5,639,545     245,751
  E.ON SE  17,543,324     224,106
  Volkswagen AG Preference Shares   1,594,471     214,413
  Merck KGaA   1,024,318     169,555
  Deutsche Bank AG (Registered)  15,968,379     167,872
  Daimler Truck Holding AG   3,816,727     137,563
2 Siemens Healthineers AG   2,192,959     124,287
  MTU Aero Engines AG     425,759     110,429
  Symrise AG Class A   1,031,236     108,128
  Vonovia SE   5,391,852     105,301
  Beiersdorf AG     789,757     104,582
 
12

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  Henkel AG & Co. KGaA Preference Shares   1,305,673     104,423
  Hannover Rueck SE Class A     475,090     100,861
  Brenntag SE   1,223,828      95,481
  Rheinmetall AG     343,892      94,210
  Commerzbank AG   8,232,704      91,267
  HeidelbergCement AG   1,105,715      90,932
  Fresenius SE & Co. KGaA   3,261,134      90,453
* QIAGEN NV   1,743,195      78,357
  Fresenius Medical Care AG & Co. KGaA   1,610,317      76,959
*,2 Covestro AG   1,402,933      72,998
  Sartorius AG Preference Shares     194,356      67,336
* Siemens Energy AG   3,760,606      66,494
*,2 Delivery Hero SE   1,493,329      65,886
  Continental AG     855,449      64,630
  Henkel AG & Co. KGaA (XTER)     797,131      56,113
  GEA Group AG   1,277,157      53,470
  Bayerische Motoren Werke AG Preference Shares     442,046      50,373
*,2 Zalando SE   1,732,503      49,964
* Deutsche Lufthansa AG (Registered)   4,741,182      48,614
  Puma SE     791,609      47,703
  Knorr-Bremse AG     523,599      40,026
  Volkswagen AG     226,894      37,925
2 Scout24 SE     583,378      36,966
  HUGO BOSS AG     449,515      35,135
* LEG Immobilien SE (XETR)     587,770      33,914
  Nemetschek SE     428,733      32,008
* HelloFresh SE   1,289,684      31,897
  Carl Zeiss Meditec AG (Bearer)     290,553      31,422
  Evonik Industries AG   1,630,129      31,062
1 Gerresheimer AG     273,968      30,842
  thyssenkrupp AG   3,909,442      30,620
  CTS Eventim AG & Co. KGaA     466,546      29,507
  AIXTRON SE     844,852      28,689
* Evotec SE   1,244,892      28,043
  Rational AG      37,626      27,245
  K&S AG (Registered)   1,521,032      26,523
  Bechtle AG     648,853      25,768
  Talanx AG     420,799      24,158
  Freenet AG     934,837      23,476
  KION Group AG     567,921      22,893
  FUCHS PETROLUB SE Preference Shares     539,001      21,325
  Aurubis AG     240,365      20,638
  LANXESS AG Class B     681,960      20,575
  Telefonica Deutschland Holding AG   7,107,556      20,004
*,2 TeamViewer SE   1,101,251      17,701
  Wacker Chemie AG     119,507      16,417
    Shares Market
Value

($000)
* Fraport AG Frankfurt Airport Services Worldwide     281,987      15,052
  HOCHTIEF AG     168,428      14,572
* Encavis AG     876,663      14,400
  Hella GmbH & Co. KGaA     180,238      14,184
  Krones AG     115,104      13,974
  Jenoptik AG     403,985      13,879
  Hensoldt AG     413,281      13,574
  Siltronic AG     165,097      12,632
  Duerr AG     388,891      12,595
*,1 ProSiebenSat.1 Media SE   1,321,963      12,335
  Sixt SE (XETR)     102,889      12,333
1 RTL Group SA     303,949      12,167
2 Befesa SA     315,005      12,038
*,1 Nordex SE Class B     986,534      11,998
* Vitesco Technologies Group AG Class A     144,119      11,886
  Stabilus SE     192,316      11,561
* Software AG     328,294      11,392
* TAG Immobilien AG   1,203,631      11,382
1 Salzgitter AG     306,251      11,096
  Suedzucker AG     618,722      11,025
  Sixt SE Preference Shares     133,242      10,421
  Fielmann AG     192,450      10,255
* Stroeer SE & Co. KGaA     195,053       9,476
  CompuGroup Medical SE & Co. KGaA     191,739       9,446
  Deutsche Wohnen SE     397,376       9,168
  United Internet AG (Registered)     646,421       9,102
* METRO AG   1,065,875       8,659
  Traton SE     397,812       8,521
*,1 SMA Solar Technology AG      69,081       8,450
2 DWS Group GmbH & Co. KGaA     274,318       8,401
  FUCHS PETROLUB SE     261,124       8,370
  CANCOM SE     272,459       8,256
*,1 MorphoSys AG     274,752       8,177
  Bilfinger SE     208,788       8,122
  Kontron AG     377,341       7,464
1,2 Deutsche Pfandbriefbank AG     972,392       7,118
  Atoss Software AG      30,865       6,989
1,2 Auto1 Group SE     731,989       6,800
  Dermapharm Holding SE     136,724       6,761
* flatexDEGIRO AG     657,383       6,523
1 VERBIO Vereinigte BioEnergie AG     158,982       6,400
* Hypoport SE      34,326       6,273
  Grand City Properties SA     794,707       6,247
1 GRENKE AG     209,023       6,097
*,2 Shop Apotheke Europe NV      58,762       6,086
  Synlab AG     613,769       6,061
1 Aroundtown SA   5,182,065       5,976
  Deutz AG     960,306       5,650
 
13

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  Kloeckner & Co. SE Preference Shares     576,033       5,613
  Hornbach Holding AG & Co. KGaA      68,587       5,411
*,1 Nagarro SE      61,468       5,346
  Sartorius AG      18,847       5,307
  PNE AG     341,534       5,282
  KWS Saat SE & Co. KGaA      82,882       5,096
  BayWa AG     117,853       4,857
  Norma Group SE     255,481       4,728
  Wacker Neuson SE     194,684       4,723
*,1 SUSE SA     318,091       4,484
  Indus Holding AG     158,554       4,467
  Eckert & Ziegler Strahlen- und Medizintechnik AG Class B     110,239       4,380
  1&1 AG     369,405       4,065
  STRATEC SE      57,344       3,967
  Takkt AG     260,970       3,964
  PATRIZIA SE     320,064       3,808
1 Adesso SE      27,761       3,752
  GFT Technologies SE     129,886       3,664
*,1 CECONOMY AG   1,422,599       3,576
  Energiekontor AG      46,358       3,550
*,1 SGL Carbon SE     380,421       3,507
  Deutsche Beteiligungs AG     110,988       3,502
  Draegerwerk AG & Co. KGaA Preference Shares      67,390       3,203
* ADVA Optical Networking SE     147,038       3,173
  Vossloh AG      67,543       3,024
  New Work SE      21,461       2,897
1 Secunet Security Networks AG      10,672       2,536
  Wuestenrot & Wuerttembergische AG     145,247       2,486
  Hamburger Hafen und Logistik AG Class B     189,075       2,343
*,1 Varta AG     112,137       2,300
1 DIC Asset AG     410,937       2,282
1 Deutsche EuroShop AG      91,692       2,094
  ElringKlinger AG     229,017       2,063
1 Software AG (XETR)      57,934       2,014
  Bertrandt AG      37,572       2,008
  CropEnergies AG     152,269       1,667
1 Basler AG      89,131       1,665
2 Instone Real Estate Group SE     247,586       1,487
*,1 About You Holding SE     245,573       1,283
  Draegerwerk AG & Co. KGaA (XETR)      24,155         992
       11,287,454
Hong Kong (2.2%)
  AIA Group Ltd.  92,316,756     937,615
  Hong Kong Exchanges & Clearing Ltd.  10,049,699     380,773
  Sun Hung Kai Properties Ltd.  11,254,503     142,196
    Shares Market
Value

($000)
  CK Hutchison Holdings Ltd.  21,061,014     128,543
  Techtronic Industries Co. Ltd.  10,387,712     113,596
  Link REIT  20,212,737     112,527
* Galaxy Entertainment Group Ltd.  17,082,879     108,830
  CLP Holdings Ltd.  13,001,221     101,261
  BOC Hong Kong Holdings Ltd.  28,386,939      86,959
  CK Asset Holdings Ltd.  15,416,301      85,665
  Hang Seng Bank Ltd.   5,734,015      81,742
  Jardine Matheson Holdings Ltd.   1,556,124      78,911
  Hong Kong & China Gas Co. Ltd.  86,097,076      74,559
* Sands China Ltd.  19,017,342      65,129
  Lenovo Group Ltd.  59,646,312      62,502
  Wharf Real Estate Investment Co. Ltd.  12,268,940      61,558
  Power Assets Holdings Ltd.  10,787,573      56,629
  MTR Corp. Ltd.  11,420,836      52,577
2 ESR Group Ltd.  22,275,754      38,364
2 Budweiser Brewing Co. APAC Ltd.  13,421,363      34,730
  Hongkong Land Holdings Ltd.   8,730,908      34,140
2 WH Group Ltd.  61,915,417      32,975
  Sino Land Co. Ltd.  26,703,785      32,875
  Henderson Land Development Co. Ltd.  10,311,969      30,709
*,2 Samsonite International SA  10,355,099      29,282
  New World Development Co. Ltd.  11,110,367      27,460
  PRADA SpA   4,042,049      27,196
  Swire Pacific Ltd. Class A   3,360,894      25,821
  Xinyi Glass Holdings Ltd.  16,406,536      25,649
  Chow Tai Fook Jewellery Group Ltd.  13,808,512      24,900
  CK Infrastructure Holdings Ltd.   4,653,059      24,680
  ASMPT Ltd.   2,449,501      24,200
  Want Want China Holdings Ltd.  33,995,658      22,610
  Hang Lung Properties Ltd.  14,312,093      22,148
  Swire Properties Ltd.   8,389,800      20,671
  SITC International Holdings Co. Ltd.  10,146,736      18,580
  Wharf Holdings Ltd.   7,580,898      18,014
  PCCW Ltd.  32,898,641      17,067
  Orient Overseas International Ltd.   1,032,027      13,863
2 BOC Aviation Ltd.   1,652,767      13,396
1 AAC Technologies Holdings Inc.   5,408,331      12,783
  NWS Holdings Ltd.  11,107,458      12,620
  Hysan Development Co. Ltd.   4,822,079      11,784
 
14

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  Pacific Basin Shipping Ltd.  37,314,261      11,385
  Hang Lung Group Ltd.   7,188,993      10,921
* Wynn Macau Ltd.  11,546,316      10,545
  Bank of East Asia Ltd.   7,527,104      10,412
  Kerry Properties Ltd.   4,735,779       9,852
  Swire Pacific Ltd. Class B   7,324,458       9,242
* HUTCHMED China Ltd.   3,897,545       9,242
  VTech Holdings Ltd.   1,298,419       8,527
*,1 Cathay Pacific Airways Ltd.   7,925,453       8,121
  Man Wah Holdings Ltd.  12,097,103       8,099
  Fortune REIT  11,082,182       7,983
*,1 SJM Holdings Ltd.  18,632,247       7,972
  Vitasoy International Holdings Ltd.   6,385,174       7,959
  L'Occitane International SA   3,205,067       7,738
  Yue Yuen Industrial Holdings Ltd.   5,576,366       7,300
  Luk Fook Holdings International Ltd.   2,730,653       7,011
* MGM China Holdings Ltd.   5,878,009       6,875
* Shangri-La Asia Ltd.   8,792,314       6,741
  DFI Retail Group Holdings Ltd.   2,369,505       6,527
  First Pacific Co. Ltd.  18,426,433       6,388
* NagaCorp Ltd.  11,073,490       5,852
* United Energy Group Ltd.  58,907,098       5,723
* Melco International Development Ltd.   6,080,627       5,668
* MMG Ltd.  19,203,153       5,604
  Champion REIT  14,649,036       5,322
  CITIC Telecom International Holdings Ltd.  11,578,932       4,439
*,1 Theme International Holdings Ltd.  39,278,893       4,421
*,1 Cowell e Holdings Inc.   2,375,722       4,407
* China Travel International Investment Hong Kong Ltd.  19,918,609       3,899
*,1,2 Sirnaomics Ltd.     547,787       3,874
*,1 Vobile Group Ltd.  12,422,230       3,810
  Dah Sing Financial Holdings Ltd.   1,480,507       3,708
  Johnson Electric Holdings Ltd.   2,847,627       3,652
  Beijing Tong Ren Tang Chinese Medicine Co. Ltd.   1,883,616       3,457
  United Laboratories International Holdings Ltd.   4,127,064       3,450
  Cafe de Coral Holdings Ltd.   2,676,597       3,434
  HKBN Ltd.   6,112,993       3,297
  Nexteer Automotive Group Ltd.   6,273,777       3,288
    Shares Market
Value

($000)
  Stella International Holdings Ltd.   3,427,448       3,238
* IGG Inc.   6,372,344       3,167
  K Wah International Holdings Ltd.   9,839,489       3,154
  Sunlight REIT   8,244,663       3,036
1 Huabao International Holdings Ltd.   7,719,172       2,832
  Giordano International Ltd.   9,013,774       2,822
  LK Technology Holdings Ltd.   3,012,966       2,741
* Super Hi International Holding Ltd.   1,318,000       2,569
*,1 Haitong International Securities Group Ltd.  29,843,295       2,557
  Kerry Logistics Network Ltd.   2,136,005       2,526
  VSTECS Holdings Ltd.   4,842,750       2,497
1,2 Everest Medicines Ltd.     816,509       2,491
  SUNeVision Holdings Ltd.   4,649,962       2,378
  Hong Kong Technology Venture Co. Ltd.   4,101,959       2,341
  Value Partners Group Ltd.   7,254,044       2,294
*,1 Realord Group Holdings Ltd.   2,813,595       2,230
*,1,2 Jacobio Pharmaceuticals Group Co. Ltd.   2,918,512       2,204
  Far East Consortium International Ltd.   9,219,460       2,193
  Dah Sing Banking Group Ltd.   2,900,823       2,165
  Chow Sang Sang Holdings International Ltd.   1,848,991       2,066
  Prosperity REIT   9,098,983       2,048
  Jinchuan Group International Resources Co. Ltd.  38,724,802       1,985
  SmarTone Telecommunications Holdings Ltd.   2,943,409       1,820
  Asia Cement China Holdings Corp.   3,484,794       1,720
2 Js Global Lifestyle Co. Ltd.   9,656,125       1,684
  Sun Hung Kai & Co. Ltd.   4,226,130       1,646
  Hutchison Telecommunications Hong Kong Holdings Ltd.  10,340,014       1,640
*,1 C-Mer Eye Care Holdings Ltd.   3,381,601       1,636
  EC Healthcare   3,003,207       1,601
* Shun Tak Holdings Ltd.  10,039,763       1,581
* Sa Sa International Holdings Ltd.   8,676,035       1,567
* Esprit Holdings Ltd.  20,374,718       1,566
 
15

 

Developed Markets Index Fund
    Shares Market
Value

($000)
*,2 Hua Medicine   6,976,533       1,473
  Texhong International Group Ltd.   2,224,858       1,466
*,2 Fosun Tourism Group   1,540,200       1,456
1,2 FIT Hon Teng Ltd.   8,137,481       1,450
  Guotai Junan International Holdings Ltd.  19,081,503       1,443
*,1 Television Broadcasts Ltd.   2,268,705       1,422
  Truly International Holdings Ltd.  11,368,294       1,342
*,1 Powerlong Real Estate Holdings Ltd.  11,003,943       1,312
1,2 Frontage Holdings Corp.   4,596,348       1,175
* Vesync Co. Ltd.   2,899,865       1,122
  CITIC Resources Holdings Ltd.  19,533,284         986
*,1 Apollo Future Mobility Group Ltd.  43,175,237         861
  Singamas Container Holdings Ltd.  10,297,574         842
  Texwinca Holdings Ltd.   5,272,702         803
2 IMAX China Holding Inc.     830,321         740
* Chinese Estates Holdings Ltd.   2,412,940         729
1 Powerlong Commercial Management Holdings Ltd.   1,266,184         630
*,1 OCI International Holdings Ltd.   7,242,566         590
  Dynam Japan Holdings Co. Ltd.     956,529         564
1,2 JW Cayman Therapeutics Co. Ltd.   1,542,426         509
1 CMBC Capital Holdings Ltd.   2,532,178         441
1,2 Antengene Corp. Ltd.   2,121,569         421
*,1 Glory Sun Financial Group Ltd.   9,784,196         358
* Digital Domain Holdings Ltd.   9,734,262         295
*,2 VPower Group International Holdings Ltd.   1,243,279          51
*,3 Brightoil Petroleum Holdings Ltd.  10,098,301          —
*,3 Convoy Inc.  62,200,399          —
*,3 MH Development NPV   2,274,000          —
*,3 Agritrade Resources Ltd.  14,695,000          —
        3,668,710
Ireland (0.2%)
  Kerry Group plc Class A   1,220,575     119,132
  Bank of Ireland Group plc   8,484,253      81,003
  Kingspan Group plc   1,199,377      79,835
  AIB Group plc   9,997,201      42,074
    Shares Market
Value

($000)
  Glanbia plc (XDUB)   1,426,377      21,351
* Dalata Hotel Group plc   1,761,862       8,934
*,3 Irish Bank Resolution Corp.     257,065          —
          352,329
Israel (0.6%)
* Nice Ltd.     503,753     103,681
  Bank Leumi Le-Israel BM  12,177,559      91,254
  Bank Hapoalim BM  10,584,814      87,289
* Teva Pharmaceutical Industries Ltd.   8,825,592      66,835
  Israel Discount Bank Ltd. Class A   9,782,140      48,870
  Elbit Systems Ltd.     194,142      40,636
  Mizrahi Tefahot Bank Ltd.   1,087,328      36,360
* Tower Semiconductor Ltd.     873,495      32,266
  ICL Group Ltd.   5,728,002      31,440
* Nova Ltd.     227,769      26,042
  Bezeq The Israeli Telecommunication Corp. Ltd.  16,208,534      19,803
* Enlight Renewable Energy Ltd.     920,381      16,233
  Azrieli Group Ltd.     286,901      16,209
  First International Bank of Israel Ltd.     408,947      15,991
  Phoenix Holdings Ltd.   1,306,029      13,152
  Melisron Ltd.     200,331      13,030
  Mivne Real Estate KD Ltd.   4,971,220      12,149
* Shufersal Ltd.   2,092,891      10,974
* Perion Network Ltd.     332,604      10,454
  Alony Hetz Properties & Investments Ltd.   1,231,091       9,662
* Big Shopping Centers Ltd.     104,866       9,475
  Amot Investments Ltd.   1,730,618       9,095
* Clal Insurance Enterprises Holdings Ltd.     543,449       8,475
* Paz Oil Co. Ltd.      76,740       8,256
  Shapir Engineering and Industry Ltd.   1,144,084       7,899
  Israel Corp. Ltd.      29,329       7,754
* Camtek Ltd.     211,632       7,380
* Strauss Group Ltd.     325,349       7,341
* Airport City Ltd.     554,950       7,323
  Delek Group Ltd.      60,169       6,904
  Energix-Renewable Energies Ltd.   2,102,633       6,835
  Harel Insurance Investments & Financial Services Ltd.     872,286       6,821
  REIT 1 Ltd.   1,510,395       6,639
  Sapiens International Corp. NV     240,616       6,392
  Isracard Ltd.   1,460,187       6,104
  Electra Ltd.      13,982       5,782
  FIBI Holdings Ltd.     136,722       5,527
 
16

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  Hilan Ltd.     108,806       5,398
  Matrix IT Ltd.     264,072       5,391
* Fattal Holdings 1998 Ltd.      51,296       4,994
  Maytronics Ltd.     340,349       4,664
  Fox Wizel Ltd.      55,354       4,553
* OPC Energy Ltd.     665,875       4,402
  One Software Technologies Ltd.     326,328       4,400
  Formula Systems 1985 Ltd.      58,697       4,323
  Kenon Holdings Ltd.     175,645       4,109
  Ashtrom Group Ltd.     291,075       4,039
* Equital Ltd.     142,932       4,023
* Shikun & Binui Ltd.   1,851,106       3,967
  Summit Real Estate Holdings Ltd.     304,868       3,936
  Rami Levy Chain Stores Hashikma Marketing 2006 Ltd.      61,602       3,654
  Menora Mivtachim Holdings Ltd.     170,392       3,618
  Sella Capital Real Estate Ltd.   1,789,491       3,576
  Oil Refineries Ltd.  12,250,623       3,512
* Partner Communications Co. Ltd.     849,749       3,348
  Mega Or Holdings Ltd.     157,136       3,275
  Delek Automotive Systems Ltd.     410,728       3,152
  Migdal Insurance & Financial Holdings Ltd.   2,391,206       2,907
  Delta Galil Ltd.      71,442       2,805
  Israel Canada T.R Ltd.   1,148,917       2,663
  Danel Adir Yeoshua Ltd.      37,223       2,641
* Cellcom Israel Ltd.     730,759       2,536
  Elco Ltd.      71,825       2,469
  G City Ltd.     609,030       2,016
  AudioCodes Ltd.     205,002       1,899
* AFI Properties Ltd.      48,960       1,829
  Gav-Yam Lands Corp. Ltd.     206,161       1,457
* Kamada Ltd.     257,394       1,360
  IDI Insurance Co. Ltd.      56,572       1,282
* Gilat Satellite Networks Ltd.     205,065       1,251
  Naphtha Israel Petroleum Corp. Ltd.     231,761         965
* Allot Ltd.     231,923         707
          937,453
Italy (2.2%)
  Enel SpA  61,531,450     414,871
  UniCredit SpA  14,659,991     340,897
  Intesa Sanpaolo SpA 122,401,466     320,906
  Ferrari NV     937,250     306,432
  Stellantis NV  15,752,106     276,935
  Eni SpA  17,428,204     250,903
  Assicurazioni Generali SpA Class A  10,649,166     216,561
    Shares Market
Value

($000)
  Moncler SpA   1,619,030     112,017
  CNH Industrial NV   7,706,254     111,144
  Terna - Rete Elettrica Nazionale  11,144,149      95,050
  Snam SpA  17,557,486      91,762
  Prysmian SpA   2,084,257      87,171
  FinecoBank Banca Fineco SpA   4,841,905      65,175
  Mediobanca Banca di Credito Finanziario SpA   4,995,792      59,812
  Tenaris SA   3,702,327      55,383
  Davide Campari-Milano NV   3,935,395      54,542
  Banco BPM SpA  10,851,832      50,405
2 Poste Italiane SpA   3,590,275      38,893
  Amplifon SpA   1,019,116      37,381
2 Infrastrutture Wireless Italiane SpA   2,805,877      37,038
  Recordati Industria Chimica e Farmaceutica SpA     770,453      36,807
  Leonardo SpA   3,170,007      35,995
  Interpump Group SpA     628,398      34,950
*,2 Nexi SpA   4,420,765      34,684
  BPER Banca   8,391,893      25,515
*,1 Telecom Italia SpA (MTAA)  85,692,267      24,159
  Brunello Cucinelli SpA     269,416      23,721
  Italgas SpA   3,893,996      23,086
  A2A SpA  11,866,425      21,710
  Reply SpA     178,933      20,343
*,2 Pirelli & C SpA   3,855,247      19,059
1 Hera SpA   6,189,079      18,419
  Azimut Holding SpA     841,382      18,155
  Unipol Gruppo SpA   3,375,886      18,041
  DiaSorin SpA     170,122      17,721
  Banca Mediolanum SpA   1,941,659      17,563
  Buzzi SpA     679,647      17,029
  Brembo SpA   1,146,889      17,021
2 BFF Bank SpA   1,469,508      16,106
  Banca Generali SpA     434,109      14,935
* Iveco Group NV   1,572,466      14,181
* Telecom Italia SpA  47,445,331      12,950
  ERG SpA     436,442      12,872
  Banca Popolare di Sondrio SpA   3,054,732      12,731
  De' Longhi SpA     543,337      11,878
* Saipem SpA   8,460,038      11,780
2 Carel Industries SpA     346,638      10,445
2 Technogym SpA   1,061,117       9,824
  Iren SpA   5,120,641       9,532
2 Enav SpA   1,999,468       8,520
  Salvatore Ferragamo SpA     509,105       8,383
  SOL SpA     290,122       8,380
  UnipolSai Assicurazioni SpA   3,343,032       8,289
* Banca Monte dei Paschi di Siena SpA   3,232,059       8,131
  Tamburi Investment Partners SpA     802,827       8,093
 
17

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  Sesa SpA      56,417       7,047
2 Anima Holding SpA   1,763,283       6,564
1 Saras SpA   4,759,913       5,904
  Danieli & C Officine Meccaniche SpA     320,951       5,896
  Piaggio & C SpA   1,285,557       5,334
  El.En. SpA     414,863       4,980
1 Maire Tecnimont SpA   1,238,934       4,791
  Sanlorenzo SpA Class B     111,083       4,778
  Credito Emiliano SpA     607,457       4,731
1 Webuild SpA (MTAA)   2,470,508       4,661
  ACEA SpA     334,388       4,374
* Gruppo MutuiOnline SpA     129,783       4,372
  Salcef Group SpA     168,895       4,242
2 RAI Way SpA     702,835       4,227
  Zignago Vetro SpA     247,508       4,223
  MARR SpA     261,766       4,019
  MFE-MediaForEurope NV Class A   6,479,139       3,614
*,2 GVS SpA     538,123       3,253
  Italmobiliare SpA     109,819       3,002
  Banca IFIS SpA     186,827       2,993
  Cementir Holding NV     360,165       2,917
1 Tinexta SpA     149,401       2,747
* Tod's SpA      65,424       2,746
*,1 Juventus Football Club SpA   7,129,589       2,670
  Danieli & C Officine Meccaniche SpA (MTAA)      90,460       2,168
* Fincantieri SpA   3,772,544       2,098
2 doValue SpA     445,272       2,060
  Arnoldo Mondadori Editore SpA     904,217       1,978
1 MFE-MediaForEurope NV Class B   2,065,556       1,584
1 Alerion Cleanpower SpA      46,878       1,463
  Immobiliare Grande Distribuzione SIIQ SpA     519,346       1,372
  Biesse SpA     101,247       1,334
  Datalogic SpA     134,038       1,018
  Rizzoli Corriere Della Sera Mediagroup SpA     899,703         716
*,1 Webuild SpA Rights Exp. 2/8/30     196,679         128
        3,754,290
Japan (20.8%)
  Toyota Motor Corp.  94,627,678   1,520,864
  Sony Group Corp.   9,771,148     882,044
  Keyence Corp.   1,542,845     733,093
  Mitsubishi UFJ Financial Group Inc.  91,922,778     677,570
  Shin-Etsu Chemical Co. Ltd.  15,263,020     510,059
  Tokyo Electron Ltd.   3,521,181     507,150
  Daiichi Sankyo Co. Ltd.  14,889,409     473,100
  Mitsui & Co. Ltd.  11,742,465     444,427
  Mitsubishi Corp.   9,171,518     443,415
  Hitachi Ltd.   7,106,537     441,860
    Shares Market
Value

($000)
  Sumitomo Mitsui Financial Group Inc.  10,084,298     432,207
  Daikin Industries Ltd.   2,100,165     430,335
  ITOCHU Corp.  10,497,319     416,970
  Honda Motor Co. Ltd.  13,012,910     394,211
  KDDI Corp.  12,612,913     389,526
  Takeda Pharmaceutical Co. Ltd.  12,009,232     377,361
  Nintendo Co. Ltd.   8,249,590     376,085
  SoftBank Group Corp.   7,668,956     361,665
  Tokio Marine Holdings Inc.  14,679,761     338,421
  Recruit Holdings Co. Ltd.  10,562,907     337,119
  Hoya Corp.   2,708,828     324,155
  Fast Retailing Co. Ltd.   1,220,932     313,138
  Mizuho Financial Group Inc.  20,089,978     307,085
  Oriental Land Co. Ltd.   7,423,490     289,412
  Nippon Telegraph & Telephone Corp. 225,217,475     266,501
  FANUC Corp.   7,554,990     265,223
  Seven & i Holdings Co. Ltd.   6,095,218     263,327
  Murata Manufacturing Co. Ltd.   4,440,905     255,090
  SMC Corp.     440,312     244,709
  Denso Corp.   3,478,490     234,632
  Softbank Corp.  21,762,891     232,543
  Nidec Corp.   4,095,226     225,669
  Mitsubishi Electric Corp.  15,390,914     217,579
  Astellas Pharma Inc.  14,248,238     212,192
  Panasonic Holdings Corp.  16,887,404     207,072
  Marubeni Corp.  12,099,003     206,216
1 Japan Tobacco Inc.   9,373,896     205,344
1 Canon Inc.   7,650,747     201,112
  Advantest Corp.   1,458,496     196,436
  Komatsu Ltd.   7,253,543     196,194
  Sumitomo Corp.   8,764,378     185,936
1 Bridgestone Corp.   4,439,530     182,383
  Fujitsu Ltd.   1,408,339     182,356
  Central Japan Railway Co.   1,435,126     179,809
* Renesas Electronics Corp.   9,464,487     178,617
  ORIX Corp.   9,301,388     169,622
  FUJIFILM Holdings Corp.   2,805,682     167,171
  Terumo Corp.   5,135,736     163,571
  East Japan Railway Co.   2,855,607     158,353
  Olympus Corp.   9,780,577     154,781
  Asahi Group Holdings Ltd.   3,843,915     149,143
  Ajinomoto Co. Inc.   3,734,351     148,765
  Chugai Pharmaceutical Co. Ltd.   5,151,752     146,717
  Eisai Co. Ltd.   2,094,362     141,943
 
18

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  Dai-ichi Life Holdings Inc.   7,440,050     141,509
  Mitsui Fudosan Co. Ltd.   7,070,665     140,928
  Otsuka Holdings Co. Ltd.   3,802,501     139,482
  Shiseido Co. Ltd.   3,075,002     139,389
  Nippon Steel Corp.   6,463,101     135,268
  Daiwa House Industry Co. Ltd.   5,102,019     134,805
  Kyocera Corp.   2,409,428     130,982
  Kao Corp.   3,595,143     130,467
  Suzuki Motor Corp.   3,581,859     129,888
  MS&AD Insurance Group Holdings Inc.   3,563,464     126,190
  Kubota Corp.   8,483,450     124,188
  Japan Post Holdings Co. Ltd.  16,461,630     118,314
  Aeon Co. Ltd.   5,623,998     115,160
  Unicharm Corp.   3,057,462     113,691
  TDK Corp.   2,846,870     111,042
  Sompo Holdings Inc.   2,446,121     109,756
  Bandai Namco Holdings Inc.   4,638,746     107,421
  Mitsubishi Heavy Industries Ltd.   2,263,299     105,708
  Disco Corp.     661,169     104,826
  Toshiba Corp.   3,335,471     104,665
  Mitsubishi Estate Co. Ltd.   8,734,016     103,763
  Sysmex Corp.   1,502,690     102,930
  Secom Co. Ltd.   1,506,902     101,985
  Shimano Inc.     602,562     100,873
  Sumitomo Mitsui Trust Holdings Inc.   2,804,930      99,507
  NEC Corp.   2,030,522      98,506
  Yaskawa Electric Corp.   2,038,809      93,995
  Nomura Research Institute Ltd.   3,387,637      93,592
  Subaru Corp.   4,824,479      90,863
  Lasertec Corp.     600,461      90,740
  Toyota Industries Corp.   1,265,643      90,676
  Nomura Holdings Inc.  23,609,524      90,012
  Japan Post Bank Co. Ltd.  11,442,129      89,228
  Sekisui House Ltd.   4,398,482      88,848
  Shionogi & Co. Ltd.   2,100,797      88,610
  Omron Corp.   1,435,925      88,168
  Toyota Tsusho Corp.   1,763,013      88,109
  Kirin Holdings Co. Ltd.   5,875,700      85,801
  Nitto Denko Corp.   1,144,824      84,975
1 Nippon Yusen KK   3,821,699      84,875
  Obic Co. Ltd.     527,421      84,656
  Kikkoman Corp.   1,441,700      82,334
  Inpex Corp.   7,389,463      81,184
  Resona Holdings Inc.  16,816,017      80,515
  Sumitomo Realty & Development Co. Ltd.   3,122,288      77,373
  ENEOS Holdings Inc.  22,249,324      76,476
  West Japan Railway Co.   1,825,555      75,929
    Shares Market
Value

($000)
  Sumitomo Electric Industries Ltd.   5,965,139      73,086
  M3 Inc.   3,339,907      72,825
  Japan Exchange Group Inc.   4,132,852      72,319
  Kansai Electric Power Co. Inc.   5,749,399      72,134
  Tokyo Gas Co. Ltd.   3,295,178      71,893
  NTT Data Corp.   4,982,592      69,860
1 Yamaha Motor Co. Ltd.   2,409,803      69,278
  Chubu Electric Power Co. Inc.   5,529,881      67,462
  Toray Industries Inc.  12,012,807      66,976
  Nippon Paint Holdings Co. Ltd.   8,029,581      66,453
  Nitori Holdings Co. Ltd.     591,237      66,393
  Asahi Kasei Corp.   9,781,008      66,228
  Shimadzu Corp.   2,125,454      65,695
  Yakult Honsha Co. Ltd.   1,027,325      64,974
1 Mitsui OSK Lines Ltd.   2,642,610      63,579
  Nissan Motor Co. Ltd.  15,303,429      62,807
  Rohm Co. Ltd.     649,820      61,554
  MINEBEA MITSUMI Inc.   3,238,198      61,418
  Mitsubishi Chemical Group Corp.  10,101,394      60,756
  Sumitomo Metal Mining Co. Ltd.   1,871,095      60,403
  Ono Pharmaceutical Co. Ltd.   3,319,306      59,892
  Nexon Co. Ltd.   3,107,615      59,594
  JFE Holdings Inc.   4,097,711      58,583
  Daiwa Securities Group Inc.  11,313,516      58,299
  Tokyu Corp.   4,821,457      58,151
  T&D Holdings Inc.   3,940,434      57,790
  Dai Nippon Printing Co. Ltd.   2,023,129      57,468
  Hankyu Hanshin Holdings Inc.   1,719,541      56,855
  Pan Pacific International Holdings Corp.   3,166,438      56,710
  Capcom Co. Ltd.   1,400,417      55,513
  Makita Corp.   1,930,437      54,566
  MatsukiyoCocokara & Co.     956,791      53,744
  Dentsu Group Inc.   1,633,592      53,724
1 AGC Inc.   1,447,173      52,063
  Daito Trust Construction Co. Ltd.     512,050      51,874
  Kajima Corp.   3,384,669      51,104
  Z Holdings Corp.  20,649,710      49,768
  Isuzu Motors Ltd.   4,092,555      49,648
  Hamamatsu Photonics KK   1,009,197      49,545
  Kintetsu Group Holdings Co. Ltd.   1,421,110      49,216
  Ibiden Co. Ltd.     853,783      48,578
  Taisei Corp.   1,374,761      48,032
  Osaka Gas Co. Ltd.   3,125,176      47,902
1 Nippon Building Fund Inc.      12,078      47,493
 
19

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  SG Holdings Co. Ltd.   3,328,471      47,478
  Daifuku Co. Ltd.   2,296,363      47,295
  Yamato Holdings Co. Ltd.   2,590,781      46,960
  Yamaha Corp.   1,195,818      46,064
  Obayashi Corp.   5,310,134      45,924
  TOPPAN Inc.   2,116,572      45,743
  MEIJI Holdings Co. Ltd.   2,041,474      45,588
  Keisei Electric Railway Co. Ltd.   1,097,158      45,476
  TIS Inc.   1,806,803      45,270
* Tokyo Electric Power Co. Holdings Inc.  12,322,057      45,195
  MISUMI Group Inc.   2,208,850      44,471
  Nissan Chemical Corp.   1,030,802      44,448
  Trend Micro Inc.     909,892      44,045
  Nissin Foods Holdings Co. Ltd.     530,879      43,896
  Mazda Motor Corp.   4,536,228      43,839
  Fuji Electric Co. Ltd.     992,211      43,682
  Tobu Railway Co. Ltd.   1,591,227      42,666
  Kawasaki Kisen Kaisha Ltd.   1,728,238      42,376
  Aisin Corp.   1,370,247      42,315
  Asics Corp.   1,351,940      41,837
  Nomura Real Estate Master Fund Inc.      35,531      40,981
  Sojitz Corp.   1,830,722      40,514
  Japan Real Estate Investment Corp.      10,561      40,191
  BayCurrent Consulting Inc.   1,066,176      40,090
  JSR Corp.   1,382,450      39,726
  Konami Group Corp.     752,847      39,480
  Mitsui Chemicals Inc.   1,336,384      39,391
  Ricoh Co. Ltd.   4,526,106      38,571
  Nippon Prologis REIT Inc.      18,885      37,955
  SUMCO Corp.   2,654,621      37,662
  Sekisui Chemical Co. Ltd.   2,592,035      37,448
  SBI Holdings Inc.   1,920,306      37,035
  Kyowa Kirin Co. Ltd.   1,974,901      36,605
  Idemitsu Kosan Co. Ltd.   1,823,045      36,579
  Japan Metropolitan Fund Investment      54,286      36,322
  Sumitomo Chemical Co. Ltd.  11,939,211      36,288
  Suntory Beverage & Food Ltd.     994,117      36,038
  SCREEN Holdings Co. Ltd.     314,172      35,784
  Yokogawa Electric Corp.   1,915,989      35,467
  GLP J-REIT      35,276      34,794
  Ebara Corp.     723,840      34,729
  Rohto Pharmaceutical Co. Ltd.   1,536,414      34,635
  TOTO Ltd.   1,141,025      34,500
  Zensho Holdings Co. Ltd.     759,356      33,760
    Shares Market
Value

($000)
  Concordia Financial Group Ltd.   8,589,735      33,585
  Hirose Electric Co. Ltd.     251,304      33,457
  Kurita Water Industries Ltd.     868,884      33,359
  Toho Co. Ltd.     868,371      33,076
  Koito Manufacturing Co. Ltd.   1,817,274      32,978
  Odakyu Electric Railway Co. Ltd.   2,448,481      32,809
  Daiwa House REIT Investment Corp.      16,828      32,265
  Hoshizaki Corp.     898,225      32,249
  Toyo Suisan Kaisha Ltd.     713,037      32,166
  Seiko Epson Corp.   2,057,085      32,116
  Otsuka Corp.     810,539      31,572
  Azbil Corp.     994,708      31,482
  Nikon Corp.   2,397,298      31,124
  Niterra Co. Ltd.   1,539,276      30,883
  Asahi Intecc Co. Ltd.   1,550,995      30,536
  NIPPON EXPRESS HOLDINGS Inc.     535,997      30,235
  Mitsubishi HC Capital Inc. (XTKS)   5,036,741      29,905
  Kawasaki Heavy Industries Ltd.   1,153,807      29,540
* ANA Holdings Inc.   1,238,588      29,504
  Rakuten Group Inc.   8,404,910      29,287
  Kobe Bussan Co. Ltd.   1,112,574      28,877
  Square Enix Holdings Co. Ltd.     613,314      28,536
  Chiba Bank Ltd.   4,703,314      28,522
  Keio Corp.     906,427      28,513
  Bank of Kyoto Ltd.     563,040      28,172
  Isetan Mitsukoshi Holdings Ltd.   2,769,840      28,159
  Hulic Co. Ltd.   3,282,502      28,126
  Shizuoka Financial Group Inc.   3,872,763      27,979
  Taiyo Yuden Co. Ltd.     972,848      27,849
  IHI Corp.   1,011,090      27,423
  Tokyu Fudosan Holdings Corp.   4,781,297      27,405
  USS Co. Ltd.   1,636,031      27,086
  Brother Industries Ltd.   1,840,680      26,941
  Sega Sammy Holdings Inc.   1,254,319      26,871
  Shimizu Corp.   4,240,331      26,847
  Kyushu Railway Co.   1,247,077      26,812
  McDonald's Holdings Co. Japan Ltd.     679,200      26,412
  Lixil Corp.   2,060,768      26,230
1 Sumitomo Forestry Co. Ltd.   1,079,321      26,216
  Oji Holdings Corp.   6,999,481      26,172
  Tosoh Corp.   2,208,011      26,117
  Fukuoka Financial Group Inc.   1,263,442      26,113
  Kuraray Co. Ltd.   2,643,970      25,741
  Kobayashi Pharmaceutical Co. Ltd.     471,104      25,616
  Orix JREIT Inc.      20,774      25,573
 
20

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  GMO Payment Gateway Inc.     323,750      25,395
  Marui Group Co. Ltd.   1,436,528      25,107
  Nisshin Seifun Group Inc.   2,028,719      25,077
  Persol Holdings Co. Ltd.   1,382,737      25,025
  Haseko Corp.   2,028,762      24,999
  Japan Airlines Co. Ltd.   1,148,748      24,909
  Nagoya Railroad Co. Ltd.   1,538,032      24,710
  Nippon Sanso Holdings Corp.   1,131,701      24,587
  Advance Residence Investment Corp.      10,278      24,545
  Socionext Inc.     167,200      24,532
  Hikari Tsushin Inc.     170,679      24,498
  CyberAgent Inc.   3,311,437      24,207
  Amada Co. Ltd.   2,448,357      24,155
  Kobe Steel Ltd.   2,612,654      24,065
  Stanley Electric Co. Ltd.   1,178,801      23,890
  NGK Insulators Ltd.   1,993,287      23,815
  Goldwin Inc.     278,926      23,748
  MonotaRO Co. Ltd.   1,858,515      23,734
* Kyushu Electric Power Co. Inc.   3,683,389      23,554
  United Urban Investment Corp.      23,319      23,538
  Hitachi Construction Machinery Co. Ltd.     836,718      23,526
  Resonac Holdings Corp.   1,418,468      23,045
* Tohoku Electric Power Co. Inc.   3,723,158      23,023
  Yokohama Rubber Co. Ltd.   1,035,419      22,748
  Santen Pharmaceutical Co. Ltd.   2,664,302      22,693
  Japan Post Insurance Co. Ltd.   1,501,122      22,560
  NSK Ltd.   3,489,679      22,335
  NOF Corp.     516,501      22,188
  Kansai Paint Co. Ltd.   1,498,473      22,102
  Kose Corp.     228,046      21,922
  JGC Holdings Corp.   1,665,257      21,652
*,1 Skylark Holdings Co. Ltd.   1,730,578      21,642
  Sumitomo Heavy Industries Ltd.     898,408      21,518
  Tsuruha Holdings Inc.     287,354      21,402
  Shinko Electric Industries Co. Ltd.     519,759      21,372
* Mercari Inc.     900,730      21,200
  Iwatani Corp.     398,982      21,134
  NH Foods Ltd.     775,222      20,988
  Mitsubishi Gas Chemical Co. Inc.   1,396,710      20,346
  Open House Group Co. Ltd.     562,937      20,323
  Keihan Holdings Co. Ltd.     768,329      20,257
  Nomura Real Estate Holdings Inc.     851,217      20,237
    Shares Market
Value

($000)
  Tokyo Tatemono Co. Ltd.   1,569,132      20,207
  Miura Co. Ltd.     772,764      20,199
  Sanwa Holdings Corp.   1,541,931      20,075
  Koei Tecmo Holdings Co. Ltd.   1,149,948      19,919
  Alfresa Holdings Corp.   1,325,740      19,832
  Nabtesco Corp.     890,422      19,680
  Hakuhodo DY Holdings Inc.   1,862,829      19,664
  THK Co. Ltd.     950,186      19,557
  Air Water Inc.   1,408,695      19,556
  Nifco Inc.     651,067      19,357
  Itochu Techno-Solutions Corp.     758,407      19,218
  Oracle Corp. Japan     257,570      19,156
  Nankai Electric Railway Co. Ltd.     856,165      19,153
  Electric Power Development Co. Ltd.   1,297,023      19,092
  Japan Airport Terminal Co. Ltd.     421,696      19,074
  Sekisui House REIT Inc.      32,572      18,969
  Medipal Holdings Corp.   1,158,656      18,946
  Sanrio Co. Ltd.     439,622      18,865
  J Front Retailing Co. Ltd.   1,956,408      18,765
  Ryohin Keikaku Co. Ltd.   1,881,081      18,649
  Mebuki Financial Group Inc.   7,856,031      18,639
  Iida Group Holdings Co. Ltd.   1,100,538      18,598
  TechnoPro Holdings Inc.     851,830      18,531
  Credit Saison Co. Ltd.   1,204,453      18,523
  Lion Corp.   1,969,654      18,364
  Rinnai Corp.     830,081      18,108
  Japan Hotel REIT Investment Corp.      35,371      18,044
  Taiheiyo Cement Corp.     907,903      17,950
  ZOZO Inc.     858,129      17,802
  Tokyo Century Corp.     492,424      17,783
1 Tokyo Ohka Kogyo Co. Ltd.     288,449      17,690
  Mitsubishi Materials Corp.     981,011      17,662
  Keikyu Corp.   1,991,064      17,591
  Fujikura Ltd.   2,094,666      17,587
1 Japan Prime Realty Investment Corp.       7,258      17,565
  Cosmo Energy Holdings Co. Ltd.     642,123      17,550
  Kadokawa Corp.     729,944      17,509
  Horiba Ltd.     304,235      17,498
  Daicel Corp.   1,945,099      17,408
  Nichirei Corp.     812,540      17,376
1 Aozora Bank Ltd.     929,700      17,287
  Mitsubishi Motors Corp.   4,928,747      17,235
  Lawson Inc.     381,738      16,926
 
21

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  Kamigumi Co. Ltd.     739,005      16,756
  Seibu Holdings Inc.   1,626,552      16,756
  COMSYS Holdings Corp.     840,244      16,643
  Welcia Holdings Co. Ltd.     795,984      16,580
  Nippon Shinyaku Co. Ltd.     403,612      16,513
  Toyo Seikan Group Holdings Ltd.   1,120,442      16,509
  Nippon Accommodations Fund Inc.       3,648      16,442
  Tokyo Seimitsu Co. Ltd.     295,899      16,385
  INFRONEER Holdings Inc.   1,735,591      16,367
  Shimamura Co. Ltd.     172,298      16,291
  JTEKT Corp.   1,783,031      16,249
  Internet Initiative Japan Inc.     860,824      16,227
  Industrial & Infrastructure Fund Investment Corp.      15,411      16,224
  Ulvac Inc.     379,638      16,191
* Chugoku Electric Power Co. Inc.   2,372,481      16,063
  Activia Properties Inc.       5,730      16,024
  Nihon M&A Center Holdings Inc.   2,071,084      15,935
* SHIFT Inc.      85,646      15,700
  SCSK Corp.     996,508      15,682
  EXEO Group Inc.     777,944      15,626
  Food & Life Cos. Ltd.     797,489      15,591
  Nihon Kohden Corp.     580,903      15,530
  Invincible Investment Corp.      38,930      15,475
  Sundrug Co. Ltd.     521,437      15,467
  Seino Holdings Co. Ltd.   1,079,190      15,366
  Japan Logistics Fund Inc.       7,040      15,280
  Hachijuni Bank Ltd.   3,486,949      15,147
  AEON REIT Investment Corp.      13,992      15,095
  Sohgo Security Services Co. Ltd.   2,650,735      15,010
  Fujitec Co. Ltd.     586,234      15,009
  Macnica Holdings Inc.     359,033      14,920
  ADEKA Corp.     777,640      14,855
  LaSalle Logiport REIT      14,149      14,845
  Takashimaya Co. Ltd.   1,058,737      14,800
  Suzuken Co. Ltd.     543,156      14,773
  Teijin Ltd.   1,465,266      14,700
  Kakaku.com Inc.   1,012,906      14,591
  Mitsui Fudosan Logistics Park Inc.       4,199      14,583
  Sanken Electric Co. Ltd.     154,038      14,532
1 Tokai Carbon Co. Ltd.   1,554,314      14,307
  Kenedix Office Investment Corp.       5,942      14,298
  DMG Mori Co. Ltd.     820,381      14,262
  SHO-BOND Holdings Co. Ltd.     358,434      14,255
    Shares Market
Value

($000)
* Money Forward Inc.     355,823      14,189
  Cosmos Pharmaceutical Corp.     136,954      13,887
  NET One Systems Co. Ltd.     631,552      13,874
  Sumitomo Rubber Industries Ltd.   1,424,258      13,844
  Hisamitsu Pharmaceutical Co. Inc.     526,763      13,823
  Zenkoku Hosho Co. Ltd.     396,743      13,795
  Yamada Holdings Co. Ltd.   4,676,600      13,766
  Alps Alpine Co. Ltd.   1,564,537      13,736
  Casio Computer Co. Ltd.   1,662,866      13,705
* Park24 Co. Ltd.   1,008,042      13,702
  Kenedix Residential Next Investment Corp.       8,349      13,579
  Sankyo Co. Ltd.     334,554      13,532
  Nagase & Co. Ltd.     812,089      13,523
  Kewpie Corp.     821,471      13,430
  Taisho Pharmaceutical Holdings Co. Ltd.     356,401      13,407
  Daiwabo Holdings Co. Ltd.     691,331      13,387
  Kaneka Corp.     476,044      13,342
  Hirogin Holdings Inc.   2,316,992      13,143
  Kinden Corp.     968,572      13,104
  Kagome Co. Ltd.     597,546      13,062
  UBE Corp.     756,474      13,005
  Daiwa Securities Living Investments Corp.      16,360      12,983
  NOK Corp.     881,218      12,925
  Denka Co. Ltd.     683,997      12,924
  Yamazaki Baking Co. Ltd.     948,755      12,843
  Mori Hills REIT Investment Corp.      12,515      12,802
  Sapporo Holdings Ltd.     494,999      12,747
  Comforia Residential REIT Inc.       5,311      12,717
  Rakus Co. Ltd.     743,765      12,679
  Sankyu Inc.     380,806      12,604
1 Workman Co. Ltd.     348,000      12,604
  House Foods Group Inc.     557,748      12,425
  BIPROGY Inc.     504,578      12,414
  Toho Gas Co. Ltd.     714,353      12,393
  OKUMA Corp.     230,101      12,354
  Konica Minolta Inc.   3,553,437      12,340
1 Mitsui High-Tec Inc.     180,135      12,325
  Ito En Ltd.     445,312      12,315
1 Frontier Real Estate Investment Corp.       3,777      12,272
  Harmonic Drive Systems Inc.     380,108      12,250
  Kyushu Financial Group Inc.   2,886,928      12,196
  Sugi Holdings Co. Ltd.     271,880      12,148
  Nakanishi Inc.     546,102      12,093
 
22

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  Penta-Ocean Construction Co. Ltd.   2,239,551      12,038
  Aeon Mall Co. Ltd.     929,341      12,027
  Topcon Corp.     812,123      11,966
  Jeol Ltd.     333,136      11,893
  Iyogin Holdings Inc.   2,110,860      11,867
  Pigeon Corp.     858,182      11,847
  Fuji Corp.     660,400      11,713
  DIC Corp.     641,747      11,676
  GS Yuasa Corp.     593,895      11,651
  Coca-Cola Bottlers Japan Holdings Inc.   1,098,120      11,649
  Mitsubishi Logistics Corp.     470,476      11,626
  Gunma Bank Ltd.   3,159,497      11,590
  Nippon Gas Co. Ltd.     822,411      11,577
  Ushio Inc.     854,580      11,554
  Daido Steel Co. Ltd.     276,051      11,512
  Relo Group Inc.     838,481      11,449
  Dowa Holdings Co. Ltd.     359,747      11,423
  Fuyo General Lease Co. Ltd.     148,315      11,399
  Fujimi Inc.     457,905      11,317
  Hulic REIT Inc.      10,004      11,180
  Yamato Kogyo Co. Ltd.     261,154      11,159
  Takara Holdings Inc.   1,368,396      11,141
  ABC-Mart Inc.     204,785      11,129
  Toyoda Gosei Co. Ltd.     579,174      11,003
  Yamaguchi Financial Group Inc.   1,638,410      11,002
  Daiichikosho Co. Ltd.     620,886      10,954
  Amano Corp.     518,348      10,941
  Mitsubishi Estate Logistics REIT Investment Corp.       3,805      10,914
  Kotobuki Spirits Co. Ltd.     148,709      10,900
  Mabuchi Motor Co. Ltd.     388,184      10,832
  NSD Co. Ltd.     537,805      10,813
  Nippon Electric Glass Co. Ltd.     612,670      10,799
  Zeon Corp.   1,108,841      10,751
  Fuji Soft Inc.     332,874      10,730
  Nippon Kayaku Co. Ltd.   1,253,698      10,727
  Sotetsu Holdings Inc.     606,825      10,698
  Toyo Tire Corp.     804,467      10,683
  Maruichi Steel Tube Ltd.     464,927      10,680
  Calbee Inc.     562,121      10,636
* PeptiDream Inc.     708,543      10,636
  Mizuho Leasing Co. Ltd.     325,540      10,635
  Sumitomo Bakelite Co. Ltd.     254,277      10,600
  Japan Steel Works Ltd.     493,073      10,583
  Citizen Watch Co. Ltd.   1,725,917      10,405
  Ezaki Glico Co. Ltd.     395,716      10,354
  Meitec Corp.     600,049      10,354
    Shares Market
Value

($000)
  Toda Corp.   1,836,010      10,319
  Nissui Corp.   2,288,101      10,276
  Rengo Co. Ltd.   1,666,670      10,270
  Ship Healthcare Holdings Inc.     614,445      10,165
  Nishi-Nippon Railroad Co. Ltd.     594,660      10,118
  Seven Bank Ltd.   5,126,223      10,069
  K's Holdings Corp.   1,152,943      10,046
  Mori Trust REIT Inc.      20,053      10,021
  NTT UD REIT Investment Corp.      10,637       9,959
  Tokyu REIT Inc.       7,397       9,883
  Daiseki Co. Ltd.     349,339       9,876
  Mitsui Mining & Smelting Co. Ltd.     427,720       9,875
  Maruwa Co. Ltd.      63,529       9,866
  Nishi-Nippon Financial Holdings Inc.   1,105,827       9,822
  77 Bank Ltd.     551,344       9,819
  TS Tech Co. Ltd.     772,790       9,773
  JMDC Inc.     242,200       9,674
  Kenedix Retail REIT Corp.       4,792       9,659
  Tsumura & Co.     516,042       9,555
  Fujitsu General Ltd.     435,301       9,508
1 SBI Shinsei Bank Ltd.     486,134       9,499
  Morinaga Milk Industry Co. Ltd.     288,825       9,457
  Inaba Denki Sangyo Co. Ltd.     409,208       9,336
  Daiwa Office Investment Corp.       2,138       9,296
  Ferrotec Holdings Corp.     362,742       9,235
* Sharp Corp.   1,645,894       9,229
  Morinaga & Co. Ltd.     293,952       9,200
  Hazama Ando Corp.   1,229,501       9,196
  Tokuyama Corp.     555,729       9,172
  Hanwa Co. Ltd.     289,822       9,154
  Nippon Shokubai Co. Ltd.     244,373       9,137
  Nichias Corp.     437,674       9,122
  Kanematsu Corp.     652,506       9,118
  Fancl Corp.     541,989       9,050
* Hino Motors Ltd.   2,128,607       9,047
  Canon Marketing Japan Inc.     360,238       8,971
1 Yoshinoya Holdings Co. Ltd.     505,751       8,968
  Anritsu Corp.   1,044,228       8,919
  Aica Kogyo Co. Ltd.     403,075       8,865
  Pilot Corp.     279,324       8,859
  Kokuyo Co. Ltd.     643,154       8,837
  NHK Spring Co. Ltd.   1,209,038       8,837
  GMO internet group Inc.     459,656       8,829
  OSG Corp.     605,989       8,699
  Descente Ltd.     303,772       8,685
  Hoshino Resorts REIT Inc.       2,024       8,685
  DeNA Co. Ltd.     663,805       8,644
  Tomy Co. Ltd.     684,204       8,619
  Toyota Boshoku Corp.     479,495       8,582
  Hitachi Zosen Corp.   1,296,045       8,576
 
23

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  Nisshinbo Holdings Inc.   1,032,291       8,561
  Furukawa Electric Co. Ltd.     483,337       8,548
1 Pola Orbis Holdings Inc.     585,987       8,544
1 Japan Excellent Inc.       9,758       8,491
  OBIC Business Consultants Co. Ltd.     230,156       8,433
1 Yaoko Co. Ltd.     167,378       8,396
  Bic Camera Inc.   1,130,559       8,389
  Takeuchi Manufacturing Co. Ltd.     270,498       8,357
  Kureha Corp.     145,404       8,330
  Kyudenko Corp.     307,901       8,267
  Wacoal Holdings Corp.     409,771       8,243
  Colowide Co. Ltd.     581,844       8,242
  Mirait One Corp.     652,072       8,208
  AEON Financial Service Co. Ltd.     916,849       8,190
  PALTAC Corp.     246,219       8,186
* Shikoku Electric Power Co. Inc.   1,196,923       8,157
  NIPPON REIT Investment Corp.       3,401       8,069
  Toagosei Co. Ltd.     887,196       7,960
  SMS Co. Ltd.     395,789       7,960
  Dexerials Corp.     361,247       7,936
  Nikkon Holdings Co. Ltd.     396,978       7,934
  CKD Corp.     483,552       7,932
  H.U. Group Holdings Inc.     412,553       7,889
  Hokuhoku Financial Group Inc.     984,295       7,880
  Okumura Corp.     276,977       7,840
  Chugin Financial Group Inc.   1,302,682       7,840
  Sawai Group Holdings Co. Ltd.     306,701       7,731
  Outsourcing Inc.     808,724       7,716
  Heiwa Real Estate REIT Inc.       7,591       7,702
  Takasago Thermal Engineering Co. Ltd.     458,901       7,699
  Ain Holdings Inc.     216,665       7,652
  Glory Ltd.     381,172       7,648
  Tadano Ltd.     951,667       7,603
  Asahi Holdings Inc.     561,626       7,589
  Japan Material Co. Ltd.     453,588       7,581
  Resorttrust Inc.     510,520       7,577
  Sangetsu Corp.     433,941       7,496
  As One Corp.     188,653       7,486
  Izumi Co. Ltd.     313,781       7,483
  NEC Networks & System Integration Corp.     540,244       7,468
  Japan Aviation Electronics Industry Ltd.     353,466       7,398
  Justsystems Corp.     262,760       7,369
  Toridoll Holdings Corp.     336,676       7,338
  Okamura Corp.     551,939       7,327
    Shares Market
Value

($000)
  Kyoritsu Maintenance Co. Ltd.     192,394       7,315
* Sansan Inc.     619,495       7,308
  Toho Holdings Co. Ltd.     395,635       7,278
  Benesse Holdings Inc.     566,684       7,248
* Hokuriku Electric Power Co.   1,345,513       7,248
  Japan Elevator Service Holdings Co. Ltd.     549,757       7,233
  Daishi Hokuetsu Financial Group Inc.     334,542       7,225
  FP Corp.     353,838       7,215
  Sakata Seed Corp.     247,593       7,175
  Nippon Soda Co. Ltd.     199,175       7,170
  Acom Co. Ltd.   2,949,925       7,161
  NS Solutions Corp.     255,340       7,135
  DTS Corp.     302,102       7,132
  Heiwa Corp.     409,118       7,115
  Kusuri no Aoki Holdings Co. Ltd.     125,402       7,068
  NTN Corp.   3,322,039       7,037
  Duskin Co. Ltd.     312,594       6,989
  Inabata & Co. Ltd.     309,735       6,961
  Japan Petroleum Exploration Co. Ltd.     231,065       6,918
  Fuji Kyuko Co. Ltd.     179,758       6,908
  Shoei Co. Ltd.     371,772       6,896
  Menicon Co. Ltd.     392,077       6,879
  Jaccs Co. Ltd.     196,023       6,857
  Shiga Bank Ltd.     361,711       6,800
  Katitas Co. Ltd.     385,563       6,675
  Sumitomo Osaka Cement Co. Ltd.     251,162       6,644
  Digital Garage Inc.     247,452       6,633
  Tsubakimoto Chain Co.     259,286       6,619
  Toei Co. Ltd.      51,846       6,618
  Kandenko Co. Ltd.     816,672       6,565
  San-In Godo Bank Ltd.   1,169,112       6,554
  Open Up Group Inc.     446,646       6,554
  Sumitomo Warehouse Co. Ltd.     397,758       6,549
  Fukuoka REIT Corp.       5,673       6,534
  Heiwa Real Estate Co. Ltd.     246,105       6,504
  Kaken Pharmaceutical Co. Ltd.     258,906       6,488
  Hokuetsu Corp.   1,074,454       6,478
  H2O Retailing Corp.     630,684       6,447
  EDION Corp.     636,668       6,432
  Nipro Corp.     906,633       6,429
  Information Services International-Dentsu Ltd.     181,690       6,379
  Osaka Soda Co. Ltd.     168,173       6,366
  Seria Co. Ltd.     397,852       6,356
  Global One Real Estate Investment Corp.       7,960       6,299
 
24

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  Fukuyama Transporting Co. Ltd.     224,731       6,271
  Organo Corp.     210,388       6,219
  DCM Holdings Co. Ltd.     730,439       6,190
  Shibaura Machine Co. Ltd.     182,248       6,178
  TKC Corp.     228,112       6,172
  Makino Milling Machine Co. Ltd.     157,633       6,128
  Rorze Corp.      75,072       6,121
1 Royal Holdings Co. Ltd.     333,180       6,112
  Taikisha Ltd.     213,624       6,097
1 CRE Logistics REIT Inc.       4,913       6,080
* Nippon Paper Industries Co. Ltd.     735,847       6,061
  Round One Corp.   1,518,841       6,017
  Shochiku Co. Ltd.      78,514       5,989
* Hokkaido Electric Power Co. Inc.   1,444,236       5,951
  Lintec Corp.     376,012       5,943
  Mixi Inc.     318,083       5,921
  Daihen Corp.     152,734       5,910
  Takuma Co. Ltd.     570,639       5,874
  Sumitomo Pharma Co. Ltd.   1,319,201       5,864
  Kaga Electronics Co. Ltd.     131,707       5,862
  Juroku Financial Group Inc.     269,194       5,816
  Ichigo Office REIT Investment Corp.       9,367       5,812
  Aichi Financial Group Inc.     359,285       5,806
  Tokai Rika Co. Ltd.     388,941       5,773
  TOKAI Holdings Corp.     922,487       5,772
  Senko Group Holdings Co. Ltd.     798,265       5,746
  Kumiai Chemical Industry Co. Ltd.     730,516       5,706
1 Seiren Co. Ltd.     331,369       5,687
  Mani Inc.     477,892       5,661
  Ryosan Co. Ltd.     185,137       5,627
  Tsuburaya Fields Holdings Inc.     268,558       5,602
  Suruga Bank Ltd.   1,394,604       5,596
  Star Asia Investment Corp.      13,565       5,586
  Toshiba TEC Corp.     193,988       5,575
  Kumagai Gumi Co. Ltd.     260,050       5,566
1 Nextage Co. Ltd.     285,783       5,553
  Tokyo Steel Manufacturing Co. Ltd.     584,315       5,530
*,1 Atom Corp.     932,140       5,517
  Monogatari Corp.     223,262       5,419
  Max Co. Ltd.     291,484       5,364
  Nihon Parkerizing Co. Ltd.     716,926       5,346
  KYB Corp.     151,666       5,331
  Riken Keiki Co. Ltd.     132,759       5,330
  Aiful Corp.   2,285,347       5,324
    Shares Market
Value

($000)
  Create Restaurants Holdings Inc.     783,418       5,310
  Monex Group Inc.   1,367,941       5,292
  Hankyu Hanshin REIT Inc.       5,235       5,259
  Joyful Honda Co. Ltd.     445,249       5,256
  Daiei Kankyo Co. Ltd.     297,200       5,248
  Nishimatsu Construction Co. Ltd.     215,298       5,233
  Paramount Bed Holdings Co. Ltd.     313,738       5,227
  Itoham Yonekyu Holdings Inc.   1,023,013       5,148
  Okasan Securities Group Inc.   1,546,948       5,143
  Daio Paper Corp.     650,627       5,124
  Ichibanya Co. Ltd.     134,846       5,106
  Ariake Japan Co. Ltd.     138,130       5,092
  Nichicon Corp.     476,115       5,077
  Base Co. Ltd.     127,506       5,072
  C Uyemura & Co. Ltd.      88,600       5,062
  SOSiLA Logistics REIT Inc.       5,535       5,026
  GungHo Online Entertainment Inc.     255,118       5,024
  Japan Securities Finance Co. Ltd.     646,038       5,019
  Trusco Nakayama Corp.     316,084       5,012
  JAFCO Group Co. Ltd.     388,613       4,988
  Yodogawa Steel Works Ltd.     210,871       4,982
  Autobacs Seven Co. Ltd.     468,563       4,980
  Kiyo Bank Ltd.     483,427       4,973
  Hosiden Corp.     394,490       4,945
  Saizeriya Co. Ltd.     193,327       4,914
  Kissei Pharmaceutical Co. Ltd.     245,258       4,912
  Nitto Kogyo Corp.     198,601       4,909
  Nippn Corp.     383,319       4,908
  Milbon Co. Ltd.     142,919       4,892
  Taiyo Holdings Co. Ltd.     262,759       4,886
  Toyobo Co. Ltd.     679,815       4,873
  Fuji Oil Holdings Inc.     351,665       4,866
  Advance Logistics Investment Corp.       5,213       4,855
  TBS Holdings Inc.     264,862       4,832
  ZERIA Pharmaceutical Co. Ltd.     282,318       4,801
  Eizo Corp.     145,277       4,788
  KOMEDA Holdings Co. Ltd.     253,906       4,782
  Nojima Corp.     499,684       4,754
  UT Group Co. Ltd.     224,366       4,744
  Mitsuboshi Belting Ltd.     154,761       4,743
  Nippon Light Metal Holdings Co. Ltd.     469,998       4,743
  Benefit One Inc.     459,055       4,715
 
25

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  Hokkoku Financial Holdings Inc.     161,953       4,677
  Nichiha Corp.     217,643       4,668
  Mitsubishi Logisnext Co. Ltd.     502,913       4,665
  Kitz Corp.     614,961       4,655
  Fuso Chemical Co. Ltd.     147,874       4,651
  Noevir Holdings Co. Ltd.     122,184       4,651
  Raito Kogyo Co. Ltd.     336,805       4,642
  Idec Corp.     201,371       4,636
  Hyakugo Bank Ltd.   1,594,974       4,634
* HIS Co. Ltd.     324,944       4,604
  Transcosmos Inc.     184,661       4,595
  Tokai Tokyo Financial Holdings Inc.   1,727,304       4,587
  Iriso Electronics Co. Ltd.     157,133       4,574
  Starts Corp. Inc.     222,637       4,568
  Arcs Co. Ltd.     266,468       4,556
  PAL GROUP Holdings Co. Ltd.     167,690       4,539
  Maruha Nichiro Corp.     268,788       4,523
1 Hioki EE Corp.      69,312       4,520
  Ai Holdings Corp.     280,382       4,518
  Megmilk Snow Brand Co. Ltd.     332,494       4,512
  Takara Standard Co. Ltd.     352,937       4,510
  KH Neochem Co. Ltd.     275,345       4,496
  Matsui Securities Co. Ltd.     810,472       4,475
  Wacom Co. Ltd.   1,078,135       4,432
  San-Ai Obbli Co. Ltd.     412,687       4,368
  Kohnan Shoji Co. Ltd.     179,147       4,362
  Valor Holdings Co. Ltd.     314,035       4,361
  San-A Co. Ltd.     137,735       4,357
  Systena Corp.   2,134,798       4,354
  Adastria Co. Ltd.     203,797       4,348
  Create SD Holdings Co. Ltd.     174,004       4,297
  Tokyo Kiraboshi Financial Group Inc.     197,440       4,289
  JVCKenwood Corp.   1,243,973       4,288
  Kato Sangyo Co. Ltd.     156,021       4,287
  Musashi Seimitsu Industry Co. Ltd.     347,367       4,283
  AZ-COM Maruwa Holdings Inc.     317,082       4,270
  Tocalo Co. Ltd.     406,203       4,263
  UACJ Corp.     224,098       4,261
  Simplex Holdings Inc.     232,305       4,258
  Meidensha Corp.     304,939       4,248
  MOS Food Services Inc.     189,169       4,244
  Mochida Pharmaceutical Co. Ltd.     185,262       4,243
  Nomura Co. Ltd.     616,557       4,238
  Nanto Bank Ltd.     249,131       4,223
  Mitsui-Soko Holdings Co. Ltd.     173,367       4,221
    Shares Market
Value

($000)
  Komeri Co. Ltd.     206,703       4,214
  ASKUL Corp.     301,502       4,196
  North Pacific Bank Ltd.   2,113,842       4,181
1 Funai Soken Holdings Inc.     235,232       4,171
  en japan Inc.     241,004       4,168
  Takara Bio Inc.     362,523       4,164
  Toyo Construction Co. Ltd.     550,740       4,163
* euglena Co. Ltd.     669,925       4,153
* RENOVA Inc.     366,079       4,140
  Shinmaywa Industries Ltd.     440,711       4,138
  Tri Chemical Laboratories Inc.     210,959       4,135
  Sanki Engineering Co. Ltd.     392,966       4,134
  Ohsho Food Service Corp.      88,688       4,128
  Nisshin Oillio Group Ltd.     173,573       4,127
  Zojirushi Corp.     334,353       4,127
  T Hasegawa Co. Ltd.     172,126       4,123
  Amvis Holdings Inc.     180,715       4,114
  Nishimatsuya Chain Co. Ltd.     346,975       4,108
  Toyo Ink SC Holdings Co. Ltd.     271,115       4,101
  Earth Corp.     115,435       4,063
  Yokogawa Bridge Holdings Corp.     231,171       4,060
  Oki Electric Industry Co. Ltd.     647,497       4,057
  Totetsu Kogyo Co. Ltd.     216,539       4,028
  Financial Partners Group Co. Ltd.     451,808       3,991
  Toyo Tanso Co. Ltd.     111,278       3,981
  Mirai Corp.      12,399       3,977
  Dip Corp.     159,089       3,974
  Nippon Pillar Packing Co. Ltd.     122,349       3,974
  Change Holdings Inc.     249,489       3,967
  Hirata Corp.      66,174       3,944
  JCR Pharmaceuticals Co. Ltd.     441,349       3,912
  Toei Animation Co. Ltd.      42,300       3,911
1 Maeda Kosen Co. Ltd.     174,677       3,894
  Noritake Co. Ltd.     101,848       3,870
1 Mitsubishi Pencil Co. Ltd.     330,276       3,852
  Iino Kaiun Kaisha Ltd.     651,679       3,850
  Infomart Corp.   1,673,412       3,849
  Okinawa Cellular Telephone Co.     184,663       3,845
  Yamazen Corp.     499,644       3,844
1 Toyo Gosei Co. Ltd.      53,094       3,838
  Mizuno Corp.     148,361       3,837
  Ogaki Kyoritsu Bank Ltd.     298,240       3,821
  Musashino Bank Ltd.     251,563       3,809
  Exedy Corp.     225,960       3,806
  Seiko Group Corp.     210,065       3,806
 
26

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  Nachi-Fujikoshi Corp.     133,526       3,797
  SKY Perfect JSAT Holdings Inc.     953,976       3,790
  JCU Corp.     158,136       3,760
  Gunze Ltd.     121,406       3,746
  Fuji Media Holdings Inc.     356,233       3,736
  Central Glass Co. Ltd.     174,190       3,735
  Kyorin Pharmaceutical Co. Ltd.     306,706       3,733
  Optex Group Co. Ltd.     263,587       3,718
  Awa Bank Ltd.     267,699       3,701
  Nippon Densetsu Kogyo Co. Ltd.     268,655       3,695
  Sanyo Denki Co. Ltd.      68,196       3,686
  Showa Sangyo Co. Ltd.     197,957       3,685
  Shibaura Mechatronics Corp.      23,600       3,678
  United Arrows Ltd.     211,136       3,653
  Japan Lifeline Co. Ltd.     508,419       3,649
  Shizuoka Gas Co. Ltd.     446,172       3,630
*,1 W-Scope Corp.     397,880       3,621
  Topre Corp.     324,608       3,595
  Yuasa Trading Co. Ltd.     117,711       3,595
  FCC Co. Ltd.     275,847       3,592
  Raiznext Corp.     348,000       3,582
  Takara Leben Real Estate Investment Corp.       5,337       3,579
  Premium Group Co. Ltd.     296,300       3,579
  Orient Corp.     455,869       3,577
  Nissha Co. Ltd.     304,332       3,567
  Micronics Japan Co. Ltd.     254,605       3,565
  Taihei Dengyo Kaisha Ltd.     120,003       3,552
  Heiwado Co. Ltd.     237,492       3,550
  MCJ Co. Ltd.     508,526       3,544
  Japan Wool Textile Co. Ltd.     488,227       3,535
  Nagawa Co. Ltd.      73,453       3,521
* Raksul Inc.     370,392       3,493
  eGuarantee Inc.     260,575       3,476
  Arata Corp.     105,293       3,442
1 Kisoji Co. Ltd.     203,619       3,435
  Prima Meat Packers Ltd.     227,379       3,429
  Management Solutions Co. Ltd.     119,365       3,408
* Leopalace21 Corp.   1,825,040       3,394
  Sanyo Special Steel Co. Ltd.     170,283       3,375
* Ringer Hut Co. Ltd.     193,141       3,360
  Fukushima Galilei Co. Ltd.      89,843       3,350
  Elecom Co. Ltd.     330,048       3,347
  Tokyo Electron Device Ltd.      45,389       3,341
  Star Micronics Co. Ltd.     266,620       3,336
    Shares Market
Value

($000)
  Aoyama Trading Co. Ltd.     362,272       3,330
  Senshu Ikeda Holdings Inc.   2,051,968       3,323
  One REIT Inc.       1,917       3,316
  United Super Markets Holdings Inc.     428,201       3,309
  Megachips Corp.     127,065       3,307
1 Hiday Hidaka Corp.     202,285       3,301
  Future Corp.     276,676       3,299
  Life Corp.     155,202       3,298
  Nippon Signal Company Ltd.     441,441       3,294
  Towa Corp.     183,315       3,293
  Mitsubishi Shokuhin Co. Ltd.     127,612       3,292
  Fuji Seal International Inc.     310,830       3,291
  Restar Holdings Corp.     193,327       3,287
  Maruzen Showa Unyu Co. Ltd.     120,246       3,285
* Nippon Sheet Glass Co. Ltd.     700,243       3,285
  Keiyo Bank Ltd.     884,978       3,277
  SAMTY Co. Ltd.     209,785       3,265
  Nitto Boseki Co. Ltd.     204,023       3,261
  Cybozu Inc.     199,532       3,260
  Tsugami Corp.     337,407       3,252
  Pacific Industrial Co. Ltd.     357,341       3,233
  Maxell Ltd.     290,091       3,232
  Kanamoto Co. Ltd.     211,337       3,224
  Konishi Co. Ltd.     201,194       3,210
  Belc Co. Ltd.      71,902       3,207
  Morita Holdings Corp.     296,246       3,205
*,1 Oisix ra daichi Inc.     186,059       3,200
  Mitsuuroko Group Holdings Co. Ltd.     329,914       3,183
  Valqua Ltd.     116,273       3,178
1 Toho Titanium Co. Ltd.     260,844       3,178
1 Kura Sushi Inc.     149,530       3,171
  Health Care & Medical Investment Corp.       2,801       3,164
  Hakuto Co. Ltd.      81,557       3,157
  Sekisui Jushi Corp.     198,523       3,157
  S Foods Inc.     144,388       3,155
  Argo Graphics Inc.     116,001       3,154
  Chudenko Corp.     196,146       3,135
  Sakata INX Corp.     370,748       3,135
  KeePer Technical Laboratory Co. Ltd.      91,733       3,127
  Nippon Yakin Kogyo Co. Ltd.     110,137       3,126
  Tokyotokeiba Co. Ltd.     114,182       3,119
  TSI Holdings Co. Ltd.     568,349       3,116
  Fuji Co. Ltd.     246,118       3,114
  Hamakyorex Co. Ltd.     116,709       3,112
  Noritz Corp.     251,490       3,110
  Bando Chemical Industries Ltd.     309,185       3,102
  Itochu Enex Co. Ltd.     348,674       3,073
 
27

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  Kameda Seika Co. Ltd.     102,230       3,070
  Hogy Medical Co. Ltd.     138,908       3,069
1 OSAKA Titanium Technologies Co. Ltd.     148,280       3,047
  BML Inc.     150,830       3,042
  I'll Inc.     145,985       3,035
  Starts Proceed Investment Corp.       1,875       3,033
  Nittetsu Mining Co. Ltd.      97,176       3,030
  Koshidaka Holdings Co. Ltd.     361,716       3,029
  Prestige International Inc.     713,611       3,028
  Nitta Corp.     142,358       3,023
  Shibuya Corp.     164,721       3,021
  Digital Arts Inc.      73,985       3,019
1 Snow Peak Inc.     230,946       3,014
  Nishio Holdings Co. Ltd.     127,685       3,013
  Shoei Foods Corp.     101,264       3,013
  SBS Holdings Inc.     135,093       3,002
  Oiles Corp.     216,166       2,996
* Universal Entertainment Corp.     175,726       2,994
  Shin-Etsu Polymer Co. Ltd.     281,625       2,991
  Ricoh Leasing Co. Ltd.     102,253       2,990
  Riso Kagaku Corp.     176,878       2,990
  Zuken Inc.     109,866       2,990
  Tachibana Eletech Co. Ltd.     144,106       2,977
  Siix Corp.     271,574       2,971
  Retail Partners Co. Ltd.     268,335       2,970
  Usen-Next Holdings Co. Ltd.     126,044       2,970
  Token Corp.      57,356       2,969
  West Holdings Corp.     170,100       2,964
  Altech Corp.     142,500       2,962
  Aeon Delight Co. Ltd.     138,462       2,956
* Okinawa Electric Power Co. Inc.     369,863       2,954
  Procrea Holdings Inc.     207,636       2,941
  Sumitomo Mitsui Construction Co. Ltd.   1,135,816       2,922
  Doutor Nichires Holdings Co. Ltd.     198,776       2,912
* Chiyoda Corp.   1,178,664       2,911
  Wakita & Co. Ltd.     323,168       2,910
  Ryoyo Electro Corp.     116,053       2,900
  ASAHI YUKIZAI Corp.      95,087       2,897
  TOMONY Holdings Inc.   1,139,704       2,897
  Nagaileben Co. Ltd.     191,081       2,894
  Nissan Shatai Co. Ltd.     493,797       2,886
  Tamron Co. Ltd.     102,841       2,880
1 Intage Holdings Inc.     252,576       2,878
    Shares Market
Value

($000)
  Tsurumi Manufacturing Co. Ltd.     158,840       2,878
  Ryobi Ltd.     201,511       2,874
  Daiichi Jitsugyo Co. Ltd.      72,723       2,872
  Fujimori Kogyo Co. Ltd.     115,120       2,870
  Ichigo Inc.   1,493,116       2,862
  Toa Corp.     132,341       2,859
  Samty Residential Investment Corp.       3,449       2,857
  Bank of Nagoya Ltd.     123,744       2,852
  YAMABIKO Corp.     262,354       2,845
  Aida Engineering Ltd.     431,540       2,826
  Shima Seiki Manufacturing Ltd.     218,507       2,825
  Koa Corp.     224,807       2,823
  Uchida Yoko Co. Ltd.      69,665       2,822
1 Furuya Metal Co. Ltd.      33,900       2,818
  Anicom Holdings Inc.     644,480       2,817
  Yellow Hat Ltd.     218,133       2,809
  Yonex Co. Ltd.     290,159       2,808
  Chugoku Marine Paints Ltd.     332,774       2,807
  Mandom Corp.     278,641       2,806
  Okamoto Industries Inc.     103,278       2,802
  Meiko Electronics Co. Ltd.     148,005       2,798
  Chofu Seisakusho Co. Ltd.     160,062       2,778
  Axial Retailing Inc.     110,319       2,776
  Nikkiso Co. Ltd.     438,186       2,771
  Tamura Corp.     593,561       2,766
  Bunka Shutter Co. Ltd.     358,378       2,761
  Doshisha Co. Ltd.     170,936       2,752
  Pharma Foods International Co. Ltd.     189,650       2,751
  PHC Holdings Corp.     254,298       2,733
  Furukawa Co. Ltd.     250,116       2,730
3 Nippon Koei Co. Ltd.     108,304       2,730
  Sintokogio Ltd.     357,746       2,729
  Roland Corp.      94,318       2,719
  Tokyu Construction Co. Ltd.     525,366       2,715
  Mitani Sekisan Co. Ltd.      79,337       2,712
*,1 PKSHA Technology Inc.     125,666       2,709
  Kyokuto Kaihatsu Kogyo Co. Ltd.     223,067       2,691
  ARTERIA Networks Corp.     195,833       2,682
  Noritsu Koki Co. Ltd.     165,179       2,671
  Press Kogyo Co. Ltd.     625,039       2,671
  Japan Pulp & Paper Co. Ltd.      78,863       2,666
  Avex Inc.     252,491       2,650
  Yokorei Co. Ltd.     323,168       2,629
* Vision Inc.     204,607       2,623
  Piolax Inc.     173,681       2,621
 
28

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  Senshu Electric Co. Ltd.     102,518       2,619
  Strike Co. Ltd.     107,406       2,601
  Hyakujushi Bank Ltd.     200,998       2,589
  Nippon Seiki Co. Ltd.     377,950       2,578
  Comture Corp.     178,149       2,572
1 MEC Co. Ltd.     103,894       2,565
  Eiken Chemical Co. Ltd.     239,134       2,561
  Insource Co. Ltd.     309,480       2,555
  VT Holdings Co. Ltd.     670,377       2,551
  Saibu Gas Holdings Co. Ltd.     176,637       2,544
  Tosei Corp.     208,402       2,531
  Infocom Corp.     159,965       2,529
  Gree Inc.     568,194       2,528
  Kanto Denka Kogyo Co. Ltd.     364,372       2,500
  Ishihara Sangyo Kaisha Ltd.     272,197       2,486
  Konoike Transport Co. Ltd.     216,160       2,485
  Towa Pharmaceutical Co. Ltd.     201,562       2,483
  gremz Inc.     120,155       2,477
  Meisei Industrial Co. Ltd.     361,023       2,473
  Geo Holdings Corp.     194,348       2,472
  Nippon Ceramic Co. Ltd.     129,415       2,465
  Shikoku Kasei Holdings Corp.     234,615       2,460
  Kyoei Steel Ltd.     173,832       2,457
  GLOBERIDE Inc.     155,431       2,452
  IDOM Inc.     401,195       2,450
  Torii Pharmaceutical Co. Ltd.      96,984       2,443
  Nippon Kanzai Holdings Co. Ltd.     135,441       2,443
  Sumitomo Densetsu Co. Ltd.     113,058       2,437
  Sato Holdings Corp.     179,358       2,436
  Bell System24 Holdings Inc.     256,903       2,431
  Eagle Industry Co. Ltd.     199,149       2,425
  Matsuya Co. Ltd.     305,147       2,417
  Tosei REIT Investment Corp.       2,604       2,411
  RS Technologies Co. Ltd.     107,530       2,401
  Nippon Carbon Co. Ltd.      79,388       2,398
  Computer Engineering & Consulting Ltd.     191,104       2,394
  Sanyo Chemical Industries Ltd.      81,020       2,391
  Hosokawa Micron Corp.      97,586       2,380
1 Tama Home Co. Ltd.     103,433       2,379
  Mimasu Semiconductor Industry Co. Ltd.     109,173       2,376
  Sinfonia Technology Co. Ltd.     197,175       2,362
  Okinawa Financial Group Inc.     163,698       2,362
    Shares Market
Value

($000)
  Sakai Moving Service Co. Ltd.      67,906       2,360
  Curves Holdings Co. Ltd.     449,345       2,350
1 Aeon Hokkaido Corp.     387,722       2,347
  Asahi Diamond Industrial Co. Ltd.     387,374       2,339
  Mitsui DM Sugar Holdings Co. Ltd.     122,184       2,338
  SWCC Corp.     175,251       2,336
  Teikoku Electric Manufacturing Co. Ltd.     123,368       2,332
  Tachi-S Co. Ltd.     216,032       2,328
  Daikyonishikawa Corp.     421,988       2,326
  Tsukishima Holdings Co. Ltd.     273,806       2,303
  JINS Holdings Inc.     111,134       2,302
  Osaka Organic Chemical Industry Ltd.     113,362       2,295
  ZIGExN Co. Ltd.     417,130       2,294
  ARCLANDS Corp.     208,762       2,285
  WingArc1st Inc.     137,848       2,281
  Toho Bank Ltd.   1,452,082       2,280
  TechMatrix Corp.     175,758       2,280
  Onward Holdings Co. Ltd.     819,070       2,274
  Sankei Real Estate Inc.       3,606       2,272
  FULLCAST Holdings Co. Ltd.     148,718       2,268
  Nichireki Co. Ltd.     177,202       2,264
  DyDo Group Holdings Inc.      64,399       2,256
1 Obara Group Inc.      77,792       2,253
  Yokowo Co. Ltd.     174,224       2,248
  Nittoku Co. Ltd.     121,700       2,243
  TPR Co. Ltd.     189,275       2,233
  Canon Electronics Inc.     158,603       2,228
  KFC Holdings Japan Ltd.     112,981       2,227
  LITALICO Inc.     137,552       2,227
  METAWATER Co. Ltd.     173,835       2,223
* M&A Capital Partners Co. Ltd.      95,070       2,219
*,1 Fujio Food Group Inc.     216,873       2,211
  Unipres Corp.     273,805       2,209
  Asanuma Corp.      97,400       2,208
  Shin Nippon Biomedical Laboratories Ltd.     148,621       2,207
1 Arcland Service Holdings Co. Ltd.     108,744       2,206
  Komori Corp.     335,650       2,196
1 Septeni Holdings Co. Ltd.     787,300       2,195
  ESPEC Corp.     137,372       2,186
  Roland DG Corp.      86,406       2,182
  TRE Holdings Corp.     252,681       2,182
  Topy Industries Ltd.     137,851       2,175
  Aisan Industry Co. Ltd.     265,483       2,167
1 J Trust Co. Ltd.     721,485       2,166
  Sala Corp.     396,500       2,163
 
29

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  Qol Holdings Co. Ltd.     178,671       2,154
  ESCON Japan REIT Investment Corp.       2,523       2,143
  CTI Engineering Co. Ltd.      83,800       2,140
  Oyo Corp.     152,303       2,127
  Sun Frontier Fudousan Co. Ltd.     214,357       2,127
  eRex Co. Ltd.     269,621       2,125
*,1 giftee Inc.     162,630       2,123
  Daiki Aluminium Industry Co. Ltd.     216,180       2,108
  Mitsui E&S Co. Ltd.     613,569       2,107
  Torishima Pump Manufacturing Co. Ltd.     159,594       2,107
  Sinko Industries Ltd.     144,838       2,105
  Keihanshin Building Co. Ltd.     261,962       2,104
  Kosaido Holdings Co. Ltd.     143,700       2,103
  Fujicco Co. Ltd.     160,744       2,101
  Trancom Co. Ltd.      45,799       2,095
  Enplas Corp.      51,090       2,082
  Kurabo Industries Ltd.     131,638       2,081
  Ki-Star Real Estate Co. Ltd.      60,371       2,078
  Hibiya Engineering Ltd.     134,652       2,072
  Takasago International Corp.     109,991       2,068
  Yondoshi Holdings Inc.     165,159       2,064
  Totech Corp.      61,800       2,059
  Nippon Fine Chemical Co. Ltd.     101,901       2,055
  Alconix Corp.     214,329       2,049
  Sumitomo Seika Chemicals Co. Ltd.      65,978       2,047
  Weathernews Inc.      44,084       2,041
  Nippon Thompson Co. Ltd.     494,192       2,041
  Bank of the Ryukyus Ltd.     321,305       2,040
  Mirarth Holdings Inc.     659,545       2,033
  G-Tekt Corp.     169,201       2,029
*,1 Kappa Create Co. Ltd.     189,239       2,016
  Anest Iwata Corp.     244,865       2,014
  Nohmi Bosai Ltd.     159,981       2,012
  Miyazaki Bank Ltd.     123,729       2,005
  Takamatsu Construction Group Co. Ltd.     111,382       2,003
1 Genky DrugStores Co. Ltd.      65,060       1,995
  JAC Recruitment Co. Ltd.     109,739       1,986
  Broadleaf Co. Ltd.     618,928       1,986
* SRE Holdings Corp.      73,964       1,985
  Daiwa Industries Ltd.     205,518       1,977
  Krosaki Harima Corp.      31,890       1,967
  Inageya Co. Ltd.     188,634       1,960
  Kyokuyo Co. Ltd.      78,016       1,959
  Daiken Corp.     122,719       1,954
  T-Gaia Corp.     162,311       1,953
    Shares Market
Value

($000)
  Hokuto Corp.     152,712       1,943
  Pressance Corp.     137,970       1,943
  Joshin Denki Co. Ltd.     142,208       1,939
  TV Asahi Holdings Corp.     169,603       1,937
  Sanyo Electric Railway Co. Ltd.     126,920       1,932
  Halows Co. Ltd.      71,294       1,928
  Pack Corp.      91,967       1,916
  Dai-Dan Co. Ltd.     100,496       1,904
  MARUKA FURUSATO Corp.     119,379       1,901
  San ju San Financial Group Inc.     173,147       1,900
  Tanseisha Co. Ltd.     344,879       1,892
1 Takatori Corp.      39,671       1,885
  Nafco Co. Ltd.     142,900       1,883
  Kamei Corp.     182,592       1,879
  Aichi Steel Corp.      86,985       1,852
  Belluna Co. Ltd.     373,488       1,847
  Fukui Bank Ltd.     183,695       1,844
  Riken Vitamin Co. Ltd.     124,218       1,844
  Yamanashi Chuo Bank Ltd.     210,627       1,821
  Fujibo Holdings Inc.      82,148       1,820
  Teikoku Sen-I Co. Ltd.     159,631       1,819
  France Bed Holdings Co. Ltd.     226,175       1,818
  Shin Nippon Air Technologies Co. Ltd.     113,853       1,814
*,1 Istyle Inc.     468,567       1,812
  Oita Bank Ltd.     119,222       1,795
  Yamagata Bank Ltd.     247,206       1,795
  Bank of Iwate Ltd.     125,573       1,786
  Riken Technos Corp.     391,919       1,786
  Sinanen Holdings Co. Ltd.      67,306       1,781
  Godo Steel Ltd.      69,951       1,778
  Shinko Shoji Co. Ltd.     216,046       1,770
  Ines Corp.     169,350       1,769
  Katakura Industries Co. Ltd.     156,210       1,769
  Sodick Co. Ltd.     356,787       1,769
  Starzen Co. Ltd.     111,460       1,769
  Shinnihon Corp.     199,948       1,765
1 Tsubaki Nakashima Co. Ltd.     313,676       1,763
  Futaba Industrial Co. Ltd.     479,228       1,762
  Sumitomo Riko Co. Ltd.     295,709       1,759
  Mie Kotsu Group Holdings Inc.     442,137       1,759
  Nichiden Corp.     105,183       1,757
  Key Coffee Inc.     122,419       1,756
  Nippon Parking Development Co. Ltd.   1,126,331       1,754
  NS United Kaiun Kaisha Ltd.      73,127       1,743
  Happinet Corp.     112,920       1,739
  Sun Corp.     140,200       1,737
  Matsuyafoods Holdings Co. Ltd.      60,483       1,733
 
30

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  Tenma Corp.      95,161       1,729
  Denyo Co. Ltd.     120,017       1,722
  Fixstars Corp.     163,650       1,722
  Tokai Corp.     131,068       1,719
  AOKI Holdings Inc.     281,025       1,718
  HI-LEX Corp.     205,491       1,717
  Dai Nippon Toryo Co. Ltd.     268,505       1,713
1 Nippon Denko Co. Ltd.     873,427       1,713
  Mitsubishi Research Institute Inc.      44,479       1,700
  Yurtec Corp.     282,857       1,696
  Nissei ASB Machine Co. Ltd.      59,420       1,694
  Pasona Group Inc.     145,892       1,694
  Oriental Shiraishi Corp.     790,176       1,691
  Chori Co. Ltd.      82,072       1,689
  Union Tool Co.      75,041       1,686
  Vector Inc.     180,190       1,685
  COLOPL Inc.     371,626       1,682
  Sumida Corp.     164,373       1,678
  Marudai Food Co. Ltd.     162,443       1,675
  Neturen Co. Ltd.     246,419       1,669
  Tekken Corp.     115,988       1,660
  Solasto Corp.     357,442       1,656
  Airtrip Corp.      85,009       1,654
  Ichikoh Industries Ltd.     434,694       1,652
  ES-Con Japan Ltd.     287,751       1,649
  J-Oil Mills Inc.     148,119       1,647
  Nippon Road Co. Ltd.      25,092       1,631
  Keiyo Co. Ltd.     291,683       1,625
  K&O Energy Group Inc.     102,552       1,622
  Warabeya Nichiyo Holdings Co. Ltd.     105,096       1,620
*,1 Demae-Can Co. Ltd.     573,600       1,619
  Avant Group Corp.     164,400       1,618
  Ryoden Corp.     105,576       1,616
  Yahagi Construction Co. Ltd.     186,629       1,607
  S-Pool Inc.     436,825       1,607
  Arisawa Manufacturing Co. Ltd.     207,500       1,602
  Giken Ltd.     112,789       1,599
  Tonami Holdings Co. Ltd.      49,874       1,599
  World Co. Ltd.     138,847       1,596
  Mitsuba Corp.     280,625       1,589
  Elematec Corp.     124,883       1,586
  Japan Transcity Corp.     366,088       1,581
  Relia Inc.     155,079       1,579
  Macromill Inc.     269,181       1,579
  Zenrin Co. Ltd.     246,063       1,577
  TOC Co. Ltd.     356,412       1,567
1 Alpen Co. Ltd.     113,991       1,567
  Miroku Jyoho Service Co. Ltd.     143,048       1,564
  KPP Group Holdings Co. Ltd.     353,200       1,562
  Vital KSK Holdings Inc.     252,315       1,561
  Daiho Corp.      57,965       1,560
    Shares Market
Value

($000)
  ASKA Pharmaceutical Holdings Co. Ltd.     155,205       1,558
  Okabe Co. Ltd.     303,587       1,551
  Riken Corp.      71,263       1,549
  Shikoku Bank Ltd.     260,392       1,549
  Ehime Bank Ltd.     275,670       1,545
  Gakken Holdings Co. Ltd.     256,474       1,541
1 Rock Field Co. Ltd.     148,605       1,541
  Stella Chemifa Corp.      70,695       1,539
  Toyo Corp.     153,649       1,537
  Itochu-Shokuhin Co. Ltd.      42,613       1,534
  Icom Inc.      75,868       1,530
  Daito Pharmaceutical Co. Ltd.      95,819       1,526
  Hokkaido Gas Co. Ltd.      92,386       1,510
  Wellneo Sugar Co. Ltd.     109,647       1,507
  Rheon Automatic Machinery Co. Ltd.     152,242       1,505
  Kurimoto Ltd.      96,444       1,495
  Cosel Co. Ltd.     170,165       1,482
  Elan Corp.     243,586       1,482
  Daikokutenbussan Co. Ltd.      39,968       1,480
  Shinwa Co. Ltd.      90,412       1,476
* Modec Inc.     151,717       1,473
  Seikagaku Corp.     280,759       1,472
  Onoken Co. Ltd.     131,959       1,468
  EM Systems Co. Ltd.     265,349       1,468
  Akita Bank Ltd.     126,125       1,467
  Aiphone Co. Ltd.      87,345       1,463
  YAKUODO Holdings Co. Ltd.      82,672       1,460
  Sakai Chemical Industry Co. Ltd.     112,092       1,459
  FIDEA Holdings Co. Ltd.     153,055       1,456
  Sagami Holdings Corp.     166,467       1,454
  Fujiya Co. Ltd.      84,299       1,445
  Sparx Group Co. Ltd.     135,587       1,445
  SB Technology Corp.      78,834       1,434
  Nihon Nohyaku Co. Ltd.     287,263       1,431
  Mars Group Holdings Corp.      72,096       1,431
  Dainichiseika Color & Chemicals Manufacturing Co. Ltd.      97,940       1,427
  Tatsuta Electric Wire & Cable Co. Ltd.     288,163       1,426
  SRA Holdings      62,823       1,418
  Matsuda Sangyo Co. Ltd.      89,337       1,413
  Toyo Kanetsu KK      59,571       1,413
  Chiyoda Integre Co. Ltd.      83,747       1,402
  Chilled & Frozen Logistics Holdings Co. Ltd.     159,384       1,401
 
31

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  Shibusawa Warehouse Co. Ltd.      71,880       1,396
  Osaki Electric Co. Ltd.     363,430       1,387
  Goldcrest Co. Ltd.     110,753       1,384
  Riso Kyoiku Co. Ltd.     754,122       1,380
  NEC Capital Solutions Ltd.      61,730       1,380
  Nissin Corp.      78,854       1,379
  Hoosiers Holdings Co. Ltd.     198,137       1,378
  JM Holdings Co. Ltd.      99,219       1,376
1 YA-MAN Ltd.     194,248       1,360
  Hochiki Corp.     109,276       1,358
  Honeys Holdings Co. Ltd.     110,690       1,358
  CMK Corp.     349,339       1,357
*,1 Fujita Kanko Inc.      57,327       1,355
* Japan Display Inc.   4,984,772       1,355
1 Remixpoint Inc.     915,438       1,347
  Fukuda Corp.      39,735       1,345
  Hodogaya Chemical Co. Ltd.      56,018       1,345
*,1 PIA Corp.      57,053       1,345
  Marusan Securities Co. Ltd.     438,619       1,345
1 BRONCO BILLY Co. Ltd.      69,362       1,345
  Shindengen Electric Manufacturing Co. Ltd.      59,058       1,343
  Optorun Co. Ltd.      79,205       1,341
  Chubu Shiryo Co. Ltd.     181,710       1,334
  Tochigi Bank Ltd.     766,033       1,334
  Softcreate Holdings Corp.     107,766       1,330
* Nippon Chemi-Con Corp.     152,072       1,329
  m-up Holdings Inc.     169,100       1,326
  World Holdings Co. Ltd.      70,135       1,322
  Furuno Electric Co. Ltd.     178,538       1,321
  Kintetsu Department Store Co. Ltd.      74,618       1,316
  Nichiban Co. Ltd.     100,009       1,316
  Xebio Holdings Co. Ltd.     173,333       1,311
1 Takeda Pharmaceutical Co. Ltd. ADR      83,354       1,309
  Nagatanien Holdings Co. Ltd.      88,086       1,307
  Koatsu Gas Kogyo Co. Ltd.     248,189       1,292
  Toho Zinc Co. Ltd.     108,446       1,278
  Proto Corp.     161,332       1,275
  Toenec Corp.      50,923       1,273
  Kawada Technologies Inc.      31,567       1,271
  Marvelous Inc.     271,295       1,268
  Kyosan Electric Manufacturing Co. Ltd.     363,004       1,266
  SIGMAXYZ Holdings Inc.     130,292       1,260
  Cawachi Ltd.      81,931       1,252
    Shares Market
Value

($000)
  Kyodo Printing Co. Ltd.      56,296       1,238
1 Carta Holdings Inc.     143,789       1,234
  Tokushu Tokai Paper Co. Ltd.      55,106       1,233
  G-7 Holdings Inc.     134,959       1,233
  DKK Co. Ltd.      79,428       1,227
  Ebase Co. Ltd.     228,612       1,215
  St. Marc Holdings Co. Ltd.      92,569       1,212
  Alpha Systems Inc.      49,538       1,211
  Takaoka Toko Co. Ltd.      79,640       1,191
  Bank of Saga Ltd.     102,957       1,189
  Studio Alice Co. Ltd.      77,134       1,189
  Nitto Kohki Co. Ltd.      86,600       1,189
* Pacific Metals Co. Ltd.     111,658       1,188
  LEC Inc.     195,753       1,179
  Aeon Fantasy Co. Ltd.      52,673       1,172
  Towa Bank Ltd.     314,177       1,163
  Pole To Win Holdings Inc.     211,751       1,158
1 Okuwa Co. Ltd.     198,244       1,152
  JDC Corp.     288,219       1,145
  Tayca Corp.     118,254       1,131
  Moriroku Holdings Co. Ltd.      78,303       1,130
* TerraSky Co. Ltd.      57,646       1,128
  CI Takiron Corp.     279,000       1,115
  JP-Holdings Inc.     466,003       1,113
  Tomoku Co. Ltd.      77,305       1,113
  Kansai Food Market Ltd.     106,166       1,112
  V Technology Co. Ltd.      65,653       1,108
  Toa Corp. (XTKS)     170,991       1,098
  Aichi Corp.     179,484       1,090
  Daido Metal Co. Ltd.     319,056       1,090
  ValueCommerce Co. Ltd.     115,611       1,088
  Taki Chemical Co. Ltd.      36,067       1,087
  Fudo Tetra Corp.      85,007       1,083
  Komatsu Matere Co. Ltd.     228,964       1,076
  Nippon Beet Sugar Manufacturing Co. Ltd.      82,970       1,074
  Tosho Co. Ltd.     121,563       1,072
  Iseki & Co. Ltd.     123,029       1,071
1 Link & Motivation Inc.     354,959       1,063
  Tv Tokyo Holdings Corp.      45,183       1,058
  JSP Corp.      81,224       1,056
  Fuji Pharma Co. Ltd.     129,413       1,045
  Kanagawa Chuo Kotsu Co. Ltd.      47,971       1,044
  Nippon Rietec Co. Ltd.     108,697       1,044
* Optim Corp.     146,893       1,043
  Sankyo Tateyama Inc.     205,761       1,041
  Chiyoda Co. Ltd.     167,035       1,035
  Kanaden Corp.     114,806       1,035
 
32

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  Okura Industrial Co. Ltd.      66,897       1,028
  Ichiyoshi Securities Co. Ltd.     243,646       1,025
  Sanoh Industrial Co. Ltd.     170,665       1,023
  Direct Marketing MiX Inc.     170,483       1,020
  Achilles Corp.     101,446       1,018
  Maezawa Kyuso Industries Co. Ltd.     131,454       1,018
  Ministop Co. Ltd.     101,283       1,016
  Yukiguni Maitake Co. Ltd.     149,269       1,010
  CAC Holdings Corp.      84,413       1,008
  Nisso Corp.     157,507       1,007
  Feed One Co. Ltd.     200,035       1,003
  Kitanotatsujin Corp.     496,610       1,002
  Yorozu Corp.     149,914         995
  Tokyo Energy & Systems Inc.     145,980         990
  LIFULL Co. Ltd.     487,803         973
  Central Security Patrols Co. Ltd.      49,415         972
  Hisaka Works Ltd.     152,459         968
  CTS Co. Ltd.     188,028         966
  Seika Corp.      70,164         962
  Fukui Computer Holdings Inc.      49,444         961
  Maxvalu Tokai Co. Ltd.      50,265         960
1 Futaba Corp.     285,311         957
  Midac Holdings Co. Ltd.      88,256         940
* Gurunavi Inc.     385,339         938
  Advan Group Co. Ltd.     145,032         933
  CMIC Holdings Co. Ltd.      69,261         929
  Sankyo Seiko Co. Ltd.     236,436         926
  Taisei Lamick Co. Ltd.      45,721         924
  Hito Communications Holdings Inc.      85,380         923
  Nihon Tokushu Toryo Co. Ltd.     123,720         920
  Tsutsumi Jewelry Co. Ltd.      56,370         920
  Asahi Co. Ltd.      99,910         902
1 Inui Global Logistics Co. Ltd.      98,653         897
  Amuse Inc.      71,194         893
  Nihon Trim Co. Ltd.      37,019         892
* Sourcenext Corp.     623,888         865
  Osaka Steel Co. Ltd.      88,526         862
  Kenko Mayonnaise Co. Ltd.      93,001         855
*,1 Open Door Inc.      94,896         852
* KNT-CT Holdings Co. Ltd.      84,869         850
  Nihon Chouzai Co. Ltd.     103,730         850
  Rokko Butter Co. Ltd.      91,786         834
  Melco Holdings Inc.      37,690         833
  GMO GlobalSign Holdings KK      37,641         826
    Shares Market
Value

($000)
  ST Corp.      78,318         821
  WATAMI Co. Ltd.     131,258         821
* Nippon Coke & Engineering Co. Ltd.   1,013,050         817
  MTI Ltd.     194,175         810
* MedPeer Inc.     113,695         803
1 Kojima Co. Ltd.     193,855         801
1 Sanei Architecture Planning Co. Ltd.      82,063         799
  Nippon Sharyo Ltd.      57,131         798
  Arakawa Chemical Industries Ltd.     114,549         795
  Sanshin Electronics Co. Ltd.      52,811         789
* Jamco Corp.      71,580         782
  WDB Holdings Co. Ltd.      52,962         782
  Furukawa Battery Co. Ltd.     107,297         779
  Aruhi Corp.     113,295         778
  Yushin Precision Equipment Co. Ltd.     156,000         777
  Oro Co. Ltd.      53,222         772
* Unitika Ltd.     472,862         771
  Shimizu Bank Ltd.      75,898         769
1 Kyokuto Securities Co. Ltd.     171,859         762
  Pronexus Inc.     107,244         745
  Airport Facilities Co. Ltd.     195,162         745
* Net Protections Holdings Inc.     322,800         745
1 Hokkan Holdings Ltd.      77,129         742
  Shimojima Co. Ltd.      95,372         739
1 Central Sports Co. Ltd.      44,229         736
  Fibergate Inc.      70,741         735
  Fuso Pharmaceutical Industries Ltd.      51,742         721
  Digital Holdings Inc.      99,939         721
1 Tokyo Rakutenchi Co. Ltd.      25,050         717
  Artnature Inc.     135,500         717
  IR Japan Holdings Ltd.      62,874         715
1 Tess Holdings Co. Ltd.     111,761         714
  FAN Communications Inc.     253,644         706
  Cleanup Corp.     135,488         696
  Kamakura Shinsho Ltd.     133,163         672
1 BrainPad Inc.      98,930         672
  DKS Co. Ltd.      54,542         670
* FDK Corp.     109,288         669
* Atrae Inc.     125,093         647
  Yamashin-Filter Corp.     300,744         636
  Taiho Kogyo Co. Ltd.      96,611         628
1 Ohara Inc.      61,097         628
  Japan Medical Dynamic Marketing Inc.      88,564         628
  Corona Corp. Class A      97,486         613
 
33

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  Nakayama Steel Works Ltd.     103,963         610
  Akatsuki Inc.      42,802         607
  Medical Data Vision Co. Ltd.     116,903         593
  Inaba Seisakusho Co. Ltd.      51,413         584
  Gecoss Corp.      95,935         583
*,1 Kourakuen Holdings Corp.      82,063         580
  Japan Best Rescue System Co. Ltd.     114,186         556
* RPA Holdings Inc.     191,370         556
* Daisyo Corp.      67,791         543
* Akebono Brake Industry Co. Ltd.     542,566         533
  I-PEX Inc.      56,442         527
  Chuo Spring Co. Ltd.     107,880         526
  Ubicom Holdings Inc.      47,071         525
  Sekisui Kasei Co. Ltd.     166,741         510
  Takamiya Co. Ltd.     136,908         510
  Tokyo Individualized Educational Institute Inc.     140,337         503
1 V-Cube Inc.     149,442         493
*,1 CHIMNEY Co. Ltd.      53,904         492
* KLab Inc.     217,750         473
  Enigmo Inc.     171,056         469
*,1 Gunosy Inc.     102,774         434
* Taiko Pharmaceutical Co. Ltd.     181,125         431
  Kanamic Network Co. Ltd.     129,606         427
* Media Do Co. Ltd.      42,088         418
  Tokyo Base Co. Ltd.     168,771         416
* Tess Holdings Co. Ltd. Rights Exp. 8/24/23     111,761         399
  Raccoon Holdings Inc.      82,790         394
  Linical Co. Ltd.      68,678         390
* COOKPAD Inc.     271,541         323
  Robot Home Inc.     224,508         305
  Wowow Inc.      35,634         283
* Right On Co. Ltd.      65,911         270
       35,016,530
Netherlands (3.6%)
  ASML Holding NV   3,124,355   2,266,184
  Prosus NV   5,610,230     410,861
*,2 Adyen NV     233,259     403,927
  ING Groep NV  27,841,719     375,351
  Koninklijke Ahold Delhaize NV Class B   7,601,374     259,154
  Wolters Kluwer NV   1,971,192     250,289
  Heineken NV   2,218,083     228,100
* Koninklijke Philips NV   7,301,052     158,197
  ASM International NV     370,108     157,149
* DSM-Firmenich AG   1,375,885     148,065
  Universal Music Group NV   5,938,725     131,928
  Akzo Nobel NV   1,348,834     110,271
  ArcelorMittal SA   3,691,367     100,716
    Shares Market
Value

($000)
  Heineken Holding NV   1,050,590      91,425
  Koninklijke KPN NV  25,177,147      89,882
  NN Group NV   2,231,210      82,594
  EXOR NV     827,389      73,865
  Aegon NV  13,932,647      70,727
  BE Semiconductor Industries NV     608,736      66,020
  IMCD NV     450,156      64,782
  ASR Nederland NV   1,154,657      52,079
1,2 ABN AMRO Bank NV GDR   3,130,828      48,663
  Randstad NV     870,656      45,918
  Aalberts NV     762,926      32,128
  JDE Peet's NV     957,761      28,498
2 Signify NV     990,382      27,764
*,2 Just Eat Takeaway.com NV   1,620,401      24,838
  Arcadis NV     574,007      24,007
  OCI NV     767,815      18,442
  Koninklijke Vopak NV Class B     514,454      18,363
* InPost SA   1,613,485      17,511
  SBM Offshore NV   1,226,365      16,811
  Allfunds Group plc   2,661,690      16,255
  TKH Group NV     324,259      16,094
1,2 Basic-Fit NV     412,626      15,776
*,1 Galapagos NV     384,989      15,664
* Fugro NV     882,913      13,756
  AMG Advanced Metallurgical Group NV     248,667      12,902
1,2 Alfen NV     169,939      11,427
  Corbion NV     463,599      11,073
  APERAM SA     342,343      10,690
2 CTP NV     815,473      10,609
  Eurocommercial Properties NV     411,515       9,558
  Majorel Group Luxembourg SA Class B     164,415       5,136
1 PostNL NV   2,859,704       4,988
  Wereldhave NV     319,751       4,887
  Sligro Food Group NV     268,090       4,612
  Flow Traders Ltd.     206,768       4,561
* TomTom NV     534,389       4,154
  Koninklijke BAM Groep NV   1,931,650       3,723
  NSI NV     138,374       3,085
  Vastned Retail NV     130,205       2,775
1 Brunel International NV     161,212       2,102
2 B&S Group Sarl     204,477         875
*,1 Ebusco Holding NV      71,776         606
        6,079,817
New Zealand (0.3%)
  Fisher & Paykel Healthcare Corp. Ltd. Class C   4,523,469      68,113
* Auckland International Airport Ltd.   9,387,777      49,337
  Spark New Zealand Ltd.  14,739,241      46,124
  Infratil Ltd.   6,434,425      40,149
  Meridian Energy Ltd.   9,856,685      33,942
  Contact Energy Ltd.   6,237,076      31,043
 
34

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  EBOS Group Ltd.   1,269,695      28,688
  Mainfreight Ltd.     635,962      28,148
  Mercury NZ Ltd.   5,469,518      21,861
  Fletcher Building Ltd.   6,221,659      20,738
  Ryman Healthcare Ltd.   4,735,479      19,171
* a2 Milk Co. Ltd.   5,694,760      18,692
  Chorus Ltd.   3,460,338      17,902
  Goodman Property Trust   8,636,076      11,784
  Summerset Group Holdings Ltd.   1,835,171      10,815
  SKYCITY Entertainment Group Ltd.   6,044,634       8,467
  Precinct Properties New Zealand Ltd.  10,338,757       8,191
  Kiwi Property Group Ltd.  12,269,767       6,875
  Genesis Energy Ltd.   4,090,712       6,867
  Freightways Group Ltd.   1,323,632       6,767
* Air New Zealand Ltd.  12,311,716       5,910
  Vital Healthcare Property Trust   4,033,950       5,799
  Heartland Group Holdings Ltd.   4,762,132       4,976
  Vector Ltd.   2,007,207       4,941
  Argosy Property Ltd.   6,819,358       4,666
  Skellerup Holdings Ltd.   1,379,925       3,893
  Stride Property Group   3,716,252       3,192
  KMD Brands Ltd.   4,429,482       2,721
  Oceania Healthcare Ltd.   5,565,484       2,633
  Scales Corp. Ltd.     924,236       1,788
  SKY Network Television Ltd.   1,159,530       1,739
* Synlait Milk Ltd.     824,176         841
* Pacific Edge Ltd.   5,735,384         306
          527,079
Norway (0.7%)
  Equinor ASA   7,289,402     212,259
  DNB Bank ASA   8,112,102     151,702
  Norsk Hydro ASA  10,496,263      62,571
  Aker BP ASA   2,424,757      56,888
  Mowi ASA   3,503,814      55,592
  Telenor ASA   4,960,894      50,301
  Yara International ASA   1,289,061      45,545
  Orkla ASA   6,015,615      43,255
  TOMRA Systems ASA   1,854,632      29,836
  Storebrand ASA   3,680,746      28,708
  Kongsberg Gruppen ASA     587,626      26,710
  Bakkafrost P/F     401,902      24,042
  Subsea 7 SA   1,888,496      23,522
  Gjensidige Forsikring ASA   1,343,411      21,521
  Salmar ASA     504,963      20,349
* Nordic Semiconductor ASA   1,500,018      18,300
  SpareBank 1 SR-Bank ASA   1,393,071      16,884
* NEL ASA  12,604,177      14,809
    Shares Market
Value

($000)
* Adevinta ASA   2,170,981      14,266
  TGS ASA     936,244      13,951
  SpareBank 1 SMN   1,029,172      13,531
*,1 Borr Drilling Ltd.   1,803,170      13,223
  Schibsted ASA Class A     750,205      13,175
*,2 AutoStore Holdings Ltd.   5,670,221      12,412
  Borregaard ASA     789,581      11,700
  Aker ASA Class A     189,078      10,717
  Schibsted ASA Class B     591,605       9,816
  Hafnia Ltd.   1,952,211       9,540
  Atea ASA     654,388       9,501
  Veidekke ASA     877,270       9,406
  Var Energi ASA   3,213,284       8,736
2 Europris ASA   1,272,827       8,487
*,1 Kahoot! ASA   3,002,479       8,190
  Leroy Seafood Group ASA   2,018,084       7,658
  Aker Solutions ASA   2,098,675       7,600
  FLEX LNG Ltd.     239,486       7,318
*,2 Crayon Group Holding ASA     643,766       6,299
2 BW LPG Ltd.     611,293       6,100
2 Scatec ASA     925,106       6,056
  Wallenius Wilhelmsen ASA     804,322       5,575
  MPC Container Ships ASA   2,936,110       5,022
  Austevoll Seafood ASA     704,341       4,865
2 Elkem ASA   2,056,726       4,761
  Stolt-Nielsen Ltd.     173,766       4,428
2 Entra ASA     424,609       3,856
  Bonheur ASA     157,700       3,826
  DNO ASA   4,288,350       3,777
* Aker Carbon Capture ASA   2,683,301       3,522
  Sparebank 1 Oestlandet     257,571       3,120
  Hoegh Autoliners ASA     507,175       2,874
  Grieg Seafood ASA     428,806       2,683
  Wilh Wilhelmsen Holding ASA Class A     100,468       2,637
* Hexagon Composites ASA     849,457       2,159
  BW Offshore Ltd.     702,984       1,711
  Arendals Fossekompani ASA      85,723       1,451
* BW Energy Ltd.     568,294       1,364
*,1 Aker Horizons ASA   1,705,248       1,079
        1,169,186
Poland (0.3%)
  Polski Koncern Naftowy ORLEN SA   4,564,508      72,346
  Powszechna Kasa Oszczednosci Bank Polski SA   6,766,308      60,220
*,2 Dino Polska SA     380,336      44,436
  Powszechny Zaklad Ubezpieczen SA   4,428,409      42,954
  Bank Polska Kasa Opieki SA   1,240,764      33,844
 
35

 

Developed Markets Index Fund
    Shares Market
Value

($000)
* LPP SA       8,788      30,293
  KGHM Polska Miedz SA   1,082,535      29,974
*,2 Allegro.eu SA   3,587,543      28,269
* Santander Bank Polska SA     233,439      22,354
1 CD Projekt SA     514,247      19,599
* KRUK SA     140,674      14,124
* PGE Polska Grupa Energetyczna SA   7,072,653      12,629
* Pepco Group NV   1,167,899      10,583
* mBank SA     101,995      10,196
* Orange Polska SA   5,245,424       9,021
* Alior Bank SA     737,864       8,784
  Asseco Poland SA     439,975       8,688
  Cyfrowy Polsat SA   1,908,820       7,754
* Bank Millennium SA   4,850,656       6,878
  Bank Handlowy w Warszawie SA     260,134       5,528
* Tauron Polska Energia SA   7,560,344       5,117
* Jastrzebska Spolka Weglowa SA     396,627       3,911
* CCC SA     311,791       3,235
* AmRest Holdings SE     554,093       3,136
* Enea SA   1,961,514       3,086
*,1 Grupa Azoty SA     372,022       2,400
  Warsaw Stock Exchange     201,037       1,883
  Ciech SA     126,167       1,660
* Kernel Holding SA     139,082         486
          503,388
Portugal (0.2%)
  EDP - Energias de Portugal SA  23,810,480     116,378
  Jeronimo Martins SGPS SA   2,177,673      59,992
  Galp Energia SGPS SA   3,964,344      46,327
  EDP Renovaveis SA   1,968,293      39,333
* Banco Comercial Portugues SA Class R  61,767,066      14,810
  REN - Redes Energeticas Nacionais SGPS SA   3,058,228       8,328
  Sonae SGPS SA   7,109,635       6,990
  Navigator Co. SA   1,981,203       6,712
  NOS SGPS SA   1,546,214       5,495
  CTT-Correios de Portugal SA   1,171,956       4,456
*,1 Greenvolt-Energias Renovaveis SA     501,681       3,347
  Corticeira Amorim SGPS SA     263,596       2,782
1 Altri SGPS SA     561,374       2,551
  Semapa-Sociedade de Investimento e Gestao     116,733       1,658
          319,159
Singapore (1.1%)
  DBS Group Holdings Ltd.  14,362,238     335,398
  Oversea-Chinese Banking Corp. Ltd.  27,797,131     252,870
  United Overseas Bank Ltd.   9,611,449     199,450
    Shares Market
Value

($000)
  Singapore Telecommunications Ltd.  59,563,893     110,322
  CapitaLand Integrated Commercial Trust  40,125,337      56,863
  Keppel Corp. Ltd.  10,989,273      54,691
  CapitaLand Ascendas REIT  26,957,228      54,410
  Singapore Airlines Ltd.  10,114,053      53,585
  Capitaland Investment Ltd.  20,060,030      49,286
  Wilmar International Ltd.  16,487,600      46,449
  Singapore Exchange Ltd.   6,491,369      46,226
  Singapore Technologies Engineering Ltd.  12,060,480      32,909
  Genting Singapore Ltd.  45,921,128      32,020
  Mapletree Logistics Trust  26,273,402      31,600
  Sembcorp Industries Ltd.   7,173,813      30,568
* Seatrium Ltd. 322,085,907      29,873
  Mapletree Industrial Trust  15,075,249      24,663
  Venture Corp. Ltd.   2,122,936      23,178
  Mapletree Pan Asia Commercial Trust  18,225,182      21,925
  Frasers Logistics & Commercial Trust  22,679,834      21,000
  Jardine Cycle & Carriage Ltd.     779,818      20,108
  UOL Group Ltd.   3,933,458      18,748
  City Developments Ltd.   3,688,789      18,400
  Keppel DC REIT  10,159,172      16,269
  Suntec REIT  16,884,981      16,139
  NetLink NBN Trust  23,327,244      14,764
  ComfortDelGro Corp. Ltd.  16,183,459      13,906
  Frasers Centrepoint Trust   8,487,483      13,781
  CapitaLand Ascott Trust  16,728,486      13,407
*,1 SATS Ltd.   6,701,703      12,820
  ESR-LOGOS REIT  49,175,757      12,224
  Keppel REIT  16,977,818      11,331
1 Keppel Infrastructure Trust  29,419,781      11,112
  Olam Group Ltd.   9,209,310       9,500
  Parkway Life REIT   3,023,166       8,732
  Hutchison Port Holdings Trust Class U  40,403,024       7,812
  Lendlease Global Commercial REIT  15,143,267       7,405
  Raffles Medical Group Ltd.   7,299,094       7,352
  CapitaLand China Trust   9,139,248       6,906
  CDL Hospitality Trusts   6,806,812       6,170
  AEM Holdings Ltd.   2,177,330       6,008
  PARAGON REIT   8,482,293       6,001
  Capitaland India Trust   6,771,130       5,719
 
36

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  Cromwell European REIT   2,640,526       4,501
1 AIMS APAC REIT   4,742,814       4,362
  Starhill Global REIT  11,207,670       4,274
  First Resources Ltd.   4,088,332       4,218
1 iFAST Corp. Ltd.   1,230,969       4,200
  Sheng Siong Group Ltd.   3,378,173       4,099
  OUE Commercial REIT  16,662,635       4,073
  Singapore Post Ltd.  11,873,268       3,962
  Far East Hospitality Trust   7,540,759       3,519
* SIA Engineering Co. Ltd.   1,849,016       3,411
  StarHub Ltd.   4,409,174       3,394
  UMS Holdings Ltd.   3,553,992       2,798
  Digital Core REIT Management Pte. Ltd.   5,268,670       2,511
  Hour Glass Ltd.   1,666,900       2,468
  Manulife US REIT  13,166,219       2,286
  Keppel Pacific Oak US REIT   6,390,657       2,015
  Riverstone Holdings Ltd.   4,146,873       1,905
  First REIT   9,128,516       1,757
1 Nanofilm Technologies International Ltd.   1,506,479       1,513
  Silverlake Axis Ltd.   5,429,426       1,227
  Prime US REIT   4,667,086         982
*,1 COSCO Shipping International Singapore Co. Ltd.   7,561,216         885
  Bumitama Agri Ltd.   2,160,408         880
  Golden Energy & Resources Ltd.   4,866,600         649
* Yoma Strategic Holdings Ltd.   8,964,090         592
*,1,3 Ezra Holdings Ltd.  10,329,900          84
* Capitaland India Trust Manage Rights Exp. 7/10/23     805,764          48
*,3 Eagle Hospitality Trust   4,532,200          —
        1,838,513
South Korea (4.6%)
  Samsung Electronics Co. Ltd. (XKRX)  37,629,738   2,072,017
  SK Hynix Inc.   4,265,093     374,750
  Samsung Electronics Co. Ltd. Preference Shares   6,344,824     287,924
  Samsung SDI Co. Ltd. (XKRX)     409,599     209,155
  LG Chem Ltd. (XKRX)     371,951     189,346
  POSCO Holdings Inc.     591,535     175,066
  Hyundai Motor Co.   1,081,342     170,089
  NAVER Corp.   1,134,788     158,853
  Kia Corp.   1,973,402     132,930
* LG Energy Solution Ltd.     273,556     115,329
  KB Financial Group Inc.   3,062,966     111,169
1 Celltrion Inc.     869,611     101,502
    Shares Market
Value

($000)
  Shinhan Financial Group Co. Ltd.   3,797,971      98,186
  Kakao Corp.   2,394,340      89,931
1 Ecopro Co. Ltd.     151,210      87,343
  Hyundai Mobis Co. Ltd.     489,755      86,710
  LG Electronics Inc. (XKRX)     840,387      81,340
*,2 Samsung Biologics Co. Ltd.     139,756      79,127
1 Ecopro BM Co. Ltd.     360,892      68,652
  Hana Financial Group Inc.   2,272,783      67,848
  POSCO Future M Co. Ltd.     224,358      60,531
  Samsung C&T Corp.     661,393      53,232
  KT&G Corp.     814,045      51,135
* SK Innovation Co. Ltd.     415,491      50,372
  Samsung Electro-Mechanics Co. Ltd.     437,677      48,321
  LG Corp.     710,080      47,618
* Doosan Enerbility Co. Ltd.   3,355,746      46,368
  Woori Financial Group Inc.   4,997,514      44,892
  Samsung Fire & Marine Insurance Co. Ltd.     246,702      43,051
  Celltrion Healthcare Co. Ltd.     778,382      38,970
1 L&F Co. Ltd.     195,544      36,394
* Krafton Inc.     232,918      34,689
1 HMM Co. Ltd.   2,308,727      33,198
* Korea Electric Power Corp.   2,011,122      31,475
1 SK Inc.     276,434      31,357
* HYBE Co. Ltd.     144,053      31,067
1 KakaoBank Corp.   1,691,414      30,749
* Korea Shipbuilding & Offshore Engineering Co. Ltd.     339,884      30,214
  Samsung Life Insurance Co. Ltd.     587,560      30,050
1 Korea Zinc Co. Ltd.      80,814      30,017
  NCSoft Corp.     125,124      28,177
  Korean Air Lines Co. Ltd.   1,461,225      27,107
* Samsung Engineering Co. Ltd.   1,247,955      26,912
  Samsung SDS Co. Ltd.     286,524      26,858
  Hanwha Aerospace Co. Ltd.     272,547      26,396
* Hanwha Solutions Corp.     818,336      26,390
* SK Square Co. Ltd.     780,882      26,376
  LG Innotek Co. Ltd.     111,112      26,321
* Samsung Heavy Industries Co. Ltd.   5,145,861      26,182
  Meritz Financial Group Inc.     795,328      25,217
  LG H&H Co. Ltd. (XKRX)      71,016      24,818
 
37

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  Hyundai Motor Co. Preference Shares (XKRX)     275,209      22,986
* CosmoAM&T Co. Ltd.     159,005      22,709
1 Korea Aerospace Industries Ltd.     554,604      22,524
1 Hyundai Glovis Co. Ltd.     145,538      21,911
1 JYP Entertainment Corp.     214,853      21,443
  LG Display Co. Ltd.   1,763,560      21,196
*,1 HLB Inc.     808,595      20,075
  DB Insurance Co. Ltd.     350,743      19,921
  Yuhan Corp.     414,782      19,040
  Doosan Bobcat Inc.     389,704      17,420
  Hyundai Steel Co.     667,417      17,198
  LG Chem Ltd. Preference Shares      63,026      16,932
1 Amorepacific Corp.     226,373      16,850
1 Lotte Chemical Corp.     142,861      16,814
  Industrial Bank of Korea   2,131,046      16,764
  Hyundai Engineering & Construction Co. Ltd.     569,025      16,541
  S-Oil Corp.     323,774      16,451
* Hyundai Rotem Co. Ltd.     568,811      15,838
  Orion Corp.Republic of Korea     171,361      15,628
  Hyundai Motor Co. Preference Shares     185,393      15,344
  HD Hyundai Co. Ltd.     332,381      15,170
  Hankook Tire & Technology Co. Ltd.     576,852      15,134
*,1 Hyundai Heavy Industries Co. Ltd.     147,665      14,840
1,2 SK IE Technology Co. Ltd.     199,664      14,792
  Coway Co. Ltd.     441,518      14,754
  Hanmi Pharm Co. Ltd.      59,614      14,007
*,1 SK Biopharmaceuticals Co. Ltd.     226,420      13,953
  Samsung Securities Co. Ltd.     501,741      13,771
1 Hotel Shilla Co. Ltd.     245,142      13,719
  Kumho Petrochemical Co. Ltd.     135,081      13,659
  LG Uplus Corp.   1,658,465      13,532
1 DB HiTek Co. Ltd.     276,622      13,336
  Fila Holdings Corp.     410,164      12,492
  Korea Investment Holdings Co. Ltd.     303,674      11,977
1 Hansol Chemical Co. Ltd.      64,735      11,862
1 CJ CheilJedang Corp. (XKRX)      56,717      11,622
  Youngone Corp.     235,853      11,582
*,1 SK Bioscience Co. Ltd.     190,046      11,528
  BNK Financial Group Inc.   2,182,757      11,522
1 Kangwon Land Inc.     856,671      11,345
    Shares Market
Value

($000)
1 F&F Co. Ltd.     123,769      11,282
  Mirae Asset Securities Co. Ltd.   2,014,666      11,112
1 Posco International Corp.     358,470      10,911
  HL Mando Co. Ltd.     265,029      10,902
  SKC Co. Ltd.     145,344      10,841
  Hyundai Marine & Fire Insurance Co. Ltd.     459,071      10,832
*,1 Daewoo Shipbuilding & Marine Engineering Co. Ltd.     376,487      10,829
* Pearl Abyss Corp.     265,095      10,667
*,1 Hyundai Mipo Dockyard Co. Ltd.     160,270      10,265
  Hanwha Corp. (XKRX)     445,061      10,160
  CS Wind Corp.     153,228      10,093
1 Hyundai Doosan Infracore Co. Ltd.   1,096,423       9,998
  GS Holdings Corp.     356,891       9,947
* W Scope Chungju Plant Co. Ltd.     173,997       9,704
*,1 Kum Yang Co. Ltd.     233,852       9,526
1 LS Corp.     134,373       9,524
*,1 Celltrion Pharm Inc.     160,282       9,349
1 Hanjin Kal Corp.     251,755       8,981
  E-MART Inc.     151,862       8,892
1 Hanon Systems   1,257,715       8,770
1 Hyosung Advanced Materials Corp.      24,893       8,742
*,1 Alteogen Inc.     265,642       8,740
  HD Hyundai Electric Co Ltd.     174,759       8,667
  BGF retail Co. Ltd.      64,638       8,586
1 OCI Co. Ltd.      98,471       8,511
1 LEENO Industrial Inc.      72,753       8,175
*,1 Kakao Games Corp.     324,157       8,158
  Hanmi Semiconductor Co. Ltd.     344,679       7,954
  NH Investment & Securities Co. Ltd.   1,056,760       7,687
1 Pan Ocean Co. Ltd.   1,941,974       7,677
  NongShim Co. Ltd.      24,795       7,487
1 Dongjin Semichem Co. Ltd.     232,091       7,479
1 Shinsegae Inc.      55,107       7,475
  Cheil Worldwide Inc.     539,806       7,452
  LX Semicon Co. Ltd.      84,962       7,395
1 LS Electric Co. Ltd.     121,134       7,326
  JB Financial Group Co. Ltd.   1,129,985       7,273
1 SM Entertainment Co. Ltd.      89,092       7,254
1 Medytox Inc.      39,470       7,084
  GS Engineering & Construction Corp.     487,858       6,948
1 Hyosung TNC Corp.      23,887       6,938
1 WONIK IPS Co. Ltd.     274,310       6,873
*,1 Cosmochemical Co. Ltd.     191,476       6,870
  KIWOOM Securities Co. Ltd.     100,894       6,818
 
38

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  LG Electronics Inc. Preference Shares     159,940       6,645
  DGB Financial Group Inc.   1,191,676       6,594
1,2 Netmarble Corp.     172,944       6,495
  Hyundai Wia Corp.     125,988       6,435
  Daeduck Electronics Co. Ltd.     257,984       6,365
*,1 Bioneer Corp.     170,935       6,349
1 Soulbrain Co. Ltd.      32,821       6,301
1 Lotte Energy Materials Corp.     170,754       6,295
  LOTTE Fine Chemical Co. Ltd.     118,230       6,249
  DL E&C Co. Ltd.     235,535       6,245
* SOLUM Co. Ltd.     275,530       6,166
*,1 Kakaopay Corp.     170,687       6,137
  Hyundai Construction Equipment Co. Ltd.      93,498       6,108
  S-1 Corp.     148,528       6,027
1 People & Technology Inc.     142,473       5,887
1 Hyundai Elevator Co. Ltd.     190,813       5,848
*,1 Hyundai Bioscience Co. Ltd.     287,868       5,832
  Dentium Co. Ltd.      52,329       5,787
* Hanwha Life Insurance Co. Ltd.   2,861,975       5,622
1 Daejoo Electronic Materials Co. Ltd.      75,797       5,591
  Kolon Industries Inc.     145,435       5,543
  Hyundai Autoever Corp.      51,800       5,538
  Samsung SDI Co. Ltd. Preference Shares      22,492       5,515
  Samsung Card Co. Ltd.     244,167       5,502
  Advanced Nano Products Co. Ltd.      57,864       5,468
1 Eo Technics Co. Ltd.      63,763       5,463
1 Koh Young Technology Inc.     459,033       5,407
  GS Retail Co. Ltd.     305,183       5,317
1 Hanwha Systems Co. Ltd.     474,148       5,276
1 KEPCO Engineering & Construction Co. Inc.      99,167       5,254
1 S&S Tech Corp.     123,278       5,220
1 PharmaResearch Co. Ltd.      47,384       5,190
*,1 HLB Life Science Co. Ltd.     668,125       5,185
  CJ Corp.      99,898       5,184
1 LIG Nex1 Co. Ltd.      83,839       5,168
1 YG Entertainment Inc.      86,996       5,115
*,1 Doosan Fuel Cell Co. Ltd.     232,981       5,110
  LX International Corp.     185,031       5,091
*,1 Daewoo Engineering & Construction Co. Ltd.   1,636,794       5,076
1 Park Systems Corp.      34,840       4,994
    Shares Market
Value

($000)
1 Chunbo Co. Ltd.      32,978       4,858
1 Hanmi Science Co. Ltd.     191,416       4,834
  KCC Corp.      32,222       4,829
1 Posco DX Co. Ltd.     413,325       4,808
  Samsung Fire & Marine Insurance Co. Ltd. (XKRX) Preference Shares      36,820       4,795
1 Poongsan Corp.     144,413       4,773
1 Hana Micron Inc.     282,088       4,722
  Lotte Shopping Co. Ltd.      88,012       4,593
* Hanall Biopharma Co. Ltd.     283,686       4,492
1 Hyundai Department Store Co. Ltd.     119,482       4,480
* Hyosung Heavy Industries Corp.      49,927       4,375
*,1 Sam Chun Dang Pharm Co. Ltd.     104,291       4,366
*,1 Oscotec Inc.     245,667       4,348
*,1 STCUBE     354,654       4,289
1 Cosmax Inc.      60,099       4,256
  Lutronic Corp.     152,277       4,224
1 AMOREPACIFIC Group     207,673       4,162
  SK Chemicals Co. Ltd.      77,717       4,154
  KEPCO Plant Service & Engineering Co. Ltd.     162,861       4,137
1 BH Co. Ltd.     199,511       4,120
*,1 LegoChem Biosciences Inc.     147,349       4,107
*,1 Creative & Innovative System     390,812       4,107
1 ST Pharm Co. Ltd.      69,859       4,097
*,1 Sungeel Hitech Co. Ltd.      39,447       4,063
1 Chong Kun Dang Pharmaceutical Corp.      64,769       4,042
  Korean Reinsurance Co.     758,776       4,040
* Oci Co. Ltd.      43,637       4,040
  HAESUNG DS Co. Ltd.      87,196       4,037
1 Foosung Co. Ltd.     409,714       3,982
1 Jusung Engineering Co. Ltd.     272,969       3,968
*,1 Eoflow Co. Ltd.     183,560       3,968
1 SK Networks Co. Ltd.   1,023,654       3,962
1 Ecopro HN Co. Ltd.      83,764       3,955
1 Wemade Co. Ltd.     132,006       3,954
  Korea Gas Corp.     198,516       3,879
1 Hite Jinro Co. Ltd.     234,108       3,849
1 SFA Engineering Corp.     140,200       3,845
  CJ ENM Co. Ltd.      80,385       3,840
1 Kolmar Korea Co. Ltd.     114,515       3,839
  Lotte Corp.     201,605       3,836
*,1 Kumho Tire Co. Inc.   1,055,733       3,813
*,1 Paradise Co. Ltd.     353,824       3,809
1 SIMMTECH Co. Ltd.     144,695       3,779
  CJ Logistics Corp.      64,819       3,772
 
39

 

Developed Markets Index Fund
    Shares Market
Value

($000)
*,1 Hugel Inc.      44,882       3,766
*,1 Myoung Shin Industrial Co. Ltd.     208,429       3,737
* Chabiotech Co. Ltd.     343,656       3,731
  Dongsuh Cos. Inc.     254,360       3,679
1 Green Cross Corp.      41,499       3,630
  LG H&H Co. Ltd. Preference Shares      24,513       3,496
1 SSANGYONG C&E Co. Ltd.     863,092       3,472
  Com2uSCorp      74,763       3,469
*,1 Mezzion Pharma Co. Ltd.     121,804       3,420
1 SL Corp.     120,972       3,394
1 Ottogi Corp.      11,387       3,394
1 Seegene Inc.     213,655       3,347
  Douzone Bizon Co. Ltd.     140,873       3,323
  SK REITs Co. Ltd.     850,586       3,305
*,1 Duk San Neolux Co. Ltd.      93,600       3,284
  Mirae Asset Securities Co. Ltd. (XKRX) Preference Shares   1,150,093       3,251
*,1 Hana Tour Service Inc.      83,382       3,243
*,1 Taihan Electric Wire Co. Ltd.     299,118       3,240
1 HK inno N Corp.     141,309       3,239
*,1 Enchem Co. Ltd.      59,402       3,231
  Hyosung Corp.      66,180       3,179
1 HDC Hyundai Development Co-Engineering & Construction Class E     366,125       3,178
*,1 Shin Poong Pharmaceutical Co. Ltd.     252,401       3,066
1 Innox Advanced Materials Co. Ltd.     102,772       3,045
1 Doosan Co. Ltd.      43,946       3,037
*,1 SK oceanplant Co. Ltd.     195,747       3,011
1 Tokai Carbon Korea Co. Ltd.      34,135       3,001
1 DL Holdings Co. Ltd.      95,288       2,998
  AfreecaTV Co. Ltd.      53,383       2,989
1 PI Advanced Materials Co. Ltd.     102,816       2,980
  JR Global REIT     907,788       2,956
*,1 GemVax & Kael Co. Ltd.     273,794       2,945
  Solus Advanced Materials Co. Ltd.     103,123       2,920
* Jeju Air Co. Ltd.     257,856       2,920
*,1 ABLBio Inc.     193,768       2,873
1 Lotte Chilsung Beverage Co. Ltd.      29,711       2,866
1 Seoul Semiconductor Co. Ltd.     291,480       2,846
  ESR Kendall Square REIT Co. Ltd.     917,086       2,798
  Partron Co. Ltd.     400,050       2,793
  Eugene Technology Co. Ltd.     105,937       2,753
    Shares Market
Value

($000)
* Sambu Engineering & Construction Co. Ltd.   1,169,627       2,753
1 Intellian Technologies Inc.      49,014       2,748
* Neowiz      90,712       2,727
1 Sungwoo Hitech Co. Ltd.     354,206       2,681
1 TKG Huchems Co. Ltd.     159,281       2,681
*,1 NKMax Co. Ltd.     240,315       2,638
  IS Dongseo Co. Ltd.     103,633       2,634
  LOTTE REIT Co. Ltd.     944,160       2,623
  i-SENS Inc.     139,123       2,611
1 Samyang Foods Co. Ltd.      32,003       2,606
1 Daewoong Pharmaceutical Co. Ltd.      35,512       2,601
1 Doosan Tesna Inc.      79,967       2,541
  Innocean Worldwide Inc.      84,630       2,532
1 DongKook Pharmaceutical Co. Ltd.     231,494       2,525
  Youngone Holdings Co. Ltd.      42,817       2,518
*,1 KMW Co. Ltd.     222,355       2,514
  Shinhan Alpha REIT Co. Ltd.     533,710       2,514
*,1 Shinsung E&G Co. Ltd.   1,409,841       2,512
1 L&C Bio Co. Ltd.      95,248       2,509
  Korea Electric Terminal Co. Ltd.      54,279       2,505
  KCC Glass Corp.      74,109       2,504
  Daou Technology Inc.     187,082       2,498
  Samyang Holdings Corp.      44,789       2,474
  CJ CheilJedang Corp. Preference Shares      23,742       2,447
* Asiana Airlines Inc.     260,204       2,428
  SD Biosensor Inc.     260,822       2,428
* NHN Corp.     128,990       2,418
1 Korea Petrochemical Ind Co. Ltd.      21,999       2,345
* Pharmicell Co. Ltd.     411,857       2,342
* DIO Corp.      89,992       2,335
*,1 SFA Semicon Co. Ltd.     557,436       2,310
1 Sebang Global Battery Co. Ltd.      62,788       2,307
1 MegaStudyEdu Co. Ltd.      58,007       2,291
1 Ahnlab Inc.      47,034       2,290
  Amorepacific Corp. (XKRX) Preference Shares      95,007       2,278
  Seojin System Co. Ltd.     151,543       2,267
1 Green Cross Holdings Corp.     207,933       2,257
1 Youlchon Chemical Co. Ltd.      98,181       2,254
1 Mcnex Co. Ltd.      98,169       2,254
*,1 Amicogen Inc.     155,984       2,252
  Han Kuk Carbon Co. Ltd.     252,105       2,238
 
40

 

Developed Markets Index Fund
    Shares Market
Value

($000)
*,1 Naturecell Co. Ltd.     353,134       2,223
  DoubleUGames Co. Ltd.      69,164       2,219
  SNT Motiv Co. Ltd.      55,100       2,218
1 Dawonsys Co. Ltd.     206,806       2,183
1 RFHIC Corp.     129,772       2,174
1 INTOPS Co. Ltd.      83,809       2,165
*,1 Vaxcell-Bio Therapeutics Co. Ltd.      80,354       2,159
  SK Discovery Co. Ltd.      78,691       2,148
1 Taekwang Industrial Co. Ltd.       4,459       2,144
1 KH Vatec Co. Ltd.     127,475       2,095
  LX Holdings Corp.     347,614       2,092
* HLB Therapeutics Co. Ltd.     519,776       2,089
*,1 Lotte Tour Development Co. Ltd.     258,269       2,063
*,1 NEPES Corp.     134,920       2,030
*,1 Studio Dragon Corp.      49,538       2,029
1 ENF Technology Co. Ltd.      99,109       2,028
1 Daesang Corp.     153,429       2,004
  JW Pharmaceutical Corp.     112,261       1,988
1 GOLFZON Co. Ltd.      22,441       1,982
  Daishin Securities Co. Ltd. Preference Shares     196,338       1,969
1 NICE Information Service Co. Ltd.     248,476       1,935
*,1 Ananti Inc.     356,731       1,913
  Hanjin Transportation Co. Ltd.     125,610       1,903
* Dongkuk Steel Mill Co. Ltd.     231,032       1,897
1 Harim Holdings Co. Ltd.     318,604       1,885
1 GC Cell Corp.      62,467       1,871
  Daishin Securities Co. Ltd.     181,965       1,867
  Lotte Rental Co. Ltd.      87,338       1,853
1 Humasis Co. Ltd.     945,724       1,850
*,1 Grand Korea Leisure Co. Ltd.     148,062       1,842
1 Hankook & Co. Co. Ltd.     201,680       1,826
1 Zinus Inc.      87,601       1,826
1 Songwon Industrial Co. Ltd.     116,644       1,801
  LF Corp.     139,267       1,800
*,1 Eubiologics Co. Ltd.     316,254       1,796
  Hanwha Investment & Securities Co. Ltd.     884,332       1,795
* Hanwha General Insurance Co. Ltd.     582,013       1,790
  Samwha Capacitor Co. Ltd.      54,799       1,776
*,1 Genexine Inc.     226,492       1,765
  Handsome Co. Ltd.      99,619       1,764
  InBody Co. Ltd.      79,017       1,764
1 Hanssem Co. Ltd.      53,073       1,749
  SK Gas Ltd.      17,923       1,742
*,1 Insun ENT Co. Ltd.     262,165       1,732
    Shares Market
Value

($000)
  Seah Besteel Holdings Corp.      88,195       1,730
* Korea Line Corp.   1,113,049       1,718
  Hansae Co. Ltd.     103,851       1,699
*,1 Wysiwyg Studios Co. Ltd.     698,692       1,669
1 Orion Holdings Corp.     149,295       1,668
  Nexen Tire Corp.     264,890       1,664
* GeneOne Life Science Inc.     549,945       1,635
1 Young Poong Corp.       3,717       1,618
  LX Hausys Ltd.      46,419       1,614
  Solid Inc.     380,681       1,609
* Peptron Inc.     152,699       1,594
  TK Corp.     113,213       1,590
  Dong-A ST Co. Ltd.      35,735       1,556
  Advanced Process Systems Corp.      95,643       1,549
1 TES Co. Ltd.      94,344       1,537
  Bukwang Pharmaceutical Co. Ltd.     278,657       1,523
  Daewoong Co. Ltd.     159,037       1,516
* CrystalGenomics Inc.     453,286       1,509
  Namyang Dairy Products Co. Ltd.       3,679       1,496
  Dong-A Socio Holdings Co. Ltd.      23,035       1,487
  Sung Kwang Bend Co. Ltd.     129,374       1,480
  HDC Holdings Co. Ltd.     302,226       1,480
  HL Holdings Corp.      52,319       1,473
  Vieworks Co. Ltd.      52,535       1,457
* Namsun Aluminum Co. Ltd.     723,447       1,448
  Hyundai Home Shopping Network Corp.      41,524       1,445
*,1 MedPacto Inc.      98,351       1,444
* AbClon Inc.     109,361       1,436
* Il Dong Pharmaceutical Co. Ltd.     118,827       1,429
*,1 Modetour Network Inc.     109,425       1,417
  Namhae Chemical Corp.     216,068       1,416
*,1 Komipharm International Co. Ltd.     269,799       1,413
  Ilyang Pharmaceutical Co. Ltd.     107,724       1,409
  Unid Co. Ltd.      27,440       1,406
*,1 Helixmith Co. Ltd.     279,365       1,399
*,1 Danal Co. Ltd.     453,967       1,394
  Samchully Co. Ltd.      16,920       1,392
  SK Securities Co. Ltd.   2,674,850       1,380
*,1 UniTest Inc.     120,023       1,378
  Binggrae Co. Ltd.      37,780       1,366
1 Lotte Confectionery Co. Ltd.      17,533       1,351
  Webzen Inc.     128,051       1,350
*,1 CJ CGV Co. Ltd.     190,723       1,350
*,1 Binex Co. Ltd.     169,163       1,340
 
41

 

Developed Markets Index Fund
    Shares Market
Value

($000)
* CMG Pharmaceutical Co. Ltd.     793,520       1,312
  Huons Co. Ltd.      53,584       1,295
1 Boryung     207,195       1,295
  Eugene Investment & Securities Co. Ltd.     421,551       1,271
  Hansol Technics Co. Ltd.     205,189       1,266
* Hyosung Chemical Corp.      17,591       1,260
* Hyundai Green Food     129,288       1,252
  iMarketKorea Inc.     166,520       1,251
  Korea United Pharm Inc.      68,666       1,250
*,1 Hancom Inc.     122,353       1,247
1 Nature Holdings Co. Ltd.      67,977       1,243
*,1 BNC Korea Co. Ltd.     497,713       1,241
  NICE Holdings Co. Ltd.     139,018       1,238
1 Dongwon Industries Co. Ltd.      41,589       1,227
* Daea TI Co. Ltd.     445,632       1,218
1 NHN KCP Corp.     158,788       1,216
1 Hanil Cement Co. Ltd.     128,948       1,214
* HLB Global Co. Ltd.     318,524       1,214
  Yuanta Securities Korea Co. Ltd.     588,778       1,202
  Seobu T&D     210,787       1,197
* Com2uS Holdings Corp.      41,091       1,188
* Yungjin Pharmaceutical Co. Ltd.     628,483       1,181
  KC Tech Co. Ltd.      72,604       1,179
* Samsung Pharmaceutical Co. Ltd.     494,527       1,174
* Medipost Co. Ltd.     107,192       1,173
* Dongkuk CM Co. Ltd.     139,242       1,166
  Tongyang Inc.   1,450,596       1,156
1 Kwang Dong Pharmaceutical Co. Ltd.     229,423       1,155
  KISWIRE Ltd.      79,825       1,153
  Korea Real Estate Investment & Trust Co. Ltd.   1,080,367       1,136
1 Gradiant Corp.      84,141       1,132
1 Shinsegae International Inc.      83,670       1,086
1 Sangsangin Co. Ltd.     288,645       1,060
  Humedix Co. Ltd.      39,149       1,060
* Cafe24 Corp.      99,161       1,056
  Hansol Paper Co. Ltd.     122,002       1,039
  Korea Asset In Trust Co. Ltd.     429,889       1,037
  Daol Investment & Securities Co. Ltd.     384,150       1,032
* Hanwha Galleria Co. Ltd.     880,756       1,014
  KUMHOE&C Co. Ltd.     211,991         988
  Hyundai Corp.      58,136         987
    Shares Market
Value

($000)
*,1 OliX Pharmaceuticals Inc.      75,981         987
1 Dongkuk Steel Mill Co. Ltd. (XKRX)      74,169         985
*,1 iNtRON Biotechnology Inc.     201,678         980
*,1,3 Cellivery Therapeutics Inc.     189,478         961
  Jeil Pharmaceutical Co. Ltd.      66,665         956
  Toptec Co. Ltd.     146,200         952
  TY Holdings Co. Ltd.     150,277         935
  SPC Samlip Co. Ltd.      18,028         934
1 Dongwon F&B Co. Ltd.      43,782         930
  HS Industries Co. Ltd.     313,182         925
* Homecast Co. Ltd.     243,243         921
  Hankook Shell Oil Co. Ltd.       5,336         914
* Inscobee Inc.     756,988         881
1 ITM Semiconductor Co. Ltd.      48,634         824
*,1 Wonik Holdings Co. Ltd.     282,074         816
  KC Co. Ltd.      55,206         814
  Daeduck Co. Ltd.     163,705         813
1 Soulbrain Holdings Co. Ltd.      37,780         803
  Aekyung Industrial Co. Ltd.      43,349         798
  Samyang Corp.      24,474         786
  Woongjin Thinkbig Co. Ltd.     374,697         772
  Kolon Corp.      50,498         762
  Chongkundang Holdings Corp.      21,069         759
  Dae Han Flour Mills Co. Ltd.       7,283         744
1 Cuckoo Homesys Co. Ltd.      41,570         744
  KISCO Corp.     148,646         742
* Able C&C Co. Ltd.     130,186         739
  CJ Freshway Corp.      33,406         733
1 Maeil Dairies Co. Ltd.      21,677         732
  Sindoh Co. Ltd.      27,107         724
  DB Financial Investment Co. Ltd.     231,124         711
  Eusu Holdings Co. Ltd.     150,259         702
  E1 Corp.      18,014         700
1 OptoElectronics Solutions Co. Ltd.      58,194         700
* Interflex Co. Ltd.      72,569         696
*,1 Telcon RF Pharmaceutical Inc.     786,783         694
  Hanil Holdings Co. Ltd.      74,880         691
  Hansol Holdings Co. Ltd.     292,976         680
*,1 Ace Technologies Corp.     259,446         677
1 Hyundai GF Holdings     243,549         674
  BGF Co. Ltd.     229,646         668
* Eutilex Co. Ltd.     212,756         667
* Giantstep Inc.      56,889         667
 
42

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  ICD Co. Ltd.      78,844         661
* Enzychem Lifesciences Corp.     466,542         660
* HJ Shipbuilding & Construction Co. Ltd.     211,327         656
  Hyundai Bioland Co. Ltd.      71,668         652
  LG HelloVision Co. Ltd.     193,176         634
  Tongyang Life Insurance Co. Ltd.     231,140         629
  LOTTE Himart Co. Ltd.      82,729         627
1 Huons Global Co. Ltd.      39,208         625
  Sam Young Electronics Co. Ltd.      83,967         614
  KT Skylife Co. Ltd.     121,208         591
* Dongsung Pharmaceutical Co. Ltd.     128,195         585
* Aprogen Biologics   1,990,433         584
  Kolmar Korea Holdings Co. Ltd.      52,623         560
  Cuckoo Holdings Co. Ltd.      44,020         550
  Taeyoung Engineering & Construction Co. Ltd.     170,103         521
  Lock&Lock Co. Ltd.     105,522         479
*,1,3 Kuk-il Paper Manufacturing Co. Ltd.     665,811         404
  Daesung Holdings Co. Ltd.      33,940         380
  Hanwha Corp. Preference Shares      17,705         200
* Intellian Technologies Inc. Rights       8,171          94
*,1 Korea Electric Power Corp. ADR       3,675          28
        7,762,510
Spain (2.1%)
  Iberdrola SA (XMAD)  46,771,475     610,780
  Banco Santander SA 126,873,570     469,704
  Banco Bilbao Vizcaya Argentaria SA  47,359,517     363,849
  Industria de Diseno Textil SA   8,315,408     322,537
* Amadeus IT Group SA   3,565,995     271,552
2 Cellnex Telecom SA   4,435,613     179,216
  Telefonica SA  39,697,424     161,170
  Repsol SA  10,173,872     147,969
  CaixaBank SA  29,940,121     124,021
  Ferrovial SE   3,736,205     118,109
2 Aena SME SA     556,862      90,126
  Red Electrica Corp. SA   3,420,034      57,515
  ACS Actividades de Construccion y Servicios SA   1,605,982      56,473
  Endesa SA   2,507,052      53,871
  Banco de Sabadell SA  44,646,845      51,476
    Shares Market
Value

($000)
  Enagas SA   1,972,616      38,769
  Bankinter SA   5,423,796      33,382
  Naturgy Energy Group SA   1,089,505      32,479
  Acciona SA     181,296      30,782
* Grifols SA   2,292,956      29,416
  Merlin Properties Socimi SA   2,647,982      22,681
* Grifols SA (XMAD) Preference Shares   2,464,682      22,440
  Viscofan SA     308,425      21,318
  Fluidra SA     872,185      17,006
  Acerinox SA   1,558,863      16,568
  Inmobiliaria Colonial Socimi SA   2,666,733      16,169
  Mapfre SA   7,897,360      15,700
  Corp. ACCIONA Energias Renovables SA     446,627      14,942
  Vidrala SA     146,451      13,845
  Cia de Distribucion Integral Logista Holdings SA     491,980      13,267
  Indra Sistemas SA     986,667      12,482
  CIE Automotive SA     391,772      11,987
  Applus Services SA   1,032,173      11,093
  Ebro Foods SA     600,855      10,594
  Sacyr SA   3,075,013      10,522
2 Unicaja Banco SA   9,878,207      10,395
  Faes Farma SA   2,517,247       8,746
  Laboratorios Farmaceuticos Rovi SA     169,903       7,868
* Solaria Energia y Medio Ambiente SA     474,295       7,290
* Melia Hotels International SA     842,132       5,854
2 Gestamp Automocion SA   1,215,221       5,704
  Construcciones y Auxiliar de Ferrocarriles SA     146,507       4,922
  Linea Directa Aseguradora SA Cia de Seguros y Reaseguros   5,466,404       4,920
  Almirall SA     582,546       4,816
* Fomento de Construcciones y Contratas SA     328,696       4,239
2 Global Dominion Access SA     825,572       3,535
  Pharma Mar SA     104,785       3,486
  Prosegur Cia de Seguridad SA   1,859,826       3,303
2 Neinor Homes SA     313,999       3,161
*,1 Tecnicas Reunidas SA     343,120       3,129
1 Ence Energia y Celulosa SA     974,227       3,075
  Lar Espana Real Estate Socimi SA     469,769       2,804
  Atresmedia Corp. de Medios de Comunicacion SA     629,388       2,401
2 Prosegur Cash SA   3,086,262       2,006
 
43

 

Developed Markets Index Fund
    Shares Market
Value

($000)
* Distribuidora Internacional de Alimentacion SA 102,880,236       1,607
*,1 NH Hotel Group SA     198,590         957
* Sacyr SA Rights Exp. 7/7/23   3,075,013         275
        3,568,303
Sweden (2.8%)
  Atlas Copco AB Class A  19,829,410     286,275
  Investor AB  13,186,503     263,797
  Volvo AB Class B  11,949,743     247,300
  Hexagon AB Class B  16,728,487     205,766
  Assa Abloy AB Class B   7,699,962     185,084
2 Evolution AB   1,454,418     184,309
  Sandvik AB   8,525,011     166,444
  Atlas Copco AB Class B  12,179,557     151,861
  Skandinaviska Enskilda Banken AB Class A  12,885,935     142,522
  Swedbank AB Class A   7,978,373     134,644
  Essity AB Class B   4,829,014     128,605
  Telefonaktiebolaget LM Ericsson Class B  23,094,111     125,477
  Nibe Industrier AB Class B  11,514,834     109,487
  Svenska Handelsbanken AB Class A  11,753,608      98,404
  Epiroc AB Class A   4,970,751      94,155
  H & M Hennes & Mauritz AB Class B   5,221,867      89,802
  Alfa Laval AB   2,450,654      89,394
  Investor AB (XSTO)   3,720,135      74,452
  Boliden AB   2,168,043      62,826
  Svenska Cellulosa AB SCA Class B   4,672,973      59,650
  SKF AB Class B   3,054,019      53,218
  EQT AB   2,687,573      51,740
  Indutrade AB   2,224,172      50,201
  Epiroc AB Class B   2,948,985      47,731
  Trelleborg AB Class B   1,784,874      43,318
  Telia Co. AB  19,625,122      43,055
  Skanska AB Class B   2,829,840      39,704
  Saab AB Class B     730,890      39,567
  Lifco AB Class B   1,805,162      39,312
  Beijer Ref AB Class B   2,948,714      37,665
  Tele2 AB Class B   4,357,131      36,035
  Industrivarden AB Class A   1,261,489      34,986
  Volvo AB Class A   1,627,481      34,687
1 Castellum AB   3,416,396      32,704
  AddTech AB Class B   1,488,587      32,464
  Securitas AB Class B   3,843,904      31,573
  SSAB AB Class B   4,534,208      31,441
  Getinge AB Class B   1,768,374      31,024
  Husqvarna AB Class B   3,228,892      29,298
  Holmen AB Class B     759,891      27,311
  Sagax AB Class B   1,368,779      27,068
* Kinnevik AB Class B   1,899,924      26,355
    Shares Market
Value

($000)
  AAK AB   1,380,429      25,969
  L E Lundbergforetagen AB Class B     579,834      24,692
1 Industrivarden AB Class C     893,482      24,655
* Swedish Orphan Biovitrum AB   1,251,621      24,463
2 Thule Group AB     829,964      24,420
  Electrolux AB Class B   1,710,414      23,374
  Fortnox AB   3,930,506      23,209
  Investment AB Latour Class B   1,133,717      22,508
  Elekta AB Class B   2,827,804      21,877
  Hexpol AB   1,959,956      20,811
1 Avanza Bank Holding AB     996,101      20,299
  Lagercrantz Group AB   1,525,889      19,680
  SSAB AB Class A   2,562,793      18,236
* Fastighets AB Balder Class B   4,974,970      18,216
  Axfood AB     853,091      18,055
  Nordnet AB publ   1,344,289      18,010
  Sweco AB Class B   1,596,963      17,596
* Sectra AB   1,027,830      17,245
*,1 Volvo Car AB Class B   4,255,456      16,931
2 Dometic Group AB   2,524,956      16,651
  Loomis AB Class B     562,283      16,420
2 Bravida Holding AB   1,589,642      15,291
  Wihlborgs Fastigheter AB   2,084,942      15,091
  Fabege AB   1,978,027      14,250
  Mycronic AB     540,588      13,387
  Billerud AB   1,671,218      12,719
1 Hexatronic Group AB   1,586,838      11,840
  AFRY AB     781,411      11,552
  HMS Networks AB Class B     223,483      10,943
1,2 Sinch AB   4,826,218      10,898
  Hemnet Group AB     616,170      10,783
  Vitec Software Group AB Class B Class B     206,313      10,367
  Vitrolife AB     522,596      10,157
  Bure Equity AB     434,896      10,113
* Betsson AB     942,116      10,033
  Hufvudstaden AB Class A     839,013       9,969
  Storskogen Group AB Class B  10,757,193       9,832
  AddLife AB Class A     865,710       9,774
  Electrolux Professional AB Class B   1,785,435       9,690
  Catena AB     261,663       9,593
2 Munters Group AB     836,252       9,496
  Instalco AB   1,871,103       9,351
  Wallenstam AB Class B   2,666,982       9,045
  Mips AB     170,834       8,467
  Granges AB     848,981       8,102
* OX2 AB   1,188,849       8,047
  Pandox AB Class B     690,425       8,043
  Bufab AB     230,839       7,908
  Nyfosa AB   1,422,313       7,873
 
44

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  Medicover AB Class B     507,361       7,703
  Lindab International AB     538,938       7,672
  Beijer Alma AB     345,676       7,224
  AddNode Group AB Class B     921,519       7,118
*,2 BioArctic AB Class B     266,229       6,965
  JM AB     511,490       6,825
  Alleima AB   1,474,291       6,715
  Nolato AB Class B   1,397,842       6,579
  Biotage AB     514,214       6,414
  Arjo AB Class B   1,750,460       6,346
  Peab AB Class B   1,561,268       6,211
  Bilia AB Class A     584,676       6,101
* Modern Times Group MTG AB Shares B Class B     951,981       6,070
  Atrium Ljungberg AB Class B     350,046       6,069
* Stillfront Group AB   3,600,022       6,018
  NCC AB Class B     681,313       5,957
* Sdiptech AB Class B     231,564       5,741
  Concentric AB     297,727       5,683
  INVISIO AB     263,607       5,631
*,2 Boozt AB     495,019       5,531
  Troax Group AB     273,759       5,412
  Cibus Nordic Real Estate AB     466,455       4,536
  Dios Fastigheter AB     695,917       4,449
  Ratos AB Class B   1,561,182       4,379
  Systemair AB     581,659       4,242
* Camurus AB     164,071       4,241
*,1 Truecaller AB Class B   1,534,695       4,205
1,2 Scandic Hotels Group AB   1,020,906       4,142
1 Intrum AB     607,845       3,945
  NP3 Fastigheter AB     242,734       3,668
  SkiStar AB     327,008       3,499
  Fagerhult AB     545,548       3,462
* Viaplay Group AB Class B     599,778       3,441
  Platzer Fastigheter Holding AB Class B     452,402       3,353
1 Samhallsbyggnadsbolaget i Norden AB   8,634,564       3,310
  MEKO AB     318,977       3,298
  Corem Property Group AB Class B   6,832,241       3,208
  Cloetta AB Class B   1,628,089       2,962
1 Svenska Handelsbanken AB Class B     281,794       2,809
  Skandinaviska Enskilda Banken AB Class C     232,368       2,714
  Investment AB Oresund     272,312       2,597
*,2 Attendo AB     832,069       2,437
  Clas Ohlson AB Class B     315,801       2,369
2 Resurs Holding AB   1,180,554       2,194
  Sagax AB Class D     849,759       2,056
  Telefonaktiebolaget LM Ericsson Class A     357,062       2,031
  Volati AB     158,191       1,653
    Shares Market
Value

($000)
* Collector Bank AB     601,002       1,626
*,1 BICO Group AB Class B     352,201       1,275
* Cint Group AB   1,415,659       1,148
* Nobia AB     852,151       1,082
  Corem Property Group AB Preference Shares      35,329         508
1 Samhallsbyggnadsbolaget i Norden AB Class D   1,186,975         489
  Svenska Cellulosa AB SCA Class A      31,965         408
  NCC AB Class A      27,527         246
        4,672,609
Switzerland (7.7%)
  Nestle SA (Registered)  21,166,087   2,546,103
  Roche Holding AG   5,489,605   1,676,910
  Novartis AG (Registered)  15,975,449   1,610,636
  Cie Financiere Richemont SA Class A (Registered)   4,061,789     689,968
  Zurich Insurance Group AG   1,175,378     559,114
  UBS Group AG (Registered)  23,859,982     483,610
  ABB Ltd. (Registered)  11,845,000     465,992
  Lonza Group AG (Registered)     587,467     351,137
  Sika AG (Registered) Class A   1,151,024     329,654
  Alcon Inc.   3,896,928     323,298
  Holcim AG   4,153,770     279,994
  Swiss Re AG   2,287,282     230,473
  Givaudan SA (Registered)      62,927     208,725
  Partners Group Holding AG     174,430     164,460
  Swiss Life Holding AG (Registered)     240,668     140,956
  Geberit AG (Registered)     262,826     137,743
  Straumann Holding AG (Registered)     845,640     137,506
  Swisscom AG (Registered)     201,550     125,796
  Kuehne & Nagel International AG (Registered)     399,222     118,260
  SGS SA (Registered)   1,165,478     110,255
  Sonova Holding AG (Registered)     401,347     107,094
  Julius Baer Group Ltd.   1,671,136     105,461
  Chocoladefabriken Lindt & Spruengli AG Ptg. Ctf.       8,321     104,620
  Chocoladefabriken Lindt & Spruengli AG (Registered)         809     100,412
2 VAT Group AG     203,272      84,198
  Schindler Holding AG (XSWX)     323,057      75,856
 
45

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  Logitech International SA (Registered)   1,264,821      75,491
  Roche Holding AG (Bearer)     229,219      75,271
  SIG Group AG   2,611,510      72,147
  Swatch Group AG (Bearer)     236,842      69,251
  Barry Callebaut AG (Registered)      28,235      54,552
  Baloise Holding AG (Registered)     358,606      52,748
  Swiss Prime Site AG (Registered)     598,785      52,014
  Georg Fischer AG (Registered)     653,708      49,166
  EMS-Chemie Holding AG (Registered)      56,179      42,573
  Adecco Group AG (Registered)   1,268,372      41,541
  PSP Swiss Property AG (Registered)     356,885      39,877
  Tecan Group AG (Registered)     100,614      38,663
  Temenos AG (Registered)     479,999      38,220
* Dufry AG (Registered)     836,617      38,160
  Helvetia Holding AG (Registered)     275,448      37,333
  Belimo Holding AG (Registered)      73,268      36,620
  Schindler Holding AG (Registered)     149,744      33,708
  Flughafen Zurich AG (Registered)     150,216      31,246
2 Galenica AG     386,075      31,212
  Siegfried Holding AG (Registered)      32,295      26,705
  Clariant AG (Registered)   1,786,574      25,846
  BKW AG     142,570      25,206
1 Banque Cantonale Vaudoise (Registered)     222,776      23,531
  Bucher Industries AG (Registered)      51,175      22,647
  Bachem Holding AG     248,258      21,677
  DKSH Holding AG     282,738      21,045
  Swatch Group AG (Registered)     369,000      20,293
  Allreal Holding AG (Registered)     116,263      19,681
*,1 Meyer Burger Technology AG  28,524,417      19,253
  Cembra Money Bank AG Class B     230,754      19,172
  Inficon Holding AG (Registered)      15,268      18,449
  SFS Group AG     139,358      18,362
  Accelleron Industries AG     742,062      17,828
  Softwareone Holding AG     863,882      17,147
  Landis & Gyr Group AG     193,026      16,601
1 Stadler Rail AG     418,530      16,352
    Shares Market
Value

($000)
  Emmi AG (Registered)      16,624      16,032
  Mobimo Holding AG (Registered)      56,848      15,335
  Comet Holding AG (Registered)      58,458      14,942
  Burckhardt Compression Holding AG      24,766      14,543
  Swissquote Group Holding SA (Registered)      69,247      14,412
* ams-OSRAM AG   1,951,158      14,062
  Vontobel Holding AG (Registered)     213,163      13,524
  Interroll Holding AG (Registered)       4,275      13,230
  Valiant Holding AG (Registered)     124,838      13,016
  Daetwyler Holding AG      57,914      12,354
* Aryzta AG   7,399,335      12,280
  St Galler Kantonalbank AG (Registered)      22,046      11,952
  Sulzer AG (Registered)     136,570      11,764
  Huber & Suhner AG (Registered)     133,342      11,015
  dormakaba Holding AG      24,140      10,861
  Forbo Holding AG (Registered)       7,288      10,466
  Kardex Holding AG (Registered)      46,267      10,406
  VZ Holding AG     105,543       9,717
* Dottikon Es Holding AG (Registered)      34,994       9,614
  Komax Holding AG (Registered)      36,990       9,613
  LEM Holding SA (Registered)       3,735       9,351
*,2 Sensirion Holding AG      80,798       8,849
  Ypsomed Holding AG (Registered)      27,193       8,208
  OC Oerlikon Corp. AG (Registered)   1,464,109       7,303
  SKAN Group AG      84,330       7,281
*,1 Idorsia Ltd.     958,060       6,928
  Bystronic AG      10,229       6,801
2 Medacta Group SA      48,818       6,648
  EFG International AG     617,896       6,284
  PIERER Mobility AG      71,061       6,069
  Zehnder Group AG      72,696       5,886
  u-blox Holding AG      52,712       5,786
  Intershop Holding AG       8,445       5,634
  Implenia AG (Registered)     114,401       5,556
  Schweiter Technologies AG       7,277       5,254
2 Medmix AG     189,000       5,003
  ALSO Holding AG (Registered)      21,588       4,661
* Basilea Pharmaceutica AG (Registered)      98,200       4,643
 
46

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  Vetropack Holding AG (Registered) Class A      95,942       4,455
  Bossard Holding AG (Registered) Class A      19,955       4,436
  Bell Food Group AG (Registered)      15,453       4,402
1 COSMO Pharmaceuticals NV      75,309       3,809
  Arbonia AG     334,425       3,783
  Leonteq AG      80,579       3,697
* Autoneum Holding AG      21,825       3,577
*,2 Medartis Holding AG      38,976       3,347
  TX Group AG      25,025       2,996
*,2 Montana Aerospace AG     175,699       2,837
*,1 Zur Rose Group AG      64,806       2,831
1 Rieter Holding AG (Registered)      23,372       2,428
*,2 PolyPeptide Group AG     114,780       2,410
  Hiag Immobilien Holding AG      28,076       2,385
  APG SGA SA       8,401       1,755
  VP Bank AG Class A      18,301       1,726
       12,943,976
United Kingdom (12.9%)
  AstraZeneca plc  11,707,382   1,678,302
  Shell plc (XLON)  54,186,708   1,616,480
  HSBC Holdings plc 158,344,365   1,253,745
  Unilever plc (XLON)  19,862,406   1,034,319
  BP plc 136,779,926     796,384
  Diageo plc  17,512,473     752,878
  British American Tobacco plc  17,623,157     585,537
  GSK plc  31,873,630     564,882
  Glencore plc  98,755,635     559,933
  Rio Tinto plc   8,629,669     548,413
  RELX plc  15,016,780     500,970
  Reckitt Benckiser Group plc   5,675,284     426,502
  Compass Group plc  13,802,672     386,518
1 National Grid plc  29,109,482     385,944
  London Stock Exchange Group plc   3,388,298     360,628
  CRH plc (SGMX)   5,841,253     323,105
  Prudential plc (XLON)  21,805,345     307,965
  Lloyds Banking Group plc 521,936,394     289,335
  BAE Systems plc  24,144,990     284,699
* Flutter Entertainment plc (XDUB)   1,397,092     280,797
  Experian plc   7,258,012     278,570
  Anglo American plc   9,561,601     272,252
  Ferguson plc   1,624,207     256,546
  Barclays plc 122,779,624     239,861
  Ashtead Group plc   3,456,279     239,627
  SSE plc   8,637,379     202,547
  3i Group plc   7,544,290     187,000
  Tesco plc  57,221,143     180,507
  Haleon plc  41,480,092     170,254
  Vodafone Group plc 173,219,009     163,316
    Shares Market
Value

($000)
  Imperial Brands plc   7,273,388     160,992
  Standard Chartered plc  18,335,157     159,517
  Rentokil Initial plc  19,962,551     156,081
  Legal & General Group plc  46,995,332     136,066
  NatWest Group plc  43,874,109     134,101
* Rolls-Royce Holdings plc  66,334,732     127,562
  Smith & Nephew plc   6,911,996     111,513
  Aviva plc Class B  21,900,998     110,189
  Informa plc  11,143,238     102,887
  Bunzl plc   2,671,119     101,791
  Sage Group plc   8,105,849      95,219
  InterContinental Hotels Group plc   1,359,305      93,964
  Segro plc   9,552,524      87,117
  Halma plc   3,001,423      86,877
  WPP plc   8,244,213      86,414
  BT Group plc  55,064,675      85,688
  Next plc     974,420      85,443
  Entain plc   5,025,870      81,267
  Burberry Group plc   2,968,636      80,104
  Croda International plc   1,105,057      78,994
  Spirax-Sarco Engineering plc     582,750      76,809
  Centrica plc  44,814,614      70,661
  Intertek Group plc   1,275,697      69,153
  Smurfit Kappa Group plc   2,060,833      68,968
  Whitbread plc   1,596,817      68,738
  Associated British Foods plc   2,705,707      68,516
  Melrose Industries plc (XLON)  10,601,134      68,304
  United Utilities Group plc   5,406,370      66,106
  Severn Trent plc   1,994,989      65,037
  Admiral Group plc   2,287,705      60,587
  Pearson plc   5,663,913      59,379
  St. James's Place plc   4,286,919      59,286
  Mondi plc (XLON)   3,841,772      58,612
  Smiths Group plc   2,787,978      58,329
2 Auto Trader Group plc   7,105,591      55,172
  B&M European Value Retail SA   7,396,513      52,385
  Antofagasta plc   2,743,094      51,012
  J Sainsbury plc  13,716,778      46,890
* Wise plc Class A   5,590,880      46,732
  Coca-Cola HBC AG   1,557,347      46,455
  Weir Group plc   2,055,177      45,883
  Kingfisher plc  15,391,044      45,361
  DCC plc     780,131      43,642
1 Abrdn plc  15,594,365      43,305
  Rightmove plc   6,451,762      42,861
  Land Securities Group plc Class B   5,846,310      42,747
  IMI plc   2,036,310      42,478
  M&G plc  17,300,309      42,103
  Berkeley Group Holdings plc     834,081      41,579
  Dechra Pharmaceuticals plc     872,554      40,860
  Barratt Developments plc   7,759,038      40,779
 
47

 

Developed Markets Index Fund
    Shares Market
Value

($000)
  Phoenix Group Holdings plc   5,837,113      39,494
  Beazley plc   5,231,589      39,222
  Diploma plc   1,032,325      39,184
  Intermediate Capital Group plc   2,207,187      38,689
* Marks & Spencer Group plc  15,585,505      38,204
  Spectris plc     827,327      37,801
  Schroders plc   6,706,799      37,314
  Hiscox Ltd.   2,653,906      36,794
  Taylor Wimpey plc  27,825,776      36,351
  JD Sports Fashion plc  19,537,950      36,294
  RS Group plc   3,747,420      36,260
  Games Workshop Group plc     259,231      35,973
  DS Smith plc  10,152,051      35,130
  Endeavour Mining plc   1,449,573      34,812
* Ocado Group plc   4,800,668      34,740
  Howden Joinery Group plc   4,188,946      34,225
2 ConvaTec Group plc  12,946,475      33,765
  Persimmon plc   2,523,419      32,879
  Johnson Matthey plc   1,420,003      31,524
  Hargreaves Lansdown plc   2,998,403      31,082
  Hikma Pharmaceuticals plc   1,279,589      30,793
  Tate & Lyle plc   3,182,004      29,370
  Inchcape plc   2,965,640      29,349
  British Land Co. plc   7,371,987      28,429
  UNITE Group plc   2,543,248      28,172
  Investec plc   4,945,281      27,709
  Rotork plc   6,807,644      26,377
  Greggs plc     800,159      25,993
  Man Group plc   9,350,537      25,967
  IG Group Holdings plc   3,016,936      25,957
  ITV plc  29,587,583      25,721
*,1 TUI AG   3,549,215      25,179
  Bellway plc     973,323      24,610
  Tritax Big Box REIT plc  14,840,051      23,618
  Drax Group plc   3,165,091      23,322
  Derwent London plc     886,642      23,079
  Vistry Group plc   2,736,594      22,982
* Indivior plc     988,257      22,882
  Britvic plc   2,035,191      22,151
  OSB Group plc   3,346,379      20,482
* SSP Group plc   6,275,116      20,025
  WH Smith plc     995,582      19,630
  Balfour Beatty plc   4,477,892      19,391
* Carnival plc   1,156,700      19,327
  Pennon Group plc   2,068,375      18,689
  QinetiQ Group plc   4,093,316      18,450
  Big Yellow Group plc   1,349,172      18,411
* International Consolidated Airlines Group SA   8,824,165      18,209
* easyJet plc   2,946,571      18,106
* Playtech plc   2,415,103      18,091
  Direct Line Insurance Group plc  10,458,151      18,082
    Shares Market
Value

($000)
  Safestore Holdings plc   1,668,605      18,061
  Virgin Money UK plc   9,338,293      17,782
  Cranswick plc     428,424      17,674
  Travis Perkins plc   1,703,966      17,648
  Softcat plc     976,613      17,596
  Serco Group plc   8,786,382      17,383
  Pets at Home Group plc   3,604,446      17,283
*,2 Network International Holdings plc   3,535,332      17,255
* Dowlais Group plc  10,649,307      17,176
  Grainger plc   5,725,176      16,508
  Hays plc  12,560,239      16,311
  Shaftesbury Capital plc  10,858,811      15,878
  LondonMetric Property plc   7,521,385      15,876
  Harbour Energy plc   5,443,775      15,824
  Grafton Group plc   1,578,748      15,678
*,2 Deliveroo plc Class A  10,426,025      15,176
  Computacenter plc     517,513      15,018
  International Distributions Services plc   5,315,878      14,943
  Oxford Instruments plc     420,458      14,557
*,2 Watches of Switzerland Group plc   1,846,932      14,351
  Genus plc     516,427      14,232
  Lancashire Holdings Ltd.   1,934,500      14,218
  Energean plc   1,084,091      14,126
  Moneysupermarket.com Group plc   4,098,086      14,098
* Oxford Nanopore Technologies plc   5,029,550      13,638
  Renishaw plc     270,382      13,417
  4imprint Group plc     218,330      13,308
  Close Brothers Group plc   1,184,669      13,291
  Assura plc  22,936,488      13,232
  Mitie Group plc  10,675,812      13,084
  LXI REIT plc  11,803,531      12,930
  Plus500 Ltd.     691,135      12,861
  Dunelm Group plc     897,453      12,813
  Primary Health Properties plc  10,567,131      12,800
  Pagegroup plc   2,470,643      12,595
* Darktrace plc   3,218,277      12,593
  TBC Bank Group plc     400,698      12,570
  Victrex plc     691,078      12,233
  Bodycote plc   1,496,691      12,208
  Hill & Smith plc     632,816      12,101
*,2 Trainline plc   3,648,068      12,076
  Paragon Banking Group plc   1,776,495      12,002
  TP ICAP Group plc   6,225,250      11,969
  Redrow plc   2,114,166      11,869
2 Airtel Africa plc   8,599,347      11,775
  Telecom Plus plc     547,741      11,746
  Kainos Group plc     748,295      11,746
  Fresnillo plc   1,465,112      11,369
  Savills plc   1,050,998      11,360
  Rathbones Group plc     477,068      11,289
  Coats Group plc  12,646,920      11,189
 
48

 

Developed Markets Index Fund
    Shares Market
Value

($000)
2 Quilter plc  10,757,602      10,840
  Bytes Technology Group plc (XLON)   1,579,836      10,611
  Centamin plc   9,073,426      10,527
  Bank of Georgia Group plc     282,862      10,519
  Domino's Pizza Group plc   2,985,967      10,471
  Firstgroup plc   5,582,424      10,343
  Sirius Real Estate Ltd.   9,145,528       9,925
* IWG plc   5,643,367       9,896
  Spirent Communications plc   4,736,938       9,843
* Ascential plc   3,434,875       9,674
  Ashmore Group plc   3,637,716       9,628
1 Hammerson plc  30,421,157       9,618
  Supermarket Income REIT plc  10,049,421       9,338
  AJ Bell plc   2,282,200       9,307
2 JTC plc   1,028,311       9,267
*,2 Aston Martin Lagonda Global Holdings plc   2,029,318       9,166
* John Wood Group plc   5,290,578       9,115
* Frasers Group plc   1,020,490       9,109
  Great Portland Estates plc   1,714,401       9,067
  Redde Northgate plc   1,816,356       8,648
  Vesuvius plc   1,684,039       8,532
  Diversified Energy Co. plc   7,555,772       8,492
  Premier Foods plc   5,116,141       8,291
  Chemring Group plc   2,264,847       8,158
  Future plc     946,424       8,107
  Just Group plc   8,168,657       8,071
*,1 THG plc Class B   7,684,016       7,951
  Morgan Sindall Group plc     339,784       7,923
  Morgan Advanced Materials plc   2,237,647       7,799
  Rhi Magnesita NV     218,811       7,374
  Senior plc   3,292,002       7,361
* Helios Towers plc   6,198,888       7,357
  Clarkson plc     195,362       7,347
* Babcock International Group plc   2,018,186       7,250
  Volution Group plc   1,474,617       7,087
* S4 Capital plc   4,393,686       7,040
  Genuit Group plc   1,875,640       6,989
  Dr. Martens plc   4,424,572       6,889
  IntegraFin Holdings plc   2,261,271       6,810
  Workspace Group plc   1,117,267       6,723
* Auction Technology Group plc     693,985       6,601
* J D Wetherspoon plc     749,180       6,391
* Elementis plc   4,788,381       6,208
2 Spire Healthcare Group plc   2,229,507       6,017
  Ninety One plc   2,626,235       5,619
  IP Group plc   7,712,151       5,549
* PureTech Health plc   1,999,108       5,519
  Marshalls plc   1,783,184       5,464
    Shares Market
Value

($000)
  National Express Group plc   4,306,880       5,329
* Mitchells & Butlers plc   2,033,076       5,282
2 Ibstock plc   2,909,306       5,174
  Hilton Food Group plc     646,676       5,135
2 Bridgepoint Group plc (Registered)   1,993,774       5,130
  Currys plc   7,621,835       5,072
  Keller Group plc     567,160       5,034
  Essentra plc   2,372,899       4,892
  C&C Group plc   3,056,375       4,867
  Vanquis Banking Group plc   1,972,247       4,767
  Crest Nicholson Holdings plc   1,973,711       4,735
2 Petershill Partners plc   2,225,749       4,730
  FDM Group Holdings plc     660,423       4,710
  Halfords Group plc   1,709,959       4,684
  Jupiter Fund Management plc   3,412,918       4,674
  Liontrust Asset Management plc     506,397       4,618
* Capita plc  13,081,925       4,568
2 TI Fluid Systems plc   2,528,664       4,389
* Alphawave IP Group plc   2,207,735       4,032
* Molten Ventures plc   1,173,651       3,994
  AG Barr plc     664,554       3,972
* Moonpig Group plc   2,156,614       3,952
  Picton Property Income Ltd.   4,339,282       3,869
  PZ Cussons plc Class A   1,826,916       3,761
  XP Power Ltd.     148,197       3,715
* Oxford Biomedica plc     686,632       3,674
* Greencore Group plc   3,951,911       3,668
  Balanced Commercial Property Trust Ltd.   4,189,112       3,528
* 888 Holdings plc   2,811,728       3,509
  UK Commercial Property REIT Ltd.   5,689,578       3,503
*,1 AO World plc   3,441,945       3,462
*,1 Petrofac Ltd.   3,314,166       3,331
  Wickes Group plc   2,014,270       3,142
*,1 Tullow Oil plc   8,721,016       3,124
3 Home REIT plc   5,987,549       2,893
  NCC Group plc   2,291,571       2,824
  Capricorn Energy plc   1,163,411       2,764
  Helical plc     813,782       2,695
  Ferrexpo plc   2,277,340       2,595
* Synthomer plc   2,719,879       2,520
  Avon Protection plc     229,468       2,488
*,1 ASOS plc     509,228       2,480
* SIG plc   5,268,575       2,324
  CLS Holdings plc   1,288,380       2,215
*,2 Trustpilot Group plc   2,560,586       2,212
  Hochschild Mining plc   2,393,010       2,157
* Rank Group plc Class B   1,648,482       1,857
  Ithaca Energy plc     897,248       1,721
2 CMC Markets plc     810,499       1,585
 
49

 

Developed Markets Index Fund
    Shares Market
Value

($000)
1,2 Bakkavor Group plc   1,168,733       1,411
*,3 Evraz plc   4,134,463          —
*,3 NMC Health plc     510,606          —
*,2,3 Finablr plc   1,120,022          —
*,3 Carillion plc   2,500,529          —
       21,711,935
United States (0.0%)
  Gen Digital Inc.          91           2
Total Common Stocks (Cost $143,385,322) 166,218,354
Temporary Cash Investments (2.0%)
Money Market Fund (2.0%)
4,5 Vanguard Market Liquidity Fund, 5.150% (Cost $3,317,689)  33,187,891            3,318,125
Total Investments (100.9%) (Cost $146,703,011) 169,536,479
Other Assets and Liabilities—Net (-0.9%) (1,489,354)
Net Assets (100%) 168,047,125
Cost is in $000.
See Note A in Notes to Financial Statements.
* Non-income-producing security.
1 Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $2,158,062,000.
2 Security exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. At June 30, 2023, the aggregate value was $3,014,806,000, representing 1.8% of net assets.
3 Security value determined using significant unobservable inputs.
4 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.
5 Collateral of $2,307,683,000 was received for securities on loan.
  ADR—American Depositary Receipt.
  GDR—Global Depositary Receipt.
  Ptg. Ctf.—Participating Certificates.
  REIT—Real Estate Investment Trust.
50

 

Developed Markets Index Fund

Derivative Financial Instruments Outstanding as of Period End

Futures Contracts
      ($000)
  Expiration Number of
Long (Short)
Contracts
Notional
Amount
Value and
Unrealized
Appreciation
(Depreciation)
Long Futures Contracts        
E-mini S&P 500 Index September 2023 288 64,631 2,000
Euro Stoxx 50 Index September 2023 12,095 584,278 8,367
FTSE 100 Index September 2023 3,139 300,644 (2,030)
S&P ASX 200 Index September 2023 1,809 215,737 2,349
S&P TSX 60 Index September 2023 1,187 218,378 3,501
Topix Index September 2023 2,698 427,806 14,447
        28,634
    
Forward Currency Contracts
  Contract
Settlement
Date
Contract Amount (000) Unrealized
Appreciation
($000)
Unrealized
Depreciation
($000)
Counterparty Receive Deliver
Morgan Stanley Capital Services Inc. 9/20/23 AUD 393,116 USD 263,138 (664)
Morgan Stanley Capital Services Inc. 9/20/23 AUD 34,968 USD 23,329 19
Bank of America, N.A. 9/20/23 CAD 320,654 USD 239,000 3,357
Morgan Stanley Capital Services Inc. 9/20/23 CHF 38,375 USD 43,174 71
Barclays Bank plc 9/20/23 CHF 35,000 USD 39,451 (9)
State Street Bank & Trust Co. 9/20/23 EUR 371,635 USD 400,566 6,616
BNP Paribas 9/20/23 EUR 284,767 USD 306,963 5,041
Royal Bank of Canada 9/20/23 GBP 281,248 USD 349,975 7,282
BNP Paribas 9/20/23 JPY 49,173,742 USD 356,950 (11,802)
State Street Bank & Trust Co. 9/20/23 JPY 19,000,000 USD 133,821 (461)
Standard Chartered Bank 9/20/23 KRW 52,292,528 USD 41,110 (1,249)
Bank of America, N.A. 9/20/23 USD 86,120 AUD 130,188 (804)
BNP Paribas 9/20/23 USD 41,425 AUD 60,153 1,262
BNP Paribas 9/20/23 USD 48,554 CAD 64,014 170
State Street Bank & Trust Co. 9/20/23 USD 148,074 CHF 132,986 (1,787)
UBS AG 9/20/23 USD 147,943 CHF 132,986 (1,918)
Bank of America, N.A. 9/20/23 USD 11,714 DKK 81,202 (247)
Toronto-Dominion Bank 9/20/23 USD 69,049 EUR 62,849 189
JPMorgan Chase Bank, N.A. 9/20/23 USD 65,553 EUR 59,814 18
Royal Bank of Canada 9/20/23 USD 43,055 EUR 39,163 146
State Street Bank & Trust Co. 9/20/23 USD 23,022 EUR 20,950 68
Toronto-Dominion Bank 9/20/23 USD 58,126 GBP 45,289 598
Morgan Stanley Capital Services Inc. 9/20/23 USD 30,014 GBP 23,738 (140)
HSBC Bank plc 9/20/23 USD 3,653 HKD 28,545 3
BNP Paribas 9/20/23 USD 83,759 JPY 11,945,040 (83)
Toronto-Dominion Bank 9/20/23 USD 52,962 JPY 7,406,512 976
51

 

Developed Markets Index Fund
Forward Currency Contracts (continued)
  Contract
Settlement
Date
Contract Amount (000) Unrealized
Appreciation
($000)
Unrealized
Depreciation
($000)
Counterparty Receive Deliver
JPMorgan Chase Bank, N.A. 9/20/23 USD 23,510 KRW 30,418,883 322
State Street Bank & Trust Co. 9/20/23 USD 23,504 KRW 30,418,883 317
BNP Paribas 9/20/23 USD 14,920 NOK 157,024 250
State Street Bank & Trust Co. 9/20/23 USD 21,504 SEK 233,284 (210)
Toronto-Dominion Bank 9/20/23 USD 6,135 SGD 8,251 15
            26,720 (19,374)
AUD—Australian dollar.
CAD—Canadian dollar.
CHF—Swiss franc.
DKK—Danish krone.
EUR—euro.
GBP—British pound.
HKD—Hong Kong dollar.
JPY—Japanese yen.
KRW—Korean won.
NOK—Norwegian krone.
SEK—Swedish krona.
SGD—Singapore dollar.
USD—U.S. dollar.
At June 30, 2023, the counterparties had deposited in segregated accounts securities with a value of $15,033,000 in connection with open forward currency contracts.
See accompanying Notes, which are an integral part of the Financial Statements.
52

 

Developed Markets Index Fund
Statement of Assets and Liabilities
As of June 30, 2023
($000s, except shares, footnotes, and per-share amounts) Amount
Assets  
Investments in Securities, at Value1  
Unaffiliated Issuers (Cost $143,385,322) 166,218,354
Affiliated Issuers (Cost $3,317,689) 3,318,125
Total Investments in Securities 169,536,479
Investment in Vanguard 5,709
Cash 14,081
Cash Collateral Pledged—Futures Contracts 109,802
Cash Collateral Pledged—Forward Currency Contracts 12,173
Foreign Currency, at Value (Cost $40,887) 40,824
Receivables for Investment Securities Sold 5,813
Receivables for Accrued Income 633,549
Receivables for Capital Shares Issued 51,648
Variation Margin Receivable—Futures Contracts 23,036
Unrealized Appreciation—Forward Currency Contracts 26,720
Total Assets 170,459,834
Liabilities  
Payables for Investment Securities Purchased 35,094
Collateral for Securities on Loan 2,307,683
Payables for Capital Shares Redeemed 39,678
Payables to Vanguard 10,880
Unrealized Depreciation—Forward Currency Contracts 19,374
Total Liabilities 2,412,709
Net Assets 168,047,125
1 Includes $2,158,062,000 of securities on loan.  
53

 

Developed Markets Index Fund
Statement of Assets and Liabilities (continued)

At June 30, 2023, net assets consisted of:  
($000s, except shares, footnotes, and per-share amounts) Amount
Paid-in Capital 151,191,319
Total Distributable Earnings (Loss) 16,855,806
Net Assets 168,047,125
 
Investor Shares—Net Assets  
Applicable to 2,072,849 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
23,802
Net Asset Value Per Share—Investor Shares $11.48
 
ETF Shares—Net Assets  
Applicable to 2,464,101,694 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
113,637,537
Net Asset Value Per Share—ETF Shares $46.12
 
Admiral Shares—Net Assets  
Applicable to 1,674,614,185 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
24,828,827
Net Asset Value Per Share—Admiral Shares $14.83
 
Institutional Shares—Net Assets  
Applicable to 944,102,927 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
14,016,975
Net Asset Value Per Share—Institutional Shares $14.85
 
Institutional Plus Shares—Net Assets  
Applicable to 669,664,256 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
15,539,984
Net Asset Value Per Share—Institutional Plus Shares $23.21
  
See accompanying Notes, which are an integral part of the Financial Statements.
54

 

Developed Markets Index Fund
Statement of Operations
  Six Months Ended
June 30, 2023
  ($000)
Investment Income  
Income  
Dividends1 3,138,414
Interest2 30,071
Securities Lending—Net 25,411
Total Income 3,193,896
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 5,636
Management and Administrative—Investor Shares 8
Management and Administrative—ETF Shares 18,211
Management and Administrative—Admiral Shares 6,229
Management and Administrative—Institutional Shares 2,463
Management and Administrative—Institutional Plus Shares 1,789
Marketing and Distribution—Investor Shares 1
Marketing and Distribution—ETF Shares 2,006
Marketing and Distribution—Admiral Shares 778
Marketing and Distribution—Institutional Shares 264
Marketing and Distribution—Institutional Plus Shares 259
Custodian Fees 2,500
Shareholders’ Reports—Investor Shares
Shareholders’ Reports—ETF Shares 1,269
Shareholders’ Reports—Admiral Shares 152
Shareholders’ Reports—Institutional Shares 51
Shareholders’ Reports—Institutional Plus Shares 64
Trustees’ Fees and Expenses 42
Professional Services 10,485
Other Expenses 71
Total Expenses 52,278
Expenses Paid Indirectly (48)
Net Expenses 52,230
Net Investment Income 3,141,666
Realized Net Gain (Loss)  
Investment Securities Sold2,3,4 (337,040)
Futures Contracts 161,139
Forward Currency Contracts (14,656)
Foreign Currencies (3,690)
Realized Net Gain (Loss) (194,247)
55

 

Developed Markets Index Fund
Statement of Operations (continued)
  Six Months Ended
June 30, 2023
  ($000)
Change in Unrealized Appreciation (Depreciation)  
Investment Securities2 13,580,302
Futures Contracts 83,812
Forward Currency Contracts (6,356)
Foreign Currencies (3,893)
Change in Unrealized Appreciation (Depreciation) 13,653,865
Net Increase (Decrease) in Net Assets Resulting from Operations 16,601,284
1 Dividends are net of foreign withholding taxes of $290,103,000.
2 Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $27,017,000, ($262,000), and ($315,000), respectively. Purchases and sales are for temporary cash investment purposes.
3 Realized gain (loss) is net of foreign capital gain taxes of $8,000.
4 Includes $395,207,000 of net gain (loss) resulting from in-kind redemptions.
  
See accompanying Notes, which are an integral part of the Financial Statements.
56

 

Developed Markets Index Fund
Statement of Changes in Net Assets
  Six Months Ended
June 30,
2023
  Year Ended
December 31,
2022
  ($000)   ($000)
Increase (Decrease) in Net Assets      
Operations      
Net Investment Income 3,141,666   4,788,626
Realized Net Gain (Loss) (194,247)   (1,615,903)
Change in Unrealized Appreciation (Depreciation) 13,653,865   (29,202,426)
Net Increase (Decrease) in Net Assets Resulting from Operations 16,601,284   (26,029,703)
Distributions      
Investor Shares (290)   (603)
ETF Shares (1,450,424)   (2,812,982)
Admiral Shares (312,939)   (623,390)
Institutional Shares (181,992)   (377,819)
Institutional Plus Shares (191,628)   (394,354)
Total Distributions (2,137,273)   (4,209,148)
Capital Share Transactions      
Investor Shares (415)   (9,832)
ETF Shares 3,397,241   10,385,991
Admiral Shares 458,421   1,899,137
Institutional Shares (239,217)   501,738
Institutional Plus Shares 937,527   (515,210)
Net Increase (Decrease) from Capital Share Transactions 4,553,557   12,261,824
Total Increase (Decrease) 19,017,568   (17,977,027)
Net Assets      
Beginning of Period 149,029,557   167,006,584
End of Period 168,047,125   149,029,557
  
See accompanying Notes, which are an integral part of the Financial Statements.
57

 

Developed Markets Index Fund
Financial Highlights
Investor Shares            
For a Share Outstanding
Throughout Each Period 
Six Months
Ended
June 30,
2023
Year Ended December 31,
2022 2021 2020 2019 2018
Net Asset Value, Beginning of Period $10.47 $12.73 $11.79 $10.95 $9.26 $11.16
Investment Operations            
Net Investment Income1 .212 .333 .331 .235 .361 .312
Net Realized and Unrealized Gain (Loss) on Investments .939 (2.302) .996 .834 1.651 (1.914)
Total from Investment Operations 1.151 (1.969) 1.327 1.069 2.012 (1.602)
Distributions            
Dividends from Net Investment Income (.141) (.291) (.387) (.229) (.322) (.298)
Distributions from Realized Capital Gains
Total Distributions (.141) (.291) (.387) (.229) (.322) (.298)
Net Asset Value, End of Period $11.48 $10.47 $12.73 $11.79 $10.95 $9.26
Total Return2 11.01% -15.39% 11.35% 10.11% 21.96% -14.56%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $24 $22 $37 $49 $59 $731
Ratio of Total Expenses to Average Net Assets 0.17%3 0.16%3 0.16% 0.16% 0.16% 0.16%
Ratio of Net Investment Income to Average Net Assets 3.75% 3.06% 2.61% 2.34% 3.56% 2.89%
Portfolio Turnover Rate4 1% 4% 3% 3% 2% 3%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable account service fees.
3 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.17% and 0.16%, respectively.
4 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.
  
See accompanying Notes, which are an integral part of the Financial Statements.
58

 

Developed Markets Index Fund
Financial Highlights
FTSE Developed Markets ETF Shares            
For a Share Outstanding
Throughout Each Period 
Six Months
Ended
June 30,
2023
Year Ended December 31,
2022 2021 2020 2019 2018
Net Asset Value, Beginning of Period $42.04 $51.14 $47.36 $43.98 $37.20 $44.83
Investment Operations            
Net Investment Income1 .879 1.403 1.370 .982 1.289 1.291
Net Realized and Unrealized Gain (Loss) on Investments 3.793 (9.281) 4.024 3.363 6.831 (7.677)
Total from Investment Operations 4.672 (7.878) 5.394 4.345 8.120 (6.386)
Distributions            
Dividends from Net Investment Income (.592) (1.222) (1.614) (.965) (1.340) (1.244)
Distributions from Realized Capital Gains
Total Distributions (.592) (1.222) (1.614) (.965) (1.340) (1.244)
Net Asset Value, End of Period $46.12 $42.04 $51.14 $47.36 $43.98 $37.20
Total Return 11.14% -15.35% 11.49% 10.29% 22.08% -14.47%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $113,638 $100,471 $110,103 $87,578 $78,752 $65,139
Ratio of Total Expenses to Average Net Assets 0.06%2 0.05%2 0.05% 0.05% 0.05% 0.05%
Ratio of Net Investment Income to Average Net Assets 3.87% 3.22% 2.69% 2.43% 3.13% 3.00%
Portfolio Turnover Rate3 1% 4% 3% 3% 2% 3%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.06% and 0.05%, respectively.
3 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.
  
See accompanying Notes, which are an integral part of the Financial Statements.
59

 

Developed Markets Index Fund
Financial Highlights
Admiral Shares            
For a Share Outstanding
Throughout Each Period 
Six Months
Ended
June 30,
2023
Year Ended December 31,
2022 2021 2020 2019 2018
Net Asset Value, Beginning of Period $13.52 $16.44 $15.23 $14.14 $11.96 $14.41
Investment Operations            
Net Investment Income1 .281 .448 .438 .313 .410 .412
Net Realized and Unrealized Gain (Loss) on Investments 1.218 (2.978) 1.287 1.085 2.198 (2.464)
Total from Investment Operations 1.499 (2.530) 1.725 1.398 2.608 (2.052)
Distributions            
Dividends from Net Investment Income (.189) (.390) (.515) (.308) (.428) (.398)
Distributions from Realized Capital Gains
Total Distributions (.189) (.390) (.515) (.308) (.428) (.398)
Net Asset Value, End of Period $14.83 $13.52 $16.44 $15.23 $14.14 $11.96
Total Return2 11.11% -15.32% 11.43% 10.26% 22.05% -14.46%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $24,829 $22,214 $24,782 $21,207 $20,143 $15,209
Ratio of Total Expenses to Average Net Assets 0.08%3 0.07%3 0.07% 0.07% 0.07% 0.07%
Ratio of Net Investment Income to Average Net Assets 3.85% 3.21% 2.68% 2.41% 3.10% 2.98%
Portfolio Turnover Rate4 1% 4% 3% 3% 2% 3%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable account service fees.
3 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.08% and 0.07%, respectively.
4 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.
  
See accompanying Notes, which are an integral part of the Financial Statements.
60

 

Developed Markets Index Fund
Financial Highlights
Institutional Shares            
For a Share Outstanding
Throughout Each Period 
Six Months
Ended
June 30,
2023
Year Ended December 31,
2022 2021 2020 2019 2018
Net Asset Value, Beginning of Period $13.53 $16.46 $15.25 $14.16 $11.97 $14.43
Investment Operations            
Net Investment Income1 .283 .452 .442 .315 .417 .416
Net Realized and Unrealized Gain (Loss) on Investments 1.227 (2.989) 1.287 1.086 2.205 (2.475)
Total from Investment Operations 1.510 (2.537) 1.729 1.401 2.622 (2.059)
Distributions            
Dividends from Net Investment Income (.190) (.393) (.519) (.311) (.432) (.401)
Distributions from Realized Capital Gains
Total Distributions (.190) (.393) (.519) (.311) (.432) (.401)
Net Asset Value, End of Period $14.85 $13.53 $16.46 $15.25 $14.16 $11.97
Total Return 11.18% -15.34% 11.44% 10.27% 22.14% -14.49%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $14,017 $12,983 $15,219 $14,020 $12,449 $10,361
Ratio of Total Expenses to Average Net Assets 0.06%2 0.05%2 0.05% 0.05% 0.05% 0.05%
Ratio of Net Investment Income to Average Net Assets 3.87% 3.23% 2.70% 2.42% 3.15% 3.00%
Portfolio Turnover Rate3 1% 4% 3% 3% 2% 3%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.06% and 0.05%, respectively.
3 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.
  
See accompanying Notes, which are an integral part of the Financial Statements.
61

 

Developed Markets Index Fund
Financial Highlights
Institutional Plus Shares            
For a Share Outstanding
Throughout Each Period 
Six Months
Ended
June 30,
2023
Year Ended December 31,
2022 2021 2020 2019 2018
Net Asset Value, Beginning of Period $21.15 $25.73 $23.83 $22.13 $18.72 $22.56
Investment Operations            
Net Investment Income1 .446 .717 .693 .495 .647 .643
Net Realized and Unrealized Gain (Loss) on Investments 1.913 (4.680) 2.022 1.693 3.439 (3.855)
Total from Investment Operations 2.359 (3.963) 2.715 2.188 4.086 (3.212)
Distributions            
Dividends from Net Investment Income (.299) (.617) (.815) (.488) (.676) (.628)
Distributions from Realized Capital Gains
Total Distributions (.299) (.617) (.815) (.488) (.676) (.628)
Net Asset Value, End of Period $23.21 $21.15 $25.73 $23.83 $22.13 $18.72
Total Return 11.17% -15.33% 11.49% 10.27% 22.07% -14.45%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $15,540 $13,339 $16,866 $15,531 $13,790 $9,265
Ratio of Total Expenses to Average Net Assets 0.05%2 0.04%2 0.04% 0.04% 0.04% 0.04%
Ratio of Net Investment Income to Average Net Assets 3.91% 3.26% 2.71% 2.43% 3.12% 3.01%
Portfolio Turnover Rate3 1% 4% 3% 3% 2% 3%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.05% and 0.04%, respectively.
3 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.
  
See accompanying Notes, which are an integral part of the Financial Statements.
62

 

Developed Markets Index Fund
Notes to Financial Statements
Vanguard Developed Markets Index Fund is registered under the Investment Company Act of 1940 as an open-end investment company, or mutual fund. The fund offers five classes of shares: Investor Shares, ETF Shares, Admiral Shares, Institutional Shares, and Institutional Plus Shares. Each of the share classes has different eligibility and minimum purchase requirements, and is designed for different types of investors. ETF Shares, known as Vanguard FTSE Developed Markets ETF Shares, are listed for trading on NYSE Arca; they can be purchased and sold through a broker.
A. The following significant accounting policies conform to generally accepted accounting principles for U.S. investment companies. The fund consistently follows such policies in preparing its financial statements.
1. Security Valuation: Securities are valued as of the close of trading on the New York Stock Exchange (generally 4 p.m., Eastern time) on the valuation date. Equity securities are valued at the latest quoted sales prices or official closing prices taken from the primary market in which each security trades; such securities not traded on the valuation date are valued at the mean of the latest quoted bid and asked prices. Securities for which market quotations are not readily available, or whose values have been affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued by methods deemed by the valuation designee to represent fair value and subject to oversight by the board of trustees. These procedures include obtaining quotations from an independent pricing service, monitoring news to identify significant market- or security-specific events, and evaluating changes in the values of foreign market proxies (for example, ADRs, futures contracts, or exchange-traded funds), between the time the foreign markets close and the fund’s pricing time. When fair-value pricing is employed, the prices of securities used by a fund to calculate its net asset value may differ from quoted or published prices for the same securities. Investments in Vanguard Market Liquidity Fund are valued at that fund's net asset value.
2. Foreign Currency: Securities and other assets and liabilities denominated in foreign currencies are translated into U.S. dollars using exchange rates obtained from an independent third party as of the fund’s pricing time on the valuation date. Realized gains (losses) and unrealized appreciation (depreciation) on investment securities include the effects of changes in exchange rates since the securities were purchased, combined with the effects of changes in security prices. Fluctuations in the value of other assets and liabilities resulting from changes in exchange rates are recorded as unrealized foreign currency gains (losses) until the assets or liabilities are settled in cash, at which time they are recorded as realized foreign currency gains (losses).
3. Futures Contracts: The fund uses index futures contracts to a limited extent, with the objectives of maintaining full exposure to the stock market, maintaining liquidity, and minimizing transaction costs. The fund may purchase futures contracts to immediately invest incoming cash in the market, or sell futures in response to cash outflows, thereby simulating a fully invested position in the underlying index while maintaining a cash balance for liquidity. The primary risks associated with the use of futures contracts are imperfect correlation between changes in market values of stocks held by the fund and the prices of futures contracts, and the possibility of an illiquid market. Counterparty risk involving futures is mitigated because a regulated clearinghouse is the counterparty instead of the clearing broker. To further mitigate counterparty risk, the fund trades futures contracts on an exchange, monitors the financial strength of its clearing brokers and clearinghouse, and has entered into clearing agreements with its clearing brokers. The
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Developed Markets Index Fund
clearinghouse imposes initial margin requirements to secure the fund’s performance and requires daily settlement of variation margin representing changes in the market value of each contract. Any securities pledged as initial margin for open contracts are noted in the Schedule of Investments.
Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Assets and Liabilities. Fluctuations in the value of the contracts are recorded in the Statement of Assets and Liabilities as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized gains (losses) on futures contracts.
During the six months ended June 30, 2023, the fund’s average investments in long and short futures contracts represented 1% and 0% of net assets, respectively, based on the average of the notional amounts at each quarter-end during the period.
4. Forward Currency Contracts: The fund enters into forward currency contracts to protect the value of securities and related receivables and payables against changes in future foreign exchange rates. The fund’s risks in using these contracts include movement in the values of the foreign currencies relative to the U.S. dollar and the ability of the counterparties to fulfill their obligations under the contracts. The fund mitigates its counterparty risk by entering into forward currency contracts only with a diverse group of prequalified counterparties, monitoring their financial strength, entering into master netting arrangements with its counterparties, and requiring its counterparties to transfer collateral as security for their performance. In the absence of a default, the collateral pledged or received by the fund cannot be repledged, resold, or rehypothecated. The master netting arrangements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate the forward currency contracts, determine the net amount owed by either party in accordance with its master netting arrangements, and sell or retain any collateral held up to the net amount owed to the fund under the master netting arrangements. The forward currency contracts contain provisions whereby a counterparty may terminate open contracts if the fund’s net assets decline below a certain level, triggering a payment by the fund if the fund is in a net liability position at the time of the termination. The payment amount would be reduced by any collateral the fund has pledged. Any securities pledged as collateral for open contracts are noted in the Schedule of Investments. The value of collateral received or pledged is compared daily to the value of the forward currency contracts exposure with each counterparty, and any difference, if in excess of a specified minimum transfer amount, is adjusted and settled within two business days.
Forward currency contracts are valued at their quoted daily prices obtained from an independent third party, adjusted for currency risk based on the expiration date of each contract. The notional amounts of the contracts are not recorded in the Statement of Assets and Liabilities. Fluctuations in the value of the contracts are recorded in the Statement of Assets and Liabilities as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized gains (losses) on forward currency contracts.
During the six months ended June 30, 2023, the fund’s average investment in forward currency contracts represented 2% of net assets, based on the average of the notional amounts at each quarter-end during the period.
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Developed Markets Index Fund
5. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute virtually all of its taxable income. The fund’s tax returns are open to examination by the relevant tax authorities until expiration of the applicable statute of limitations, which is generally three years after the filing of the tax return. Management has analyzed the fund’s tax positions taken for all open federal and state income tax years, and has concluded that no provision for income tax is required in the fund’s financial statements.
6. Distributions: Distributions to shareholders are recorded on the ex-dividend date. Distributions are determined on a tax basis at the fiscal year-end and may differ from net investment income and realized capital gains for financial reporting purposes.
7. Securities Lending: To earn additional income, the fund lends its securities to qualified institutional borrowers. Security loans are subject to termination by the fund at any time, and are required to be secured at all times by collateral in an amount at least equal to the market value of securities loaned. Daily market fluctuations could cause the value of loaned securities to be more or less than the value of the collateral received. When this occurs, the collateral is adjusted and settled before the opening of the market on the next business day. The fund further mitigates its counterparty risk by entering into securities lending transactions only with a diverse group of prequalified counterparties, monitoring their financial strength, and entering into master securities lending agreements with its counterparties. The master securities lending agreements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate any loans with that borrower, determine the net amount owed, and sell or retain the collateral up to the net amount owed to the fund; however, such actions may be subject to legal proceedings. While collateral mitigates counterparty risk, in the event of a default, the fund may experience delays and costs in recovering the securities loaned. The fund invests cash collateral received in Vanguard Market Liquidity Fund, and records a liability in the Statement of Assets and Liabilities for the return of the collateral, during the period the securities are on loan. Collateral investments in Vanguard Market Liquidity Fund are subject to market appreciation or depreciation. Securities lending income represents fees charged to borrowers plus income earned on invested cash collateral, less expenses associated with the loan. During the term of the loan, the fund is entitled to all distributions made on or in respect of the loaned securities.
8. Credit Facilities and Interfund Lending Program: The fund and certain other funds managed by The Vanguard Group ("Vanguard") participate in a $4.3 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement and an uncommitted credit facility provided by Vanguard. Both facilities may be renewed annually. Each fund is individually liable for its borrowings, if any, under the credit facilities. Borrowings may be utilized for temporary or emergency purposes and are subject to the fund’s regulatory and contractual borrowing restrictions. With respect to the committed credit facility, the participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn committed amount of the facility, which are allocated to the funds based on a method approved by the fund’s board of trustees and included in Management and Administrative expenses on the fund’s Statement of Operations. Any borrowings under either facility bear interest at an agreed-upon spread plus the higher of the federal funds effective rate, the overnight bank funding rate, or the Daily Simple Secured Overnight Financing Rate inclusive of an additional agreed-upon spread. However, borrowings under the uncommitted credit facility may bear interest based upon an alternate rate agreed to by the fund and Vanguard.
In accordance with an exemptive order (the “Order”) from the SEC, the fund may participate in a joint lending and borrowing program that allows registered open-end Vanguard funds to borrow
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Developed Markets Index Fund
money from and lend money to each other for temporary or emergency purposes (the “Interfund Lending Program”), subject to compliance with the terms and conditions of the Order, and to the extent permitted by the fund’s investment objective and investment policies. Interfund loans and borrowings normally extend overnight but can have a maximum duration of seven days. Loans may be called on one business day’s notice. The interest rate to be charged is governed by the conditions of the Order and internal procedures adopted by the board of trustees. The board of trustees is responsible for overseeing the Interfund Lending Program. 
For the six months ended June 30, 2023, the fund did not utilize the credit facilities or the Interfund Lending Program.
9. Other: Dividend income is recorded on the ex-dividend date. Non-cash dividends included in income, if any, are recorded at the fair value of the securities received. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. Security transactions are accounted for on the date securities are bought or sold. Costs used to determine realized gains (losses) on the sale of investment securities are those of the specific securities sold.
Taxes on foreign dividends and capital gains have been provided for in accordance with the fund’s understanding of the applicable countries' tax rules and rates. Deferred foreign capital gains tax, if any, is accrued daily based upon net unrealized gains. The fund has filed tax reclaims for previously withheld taxes on dividends earned in certain European Union countries. These filings are subject to various administrative and judicial proceedings within these countries. Amounts related to these reclaims are recorded when there are no significant uncertainties as to the ultimate resolution of proceedings, the likelihood of receipt of these reclaims, and the potential timing of payment. Such tax reclaims and related professional fees, if any, are included in dividend income and professional services, respectively.
Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses) and shareholder reporting. Marketing and distribution expenses are allocated to each class of shares based on a method approved by the board of trustees. Income, other non-class-specific expenses, and gains and losses on investments are allocated to each class of shares based on its relative net assets.
B. In accordance with the terms of a Funds' Service Agreement (the “FSA”) between Vanguard and the fund, Vanguard furnishes to the fund investment advisory, corporate management, administrative, marketing, and distribution services at Vanguard’s cost of operations (as defined by the FSA). These costs of operations are allocated to the fund based on methods and guidelines approved by the board of trustees and are generally settled twice a month.
Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At June 30, 2023, the fund had contributed to Vanguard capital in the amount of $5,709,000, representing less than 0.01% of the fund’s net assets and 2.28% of Vanguard’s capital received pursuant to the FSA. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.
C. The fund’s custodian bank has agreed to reduce its fees when the fund maintains cash on deposit in the non-interest-bearing custody account. For the six months ended June 30, 2023, custodian fee offset arrangements reduced the fund’s expenses by $48,000 (an annual rate of less than 0.01% of average net assets).
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Developed Markets Index Fund
D. Various inputs may be used to determine the value of the fund’s investments and derivatives. These inputs are summarized in three broad levels for financial statement purposes. The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities.
Level 1—Quoted prices in active markets for identical securities.
Level 2—Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).
Level 3—Significant unobservable inputs (including the fund’s own assumptions used to determine the fair value of investments). Any investments and derivatives valued with significant unobservable inputs are noted on the Schedule of Investments.
The following table summarizes the market value of the fund’s investments and derivatives as of June 30, 2023, based on the inputs used to value them:
  Level 1
($000)
Level 2
($000)
Level 3
($000)
Total
($000)
Investments        
Assets        
Common Stocks 15,864,957 150,340,878 12,519 166,218,354
Temporary Cash Investments 3,318,125 3,318,125
Total 19,183,082 150,340,878 12,519 169,536,479
Derivative Financial Instruments        
Assets        
Futures Contracts1 30,664 30,664
Forward Currency Contracts 26,720 26,720
Total 30,664 26,720 57,384
Liabilities        
Futures Contracts1 2,030 2,030
Forward Currency Contracts 19,374 19,374
Total 2,030 19,374 21,404
1 Includes cumulative appreciation (depreciation) on futures contracts and centrally cleared swaps, if any, as reported in the Schedule of Investments. Only current day’s variation margin is reported within the Statement of Assets and Liabilities.
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Developed Markets Index Fund
E. At June 30, 2023, the fair values of derivatives were reflected in the Statement of Assets and Liabilities as follows:
    
Statement of Assets and Liabilities Equity
Contracts
($000)
Foreign
Exchange
Contracts
($000)
Total
($000)
Unrealized Appreciation—Futures Contracts1 30,664 30,664
Unrealized Appreciation—Forward Currency Contracts 26,720 26,720
Total Assets 30,664 26,720 57,384
       
Unrealized Depreciation—Futures Contracts1 2,030 2,030
Unrealized Depreciation—Forward Currency Contracts 19,374 19,374
Total Liabilities 2,030 19,374 21,404
1 Includes cumulative appreciation (depreciation) on futures contracts and centrally cleared swaps, if any, as reported in the Schedule of Investments. Only current day’s variation margin is reported within the Statement of Assets and Liabilities.
Realized net gain (loss) and the change in unrealized appreciation (depreciation) on derivatives for the six months ended June 30, 2023, were:
Realized Net Gain (Loss) on Derivatives Equity
Contracts
($000)
Foreign
Exchange
Contracts
($000)
Total
($000)
Futures Contracts 161,139 161,139
Forward Currency Contracts (14,656) (14,656)
Realized Net Gain (Loss) on Derivatives 161,139 (14,656) 146,483
Change in Unrealized Appreciation (Depreciation) on Derivatives
Futures Contracts 83,812 83,812
Forward Currency Contracts (6,356) (6,356)
Change in Unrealized Appreciation (Depreciation) on Derivatives 83,812 (6,356) 77,456
F. As of June 30, 2023, gross unrealized appreciation and depreciation for investments and derivatives based on cost for U.S. federal income tax purposes were as follows:
  Amount
($000)
Tax Cost 147,846,969
Gross Unrealized Appreciation 38,120,085
Gross Unrealized Depreciation (16,394,595)
Net Unrealized Appreciation (Depreciation) 21,725,490
The fund’s tax-basis capital gains and losses are determined only at the end of each fiscal year. For tax purposes, at December 31, 2022, the fund had available capital losses totaling $5,982,185,000 that may be carried forward indefinitely to offset future net capital gains. The fund will use these capital losses to offset net taxable capital gains, if any, realized during the year ending December 31, 2023; should the fund realize net capital losses for the year, the losses will be added to the loss carryforward balance above.
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Developed Markets Index Fund
G. During the six months ended June 30, 2023, the fund purchased $8,798,118,000 of investment securities and sold $2,923,406,000 of investment securities, other than temporary cash investments. Purchases and sales include $2,025,595,000 and $778,794,000, respectively, in connection with in-kind purchases and redemptions of the fund's capital shares.
H. Capital share transactions for each class of shares were:
    
  Six Months Ended
June 30, 2023
  Year Ended
December 31, 2022
  Amount
($000)
Shares
(000)
  Amount
($000)
Shares
(000)
Investor Shares          
Issued 1,594 140   2,895 268
Issued in Lieu of Cash Distributions 290 25   603 59
Redeemed (2,299) (203)   (13,330) (1,097)
Net Increase (Decrease)—Investor Shares (415) (38)   (9,832) (770)
ETF Shares          
Issued 3,397,241 74,293   10,385,991 236,804
Issued in Lieu of Cash Distributions  
Redeemed  
Net Increase (Decrease)—ETF Shares 3,397,241 74,293   10,385,991 236,804
Admiral Shares          
Issued 2,398,699 165,166   6,520,144 468,045
Issued in Lieu of Cash Distributions 249,912 17,060   492,120 37,132
Redeemed (2,190,190) (151,117)   (5,113,127) (369,023)
Net Increase (Decrease)—Admiral Shares 458,421 31,109   1,899,137 136,154
Institutional Shares          
Issued 1,744,378 120,560   3,590,404 251,178
Issued in Lieu of Cash Distributions 165,284 11,274   344,369 25,951
Redeemed (2,148,879) (146,942)   (3,433,035) (242,312)
Net Increase (Decrease)—Institutional Shares (239,217) (15,108)   501,738 34,817
Institutional Plus Shares          
Issued 2,870,320 124,348   3,667,744 161,793
Issued in Lieu of Cash Distributions 177,652 7,734   365,438 17,602
Redeemed (2,110,445) (92,979)   (4,548,392) (204,261)
Net Increase (Decrease)—Institutional Plus Shares 937,527 39,103   (515,210) (24,866)
I. Significant market disruptions, such as those caused by pandemics (e.g., COVID-19 pandemic), natural or environmental disasters, war (e.g., Russia’s invasion of Ukraine), acts of terrorism, or other events, can adversely affect local and global markets and normal market operations. Any such disruptions could have an adverse impact on the value of the fund’s investments and fund performance.
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Developed Markets Index Fund
To the extent the fund’s investment portfolio reflects concentration in a particular market, industry, sector, country or asset class, the fund may be adversely affected by the performance of these concentrations and may be subject to increased price volatility and other risks.
The use of derivatives may expose the fund to various risks. Derivatives can be highly volatile, and any initial investment is generally small relative to the notional amount so that transactions may be leveraged in terms of market exposure. A relatively small market movement may have a potentially larger impact on derivatives than on standard securities. Leveraged derivatives positions can, therefore, increase volatility. Additional information regarding the fund’s use of derivative(s) and the specific risks associated is described under significant accounting policies.
J. Management has determined that no events or transactions occurred subsequent to June 30, 2023, that would require recognition or disclosure in these financial statements.
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Trustees Approve Advisory Arrangement
The board of trustees of Vanguard Developed Markets Index Fund has renewed the fund’s investment advisory arrangement with The Vanguard Group, Inc. (Vanguard), through its Equity Index Group. The board determined that continuing the fund’s internalized management structure was in the best interests of the fund and its shareholders.
The board based its decision upon an evaluation of the advisor’s investment staff, portfolio management process, and performance. This evaluation included information provided to the board by Vanguard’s Portfolio Review Department, which is responsible for fund and advisor oversight and product management. The Portfolio Review Department met regularly with the advisor and made presentations to the board during the fiscal year that directed the board’s focus to relevant information and topics.
The board, or an investment committee made up of board members, also received information throughout the year during advisor presentations. For each advisor presentation, the board was provided with letters and reports that included information about, among other things, the advisory firm and the advisor’s assessment of the investment environment, portfolio performance, and portfolio characteristics.
In addition, the board received periodic reports throughout the year, which included information about the portfolio’s performance relative to its peers and benchmark, as applicable, and updates, as needed, on the Portfolio Review Department’s ongoing assessment of the advisor.
Prior to their meeting, the trustees were provided with a memo and materials that summarized the information they received over the course of the year. They also considered the factors discussed below, among others. However, no single factor determined whether the board approved the arrangement. Rather, it was the totality of the circumstances that drove the board’s decision.
Nature, extent, and quality of services
The board reviewed the quality of the fund’s investment management services over both the short and long term, and took into account the organizational depth and stability of the advisor. The board considered that Vanguard has been managing investments for more than four decades. The Equity Index Group adheres to a sound, disciplined investment management process; the team has considerable experience, stability, and depth.
The board concluded that Vanguard’s experience, stability, depth, and performance, among other factors, warranted continuation of the advisory arrangement.
Investment performance
The board considered the short- and long-term performance of the fund, including any periods of outperformance or underperformance compared with its target index and peer group. The board concluded that the performance was such that the advisory arrangement should continue.
Cost
The board concluded that the fund’s expense ratio was below the average expense ratio charged by funds in its peer group and that the fund’s advisory expenses were also below the peer-group average.
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The board does not conduct a profitability analysis of Vanguard because of Vanguard’s unique structure. Unlike most other mutual fund management companies, Vanguard is owned by the funds it oversees.
The benefit of economies of scale
The board concluded that the fund’s arrangement with Vanguard ensures that the fund will realize economies of scale as it grows, with the cost to shareholders declining as fund assets increase.
The board will consider whether to renew the advisory arrangement again after a one-year period.
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Liquidity Risk Management
Vanguard funds (except for the money market funds) have adopted and implemented a written liquidity risk management program (the “Program”) as required by Rule 22e-4 under the Investment Company Act of 1940. Rule 22e-4 requires that each fund adopt a program that is reasonably designed to assess and manage the fund’s liquidity risk, which is the risk that the fund could not meet redemption requests without significant dilution of remaining investors’ interests in the fund.
Assessment and management of a fund’s liquidity risk under the Program take into consideration certain factors, such as the fund’s investment strategy and the liquidity of its portfolio investments during normal and reasonably foreseeable stressed conditions, its short- and long-term cash-flow projections during both normal and reasonably foreseeable stressed conditions, and its cash and cash-equivalent holdings and access to other funding sources. As required by the rule, the Program includes policies and procedures for classification of fund portfolio holdings in four liquidity categories, maintaining certain levels of highly liquid investments, and limiting holdings of illiquid investments.
The board of trustees of Vanguard Tax-Managed Funds approved the appointment of liquidity risk management program administrators responsible for administering Vanguard Developed Markets Index Fund's Program and for carrying out the specific responsibilities set forth in the Program, including reporting to the board on at least an annual basis regarding the Program’s operation, its adequacy, and the effectiveness of its implementation for the past year (the “Program Administrator Report”). The board has reviewed the Program Administrator Report covering the period from January 1, 2022, through December 31, 2022 (the “Review Period”). The Program Administrator Report stated that during the Review Period the Program operated and was implemented effectively to manage the fund’s liquidity risk.
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London Stock Exchange Group companies include FTSE International Limited (“FTSE”), Frank Russell Company (“Russell”), MTS Next Limited (“MTS”), and FTSE TMX Global Debt Capital Markets Inc. (“FTSE TMX”). All rights reserved. “FTSE®”, “Russell®”, “MTS®”, “FTSE TMX®” and “FTSE Russell” and other service marks and trademarks related to the FTSE or Russell indexes are trademarks of the London Stock Exchange Group companies and are used by FTSE, MTS, FTSE TMX and Russell under license. All information is provided for information purposes only. Every effort is made to ensure that all information given in this publication is accurate, but no responsibility or liability can be accepted by the London Stock Exchange Group companies nor its licensors for any errors or for any loss from use of this publication. Neither the London Stock Exchange Group companies nor any of their licensors make any claim, prediction, warranty or representation whatsoever, expressly or impliedly, either as to the results to be obtained from the use of the Indices or the fitness or suitability of the Indices for any particular purpose to which they might be put. The London Stock Exchange Group companies do not provide investment advice and nothing in this document should be taken as constituting financial or investment advice. The London Stock Exchange Group companies make no representation regarding the advisability of investing in any asset. A decision to invest in any such asset should not be made in reliance on any information herein. Indexes cannot be invested in directly. Inclusion of an asset in an index is not a recommendation to buy, sell or hold that asset. The general information contained in this publication should not be acted upon without obtaining specific legal, tax, and investment advice from a licensed professional. No part of this information may be reproduced, stored in a retrieval system or transmitted in any form or by any means, electronic, mechanical, photocopying, recording or otherwise, without prior written permission of the London Stock Exchange Group companies. Distribution of the London Stock Exchange Group companies’ index values and the use of their indexes to create financial products require a license with FTSE, FTSE TMX, MTS and/or Russell and/or its licensors.
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