0000932471-16-015091.txt : 20161229 0000932471-16-015091.hdr.sgml : 20161229 20161229092955 ACCESSION NUMBER: 0000932471-16-015091 CONFORMED SUBMISSION TYPE: N-CSR PUBLIC DOCUMENT COUNT: 62 CONFORMED PERIOD OF REPORT: 20161031 FILED AS OF DATE: 20161229 DATE AS OF CHANGE: 20161229 EFFECTIVENESS DATE: 20161229 FILER: COMPANY DATA: COMPANY CONFORMED NAME: VANGUARD INTERNATIONAL EQUITY INDEX FUNDS CENTRAL INDEX KEY: 0000857489 IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 1031 FILING VALUES: FORM TYPE: N-CSR SEC ACT: 1940 Act SEC FILE NUMBER: 811-05972 FILM NUMBER: 162073688 BUSINESS ADDRESS: STREET 1: PO BOX 2600 STREET 2: V26 CITY: VALLEY FORGE STATE: PA ZIP: 19482 BUSINESS PHONE: 6106691000 MAIL ADDRESS: STREET 1: PO BOX 2600 STREET 2: V26 CITY: VALLEY FORGE STATE: PA ZIP: 19482 FORMER COMPANY: FORMER CONFORMED NAME: VANGUARD INTERNATIONAL EQUITY INDEX FUND INC DATE OF NAME CHANGE: 19920703 0000857489 S000005786 Vanguard Emerging Markets Stock Index Fund C000015900 Investor Shares VEIEX C000015901 Institutional Shares VEMIX C000015902 ETF Shares VWO C000035633 Admiral Shares VEMAX C000096106 Institutional Plus Shares VEMRX 0000857489 S000005787 Vanguard European Stock Index Fund C000015903 Investor Shares VEURX C000015904 Admiral Shares VEUSX C000015905 Institutional Shares VESIX C000015906 ETF Shares VGK C000096107 Institutional Plus Shares VEUPX 0000857489 S000005788 Vanguard Pacific Stock Index Fund C000015907 Investor Shares VPACX C000015908 Admiral Shares VPADX C000015909 Institutional Shares VPKIX C000015910 ETF Shares VPL C000096108 Institutional Plus Shares VPAPX 0000857489 S000015871 Vanguard FTSE All-World ex-US Index Fund C000043571 Investor Shares VFWIX C000043572 ETF Shares VEU C000043573 Institutional Shares VFWSX C000096109 Institutional Plus Shares VFWPX C000105302 Admiral Shares VFWAX 0000857489 S000022482 Vanguard Total World Stock Index Fund C000065037 Investor Shares VTWSX C000065038 ETF Shares VT C000065039 Institutional Shares VTWIX 0000857489 S000025074 Vanguard FTSE All-World ex-US Small-Cap Index Fund C000074579 Investor Shares VFSVX C000074580 Institutional Shares VFSNX C000074581 ETF Shares VSS 0000857489 S000030007 Vanguard Global ex-U.S. Real Estate Index Fund C000092023 Investor VGXRX C000092024 Admiral VGRLX C000092025 ETF VNQI C000092026 Institutional VGRNX N-CSR 1 internequity_final.htm internequity_final.htm - Generated by SEC Publisher for SEC Filing

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

FORM N-CSR

CERTIFIED SHAREHOLDER REPORT
OF
REGISTERED MANAGEMENT INVESTMENT COMPANIES

 

Investment Company Act file number: 811-05972

 

Name of Registrant:

Vanguard International Equity Index Funds

 

Address of Registrant:

P.O. Box 2600
  Valley Forge, PA 19482

 

Name and address of agent for service:

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

 

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

 

Date of fiscal year end: October 31

 

Date of reporting period: November 1, 2015 – October 31, 2016

 

Item 1: Reports to Shareholders

 



Annual Report | October 31, 2016

Vanguard International Stock Index Funds

Vanguard European Stock Index Fund

Vanguard Pacific Stock Index Fund

 

A new format, unwavering commitment

As you begin reading this report, you’ll notice that we’ve made some improvements to the opening sections—based on feedback from you, our clients.

Page 1 starts with a new ”Your Fund’s Performance at a Glance,” a concise, handy summary of how your fund performed during the period.

In the renamed ”Chairman’s Perspective,” Bill McNabb will focus on enduring principles and investment insights.

We’ve modified some tables, and eliminated some redundancy, but we haven’t removed any information.

At Vanguard, we’re always looking for better ways to communicate and to help you make sound investment decisions. Thank you for entrusting your assets to us.

Contents  
Your Fund’s Performance at a Glance. 1
Chairman’s Perspective. 4
European Stock Index Fund. 8
Pacific Stock Index Fund. 33
Your Fund’s After-Tax Returns. 57
About Your Fund’s Expenses. 58
Glossary. 60

Please note: The opinions expressed in this report are just that—informed opinions. They should not be considered promises or advice.
Also, please keep in mind that the information and opinions cover the period through the date on the front of this report. Of course, the
risks of investing in your fund are spelled out in the prospectus.
See the Glossary for definitions of investment terms used in this report.
About the cover: No matter what language you speak, Vanguard has one consistent message and set of principles. Our primary
focus is on you, our clients. We conduct our business with integrity as a faithful steward of your assets. This message is shown
translated into seven languages, reflecting our expanding global presence.

 

Your Fund’s Performance at a Glance

• For the 12 months ended October 31, 2016, returns for European stocks significantly trailed those of stocks in the Pacific region.

• Vanguard European Stock Index Fund returned –6.63% for the fiscal year, while Vanguard Pacific Stock Index Fund returned 6.40%. (All returns are for Investor Shares.)

• Returns for both funds diverged from those of their benchmark indexes, in part because of temporary pricing discrepancies arising from fair-value adjustments. (Please see the Glossary entry on fair-value pricing.)

• The European Stock Index Fund’s results lagged the average return of its peers; the Pacific Stock Index Fund’s return surpassed its peer group average.

• In Europe, the relative strength of the U.S. dollar against local currencies hurt returns, as did fallout from Britain’s Brexit vote.

• Returns in the Pacific region were aided by Japan and Australia, as both countries’ currencies strengthened against the U.S. dollar.

Total Returns: Fiscal Year Ended October 31, 2016  
  Total
  Returns
Vanguard European Stock Index Fund  
Investor Shares -6.63%
FTSE Europe ETF Shares  
Market Price -6.49
Net Asset Value -6.43
Admiral™ Shares -6.48
Institutional Shares -6.46
Institutional Plus Shares -6.45
FTSE Developed Europe All Cap Index -7.02
European Region Funds Average -5.75
For a benchmark description, see the Glossary.
European Region Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.

 

1

 

  Total
  Returns
Vanguard Pacific Stock Index Fund  
Investor Shares 6.40%
FTSE Pacific ETF Shares  
Market Price 6.58
Net Asset Value 6.59
Admiral Shares 6.57
Institutional Shares 6.61
FTSE Developed Asia Pacific All Cap Index 5.70
Japan/Pacific Region Funds Average 5.41
For a benchmark description, see the Glossary.  

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

 

Total Returns: Ten Years Ended October 31, 2016  
  Average
  Annual Return
European Stock Index Fund Investor Shares 0.92%
Spliced European Stock Index 0.88
European Region Funds Average 1.17
For a benchmark description, see the Glossary.
European Region Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.
 
Pacific Stock Index Fund Investor Shares 2.08%
Spliced Pacific Stock Index 2.19
Japan/Pacific Region Funds Average 0.99
For a benchmark description, see the Glossary.
Japan/Pacific Region Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.

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

2

 

Expense Ratios            
Your Fund Compared With Its Peer Group          
  Investor ETF Admiral Institutional Institutional Peer Group
  Shares Shares Shares Shares Plus Shares Average
European Stock Index Fund 0.26% 0.12% 0.12% 0.09% 0.08% 1.49%
Pacific Stock Index Fund 0.26 0.12 0.12 0.09 1.26

The fund expense ratios shown are from the prospectus dated February 26, 2016, and represent estimated costs for the current fiscal year. For
the fiscal year ended October 31, 2016, the funds’ expense ratios were: for the European Stock Index Fund, 0.26% for Investor Shares, 0.10%
for FTSE Europe ETF Shares, 0.10% for Admiral Shares, 0.08% for Institutional Shares, and 0.07% for Institutional Plus Shares; and for the
Pacific Stock Index Fund, 0.26% for Investor Shares, 0.10% for FTSE Pacific ETF Shares, 0.10% for Admiral Shares, and 0.08% for Institutional
Shares. The peer group expense ratio is derived from data provided by Lipper, a Thomson Reuters Company, and captures information through
year-end 2015.

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

3

 

Chairman’s Perspective


Bill McNabb
Chairman and Chief Executive Officer

Dear Shareholder,

Over the three years ended August 31, 2016, investors poured more than $1 trillion into index funds. Indexing now accounts for nearly a third of all mutual fund assets—more than double what it did a decade ago and eight times its share two decades ago.1

By contrast, active management’s commercial struggles have reflected its disappointing investment performance. Over the decade ended December 31, 2015, 82% of actively managed stock funds and 81% of active bond funds have either underperformed their benchmarks or shut down.

This subpar performance has fueled the explosion of asset growth in indexing among individual, retirement, and nonprofit investors. So what might the trend mean for the future of actively managed funds?

Our research and experience indicate that active management can survive—and even succeed—but only if it’s offered at much lower expense.

High costs, which limit a manager’s ability to deliver benchmark-beating returns to clients, are the biggest reason why active has lagged. Industrywide as of December 31, 2015, the average expense ratio for all active stock funds is 1.14%, compared with 0.76% for stock index

1 Sources: Wall Street Journal; Morningstar, Inc.; and Investment Company Institute, 2016.

4

 

funds. And the expense advantage is even wider for bonds; the average expense ratio for an active bond fund is 0.93%, compared with 0.43% for bond index funds.

But even these big differences understate the real gap. These days, it’s not hard to find an index fund that charges maybe 0.05% or 0.10%. So even if you have identified active managers who are skilled at selecting stocks and bonds, to match the return of a comparable (much cheaper) index fund would require significant outperformance. Think about it. Any fund that charges 1.00% in expenses—not even the high end of the range—will find it extraordinarily difficult to overcome the index fund’s head start.

Active management also has taken a hit from a regulatory environment that has been favorable to low-cost strategies. The U.S. Department of Labor several years ago mandated greater disclosure of retirement plan fees. And its new fiduciary rule, which is set to take effect in April, requires financial advisors to demonstrate that their recommendations are aligned with their clients’ best interest. Both changes encourage the use of lower-cost investments, including index funds.

The future of active management

In light of all this, people have been asking me whether active management is “dead.” My response is both yes and no. High-cost active management is dead, and rightly so. It has never been a winning proposition

Market Barometer      
  Average Annual Total Returns
  Periods Ended October 31, 2016
  One Three Five
  Year Years Years
Stocks      
Russell 1000 Index (Large-caps) 4.26% 8.48% 13.51%
Russell 2000 Index (Small-caps) 4.11 4.12 11.51
Russell 3000 Index (Broad U.S. market) 4.24 8.13 13.35
FTSE All-World ex US Index (International) 0.64 -0.94 4.09
 
Bonds      
Bloomberg Barclays U.S. Aggregate Bond Index      
(Broad taxable market) 4.37% 3.48% 2.90%
Bloomberg Barclays Municipal Bond Index      
(Broad tax-exempt market) 4.06 4.89 4.34
Citigroup Three-Month U.S. Treasury Bill Index 0.22 0.07 0.07
 
CPI      
Consumer Price Index 1.64% 1.15% 1.32%

 

5

 

for investors. Low-cost active funds, though, can potentially play an important role for investors who seek to outperform the market.

Paying less for your funds is the only sure-fire way to improve your odds of achieving success in active management. But even if you have found an active manager with low costs, the odds of outperforming the market are still long. You have to be able to identify talented stock and bond portfolio managers with long time horizons and clear investment strategies. Look for managers with consistent track records and the discipline to stick closely to their investment strategy.

Know what you own and why

Despite the well-deserved reputation of indexing and the challenges for active managers, there’s still a place for traditional active strategies that are low-cost, diversified, and highly disciplined, and are run by talented managers who focus on the long term.

Vanguard has always applied these principles to our active strategies, and investors have benefited as a majority of our active funds outperformed their benchmarks and bested their peers’ average annual return over the ten years ended September 30, 2016.

Worried about the election’s impact on your portfolio?
The 2016 presidential election season was
one of the most intense and unpredictable
in U.S. history. In its aftermath, investors
may be left with lingering questions about
what the outcome will mean for their
portfolios. The answer, based on Vanguard
research into decades of historical data, is
that presidential elections typically have no
long-term effect on market performance.
 
These findings hold true regardless of the
market’s initial reaction. Whether there’s
a swoon or bounce immediately after an
election, investors shouldn’t extrapolate
that performance to the long term.
 
As you can see in the accompanying chart,
data going back to 1853 show that stock
market returns are virtually identical no matter
which party controls the White House.
Although headlines out of Washington at any
given time may still cause concern, investors
shouldn’t overreact to short-term events.
Instead, it’s best to maintain a balanced and
diversified portfolio and stay focused on your
long-term goals.
 
Average annual stock market returns based
on party control of the White House
(1853–2015)

Sources: Global Financial Data, 1853–1926; Morningstar, Inc.,
and Ibbotson Associates thereafter through 2015.

 

6

 

But it’s crucial for investors to be patient. Even active managers with the best track records frequently underperform their benchmarks when their investment styles are out of favor. Such periods, though temporary, can persist. So it’s important when entrusting your assets to an active strategy to be in it for the long haul.

Make sure you know what you’re buying and what the risks are. Active strategies are becoming more complex, so it’s important to clearly understand what the investments in your portfolio are designed to accomplish and why you want to hold them. Otherwise, you run the risk of selecting strategies that don’t fit your needs or objectives.

Keeping these considerations in mind can potentially boost your chances of success in identifying active strategies that may be able to help you reach your goals.

As always, thank you for investing with Vanguard.

Sincerely,


F. William McNabb III
Chairman and Chief Executive Officer
November 9, 2016

7

 

European Stock Index Fund

Fund Profile
As of October 31, 2016

Share-Class Characteristics          
  Investor FTSE Europe Admiral Institutional Institutional
  Shares ETF Shares Shares Shares Plus Shares
Ticker Symbol VEURX VGK VEUSX VESIX VEUPX
Expense Ratio1 0.26% 0.12% 0.12% 0.09% 0.08%

 

Portfolio Characteristics    
    FTSE FTSE
    Developed Global
    Europe All All Cap
    Cap ex US
  Fund Index Index
Number of Stocks 1,259 1,223 5,783
Median Market Cap $36.3B $36.7B $21.0B
Price/Earnings Ratio 24.9x 24.4x 20.8x
Price/Book Ratio 1.8x 1.8x 1.6x
Return on Equity 16.0% 16.0% 14.3%
Earnings Growth      
Rate 3.2% 3.0% 7.4%
Dividend Yield 3.4% 3.4% 3.0%
Turnover Rate 6%
Short-Term Reserves 0.0%

 

Sector Diversification (% of equity exposure)
    FTSE FTSE
    Developed Global
    Europe All All Cap
    Cap ex US
  Fund Index Index
Basic Materials 7.8% 7.8% 7.8%
Consumer Goods 18.2 18.3 16.2
Consumer Services 7.6 7.6 8.6
Financials 21.5 21.4 25.2
Health Care 11.7 11.7 7.7
Industrials 14.7 14.7 14.7
Oil & Gas 6.9 6.9 6.5
Technology 3.6 3.6 5.6
Telecommunications 4.1 4.1 4.2
Utilities 3.9 3.9 3.5

 

Volatility Measures    
  Spliced  
  European FTSE Global
  Stock All Cap ex US
  Index Index
R-Squared 0.99 0.86
Beta 0.96 0.96
These measures show the degree and timing of the fund’s fluctuations compared with the indexes over 36 months.

 

Ten Largest Holdings (% of total net assets)
Nestle SA Food Products 2.7%
Royal Dutch Shell plc Integrated Oil & Gas 2.4
Roche Holding AG Pharmaceuticals 2.0
Novartis AG Pharmaceuticals 2.0
HSBC Holdings plc Banks 1.8
Unilever Personal Products 1.4
BP plc Integrated Oil & Gas 1.3
British American    
Tobacco plc Tobacco 1.3
TOTAL SA Integrated Oil & Gas 1.2
GlaxoSmithKline plc Pharmaceuticals 1.1
Top Ten   17.2%
The holdings listed exclude any temporary cash investments and equity index products.

1 The expense ratios shown are from the prospectus dated February 26, 2016, and represent estimated costs for the current fiscal year. For the fiscal
year ended October 31, 2016, the expense ratios were 0.26% for Investor Shares, 0.10% for FTSE Europe ETF Shares, 0.10% for Admiral Shares,
0.08% for Institutional Shares, and 0.07% for Institutional Plus Shares.

8

 

European Stock Index Fund

Market Diversification (% of equity exposure)
    FTSE FTSE
    Developed Global
    Europe All All Cap
    Cap ex US
  Fund Index Index
Europe      
United Kingdom 29.8% 29.9% 12.6%
France 14.4 14.4 6.1
Germany 14.4 14.3 6.0
Switzerland 13.5 13.6 5.7
Spain 5.1 5.1 2.1
Netherlands 5.0 5.0 2.1
Sweden 4.9 4.9 2.1
Italy 3.6 3.6 1.5
Denmark 2.8 2.8 1.2
Belgium 2.2 2.2 0.9
Finland 1.8 1.8 0.8
Norway 1.2 1.2 0.5
Other 1.3 1.2 0.6
Subtotal 100.0% 100.0% 42.2%
Pacific 0.0% 0.0% 30.7%
Emerging Markets 0.0% 0.0% 19.7%
North America 0.0% 0.0% 6.9%
Middle East 0.0% 0.0% 0.5%

 

9

 

European Stock Index Fund

Performance Summary

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

Cumulative Performance: October 31, 2006, Through October 31, 2016
Initial Investment of $10,000

 

    Average Annual Total Returns  
    Periods Ended October 31, 2016  
          Final Value
    One Five Ten of a $10,000
    Year Years Years Investment
  European Stock Index Fund*Investor        
  Shares -6.63% 4.79% 0.92% $10,957
• • • • • • • • Spliced European Stock Index -7.02 4.64 0.88 10,918
 
– – – – European Region Funds Average -5.75 5.82 1.17 11,230
  FTSE Global All Cap ex US Index 0.92 4.20 2.24 12,478
For a benchmark description, see the Glossary.
European Region Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.

 

        Final Value
  One Five Ten of a $10,000
  Year Years Years Investment
FTSE Europe ETF Shares        
Net Asset Value -6.43% 4.96% 1.05% $11,105
Spliced European Stock Index -7.02 4.64 0.88 10,918
FTSE Global All Cap ex US Index 0.92 4.20 2.24 12,478

 

See Financial Highlights for dividend and capital gains information.

10

 

European Stock Index Fund

    Average Annual Total Returns  
  Periods Ended October 31, 2016  
        Final Value
  One Five Ten of a $10,000
  Year Years Years Investment
European Stock Index Fund Admiral Shares -6.48% 4.94% 1.04% $11,095
Spliced European Stock Index -7.02 4.64 0.88 10,918
FTSE Global All Cap ex US Index 0.92 4.20 2.24 12,478

 

        Final Value
  One Five Ten of a $5,000,000
  Year Years Years Investment
European Stock Index Fund Institutional        
Shares -6.46% 4.97% 1.08% $5,567,434
Spliced European Stock Index -7.02 4.64 0.88 5,459,154
 
FTSE Global All Cap ex US Index 0.92 4.20 2.24 6,238,904

 

    Since Final Value
  One Inception of a $100,000,000
  Year (12/5/2014) Investment
European Stock Index Fund Institutional Plus      
Shares -6.45% -4.76% $91,123,783
Spliced European Stock Index -7.02 -4.83 90,997,289
FTSE Global All Cap ex US Index 0.92 -1.33 97,477,765
"Since Inception" performance is calculated from the Institutional Plus Shares’ inception date for both the fund and its comparative standards.

 

Cumulative Returns of ETF Shares: October 31, 2006, Through October 31, 2016    
  One Five Ten
  Year Years Years
FTSE Europe ETF Shares Market Price -6.49% 27.07% 10.41%
FTSE Europe ETF Shares Net Asset Value -6.43 27.38 11.05
Spliced European Stock Index -7.02 25.44 9.18

 

11

 

European Stock Index Fund

Fiscal-Year Total Returns (%): October 31, 2006, Through October 31, 2016


For a benchmark description, see the Glossary.

Average Annual Total Returns: Periods Ended September 30, 2016
This table presents returns through the latest calendar quarter—rather than through the end of the fiscal period.
Securities and Exchange Commission rules require that we provide this information.

  Inception One Five Ten
  Date Year Years Years
Investor Shares 6/18/1990 2.52% 7.91% 1.70%
FTSE Europe ETF Shares 3/4/2005      
Market Price   2.65 8.17 1.73
Net Asset Value   2.73 8.09 1.83
Admiral Shares 8/13/2001 2.67 8.07 1.82
Institutional Shares 5/15/2000 2.69 8.10 1.86
Institutional Plus Shares 12/5/2014 2.70 -3.181
1 Return since inception.

 

12

 

European Stock Index Fund

Financial Statements

Statement of Net Assets—Investments Summary
As of October 31, 2016

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

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

    Market Percentage
    Value of Net
  Shares ($000) Assets
Common Stocks      
Austria †   79,573 0.5%
 
Belgium      
* Anheuser-Busch InBev SA/NV 1,467,974 168,480 1.1%
Belgium—Other †   174,413 1.1%
    342,893 2.2%
Denmark      
Novo Nordisk A/S Class B 3,395,967 120,983 0.8%
1 Denmark—Other †   307,346 2.0%
    428,329 2.8%
 
Finland †   278,338 1.8%
 
France      
TOTAL SA 3,958,249 189,620 1.2%
Sanofi 2,053,898 159,833 1.1%
BNP Paribas SA 1,798,456 104,281 0.7%
LVMH Moet Hennessy Louis Vuitton SE 460,992 83,929 0.6%
AXA SA 3,544,985 79,983 0.5%
Danone SA 1,045,391 72,507 0.5%
Schneider Electric SE 998,287 67,135 0.4%
1 France—Other †   1,453,996 9.4%
    2,211,284 14.4%
Germany      
Siemens AG 1,398,861 158,936 1.0%
Bayer AG 1,522,417 151,161 1.0%
BASF SE 1,698,847 149,971 1.0%
SAP SE 1,644,643 144,893 0.9%
Allianz SE 837,961 130,810 0.9%

 

13

 

European Stock Index Fund      
 
 
 
      Market Percentage
      Value of Net
    Shares ($000) Assets
  Daimler AG 1,757,817 125,407 0.8%
  Deutsche Telekom AG 5,913,660 96,483 0.6%
*,1 Covestro AG 116,035 6,871 0.0%
1 Germany—Other †   1,246,297 8.1%
      2,210,829 14.3%
 
Ireland †   70,142 0.5%
 
Isle of Man †   4,735 0.0%
 
Italy      
  Eni SPA 4,536,993 65,842 0.5%
1 Italy—Other †   495,265 3.2%
      561,107 3.7%
Netherlands      
  Unilever NV 2,865,071 119,835 0.8%
  ING Groep NV 7,109,259 93,324 0.6%
1 Netherlands—Other †   555,241 3.6%
      768,400 5.0%
 
1Norway †   190,810 1.2%
 
Other †   579 0.0%
 
Portugal †   47,438 0.3%
 
Spain      
  Banco Santander SA 26,515,106 129,925 0.8%
  Banco Bilbao Vizcaya Argentaria SA 11,849,532 85,301 0.6%
  Telefonica SA 7,880,006 80,066 0.5%
  Iberdrola SA 10,393,273 70,731 0.5%
  Industria de Diseno Textil SA 1,950,921 68,073 0.4%
1 Spain—Other †   347,291 2.3%
      781,387 5.1%
 
1Sweden †   759,782 4.9%
 
Switzerland      
  Nestle SA 5,676,575 411,631 2.7%
  Novartis AG 4,350,342 308,733 2.0%
  Roche Holding AG 1,322,779 303,818 2.0%
  UBS Group AG 6,407,232 90,583 0.6%
  ABB Ltd. 3,522,923 72,679 0.5%
  Zurich Insurance Group AG 274,205 71,775 0.4%
  Syngenta AG 168,855 67,570 0.4%
  Roche Holding AG (Bearer) 23,663 5,500 0.0%
1 Switzerland—Other †   752,441 4.9%
      2,084,730 13.5%
United Kingdom      
  HSBC Holdings plc 36,461,098 274,595 1.8%
  BP plc 34,572,312 204,382 1.3%
  British American Tobacco plc 3,429,525 196,557 1.3%
  Royal Dutch Shell plc Class B 6,892,488 177,775 1.1%

 

14

 

European Stock Index Fund        
 
 
 
      Market Percentage
      Value of Net
    Shares ($000) Assets
GlaxoSmithKline plc   8,945,514 176,713 1.1%
Royal Dutch Shell plc Class A (London Shares)   6,731,459 167,661 1.1%
Vodafone Group plc   48,886,159 134,258 0.9%
AstraZeneca plc   2,322,103 130,027 0.8%
Diageo plc   4,633,626 123,332 0.8%
Reckitt Benckiser Group plc   1,156,583 103,469 0.7%
Shire plc   1,656,510 93,531 0.6%
Unilever plc   2,219,261 92,653 0.6%
National Grid plc   6,943,087 90,315 0.6%
Imperial Brands plc   1,772,045 85,717 0.6%
Lloyds Banking Group plc   117,829,254 82,283 0.5%
Prudential plc   4,746,147 77,452 0.5%
Rio Tinto plc   2,226,178 77,416 0.5%
Barclays plc   31,126,113 72,114 0.5%
BT Group plc   15,400,292 70,688 0.5%
Royal Dutch Shell plc Class A   1,230,297 30,656 0.2%
1 United Kingdom—Other †     2,117,443 13.7%
      4,579,037 29.7%
 
United States †     16 0.0%
Total Common Stocks (Cost $21,109,126)     15,399,409 99.9%2
 
  Coupon      
Temporary Cash Investments        
Money Market Fund        
3,4 Vanguard Market Liquidity Fund 0.718% 2,302,737 230,297 1.5%
 
5,6U.S. Government and Agency Obligations †     23,391 0.1%
Total Temporary Cash Investments (Cost $253,686)     253,688 1.6%2
7Total Investments (Cost $21,362,812)     15,653,097 101.5%
 
      Amount  
      ($000)  
Other Assets and Liabilities        
Other Assets        
Investment in Vanguard     1,244  
Receivables for Investment Securities Sold     151  
Receivables for Accrued Income     69,634  
Receivables for Capital Shares Issued     2,399  
Other Assets     9,490  
Total Other Assets     82,918 0.5%
Liabilities        
Payables for Investment Securities Purchased     (92)  
Collateral for Securities on Loan     (229,152)  
Payables for Capital Shares Redeemed     (7,272)  
Payables to Vanguard     (14,354)  
Other Liabilities     (62,052)  
Total Liabilities     (312,922) (2.0%)
Net Assets     15,423,093 100.0%

 

15

 

European Stock Index Fund  
 
 
 
At October 31, 2016, net assets consisted of:  
  Amount
  ($000)
Paid-in Capital 23,183,731
Undistributed Net Investment Income 19,219
Accumulated Net Realized Losses (2,061,444)
Unrealized Appreciation (Depreciation)  
Investment Securities (5,709,715)
Futures Contracts (67)
Forward Currency Contracts (4,777)
Foreign Currencies (3,854)
Net Assets 15,423,093
 
 
Investor Shares—Net Assets  
Applicable to 24,052,159 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 607,841
Net Asset Value Per Share—Investor Shares $25.27
 
 
ETF Shares—Net Assets  
Applicable to 223,863,297 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 10,533,175
Net Asset Value Per Share—ETF Shares $47.05
 
 
Admiral Shares—Net Assets  
Applicable to 61,329,916 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 3,609,415
Net Asset Value Per Share—Admiral Shares $58.85

 

16

 

European Stock Index Fund  
 
 
 
  Amount
  ($000)
Institutional Shares—Net Assets  
Applicable to 22,863,541 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 573,833
Net Asset Value Per Share—Institutional Shares $25.10
 
Institutional Plus Shares—Net Assets  
Applicable to 881,675 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 98,829
Net Asset Value Per Share—Institutional Plus Shares $112.09

• See Note A in Notes to Financial Statements.
* Non-income-producing security.
† Represents the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer, represent
1% or less of net assets.
1 Certain of the fund’s securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in
transactions exempt from registration, normally to qualified institutional buyers. At October 31, 2016, the aggregate value of these
securities was $165,071,000, representing 1.1% of net assets.
2 The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect to futures
investments, the fund’s effective common stock and temporary cash investment positions represent 100.0% and 1.5%, respectively,
of net assets.
3 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the
7-day yield.
4 Includes $229,152,000 of collateral received for securities on loan.
5 Securities with a value of $1,999,000 have been segregated as initial margin for open futures contracts.
6 Securities with a value of $8,710,000 and cash of $1,280,000 have been segregated as collateral for open forward currency contracts.
7 The total value of securities on loan is $214,827,000.
See accompanying Notes, which are an integral part of the Financial Statements.

17

 

European Stock Index Fund  
 
 
Statement of Operations  
 
 
  Year Ended
  October 31, 2016
  ($000)
Investment Income  
Income  
Dividends1 644,605
Interest2 314
Securities Lending—Net 22,159
Total Income 667,078
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 2,127
Management and Administrative—Investor Shares 1,328
Management and Administrative—ETF Shares 8,449
Management and Administrative—Admiral Shares 2,437
Management and Administrative—Institutional Shares 361
Management and Administrative—Institutional Plus Shares 59
Marketing and Distribution—Investor Shares 150
Marketing and Distribution—ETF Shares 980
Marketing and Distribution—Admiral Shares 328
Marketing and Distribution—Institutional Shares 22
Marketing and Distribution—Institutional Plus Shares 2
Custodian Fees 2,334
Auditing Fees 48
Shareholders’ Reports—Investor Shares 49
Shareholders’ Reports—ETF Shares 290
Shareholders’ Reports—Admiral Shares 31
Shareholders’ Reports—Institutional Shares 1
Shareholders’ Reports—Institutional Plus Shares
Trustees’ Fees and Expenses 10
Total Expenses 19,006
Net Investment Income 648,072
Realized Net Gain (Loss)  
Investment Securities Sold2 (242,793)
Futures Contracts 15,404
Foreign Currencies and Forward Currency Contracts (22,528)
Realized Net Gain (Loss) (249,917)
Change in Unrealized Appreciation (Depreciation)  
Investment Securities (1,791,913)
Futures Contracts (9,675)
Foreign Currencies and Forward Currency Contracts (6,003)
Change in Unrealized Appreciation (Depreciation) (1,807,591)
Net Increase (Decrease) in Net Assets Resulting from Operations (1,409,436)

1 Dividends are net of foreign withholding taxes of $38,969,000.
2 Interest income and realized net gain (loss) from an affiliated company of the fund were $222,000 and $0, respectively.
See accompanying Notes, which are an integral part of the Financial Statements.

18

 

European Stock Index Fund    
 
 
Statement of Changes in Net Assets    
 
  Year Ended October 31,
  2016 2015
  ($000) ($000)
Increase (Decrease) in Net Assets    
Operations    
Net Investment Income 648,072 620,752
Realized Net Gain (Loss) (249,917) 211,428
Change in Unrealized Appreciation (Depreciation) (1,807,591) (1,172,701)
Net Increase (Decrease) in Net Assets Resulting from Operations (1,409,436) (340,521)
Distributions    
Net Investment Income    
Investor Shares (21,135) (23,457)
ETF Shares (453,005) (433,791)
Admiral Shares (129,984) (131,297)
Institutional Shares (24,805) (28,805)
Institutional Plus Shares (3,926) (6,528)
Realized Capital Gain    
Investor Shares
ETF Shares
Admiral Shares
Institutional Shares
Institutional Plus Shares
Total Distributions (632,855) (623,878)
Capital Share Transactions    
Investor Shares (53,855) (21,781)
ETF Shares (3,566,616) 4,618,360
Admiral Shares (133,939) 363,663
Institutional Shares (213,685) (118,126)
Institutional Plus Shares (121,144) 264,731
Net Increase (Decrease) from Capital Share Transactions (4,089,239) 5,106,847
Total Increase (Decrease) (6,131,530) 4,142,448
Net Assets    
Beginning of Period 21,554,623 17,412,175
End of Period1 15,423,093 21,554,623

1 Net Assets—End of Period includes undistributed (overdistributed) net investment income of $19,219,000 and $12,532,000.

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

19

 

European Stock Index Fund          
 
 
Financial Highlights          
 
 
Investor Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2016 2015 2014 2013 2012
Net Asset Value, Beginning of Period $27.98 $29.05 $30.42 $24.69 $24.48
Investment Operations          
Net Investment Income . 881 . 866 1.2351 .830 .836
Net Realized and Unrealized Gain (Loss)          
on Investments (2.738) (1.058) (1.380) 5.800 .925
Total from Investment Operations (1.857) (.192) (.145) 6.630 1.761
Distributions          
Dividends from Net Investment Income (.853) (.878) (1.225) (.900) (1.551)
Distributions from Realized Capital Gains
Total Distributions (.853) (.878) (1.225) (.900) (1.551)
Net Asset Value, End of Period $25.27 $27.98 $29.05 $30.42 $24.69
 
Total Return2 -6.63% -0.77% -0.73% 27.47% 7.77%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $608 $730 $782 $868 $760
Ratio of Total Expenses to Average Net Assets 0.26% 0.26% 0.26% 0.26% 0.26%
Ratio of Net Investment Income to          
Average Net Assets 3.35% 3.05% 4.12%1 3.02% 3.75%
Portfolio Turnover Rate 3 6% 13% 7% 10% 7%

1 Net investment income per share and the ratio of net investment income to average net assets include $.299 and 0.97%, respectively,
resulting from income received from Vodafone Group plc in the form of cash and shares in Verizon Communications Inc. in February 2014.
2 Total returns do not include transaction or account service fees that may have applied in the periods shown. Fund prospectuses provide
information about any applicable transaction and account service fees.
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.

20

 

European Stock Index Fund          
 
 
Financial Highlights          
 
 
FTSE Europe ETF Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2016 2015 2014 2013 2012
Net Asset Value, Beginning of Period $52.09 $54.08 $56.64 $46.01 $45.66
Investment Operations          
Net Investment Income 1.717 1.691 2.3841 1.626 1.630
Net Realized and Unrealized Gain (Loss)          
on Investments (5.094) (1.970) (2.577) 10.787 1.706
Total from Investment Operations (3.377) (.279) (.193) 12.413 3.336
Distributions          
Dividends from Net Investment Income (1.663) (1.711) (2.367) (1.783) (2.986)
Distributions from Realized Capital Gains
Total Distributions (1.663) (1.711) (2.367) (1.783) (2.986)
Net Asset Value, End of Period $47.05 $52.09 $54.08 $56.64 $46.01
 
Total Return -6.43% -0.62% -0.60% 27.67% 7.95%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $10,533 $15,578 $11,676 $12,061 $3,928
Ratio of Total Expenses to Average Net Assets 0.10% 0.12% 0.12% 0.12% 0.12%
Ratio of Net Investment Income to          
Average Net Assets 3.51% 3.19% 4.26%1 3.16% 3.89%
Portfolio Turnover Rate2 6% 13% 7% 10% 7%

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

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

21

 

European Stock Index Fund          
 
 
Financial Highlights          
 
 
Admiral Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2016 2015 2014 2013 2012
Net Asset Value, Beginning of Period $65.16 $67.64 $70.85 $57.54 $57.09
Investment Operations          
Net Investment Income 2.151 2.113 2.9831 2.026 2.032
Net Realized and Unrealized Gain (Loss)          
on Investments (6.379) (2.454) (3.233) 13.503 2.152
Total from Investment Operations (4.228) (.341) (.250) 15.529 4.184
Distributions          
Dividends from Net Investment Income (2.082) (2.139) (2.960) (2.219) (3.734)
Distributions from Realized Capital Gains
Total Distributions (2.082) (2.139) (2.960) (2.219) (3.734)
Net Asset Value, End of Period $58.85 $65.16 $67.64 $70.85 $57.54
 
Total Return2 -6.48% -0.61% -0.61% 27.64% 7.93%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $3,609 $4,137 $3,949 $3,340 $2,508
Ratio of Total Expenses to Average Net Assets 0.10% 0.12% 0.12% 0.12% 0.12%
Ratio of Net Investment Income to          
Average Net Assets 3.51% 3.19% 4.26%1 3.16% 3.89%
Portfolio Turnover Rate 3 6% 13% 7% 10% 7%

 

1 Net investment income per share and the ratio of net investment income to average net assets include $.695 and 0.97%, respectively,
resulting from income received from Vodafone Group plc in the form of cash and shares in Verizon Communications Inc. in February 2014.
2 Total returns do not include transaction or account service fees that may have applied in the periods shown. Fund prospectuses provide
information about any applicable transaction and account service fees.
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.

22

 

European Stock Index Fund          
 
 
Financial Highlights          
 
 
Institutional Shares          
 
For a Share Outstanding     Year Ended October 31,
Throughout Each Period 2016 2015 2014 2013 2012
Net Asset Value, Beginning of Period $27.79 $28.85 $30.21 $24.54 $24.36
Investment Operations          
Net Investment Income .. 921 .. 910 1.2821 ..871 ..875
Net Realized and Unrealized Gain (Loss)          
on Investments (2.719) (1.048) (1.371) 5.755 ..912
Total from Investment Operations (1.798) (.138) (.089) 6.626 1.787
Distributions          
Dividends from Net Investment Income (.892) (.922) (1.271) (.956) (1.607)
Distributions from Realized Capital Gains
Total Distributions (.892) (.922) (1.271) (.956) (1.607)
Net Asset Value, End of Period $25.10 $27.79 $28.85 $30.21 $24.54
 
Total Return2 -6.46% -0.58% -0.55% 27.66% 7.95%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $574 $867 $1,006 $901 $762
Ratio of Total Expenses to Average Net Assets 0.08% 0.09% 0.09% 0.09% 0.09%
Ratio of Net Investment Income to          
Average Net Assets 3.53% 3.22% 4.29%1 3.19% 3.92%
Portfolio Turnover Rate 3 6% 13% 7% 10% 7%

 

1 Net investment income per share and the ratio of net investment income to average net assets include $.297 and 0.97%, respectively,
resulting from income received from Vodafone Group plc in the form of cash and shares in Verizon Communications Inc. in February 2014.
2 Total returns do not include transaction fees that may have applied in the periods shown. Fund prospectuses provide information about any
applicable transaction fees.
3 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares,
including ETF Creation Units.

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

23

 

European Stock Index Fund        
 
 
Financial Highlights        
 
 
Institutional Plus Shares        
  Year Dec. 5, Nov. 1, May 17,
  Ended 20143 to 2013 to 20131 to
  Oct. 31, Oct. 31, March 17, Oct 31,
For a Share Outstanding Throughout Each Period 2016 2015 20142 2013
Net Asset Value, Beginning of Period $124.09 $131.51 $126.52 $116.90
Investment Operations        
Net Investment Income 4.121 3.878 2.2534 2.257
Net Realized and Unrealized Gain (Loss) on Investments (12.133) (7.151) 2.866 9.966
Total from Investment Operations (8.012) (3.273) 5.119 12.223
Distributions        
Dividends from Net Investment Income (3.988) (4.147) (.539) (2.603)
Distributions from Realized Capital Gains
Total Distributions (3.988) (4.147) (.539) (2.603)
Net Asset Value, End of Period $112.09 $124.09 $131.102 $126.52
 
Total Return -6.45% -2.59% 4.06% 10.81%
 
Ratios/Supplemental Data        
Net Assets, End of Period (Millions) $99 $242 $110
Ratio of Total Expenses to Average Net Assets 0.07% 0.08%5 0.08%5 0.08%5
Ratio of Net Investment Income to Average Net Assets 3.54% 3.11%5 4.80%4,5 3.20%5
Portfolio Turnover Rate 6 6% 13% 7% 10%

 

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

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

24

 

European Stock Index Fund

Notes to Financial Statements

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

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

1. Security Valuation: Securities are valued as of the close of trading on the New York Stock Exchange (generally 4 p.m., Eastern time) on the valuation date. Equity securities are valued at the latest quoted sales prices or official closing prices taken from the primary market in which each security trades; such securities not traded on the valuation date are valued at the mean of the latest quoted bid and asked prices. Securities for which market quotations are not readily available, or whose values have been affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued at their fair values calculated according to procedures adopted by the board of trustees. These procedures include obtaining quotations from an independent pricing service, monitoring news to identify significant market- or security-specific events, and evaluating changes in the values of foreign market proxies (for example, ADRs, futures contracts, or exchange-traded funds), between the time the foreign markets close and the fund’s pricing time. When fair-value pricing is employed, the prices of securities used by a fund to calculate its net asset value may differ from quoted or published prices for the same securities. Investments in Vanguard Market Liquidity Fund are valued at that fund’s net asset value. Temporary cash investments acquired over 60 days to maturity are valued using the latest bid prices or using valuations based on a matrix system (which considers such factors as security prices, yields, maturities, and ratings), both as furnished by independent pricing services. Other temporary cash investments are valued at amortized cost, which approximates market 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 and Forward Currency Contracts: The fund uses index futures contracts to a limited extent, with the objectives of maintaining full exposure to the stock market, enhancing returns, maintaining liquidity, and minimizing transaction costs. The fund may purchase futures contracts to immediately invest incoming cash in the market, or sell futures in response to cash outflows, thereby simulating a fully invested position in the underlying index while maintaining a cash balance for liquidity. The fund may seek to enhance returns by using futures contracts instead of the underlying securities when

25

 

European Stock Index Fund

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

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

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

During the year ended October 31, 2016, the fund’s average investments in long and short futures contracts represented less than 1% and 0% of net assets, respectively, based on the average of aggregate settlement values at each quarter-end during the period. The fund’s average investment in forward currency contracts represented 4% of net assets, based on the average of notional amounts at each quarter-end during the period.

26

 

European Stock Index Fund

4. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. Management has analyzed the fund’s tax positions taken for all open federal income tax years (October 31, 2013–2016), and has concluded that no provision for federal income tax is required in the fund’s financial statements.

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

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

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

The fund had no borrowings outstanding at October 31, 2016, or at any time during the period then ended.

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

27

 

European Stock Index Fund

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

Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses) 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. Vanguard does not require reimbursement in the current period for certain costs of operations (such as deferred compensation/benefits and risk/insurance costs); the fund’s liability for these costs of operations is included in Payables to Vanguard on the Statement of Net Assets.

Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At October 31, 2016, the fund had contributed to Vanguard capital in the amount of $1,244,000, representing 0.01% of the fund’s net assets and 0.50% of Vanguard’s capitalization. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.

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

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

28

 

European Stock Index Fund

The following table summarizes the market value of the fund’s investments as of October 31, 2016, based on the inputs used to value them:

  Level 1 Level 2 Level 3
Investments ($000) ($000) ($000)
Common Stocks 8,336 15,391,073
Temporary Cash Investments 230,297 23,391
Futures Contracts—Liabilities1 (150)
Forward Currency Contracts—Assets 1,492
Forward Currency Contracts—Liabilities (6,269)
Total 238,483 15,409,687
1 Represents variation margin on the last day of the reporting period.      

 

D. At October 31, 2016, the fair values of derivatives were reflected in the Statement of Net Assets as follows:

    Foreign  
  Equity Exchange  
  Contracts Contracts Total
Statement of Net Assets Caption ($000) ($000) ($000)
Other Assets 1,492 1,492
Other Liabilities (150) (6,269) (6,419)

 

Realized net gain (loss) and the change in unrealized appreciation (depreciation) on derivatives for the year ended October 31, 2016, were:

    Foreign  
  Equity Exchange  
  Contracts Contracts Total
Realized Net Gain (Loss) on Derivatives ($000) ($000) ($000)
Futures Contracts 15,404 15,404
Forward Currency Contracts (9,678) (9,678)
Realized Net Gain (Loss) on Derivatives 15,404 (9,678) 5,726
 
Change in Unrealized Appreciation (Depreciation) on Derivatives      
Futures Contracts (9,675) (9,675)
Forward Currency Contracts (5,413) (5,413)
Change in Unrealized Appreciation (Depreciation) on Derivatives (9,675) (5,413) (15,088)

 

29

 

European Stock Index Fund

At October 31, 2016, the aggregate settlement value of open futures contracts and the related unrealized appreciation (depreciation) were:

        ($000)
      Aggregate  
    Number of Settlement Unrealized
    Long (Short) Value Appreciation
Futures Contracts Expiration Contracts Long (Short) (Depreciation)
Dow Jones EURO STOXX 50 Index December 2016 570 19,076 266
FTSE 100 Index December 2016 92 7,783 (333)
        (67)

 

Unrealized appreciation (depreciation) on open futures contracts is required to be treated as realized gain (loss) for tax purposes.

At October 31, 2016, the fund had open forward currency contracts to receive and deliver currencies as follows. Unrealized appreciation (depreciation) on open forward currency contracts is treated as realized gain (loss) for tax purposes.

            Unrealized
  Contract         Appreciation
        Contract Amount (000)  
  Settlement         (Depreciation)
Counterparty Date   Receive   Deliver ($000)
BNP Paribas 12/21/16 EUR 55,963 USD 62,736 (1,152)
Toronto-Dominion Securities 12/21/16 EUR 51,870 USD 58,544 (1,466)
Bank of America, N.A. 12/21/16 GBP 19,616 USD 26,252 (2,210)
BNP Paribas 12/21/16 GBP 12,792 USD 16,330 (653)
JPMorgan Chase Bank, N.A. 12/21/16 GBP 5,880 USD 7,855 (649)
Citibank, N.A. 12/21/16 USD 32,525 EUR 29,676 (131)
Barclays Bank PLC 12/21/16 USD 32,317 EUR 28,878 539
Citibank, N.A. 12/21/16 USD 21,759 EUR 19,636 152
JPMorgan Chase Bank, N.A. 12/21/16 USD 15,012 EUR 13,549 102
Goldman Sachs International 12/21/16 USD 13,833 GBP 10,745 664
JPMorgan Chase Bank, N.A. 12/21/16 USD 9,128 GBP 7,448
Goldman Sachs International 12/21/16 USD 7,156 GBP 5,846 (8)
Barclays Bank PLC 12/21/16 USD 5,605 GBP 4,561 16
JPMorgan Chase Bank, N.A. 12/21/16 USD 5,602 GBP 4,556 19
            (4,777)
EUR—Euro.            
GBP—British pound.            
USD—U.S. dollar.            

 

At October 31, 2016, the counterparties had deposited in segregated accounts securities and cash with a value of $2,090,000 in connection with open forward currency contracts.

30

 

European Stock Index Fund

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

During the year ended October 31, 2016, the fund realized net foreign currency losses of $12,851,000, which decreased distributable net income for tax purposes; accordingly, such losses have been reclassified from accumulated net realized losses to undistributed net investment income.

During the year ended October 31, 2016, the fund realized $141,245,000 of net capital losses resulting from in-kind redemptions—in which shareholders exchanged fund shares for securities held by the fund rather than for cash. Because such gains are not taxable to the fund, and are not distributed to shareholders, they have been reclassified from accumulated net realized losses to paid-in capital.

For tax purposes, at October 31, 2016, the fund had $37,132,000 of ordinary income available for distribution. The fund used capital loss carryforwards of $115,230,000 to offset taxable capital gains realized during the year ended October 31, 2016. At October 31, 2016, the fund had available capital losses totaling $2,065,201,000 to offset future net capital gains of $1,500,333,000 through October 31, 2017, $282,885,000 through October 31, 2018, and $166,753,000 through October 31, 2019.

At October 31, 2016, the cost of investment securities for tax purposes was $21,368,194,000. Net unrealized depreciation of investment securities for tax purposes was $5,715,097,000, consisting of unrealized gains of $513,906,000 on securities that had risen in value since their purchase and $6,229,003,000 in unrealized losses on securities that had fallen in value since their purchase.

F. During the year ended October 31, 2016, the fund purchased $1,246,858,000 of investment securities and sold $5,163,653,000 of investment securities, other than temporary cash investments. Purchases and sales include $213,143,000 and $3,903,894,000, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.

31

 

European Stock Index Fund

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

      Year Ended October 31,
    2016   2015
  Amount Shares Amount Shares
  ($000) (000) ($000) (000)
Investor Shares        
Issued 100,437 3,906 173,988 5,929
Issued in Lieu of Cash Distributions 17,789 697 20,022 684
Redeemed (172,081) (6,639) (215,791) (7,454)
Net Increase (Decrease)—Investor Shares (53,855) (2,036) (21,781) (841)
ETF Shares        
Issued 340,229 7,004 5,207,514 94,654
Issued in Lieu of Cash Distributions
Redeemed (3,906,845) (82,200) (589,154) (11,500)
Net Increase (Decrease)—ETF Shares (3,566,616) (75,196) 4,618,360 83,154
Admiral Shares        
Issued 454,762 7,584 936,063 13,685
Issued in Lieu of Cash Distributions 108,578 1,827 111,233 1,634
Redeemed (697,279) (11,579) (683,633) (10,195)
Net Increase (Decrease)—Admiral Shares (133,939) (2,168) 363,663 5,124
Institutional Shares        
Issued 129,495 5,017 293,093 10,179
Issued in Lieu of Cash Distributions 19,570 772 21,252 732
Redeemed (362,750) (14,133) (432,471) (14,564)
Net Increase (Decrease)—Institutional Shares (213,685) (8,344) (118,126) (3,653)
Institutional Plus Shares        
Issued 35,730 311 276,203 2,054
Issued in Lieu of Cash Distributions 3,926 34 6,528 50
Redeemed (160,800) (1,413) (18,000) (154)
Net Increase (Decrease)—Institutional Plus Shares (121,144) (1,068) 264,731 1,950

 

H. Management has determined that no material events or transactions occurred subsequent to October 31, 2016, that would require recognition or disclosure in these financial statements.

32

 

Pacific Stock Index Fund

Fund Profile
As of October 31, 2016

Share-Class Characteristics        
  Investor FTSE Pacific ETF Admiral Institutional
  Shares Shares Shares Shares
Ticker Symbol VPACX VPL VPADX VPKIX
Expense Ratio1 0.26% 0.12% 0.12% 0.09%

 

Portfolio Characteristics    
    FTSE FTSE
    Developed Global
    APAC All All Cap
    Cap ex US
  Fund Index Index
Number of Stocks 2,273 2,237 5,783
Median Market Cap $15.7B $15.7B $21.0B
Price/Earnings Ratio 17.0x 17.0x 20.8x
Price/Book Ratio 1.3x 1.3x 1.6x
Return on Equity 10.8% 10.8% 14.3%
Earnings Growth      
Rate 12.5% 12.5% 7.4%
Dividend Yield 2.5% 2.5% 3.0%
Turnover Rate 4%
Short-Term Reserves -0.4%

 

Sector Diversification (% of equity exposure)
    FTSE FTSE
    Developed Global
    APAC All All Cap
    Cap ex US
  Fund Index Index
Basic Materials 7.2% 7.1% 7.8%
Consumer Goods 20.8 20.9 16.2
Consumer Services 10.4 10.4 8.6
Financials 25.0 25.0 25.2
Health Care 6.1 6.1 7.7
Industrials 18.2 18.1 14.7
Oil & Gas 1.6 1.7 6.5
Technology 4.3 4.3 5.6
Telecommunications 3.6 3.6 4.2
Utilities 2.8 2.8 3.5

 

Volatility Measures    
  Spliced  
  Pacific FTSE Global
  Stock All Cap ex US
  Index Index
R-Squared 0.92 0.84
Beta 0.92 0.91
These measures show the degree and timing of the fund’s
fluctuations compared with the indexes over 36 months.

 

Ten Largest Holdings (% of total net assets)
Samsung Electronics Co. Consumer  
Ltd. Electronics 2.7%
Toyota Motor Corp. Automobiles 2.6
Commonwealth Bank of    
Australia Banks 1.6
Westpac Banking Corp. Banks 1.3
AIA Group Ltd. Life Insurance 1.3
Mitsubishi UFJ Financial    
Group Inc. Banks 1.2
Australia & New Zealand    
Banking Group Ltd. Banks 1.0
KDDI Corp. Mobile  
  Telecommunications 0.9
National Australia Bank    
Ltd. Banks 0.9
BHP Billiton General Mining 0.9
Top Ten   14.4%
The holdings listed exclude any temporary cash investments and
equity index products.    

 

1 The expense ratios shown are from the prospectus dated February 26, 2016, and represent estimated costs for the current fiscal year. For the fiscal
year ended October 31, 2016, the expense ratios were 0.26% for Investor Shares, 0.10% for FTSE Pacific ETF Shares, 0.10% for Admiral Shares, and
0.08% for Institutional Shares.

33

 

Pacific Stock Index Fund

Market Diversification (% of equity exposure)
    FTSE FTSE
    Developed Global
    APAC All All Cap
    Cap ex US
  Fund Index Index
Europe 0.0% 0.0% 42.2%
Pacific      
Japan 59.4% 59.3% 18.1%
Australia 16.9 16.8 5.2
South Korea 11.0 11.2 3.4
Hong Kong 8.8 8.8 2.7
Singapore 3.1 3.1 1.0
Other 0.8 0.8 0.3
Subtotal 100.0% 100.0% 30.7%
Emerging Markets 0.0% 0.0% 19.7%
North America 0.0% 0.0% 6.9%
Middle East 0.0% 0.0% 0.5%

 

34

 

Pacific Stock Index Fund

Performance Summary

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

Cumulative Performance: October 31, 2006, Through October 31, 2016
Initial Investment of $10,000


    Average Annual Total Returns  
    Periods Ended October 31, 2016  
          Final Value
    One Five Ten of a $10,000
    Year Years Years Investment
  Pacific Stock Index Fund*Investor        
  Shares 6.40% 6.31% 2.08% $12,289
• • • • • • • • Spliced Pacific Stock Index 5.70 6.19 2.19 12,415
 
– – – – Japan/Pacific Region Funds Average 5.41 7.20 0.99 11,035
  FTSE Global All Cap ex US Index 0.92 4.20 2.24 12,478
For a benchmark description, see the Glossary.        
Japan/Pacific Region Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.    

 

        Final Value
  One Five Ten of a $10,000
  Year Years Years Investment
FTSE Pacific ETF Shares        
Net Asset Value 6.59% 6.46% 2.21% $12,447
Spliced Pacific Stock Index 5.70 6.19 2.19 12,415
FTSE Global All Cap ex US Index 0.92 4.20 2.24 12,478

 

See Financial Highlights for dividend and capital gains information.

35

 

Pacific Stock Index Fund

    Average Annual Total Returns  
  Periods Ended October 31, 2016  
        Final Value
  One Five Ten of a $10,000
  Year Years Years Investment
Pacific Stock Index Fund Admiral Shares 6.57% 6.47% 2.21% $12,448
Spliced Pacific Stock Index 5.70 6.19 2.19 12,415
FTSE Global All Cap ex US Index 0.92 4.20 2.24 12,478

 

        Final Value
  One Five Ten of a $5,000,000
  Year Years Years Investment
Pacific Stock Index Fund Institutional Shares 6.61% 6.49% 2.25% $6,246,771
Spliced Pacific Stock Index 5.70 6.19 2.19 6,207,327
 
FTSE Global All Cap ex US Index 0.92 4.20 2.24 6,238,904

 

Cumulative Returns of ETF Shares: October 31, 2006, Through October 31, 2016    
  One Five Ten
  Year Years Years
FTSE Pacific ETF Shares Market Price 6.58% 37.31% 24.16%
FTSE Pacific ETF Shares Net Asset Value 6.59 36.76 24.47
Spliced Pacific Stock Index 5.70 35.00 24.15

 

Fiscal-Year Total Returns (%): October 31, 2006, Through October 31, 2016


For a benchmark description, see the Glossary.

36

 

Pacific Stock Index Fund

Average Annual Total Returns: Periods Ended September 30, 2016
This table presents returns through the latest calendar quarter—rather than through the end of the fiscal period.
Securities and Exchange Commission rules require that we provide this information.

  Inception One Five Ten
  Date Year Years Years
Investor Shares 6/18/1990 15.62% 7.57% 2.49%
FTSE Pacific ETF Shares 3/4/2005      
Market Price   15.74 7.86 2.58
Net Asset Value   15.77 7.70 2.61
Admiral Shares 8/13/2001 15.75 7.71 2.62
Institutional Shares 5/15/2000 15.70 7.74 2.65

 

37

 

Pacific Stock Index Fund

Financial Statements

Statement of Net Assets—Investments Summary
As of October 31, 2016

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

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

    Market Percentage
    Value of Net
  Shares ($000) Assets
Common Stocks      
Australia      
Commonwealth Bank of Australia 1,615,225 89,922 1.6%
Westpac Banking Corp. 3,170,785 73,325 1.3%
Australia & New Zealand Banking Group Ltd. 2,773,182 58,557 1.0%
National Australia Bank Ltd. 2,524,978 53,599 0.9%
BHP Billiton Ltd. 3,064,581 53,541 0.9%
Wesfarmers Ltd. 1,068,281 33,265 0.6%
CSL Ltd. 435,916 33,263 0.6%
Woolworths Ltd. 1,207,043 21,662 0.4%
1 Australia—Other †   550,904 9.5%
    968,038 16.8%
Hong Kong      
AIA Group Ltd. 11,502,645 72,363 1.3%
CK Hutchison Holdings Ltd. 2,695,591 33,285 0.6%
Hong Kong Exchanges & Clearing Ltd. 1,162,397 30,730 0.5%
Cheung Kong Property Holdings Ltd. 2,698,091 19,946 0.4%
Sun Hung Kai Properties Ltd. 1,335,118 19,881 0.3%
1 Hong Kong—Other †   329,631 5.7%
    505,836 8.8%
Japan      
Toyota Motor Corp. 2,598,707 150,743 2.6%
Mitsubishi UFJ Financial Group Inc. 12,934,024 66,737 1.2%
KDDI Corp. 1,764,400 53,626 0.9%
SoftBank Group Corp. 818,070 51,523 0.9%
Honda Motor Co. Ltd. 1,705,527 51,032 0.9%
Japan Tobacco Inc. 1,141,059 43,383 0.8%
Sumitomo Mitsui Financial Group Inc. 1,235,334 42,831 0.7%
Mizuho Financial Group Inc. 23,793,341 40,062 0.7%
Sony Corp. 1,194,744 37,656 0.7%
FANUC Corp. 186,176 34,087 0.6%
Takeda Pharmaceutical Co. Ltd. 735,991 32,917 0.6%

 

38

 

Pacific Stock Index Fund        
 
 
 
      Market Percentage
      Value of Net
    Shares ($000) Assets
Keyence Corp.   43,477 31,873 0.6%
NTT DOCOMO Inc.   1,248,800 31,362 0.5%
East Japan Railway Co.   355,285 31,275 0.5%
Seven & i Holdings Co. Ltd.   741,954 30,969 0.5%
Astellas Pharma Inc.   2,022,870 30,023 0.5%
Shin-Etsu Chemical Co. Ltd.   392,755 29,779 0.5%
Central Japan Railway Co.   172,300 29,299 0.5%
Canon Inc.   998,817 28,694 0.5%
Mitsubishi Corp.   1,310,134 28,515 0.5%
Tokio Marine Holdings Inc.   669,390 26,403 0.5%
Mitsubishi Electric Corp.   1,878,654 25,417 0.4%
Murata Manufacturing Co. Ltd.   180,179 25,160 0.4%
Nintendo Co. Ltd.   102,898 24,805 0.4%
Kao Corp.   476,877 24,538 0.4%
Daikin Industries Ltd.   253,212 24,265 0.4%
Hitachi Ltd.   4,411,258 23,516 0.4%
Bridgestone Corp.   610,950 22,803 0.4%
Fuji Heavy Industries Ltd.   583,412 22,798 0.4%
Mitsui & Co. Ltd.   1,622,700 22,483 0.4%
Mitsubishi Estate Co. Ltd.   1,123,982 22,339 0.4%
Nidec Corp.   230,728 22,325 0.4%
Panasonic Corp.   2,025,590 20,896 0.4%
Denso Corp.   478,686 20,830 0.4%
Mitsui Fudosan Co. Ltd.   904,580 20,601 0.4%
Komatsu Ltd.   899,109 20,013 0.3%
Hino Motors Ltd.   262,809 2,865 0.0%
kabu.com Securities Co. Ltd.   130,100 410 0.0%
Japan—Other †     2,162,091 37.5%
      3,410,944 59.1%
 
New Zealand †     46,241 0.8%
 
1Singapore †     178,715 3.1%
 
South Korea        
Samsung Electronics Co. Ltd.   96,318 137,766 2.4%
Samsung Electronics Co. Ltd. Preference Shares   16,427 18,887 0.3%
South Korea—Other †     481,098 8.3%
      637,751 11.0%
Total Common Stocks (Cost $6,702,027)     5,747,525 99.6%2
 
  Coupon      
Temporary Cash Investments        
Money Market Fund        
3,4 Vanguard Market Liquidity Fund 0.718% 1,248,857 124,898 2.1%
 
5U.S. Government and Agency Obligations †     3,300 0.1%
Total Temporary Cash Investments (Cost $128,194)     128,198 2.2%2
6Total Investments (Cost $6,830,221)     5,875,723 101.8%

 

39

 

Pacific Stock Index Fund    
 
 
 
    Percentage
  Amount of Net
  ($000) Assets
Other Assets and Liabilities    
Other Assets    
Investment in Vanguard 436  
Receivables for Investment Securities Sold 129  
Receivables for Accrued Income 25,552  
Receivables for Capital Shares Issued 2,241  
Other Assets 12,342  
Total Other Assets 40,700 0.7%
Liabilities    
Payables for Investment Securities Purchased (4,873)  
Collateral for Securities on Loan (124,959)  
Payables for Capital Shares Redeemed (2,989)  
Payables to Vanguard (6,388)  
Other Liabilities (5,566)  
Total Liabilities (144,775) (2.5%)
Net Assets 5,771,648 100.0%
 
 
At October 31, 2016, net assets consisted of:    
    Amount
    ($000)
Paid-in Capital   7,387,653
Undistributed Net Investment Income   29,225
Accumulated Net Realized Losses   (692,318)
Unrealized Appreciation (Depreciation)    
Investment Securities   (954,498)
Futures Contracts   1,792
Forward Currency Contracts   848
Foreign Currencies   (1,054)
Net Assets   5,771,648

 

40

 

Pacific Stock Index Fund  
 
 
 
  Amount
  ($000)
Investor Shares—Net Assets  
Applicable to 24,610,820 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 281,014
Net Asset Value Per Share—Investor Shares $11.42
 
ETF Shares—Net Assets  
Applicable to 53,683,061 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 3,216,633
Net Asset Value Per Share—ETF Shares $59.92
 
Admiral Shares—Net Assets  
Applicable to 26,759,286 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 1,982,935
Net Asset Value Per Share—Admiral Shares $74.10
 
Institutional Shares—Net Assets  
Applicable to 25,670,072 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 291,066
Net Asset Value Per Share—Institutional Shares $11.34

 

• See Note A in Notes to Financial Statements.
† Represents the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer, represent
1% or less of net assets.
1 Certain of the fund’s securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in
transactions exempt from registration, normally to qualified institutional buyers. At October 31, 2016, the aggregate value of these
securities was $7,950,000, representing 0.1% of net assets.
2 The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect to futures
investments, the fund’s effective common stock and temporary cash investment positions represent 100.1% and 1.7%, respectively,
of net assets.
3 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the
7-day yield.
4 Includes $124,959,000 of collateral received for securities on loan.
5 Securities with a value of $1,700,000 have been segregated as initial margin for open futures contracts.
6 The total value of securities on loan is $115,977,000.
See accompanying Notes, which are an integral part of the Financial Statements.

41

 

Pacific Stock Index Fund  
 
 
Statement of Operations  
 
  Year Ended
  October 31, 2016
  ($000)
Investment Income  
Income  
Dividends1 137,625
Interest2 76
Securities Lending—Net 5,840
Total Income 143,541
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 759
Management and Administrative—Investor Shares 562
Management and Administrative—ETF Shares 1,622
Management and Administrative—Admiral Shares 1,081
Management and Administrative—Institutional Shares 123
Marketing and Distribution—Investor Shares 62
Marketing and Distribution—ETF Shares 209
Marketing and Distribution—Admiral Shares 130
Marketing and Distribution—Institutional Shares 8
Custodian Fees 1,099
Auditing Fees 48
Shareholders’ Reports—Investor Shares 8
Shareholders’ Reports—ETF Shares 42
Shareholders’ Reports—Admiral Shares 7
Shareholders’ Reports—Institutional Shares 10
Trustees’ Fees and Expenses 3
Total Expenses 5,773
Net Investment Income 137,768
Realized Net Gain (Loss)  
Investment Securities Sold2 28,978
Futures Contracts (1,903)
Foreign Currencies and Forward Currency Contracts 7,178
Realized Net Gain (Loss) 34,253
Change in Unrealized Appreciation (Depreciation)  
Investment Securities 159,057
Futures Contracts (252)
Foreign Currencies and Forward Currency Contracts (688)
Change in Unrealized Appreciation (Depreciation) 158,117
Net Increase (Decrease) in Net Assets Resulting from Operations 330,138

 

1 Dividends are net of foreign withholding taxes of $9,440,000.
2 Interest income and realized net gain (loss) from an affiliated company of the fund were $55,000 and $15,000, respectively.
See accompanying Notes, which are an integral part of the Financial Statements.

42

 

Pacific Stock Index Fund    
 
 
Statement of Changes in Net Assets    
 
  Year Ended October 31,
  2016 2015
  ($000) ($000)
Increase (Decrease) in Net Assets    
Operations    
Net Investment Income 137,768 136,527
Realized Net Gain (Loss) 34,253 116,379
Change in Unrealized Appreciation (Depreciation) 158,117 (430,032)
Net Increase (Decrease) in Net Assets Resulting from Operations 330,138 (177,126)
Distributions    
Net Investment Income    
Investor Shares (6,699) (7,391)
ETF Shares (72,522) (67,700)
Admiral Shares (47,540) (46,916)
Institutional Shares (8,137) (7,766)
Realized Capital Gain    
Investor Shares
ETF Shares
Admiral Shares
Institutional Shares
Total Distributions (134,898) (129,773)
Capital Share Transactions    
Investor Shares (37,259) (32,520)
ETF Shares 184,797 328,336
Admiral Shares (71,298) 63,582
Institutional Shares (50,031) 9,869
Net Increase (Decrease) from Capital Share Transactions 26,209 369,267
Total Increase (Decrease) 221,449 62,368
Net Assets    
Beginning of Period 5,550,199 5,487,831
End of Period1 5,771,648 5,550,199

 

1 Net Assets—End of Period includes undistributed (overdistributed) net investment income of $29,225,000 and $20,721,000.

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

43

 

Pacific Stock Index Fund          
 
 
Financial Highlights          
 
 
Investor Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2016 2015 2014 2013 2012
Net Asset Value, Beginning of Period $10.99 $11.59 $11.76 $9.63 $9.74
Investment Operations          
Net Investment Income .257 .258 .282 .246 .278
Net Realized and Unrealized Gain (Loss)          
on Investments .426 (.612) (.147) 2.187 .037
Total from Investment Operations .683 (.354) .135 2.433 .315
Distributions          
Dividends from Net Investment Income (. 253) (. 246) (. 305) (. 303) (. 425)
Distributions from Realized Capital Gains
Total Distributions (. 253) (. 246) (. 305) (. 303) (. 425)
Net Asset Value, End of Period $11.42 $10.99 $11.59 $11.76 $9.63
 
Total Return1 6.40% -3.07% 1.21% 25.72% 3.47%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $281 $309 $360 $398 $360
Ratio of Total Expenses to Average Net Assets 0.26% 0.26% 0.26% 0.26% 0.26%
Ratio of Net Investment Income to          
Average Net Assets 2.39% 2.26% 2.45% 2.27% 2.93%
Portfolio Turnover Rate2 4% 14% 5% 22% 4%

 

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

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

44

 

Pacific Stock Index Fund          
 
 
Financial Highlights          
 
 
FTSE Pacific ETF Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2016 2015 2014 2013 2012
Net Asset Value, Beginning of Period $57.65 $60.80 $61.71 $50.57 $51.18
Investment Operations          
Net Investment Income 1.440 1.443 1.568 1.372 1.544
Net Realized and Unrealized Gain (Loss)          
on Investments 2.240 (3.210) (.791) 11.475 .190
Total from Investment Operations 3.680 (1.767) .777 12.847 1.734
Distributions          
Dividends from Net Investment Income (1.410) (1.383) (1.687) (1.707) (2.344)
Distributions from Realized Capital Gains
Total Distributions (1.410) (1.383) (1.687) (1.707) (2.344)
Net Asset Value, End of Period $59.92 $57.65 $60.80 $61.71 $50.57
 
Total Return 6.59% -2.93% 1.31% 25.88% 3.65%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $3,217 $2,931 $2,760 $2,645 $1,563
Ratio of Total Expenses to Average Net Assets 0.10% 0.12% 0.12% 0.12% 0.12%
Ratio of Net Investment Income to          
Average Net Assets 2.55% 2.40% 2.59% 2.41% 3.07%
Portfolio Turnover Rate1 4% 14% 5% 22% 4%

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

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

45

 

Pacific Stock Index Fund          
 
 
Financial Highlights          
 
 
Admiral Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2016 2015 2014 2013 2012
Net Asset Value, Beginning of Period $71.30 $75.19 $76.32 $62.54 $63.28
Investment Operations          
Net Investment Income 1.781 1.783 1.937 1.695 1.905
Net Realized and Unrealized Gain (Loss)          
on Investments 2.763 (3.963) (.982) 14.194 .249
Total from Investment Operations 4.544 (2.180) .955 15.889 2.154
Distributions          
Dividends from Net Investment Income (1.744) (1.710) (2.085) (2.109) (2.894)
Distributions from Realized Capital Gains
Total Distributions (1.744) (1.710) (2.085) (2.109) (2.894)
Net Asset Value, End of Period $74.10 $71.30 $75.19 $76.32 $62.54
 
Total Return1 6.57% -2.92% 1.32% 25.89% 3.65%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $1,983 $1,981 $2,032 $1,832 $1,415
Ratio of Total Expenses to Average Net Assets 0.10% 0.12% 0.12% 0.12% 0.12%
Ratio of Net Investment Income to          
Average Net Assets 2.55% 2.40% 2.59% 2.41% 3.07%
Portfolio Turnover Rate2 4% 14% 5% 22% 4%

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

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

46

 

Pacific Stock Index Fund          
 
 
Financial Highlights          
 
 
Institutional Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2016 2015 2014 2013 2012
Net Asset Value, Beginning of Period $10.91 $11.50 $11.68 $9.57 $9.69
Investment Operations          
Net Investment Income .275 .276 .300 .263 .295
Net Realized and Unrealized Gain (Loss)          
on Investments .424 (.601) (.158) 2.174 .034
Total from Investment Operations .699 (.325) .142 2.437 .329
Distributions          
Dividends from Net Investment Income (. 269) (. 265) (. 322) (. 327) (. 449)
Distributions from Realized Capital Gains
Total Distributions (. 269) (. 265) (. 322) (. 327) (. 449)
Net Asset Value, End of Period $11.34 $10.91 $11.50 $11.68 $9.57
 
Total Return1 6.61% -2.84% 1.28% 25.96% 3.65%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $291 $329 $336 $437 $406
Ratio of Total Expenses to Average Net Assets 0.08% 0.09% 0.09% 0.09% 0.09%
Ratio of Net Investment Income to          
Average Net Assets 2.57% 2.43% 2.62% 2.44% 3.10%
Portfolio Turnover Rate2 4% 14% 5% 22% 4%

 

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

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

47

 

Pacific Stock Index Fund

Notes to Financial Statements

Vanguard Pacific Stock Index Fund is registered under the Investment Company Act of 1940 as an open-end investment company, or mutual fund. The fund invests in securities of foreign issuers, which may subject it to investment risks not normally associated with investing in securities of U.S. corporations. The fund offers five classes of shares: Investor Shares, ETF Shares, Admiral Shares, Institutional Shares and Institutional Plus Shares. Investor Shares are available to any investor who meets the fund’s minimum purchase requirements. ETF Shares, known as Vanguard FTSE Pacific ETF Shares, are listed for trading on NYSE Arca; they can be purchased and sold through a broker. Admiral Shares, Institutional Shares, and Institutional Plus Shares are designed for investors who meet certain administrative, service, and account-size criteria. The fund has not issued any Institutional Plus Shares through October 31, 2016.

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

1. Security Valuation: Securities are valued as of the close of trading on the New York Stock Exchange (generally 4 p.m., Eastern time) on the valuation date. Equity securities are valued at the latest quoted sales prices or official closing prices taken from the primary market in which each security trades; such securities not traded on the valuation date are valued at the mean of the latest quoted bid and asked prices. Securities for which market quotations are not readily available, or whose values have been affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued at their fair values calculated according to procedures adopted by the board of trustees. These procedures include obtaining quotations from an independent pricing service, monitoring news to identify significant market- or security-specific events, and evaluating changes in the values of foreign market proxies (for example, ADRs, futures contracts, or exchange-traded funds), between the time the foreign markets close and the fund’s pricing time. When fair-value pricing is employed, the prices of securities used by a fund to calculate its net asset value may differ from quoted or published prices for the same securities. Investments in Vanguard Market Liquidity Fund are valued at that fund’s net asset value. Temporary cash investments acquired over 60 days to maturity are valued using the latest bid prices or using valuations based on a matrix system (which considers such factors as security prices, yields, maturities, and ratings), both as furnished by independent pricing services. Other temporary cash investments are valued at amortized cost, which approximates market 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 and Forward Currency Contracts: The fund uses index futures contracts to a limited extent, with the objectives of maintaining full exposure to the stock market, enhancing returns, maintaining liquidity, and minimizing transaction costs. The fund may purchase futures contracts to immediately invest incoming cash in the market, or sell futures in response to cash outflows, thereby simulating a fully invested position in the underlying index while maintaining a cash balance for liquidity. The fund may seek to enhance returns by using futures contracts instead of the underlying securities when futures are believed to be priced more attractively than the underlying securities. The primary risks

48

 

Pacific Stock Index Fund

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

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

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

During the year ended October 31, 2016, the fund’s average investments in long and short futures contracts represented less than 1% and 0% of net assets, respectively, based on the average of aggregate settlement values at each quarter-end during the period. The fund’s average investment in forward currency contracts represented 2% of net assets, based on the average of notional amounts at each quarter-end during the period.

49

 

Pacific Stock Index Fund

4. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. Management has analyzed the fund’s tax positions taken for all open federal income tax years (October 31, 2013–2016), and has concluded that no provision for federal income tax is required in the fund’s financial statements.

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

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

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

The fund had no borrowings outstanding at October 31, 2016, or at any time during the period then ended.

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

50

 

Pacific Stock Index Fund

Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses) 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. Vanguard does not require reimbursement in the current period for certain costs of operations (such as deferred compensation/benefits and risk/insurance costs); the fund’s liability for these costs of operations is included in Payables to Vanguard on the Statement of Net Assets.

Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At October 31, 2016, the fund had contributed to Vanguard capital in the amount of $436,000, representing 0.01% of the fund’s net assets and 0.17% of Vanguard’s capitalization. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.

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

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

The following table summarizes the market value of the fund’s investments as of October 31, 2016, based on the inputs used to value them:

  Level 1 Level 2 Level 3
Investments ($000) ($000) ($000)
Common Stocks 638 5,746,233 654
Temporary Cash Investments 124,898 3,300
Futures Contracts—Assets1 100
Futures Contracts—Liabilities1 (7)
Forward Currency Contracts—Assets 1,838
Forward Currency Contracts—Liabilities (990)
Total 125,629 5,750,381 654
1 Represents variation margin on the last day of the reporting period.

 

51

 

Pacific Stock Index Fund

D. At October 31, 2016, the fair values of derivatives were reflected in the Statement of Net Assets as follows:

    Foreign  
  Equity Exchange  
  Contracts Contracts Total
Statement of Net Assets Caption ($000) ($000) ($000)
Other Assets 100 1,838 1,938
Other Liabilities (7) (990) (997)

 

Realized net gain (loss) and the change in unrealized appreciation (depreciation) on derivatives for the year ended October 31, 2016, were:

    Foreign  
  Equity Exchange  
  Contracts Contracts Total
Realized Net Gain (Loss) on Derivatives ($000) ($000) ($000)
Futures Contracts (1,903) (1,903)
Forward Currency Contracts 4,061 4,061
Realized Net Gain (Loss) on Derivatives (1,903) 4,061 2,158
 
Change in Unrealized Appreciation (Depreciation) on Derivatives      
Futures Contracts (252) (252)
Forward Currency Contracts 194 194
Change in Unrealized Appreciation (Depreciation) on Derivatives (252) 194 (58)

 

At October 31, 2016, the aggregate settlement value of open futures contracts and the related unrealized appreciation (depreciation) were:

      ($000)
      Aggregate  
    Number of Settlement Unrealized
    Long (Short) Value Appreciation
Futures Contracts Expiration Contracts Long (Short) (Depreciation)
Topix Index December 2016 153 19,753 1,625
S&P ASX 200 Index December 2016 83 8,353 167
        1,792

 

52

 

Pacific Stock Index Fund

At October 31, 2016, the fund had open forward currency contracts to receive and deliver currencies as follows. Unrealized appreciation (depreciation) on open forward currency contracts is treated as realized gain (loss) for tax purposes.

            Unrealized
  Contract         Appreciation
  Settlement Contract Amount (000) (Depreciation)
Counterparty Date   Receive   Deliver ($000)
BNP Paribas 12/13/16 JPY 3,303,015 USD 32,395 (843)
Goldman Sachs Bank USA 12/20/16 AUD 20,999 USD 15,613 341
Citibank, N.A. 12/13/16 KRW 3,529,575 USD 3,219 (135)
BNP Paribas 12/13/16 USD 13,799 JPY 1,383,500 584
Bank of America, N.A. 12/13/16 USD 13,790 JPY 1,383,500 574
Goldman Sachs Bank USA 12/13/16 USD 8,008 JPY 807,600 294
JPMorgan Chase Bank, N.A. 12/20/16 USD 5,199 AUD 6,841 1
JPMorgan Chase Bank, N.A. 12/13/16 USD 5,042 JPY 529,150 (12)
BNP Paribas 12/20/16 USD 2,997 AUD 3,939 4
Citibank, N.A. 12/13/16 USD 2,996 JPY 309,465 40
            848
AUD—Australian dollar.
JPY—Japanese yen.
KRW—Korean won.
USD—U.S. dollar.

 

At October 31, 2016, the counterparties had deposited in segregated accounts securities with a value of $1,045,000 in connection with open forward currency contracts.

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

During the year ended October 31, 2016, the fund realized net foreign currency gains of $3,117,000, which increased distributable net income for tax purposes; accordingly, such gains have been reclassified from accumulated net realized losses to undistributed net investment income.

During the year ended October 31, 2016, the fund realized $23,054,000 of net capital gains resulting from in-kind redemptions—in which shareholders exchanged fund shares for securities held by the fund rather than for cash. Because such gains are not taxable to the fund, and are not distributed to shareholders, they have been reclassified from accumulated net realized losses to paid-in capital.

For tax purposes, at October 31, 2016, the fund had $50,704,000 of ordinary income available for distribution. The fund used capital loss carryforwards of $5,759,000 to offset taxable capital gains realized during the year ended October 31, 2016. At October 31, 2016, the fund had available capital

53

 

Pacific Stock Index Fund

losses totaling $691,470,000 to offset future net capital gains of $607,343,000 through October 31, 2017, $29,743,000 through October 31, 2018, and $54,384,000 through October 31, 2019. Capital loss carryforwards of $412,587,000 expired on October 31, 2016; accordingly, such losses have been reclassified from accumulated net realized losses to paid-in capital.

At October 31, 2016, the cost of investment securities for tax purposes was $6,845,592,000. Net unrealized depreciation of investment securities for tax purposes was $969,869,000, consisting of unrealized gains of $628,112,000 on securities that had risen in value since their purchase and $1,597,981,000 in unrealized losses on securities that had fallen in value since their purchase.

F. During the year ended October 31, 2016, the fund purchased $694,062,000 of investment securities and sold $668,868,000 of investment securities, other than temporary cash investments. Purchases and sales include $452,383,000 and $377,206,000, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.

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

  Year Ended October 31,
  2016 2015
  Amount Shares Amount Shares
  ($000) (000) ($000) (000)
Investor Shares        
Issued 31,068 2,889 64,269 5,573
Issued in Lieu of Cash Distributions 6,289 591 6,971 624
Redeemed (74,616) (6,949) (103,760) (9,176)
Net Increase (Decrease)—Investor Shares (37,259) (3,469) (32,520) (2,979)
ETF Shares        
Issued 611,197 10,738 830,517 14,049
Issued in Lieu of Cash Distributions
Redeemed (426,400) (7,900) (502,181) (8,600)
Net Increase (Decrease)—ETF Shares 184,797 2,838 328,336 5,449
Admiral Shares        
Issued 178,591 2,564 320,195 4,274
Issued in Lieu of Cash Distributions 39,890 578 39,790 549
Redeemed (289,779) (4,172) (296,403) (4,062)
Net Increase (Decrease)—Admiral Shares (71,298) (1,030) 63,582 761
Institutional Shares        
Issued 67,558 6,430 53,168 4,727
Issued in Lieu of Cash Distributions 5,752 545 4,987 450
Redeemed (123,341) (11,466) (48,286) (4,222)
Net Increase (Decrease)—Institutional Shares (50,031) (4,491) 9,869 955

 

H. Management has determined that no material events or transactions occurred subsequent to October 31, 2016, that would require recognition or disclosure in these financial statements.

54

 

Report of Independent Registered
Public Accounting Firm

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

In our opinion, the accompanying statements of net assets—investments summary and the related statements of operations and of changes in net assets and the financial highlights present fairly, in all material respects, the financial position of Vanguard European Stock Index Fund and Vanguard Pacific Stock Index Fund (constituting separate portfolios of Vanguard International Equity Index Funds, hereafter referred to as the “Funds”) at October 31, 2016, the results of each of their operations for the year then ended, the changes in each of their net assets for each of the two years in the period then ended, and the financial highlights for each of the periods indicated, in conformity with accounting principles generally accepted in the United States of America. These financial statements and financial highlights (hereafter referred to as “financial statements”) are the responsibility of the Funds’ management. Our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these financial statements in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits, which included confirmation of securities at October 31, 2016 by correspondence with the custodian and brokers and by agreement to the underlying ownership records of the transfer agent, provide a reasonable basis for our opinion.

/s/PricewaterhouseCoopers LLP
Philadelphia, Pennsylvania
December 15, 2016

55

 


Special 2016 tax information (unaudited) for Vanguard European Stock Index Fund

This information for the fiscal year ended October 31, 2016, is included pursuant to provisions of the
Internal Revenue Code.

The fund distributed $527,641,000 of qualified dividend income to shareholders during the fiscal year.

The fund designates to shareholders foreign source income of $567,612,000 and foreign taxes paid
of $39,066,000. Shareholders will receive more detailed information with their Form 1099-DIV in
January 2017 to determine the calendar year amounts to be included on their 2016 tax returns.


Special 2016 tax information (unaudited) for Vanguard Pacific Stock Index Fund

This information for the fiscal year ended October 31, 2016, is included pursuant to provisions of the
Internal Revenue Code.

The fund distributed $106,669,000 of qualified dividend income to shareholders during the fiscal year.

The fund designates to shareholders foreign source income $140,279,000 and foreign taxes paid
of $9,085,000. Shareholders will receive more detailed information with their Form 1099-DIV in
January 2017 to determine the calendar year amounts to be included on their 2016 tax returns.

56

 

Your Fund’s After-Tax Returns

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

Calculations are based on the highest individual federal income tax and capital gains tax rates in effect at the times of the distributions and the hypothetical sales. State and local taxes were not considered. After-tax returns reflect any qualified dividend income, using actual prior-year figures and estimates for 2016. (In the example, returns after the sale of fund shares may be higher than those assuming no sale. This occurs when the sale would have produced a capital loss. The calculation assumes that the investor received a tax deduction for the loss.)

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

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

Average Annual Total Returns: International Stock Index Funds      
Periods Ended October 31, 2016      
 
  One Five Ten
  Year Years Years
European Stock Index Fund Investor Shares      
Returns Before Taxes -6.63% 4.79% 0.92%
Returns After Taxes on Distributions -7.46 3.90 0.19
Returns After Taxes on Distributions and Sale of Fund Shares -3.24 3.80 0.84

 

  One Five Ten
  Year Years Years
Pacific Stock Index Fund Investor Shares      
Returns Before Taxes 6.40% 6.31% 2.08%
Returns After Taxes on Distributions 5.74 5.59 1.53
Returns After Taxes on Distributions and Sale of Fund Shares 3.99 4.87 1.62

 

57

 

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.

58

 

Six Months Ended October 31, 2016      
  Beginning Ending Expenses
  Account Value Account Value Paid During
  4/30/2016 10/31/2016 Period
Based on Actual Fund Return      
European Stock Index Fund      
Investor Shares $1,000.00 $965.93 $1.28
FTSE Europe ETF Shares 1,000.00 967.31 0.64
Admiral Shares 1,000.00 966.77 0.44
Institutional Shares 1,000.00 966.95 0.35
Institutional Plus Shares 1,000.00 966.84 0.30
Pacific Stock Index Fund      
Investor Shares $1,000.00 $1,083.12 $1.36
FTSE Pacific ETF Shares 1,000.00 1,083.50 0.52
Admiral Shares 1,000.00 1,083.30 0.52
Institutional Shares 1,000.00 1,083.72 0.42
Based on Hypothetical 5% Yearly Return      
European Stock Index Fund      
Investor Shares $1,000.00 $1,023.83 $1.32
FTSE Europe ETF Shares 1,000.00 1,024.48 0.66
Admiral Shares 1,000.00 1,024.68 0.46
Institutional Shares 1,000.00 1,024.78 0.36
Institutional Plus Shares 1,000.00 1,024.83 0.31
Pacific Stock Index Fund      
Investor Shares $1,000.00 $1,023.83 $1.32
FTSE Pacific ETF Shares 1,000.00 1,024.63 0.51
Admiral Shares 1,000.00 1,024.63 0.51
Institutional Shares 1,000.00 1,024.73 0.41

 

The calculations are based on expenses incurred in the most recent six-month period. The funds’ annualized six-month expense ratios for that
period are: for the European Stock Index Fund, 0.26% for Investor Shares, 0.13% for FTSE Europe ETF Shares, 0.09% for Admiral
Shares, 0.07% for Institutional Shares, and 0.06% for Institutional Plus Shares; and for the Pacific Stock Index Fund, 0.26% for Investor
Shares, 0.10% for FTSE Pacific ETF Shares, 0.10% for Admiral Shares, and 0.08% for Institutional Shares. The dollar amounts shown as
“Expenses Paid” are equal to the annualized expense ratio multiplied by the average account value over the period, multiplied by the number
of days in the most recent six-month period, then divided by the number of days in the most recent 12-month period (184/366).

59

 

Glossary

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

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

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

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

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

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

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

Price/Book Ratio. The share price of a stock divided by its net worth, or book value, per share. For a fund, the weighted average price/book ratio of the stocks it holds.

60

 

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

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

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

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

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

Benchmark Information

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

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

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The People Who Govern Your Fund

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

A majority of Vanguard’s board members are independent, meaning that they have no affiliation with Vanguard or the funds they oversee, apart from the sizable personal investments they have made as private individuals. The independent board members have distinguished backgrounds in business, academia, and public service. Each of the trustees and executive officers oversees 198 Vanguard funds.

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

InterestedTrustee1

 

F. William McNabb III

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

 

Emerson U. Fullwood

Born 1948. Trustee Since January 2008. Principal
Occupation(s) During the Past Five Years and Other
Experience: Executive Chief Staff and Marketing
Officer for North America and Corporate Vice President
(retired 2008) of Xerox Corporation (document manage-
ment products and services); Executive in Residence
and 2009–2010 Distinguished Minett Professor at
the Rochester Institute of Technology; Lead Director
of SPX FLOW, Inc. (multi-industry manufacturing);
Director of the United Way of Rochester, the University
of Rochester Medical Center, Monroe Community
College Foundation, North Carolina A&T University,
and Roberts Wesleyan College.
Rajiv L. Gupta
Born 1945. Trustee Since December 2001.2 Principal
Occupation(s) During the Past Five Years and Other
Experience: Chairman and Chief Executive Officer
(retired 2009) and President (2006–2008) of
Rohm and Haas Co. (chemicals); Director of Tyco
International plc (diversified manufacturing and
services), HP Inc. (printer and personal computer
manufacturing), and Delphi Automotive plc
(automotive components); Senior Advisor at
New Mountain Capital.

 

Amy Gutmann

Born 1949. Trustee Since June 2006. Principal
Occupation(s) During the Past Five Years and
Other Experience: President of the University of
Pennsylvania; Christopher H. Browne Distinguished
Professor of Political Science, School of Arts and
Sciences, and Professor of Communication, Annenberg
School for Communication, with secondary faculty
appointments in the Department of Philosophy, School
of Arts and Sciences, and at the Graduate School of
Education, University of Pennsylvania; Trustee of the
National Constitution Center; Chair of the Presidential
Commission for the Study of Bioethical Issues.

 

JoAnn Heffernan Heisen

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

 

 

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

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

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

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

Peter F. Volanakis
Born 1955. Trustee Since July 2009. Principal
Occupation(s) During the Past Five Years and
Other Experience: President and Chief Operating
Officer (retired 2010) of Corning Incorporated
(communications equipment); Chairman of the
Board of Trustees of Colby-Sawyer College;
Member of the Advisory Board of the Norris
Cotton Cancer Center.

Executive Officers

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

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

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

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

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

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

 

 

  P.O. Box 2600
  Valley Forge, PA 19482-2600
 
 
 
Connect with Vanguard® > vanguard.com
 
 
 
Fund Information > 800-662-7447  
 
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Institutional Investor Services > 800-523-1036 International Limited (”FTSE”), Frank Russell Company
  (”Russell”), MTS Next Limited (”MTS”), and FTSE TMX
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This material may be used in conjunction TMX®” and ”FTSE Russell” and other service marks
  and trademarks related to the FTSE or Russell indexes
with the offering of shares of any Vanguard are trademarks of the London Stock Exchange Group
fund only if preceded or accompanied by companies and are used by FTSE, MTS, FTSE TMX and
the fund’s current prospectus. Russell under licence. All information is provided for
  information purposes only. No responsibility or liability
All comparative mutual fund data are from Lipper, a can be accepted by the London Stock Exchange Group
Thomson Reuters Company, or Morningstar, Inc., unless companies nor its licensors for any errors or for any
otherwise noted. loss from use of this publication. Neither the London
You can obtain a free copy of Vanguard’s proxy voting Stock Exchange Group companies nor any of its
guidelines by visiting vanguard.com/proxyreporting or by licensors make any claim, prediction, warranty or
calling Vanguard at 800-662-2739. The guidelines are representation whatsoever, expressly or impliedly,
also available from the SEC’s website, sec.gov. In either as to the results to be obtained from the use of
addition, you may obtain a free report on how your fund the FTSE Indexes or the fitness or suitability of the
voted the proxies for securities it owned during the 12 Indexes for any particular purpose to which they might
months ended June 30. To get the report, visit either be put.
vanguard.com/proxyreporting or sec.gov. The Industry Classification Benchmark (”ICB”) is owned
You can review and copy information about your fund at by FTSE. FTSE does not accept any liability to any
the SEC’s Public Reference Room in Washington, D.C. To person for any loss or damage arising out of any error
find out more about this public service, call the SEC at or omission in the ICB.
202-551-8090. Information about your fund is also  
available on the SEC’s website, and you can receive  
copies of this information, for a fee, by sending a  
request in either of two ways: via email addressed to  
publicinfo@sec.gov or via regular mail addressed to the  
Public Reference Section, Securities and Exchange  
Commission, Washington, DC 20549-1520.  
 
  © 2016 The Vanguard Group, Inc.
  All rights reserved.
  Vanguard Marketing Corporation, Distributor.
 
  Q720 122016

 



Annual Report | October 31, 2016

Vanguard Total World Stock Index Fund

 

A new format, unwavering commitment

As you begin reading this report, you’ll notice that we’ve made some improvements to the opening sections—based on feedback from you, our clients.

Page 1 starts with a new ”Your Fund’s Performance at a Glance,” a concise, handy summary of how your fund performed during the period.

In the renamed ”Chairman’s Perspective,” Bill McNabb will focus on enduring principles and investment insights.

We’ve modified some tables, and eliminated some redundancy, but we haven’t removed any information.

At Vanguard, we’re always looking for better ways to communicate and to help you make sound investment decisions. Thank you for entrusting your assets to us.

Contents  
Your Fund’s Performance at a Glance. 1
Chairman’s Perspective. 3
Fund Profile. 7
Performance Summary. 9
Financial Statements. 12
Your Fund’s After-Tax Returns. 33
About Your Fund’s Expenses. 34
Glossary. 36

Please note: The opinions expressed in this report are just that—informed opinions. They should not be considered promises or advice.
Also, please keep in mind that the information and opinions cover the period through the date on the front of this report. Of course, the
risks of investing in your fund are spelled out in the prospectus.
See the Glossary for definitions of investment terms used in this report.
About the cover: No matter what language you speak, Vanguard has one consistent message and set of principles. Our primary
focus is on you, our clients. We conduct our business with integrity as a faithful steward of your assets. This message is shown
translated into seven languages, reflecting our expanding global presence.

 

Your Fund’s Performance at a Glance

• Vanguard Total World Stock Index Fund returned about 3% for the 12 months ended October 31, 2016. Its result is in line with that of its benchmark index and ahead of the average return of its peers.

• U.S. stocks, which represented more than half of the fund’s assets, returned about 4%.

They contributed most to the fund’s performance.

• European stocks, which represented about a fifth of the fund’s assets, returned about –7%. Fallout from Brexit, along with the relative strength of the U.S. dollar against local currencies, weighed on the region’s result.

• Stocks in emerging markets and developed markets in the Pacific region delivered solid gains, returning, respectively, more than 8% and more than 6%.

• Technology, industrials, and basic materials stocks boosted returns; health care, financials, and consumer services stocks detracted from them.

Total Returns: Fiscal Year Ended October 31, 2016  
  Total
  Returns
Vanguard Total World Stock Index Fund  
Investor Shares 2.80%
ETF Shares  
Market Price 2.90
Net Asset Value 2.89
Institutional Shares 2.88
FTSE Global All Cap Index 2.74
Global Funds Average 0.98

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

1

 

Total Returns: Inception Through October 31, 2016  
  Average
  Annual Return
Total World Stock Index Fund Investor Shares (Returns since inception: 6/26/2008) 4.40%
Spliced Total World Stock Index 4.40
Global Funds Average 3.72
For a benchmark description, see the Glossary.
Global Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.

 

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

Expense Ratios        
Your Fund Compared With Its Peer Group        
  Investor ETF Institutional Peer Group
  Shares Shares Shares Average
Total World Stock Index Fund 0.25% 0.14% 0.13% 1.27%

The fund expense ratios shown are from the prospectus dated February 26, 2016, and represent estimated costs for the current fiscal year.
For the fiscal year ended October 31, 2016, the fund’s expense ratios were 0.21% for Investor Shares, 0.11% for ETF Shares, and 0.10% for
Institutional Shares. The peer-group expense ratio is derived from data provided by Lipper, a Thomson Reuters Company, and captures
information through year-end 2015.

Peer group: Global Funds.

2

 

Chairman’s Perspective


Bill McNabb
Chairman and Chief Executive Officer

Dear Shareholder,

Over the three years ended August 31, 2016, investors poured more than $1 trillion into index funds. Indexing now accounts for nearly a third of all mutual fund assets—more than double what it did a decade ago and eight times its share two decades ago.1

By contrast, active management’s commercial struggles have reflected its disappointing investment performance. Over the decade ended December 31, 2015, 82% of actively managed stock funds and 81% of active bond funds have either underperformed their benchmarks or shut down.

This subpar performance has fueled the explosion of asset growth in indexing among individual, retirement, and nonprofit investors. So what might the trend mean for the future of actively managed funds?

Our research and experience indicate that active management can survive—and even succeed—but only if it’s offered at much lower expense.

High costs, which limit a manager’s ability to deliver benchmark-beating returns to clients, are the biggest reason why active has lagged. Industrywide as of December 31, 2015, the average expense ratio for all active stock funds is 1.14%, compared with 0.76% for stock index

1 Sources: Wall Street Journal; Morningstar, Inc.; and Investment Company Institute, 2016.

3

 

funds. And the expense advantage is even wider for bonds; the average expense ratio for an active bond fund is 0.93%, compared with 0.43% for bond index funds.

But even these big differences understate the real gap. These days, it’s not hard to find an index fund that charges maybe 0.05% or 0.10%. So even if you have identified active managers who are skilled at selecting stocks and bonds, to match the return of a comparable (much cheaper) index fund would require significant outperformance. Think about it. Any fund that charges 1.00% in expenses—not even the high end of the range—will find it extraordinarily difficult to overcome the index fund’s head start.

Active management also has taken a hit from a regulatory environment that has been favorable to low-cost strategies. The U.S. Department of Labor several years ago mandated greater disclosure of retirement plan fees. And its new fiduciary rule, which is set to take effect in April, requires financial advisors to demonstrate that their recommendations are aligned with their clients’ best interest. Both changes encourage the use of lower-cost investments, including index funds.

The future of active management

In light of all this, people have been asking me whether active management is “dead.” My response is both yes and no. High-cost active management is dead, and rightly so. It has never been a winning proposition

Market Barometer      
  Average Annual Total Returns
  Periods Ended October 31, 2016
  One Three Five
  Year Years Years
Stocks      
Russell 1000 Index (Large-caps) 4.26% 8.48% 13.51%
Russell 2000 Index (Small-caps) 4.11 4.12 11.51
Russell 3000 Index (Broad U.S. market) 4.24 8.13 13.35
FTSE All-World ex US Index (International) 0.64 -0.94 4.09
 
Bonds      
Bloomberg Barclays U.S. Aggregate Bond Index      
(Broad taxable market) 4.37% 3.48% 2.90%
Bloomberg Barclays Municipal Bond Index      
(Broad tax-exempt market) 4.06 4.89 4.34
Citigroup Three-Month U.S. Treasury Bill Index 0.22 0.07 0.07
 
CPI      
Consumer Price Index 1.64% 1.15% 1.32%

 

4

 

for investors. Low-cost active funds, though, can potentially play an important role for investors who seek to outperform the market.

Paying less for your funds is the only sure-fire way to improve your odds of achieving success in active management. But even if you have found an active manager with low costs, the odds of outperforming the market are still long. You have to be able to identify talented stock and bond portfolio managers with long time horizons and clear investment strategies. Look for managers with consistent track records and the discipline to stick closely to their investment strategy.

Know what you own and why

Despite the well-deserved reputation of indexing and the challenges for active managers, there’s still a place for traditional active strategies that are low cost, diversified, and highly disciplined, and are run by talented managers who focus on the long term.

Vanguard has always applied these principles to our active strategies, and investors have benefited as a majority of our active funds outperformed their benchmarks and bested their peers’ average annual return over the ten years ended September 30, 2016.

Worried about the election’s impact on your portfolio?
The 2016 presidential election season was
one of the most intense and unpredictable
in U.S. history. In its aftermath, investors
may be left with lingering questions about
what the outcome will mean for their
portfolios. The answer, based on Vanguard
research into decades of historical data, is
that presidential elections typically have no
long-term effect on market performance.
 
These findings hold true regardless of the
market’s initial reaction. Whether there’s
a swoon or bounce immediately after an
election, investors shouldn’t extrapolate
that performance to the long term.
 
As you can see in the accompanying chart,
data going back to 1853 show that stock
market returns are virtually identical no matter
which party controls the White House.
Although headlines out of Washington at any
given time may still cause concern, investors

 

shouldn’t overreact to short-term events.
Instead, it’s best to maintain a balanced and
diversified portfolio and stay focused on your
long-term goals.
 
Average annual stock market returns based
on party control of the White House
(1853–2015)

Sources: Global Financial Data, 1853–1926; Morningstar, Inc.,
and Ibbotson Associates thereafter through 2015.

 

5

 

But it’s crucial for investors to be patient. Even active managers with the best track records frequently underperform their benchmarks when their investment styles are out of favor. Such periods, though temporary, can persist. So it’s important when entrusting your assets to an active strategy to be in it for the long haul.

Make sure you know what you’re buying and what the risks are. Active strategies are becoming more complex, so it’s important to clearly understand what the investments in your portfolio are designed to accomplish and why you want to hold them. Otherwise, you run the risk of selecting strategies that don’t fit your needs or objectives.

Keeping these considerations in mind can potentially boost your chances of success in identifying active strategies that may be able to help you reach your goals.

As always, thank you for investing with Vanguard.

Sincerely,


F. William McNabb III
Chairman and Chief Executive Officer
November 9, 2016

6

 

Total World Stock Index Fund

Fund Profile
As of October 31, 2016

Share-Class Characteristics    
 
  Investor ETF Institutional
  Shares Shares Shares
Ticker Symbol VTWSX VT VTWIX
Expense Ratio1 0.25% 0.14% 0.13%

 

Portfolio Characteristics    
    FTSE
    Global
    All Cap
  Fund Index
Number of Stocks 7,627 7,707
Median Market Cap $33.0B $33.4B
Price/Earnings Ratio 21.9x 21.9x
Price/Book Ratio 2.0x 2.0x
Return on Equity 15.6% 15.5%
Earnings Growth    
Rate 7.7% 7.8%
Dividend Yield 2.5% 2.5%
Turnover Rate 15%
Short-Term Reserves -0.2%

 

Sector Diversification (% of equity exposure)
    FTSE
    Global
    All Cap
  Fund Index
Basic Materials 5.0% 5.0%
Consumer Goods 13.1 13.1
Consumer Services 10.9 10.9
Financials 22.0 22.0
Health Care 10.2 10.2
Industrials 13.7 13.7
Oil & Gas 6.6 6.6
Technology 11.9 11.9
Telecommunications 3.2 3.2
Utilities 3.4 3.4

 

Volatility Measures  
  FTSE
  Global
  All Cap
  Index
R-Squared 0.99
Beta 0.98

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

 

Ten Largest Holdings (% of total net assets)
Apple Inc. Computer Hardware 1.5%
Alphabet Inc. Internet 1.1
Microsoft Corp. Software 1.1
Exxon Mobil Corp. Integrated Oil & Gas 0.8
Johnson & Johnson Pharmaceuticals 0.8
Amazon.com Inc. Broadline Retailers 0.7
Facebook Inc. Internet 0.7
Berkshire Hathaway Inc. Reinsurance 0.6
General Electric Co. Diversified Industrials 0.6
JPMorgan Chase & Co. Banks 0.6
Top Ten   8.5%

The holdings listed exclude any temporary cash investments and equity index products.

Allocation by Region (% of equity exposure)


1 The expense ratios shown are from the prospectus dated February 26, 2016, and represent estimated costs for the current fiscal year. For the fiscal
year ended October 31, 2016, the expense ratios were 0.21% for Investor Shares, 0.11% for ETF Shares, and 0.10% for Institutional Shares.

7

 

Total World Stock Index Fund

Market Diversification (% of equity exposure)
    FTSE
    Global
    All Cap
  Fund Index
Europe    
United Kingdom 6.0% 6.0%
France 2.9 2.9
Germany 2.9 2.9
Switzerland 2.7 2.7
Spain 1.0 1.0
Netherlands 1.0 1.0
Sweden 1.0 1.0
Other 2.7 2.6
Subtotal 20.2% 20.1%
Pacific    
Japan 8.6% 8.6%
Australia 2.4 2.4
South Korea 1.6 1.6
Hong Kong 1.3 1.3
Other 0.6 0.5
Subtotal 14.5% 14.4%
Emerging Markets    
China 2.2% 2.2%
Taiwan 1.5 1.5
India 1.2 1.2
Other 4.4 4.4
Subtotal 9.3% 9.3%
North America    
United States 52.6% 52.7%
Canada 3.2 3.3
Subtotal 55.8% 56.0%
Middle East 0.2% 0.2%

 

8

 

Total World Stock Index Fund

Performance Summary

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

Cumulative Performance: June 26, 2008, Through October 31, 2016
Initial Investment of $10,000


    Average Annual Total Returns  
    Periods Ended October 31, 2016  
 
        Since Final Value
    One Five Inception of a $10,000
    Year Years (6/26/2008) Investment
 
  Total World Stock Index        
  Fund*Investor Shares 2.80% 8.44% 4.40% $14,327
 
• • • • • • • Spliced Total World Stock Index 2.74 8.51 4.40 14,326
 
– – – – Global Funds Average 0.98 7.59 3.72 13,566

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

 

      Since Final Value
  One Five Inception of a $10,000
  Year Years (6/24/2008) Investment
Total World Stock Index Fund        
ETF Shares Net Asset Value 2.89% 8.57% 4.36% $14,286
Spliced Total World Stock Index 2.74 8.51 4.40 14,326
"Since Inception" performance is calculated from the ETF Shares’ inception date for both the fund and its comparative standard.

 

See Financial Highlights for dividend and capital gains information.

9

 

Total World Stock Index Fund

    Average Annual Total Returns  
  Periods Ended October 31, 2016  
 
      Since Final Value
  One Five Inception of a $5,000,000
  Year Years (10/9/2008) Investment
Total World Stock Index Fund Institutional        
Shares 2.88% 8.58% 10.13% $10,878,915
 
Spliced Total World Stock Index 2.74 8.51 9.76 10,590,661
"Since Inception" performance is calculated from the Institutional Shares’ inception date for both the fund and its comparative standard.

 

Cumulative Returns of ETF Shares: June 24, 2008, Through October 31, 2016    
      Since
  One Five Inception
  Year Years (6/24/2008)
Total World Stock Index Fund ETF Shares Market      
Price 2.90% 50.81% 42.78%
Total World Stock Index Fund ETF Shares Net Asset      
Value 2.89 50.86 42.86
Spliced Total World Stock Index 2.74 50.41 43.26
"Since Inception" performance is calculated from the ETF Shares’ inception date for both the fund and its comparative standard.  

 

10

 

Total World Stock Index Fund

Fiscal-Year Total Returns (%): June 26, 2008, Through October 31, 2016


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

Average Annual Total Returns: Periods Ended September 30, 2016
This table presents returns through the latest calendar quarter—rather than through the end of the fiscal period.
Securities and Exchange Commission rules require that we provide this information.

  Inception One Five Since
  Date Year Years Inception
Investor Shares 6/26/2008 12.30% 11.09% 4.70%
ETF Shares 6/24/2008      
Market Price   12.56 11.33 4.65
Net Asset Value   12.42 11.24 4.66
Institutional Shares 10/9/2008 12.42 11.25 10.51

 

11

 

Total World Stock Index Fund

Financial Statements

Statement of Net Assets—Investments Summary
As of October 31, 2016

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

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

    Market Percentage
    Value of Net
  Shares ($000) Assets
Common Stocks      
Argentina †   1,017 0.0%
 
1Australia †   211,577 2.4%
 
Austria †   9,051 0.1%
 
Belgium †   38,811 0.4%
 
1Brazil †   78,251 0.9%
 
1Canada †   283,430 3.2%
 
Chile †   11,329 0.1%
 
China      
Tencent Holdings Ltd. 1,108,056 29,366 0.4%
China Construction Bank Corp. 18,939,206 13,830 0.2%
China Mobile Ltd. 1,103,861 12,646 0.2%
Industrial & Commercial Bank of China Ltd. 14,935,245 8,965 0.1%
Bank of China Ltd. 15,637,800 7,008 0.1%
CNOOC Ltd. 3,334,280 4,195 0.1%
China Petroleum & Chemical Corp. 5,309,505 3,840 0.1%
China Life Insurance Co. Ltd. Class H 1,540,000 3,813 0.1%
PetroChina Co. Ltd. 4,076,000 2,789 0.1%
China Overseas Land & Investment Ltd. 794,480 2,439 0.0%
Agricultural Bank of China Ltd. 5,348,500 2,250 0.0%
China Telecom Corp. Ltd. 3,346,034 1,725 0.0%
PICC Property & Casualty Co. Ltd. 978,887 1,580 0.0%
China Shenhua Energy Co. Ltd. 732,500 1,519 0.0%
CITIC Ltd. 1,031,000 1,479 0.0%
China Unicom Hong Kong Ltd. 1,213,574 1,425 0.0%
China Resources Land Ltd. 571,909 1,420 0.0%
Sinopharm Group Co. Ltd. 221,200 1,074 0.0%

 

12

 

Total World Stock Index Fund      
 
 
 
      Market Percentage
      Value of Net
    Shares ($000) Assets
  China CITIC Bank Corp. Ltd. 1,536,010 991 0.0%
  China Communications Construction Co. Ltd. 894,875 983 0.0%
  CRRC Corp. Ltd. 879,800 797 0.0%
  China Cinda Asset Management Co. Ltd. 2,152,000 773 0.0%
* China Resources Beer Holdings Co. Ltd. 338,681 720 0.0%
1 China Galaxy Securities Co. Ltd. 751,500 713 0.0%
  China Resources Power Holdings Co. Ltd. 411,400 697 0.0%
  China Merchants Port Holdings Co. Ltd. 256,000 662 0.0%
  China Railway Group Ltd. 829,000 639 0.0%
  Dongfeng Motor Group Co. Ltd. 594,000 619 0.0%
1 CGN Power Co. Ltd. 1,974,832 577 0.0%
* China Taiping Insurance Holdings Co. Ltd. 293,059 564 0.0%
1 People’s Insurance Co. Group of China Ltd. 1,384,000 550 0.0%
  China Longyuan Power Group Corp. Ltd. 719,000 548 0.0%
  China State Construction International Holdings Ltd. 372,000 543 0.0%
  China Resources Gas Group Ltd. 168,000 527 0.0%
*,1 China Huarong Asset Management Co. Ltd. 1,349,000 516 0.0%
  Zhuzhou CRRC Times Electric Co. Ltd. 104,709 506 0.0%
  China Railway Construction Corp. Ltd. 394,126 493 0.0%
  Kunlun Energy Co. Ltd. 584,000 440 0.0%
  China Oilfield Services Ltd. 406,000 390 0.0%
  Sinopec Shanghai Petrochemical Co. Ltd. 740,000 377 0.0%
  Beijing Capital International Airport Co. Ltd. 354,000 370 0.0%
  AviChina Industry & Technology Co. Ltd. 508,000 345 0.0%
  China Reinsurance Group Corp. 1,403,000 334 0.0%
* China Coal Energy Co. Ltd. 581,000 329 0.0%
  China Jinmao Holdings Group Ltd. 1,140,000 314 0.0%
  Huaneng Renewables Corp. Ltd. 858,000 287 0.0%
  Chongqing Changan Automobile Co. Ltd. Class B 187,062 285 0.0%
  Air China Ltd. 422,000 277 0.0%
  China Power International Development Ltd. 761,000 277 0.0%
1 China Railway Signal & Communication Corp. Ltd. 301,500 244 0.0%
1 Sinopec Engineering Group Co. Ltd. 265,135 234 0.0%
  Sinotrans Ltd. 382,000 180 0.0%
* Sinotrans Shipping Ltd. 1,084,000 176 0.0%
* China Agri-Industries Holdings Ltd. 431,800 169 0.0%
  China Resources Cement Holdings Ltd. 412,000 166 0.0%
  China Southern Airlines Co. Ltd. 296,000 166 0.0%
  Metallurgical Corp. of China Ltd. 489,000 159 0.0%
*,^ China COSCO Holdings Co. Ltd. 420,500 145 0.0%
  COSCO International Holdings Ltd. 308,000 143 0.0%
  China National Accord Medicines Corp. Ltd. Class B 20,760 130 0.0%
  Huadian Fuxin Energy Corp. Ltd. 538,000 125 0.0%
  China Eastern Airlines Corp. Ltd. 264,000 119 0.0%
* Angang Steel Co. Ltd. 216,000 111 0.0%
  China National Materials Co. Ltd. 446,000 100 0.0%
  Sinopec Kantons Holdings Ltd. 202,000 95 0.0%
  CSSC Offshore and Marine Engineering Group Co. Ltd. 54,000 81 0.0%
  China Electronics Corp. Holdings Co. Ltd. 322,000 77 0.0%
  Poly Culture Group Corp. Ltd. 27,200 73 0.0%
  Dah Chong Hong Holdings Ltd. 166,000 69 0.0%
  Shanghai Baosight Software Co. Ltd. Class B 40,000 69 0.0%
  Foshan Huaxin Packaging Co. Ltd. Class B 56,900 69 0.0%
  China Foods Ltd. 156,000 69 0.0%
  China BlueChemical Ltd. 318,000 61 0.0%
  China Overseas Property Holdings Ltd. 267,493 54 0.0%

 

13

 

Total World Stock Index Fund      
 
 
      Market Percentage
      Value of Net
    Shares ($000) Assets
* CITIC Resources Holdings Ltd. 278,000 35 0.0%
* China Datang Corp. Renewable Power Co. Ltd. 330,000 30 0.0%
  China Merchants Land Ltd. 168,000 24 0.0%
^ Sinofert Holdings Ltd. 174,000 23 0.0%
1 China—Other †   71,757 0.8%
      192,759 2.2%
 
Colombia †   4,316 0.1%
 
1Czech Republic †   1,727 0.0%
 
1Denmark †   48,494 0.6%
Egypt †   2,723 0.0%
Finland †   31,689 0.4%
France      
  TOTAL SA 441,892 21,169 0.3%
1 France—Other †   230,299 2.6%
      251,468 2.9%
 
1Germany †   250,710 2.8%
Greece †   3,389 0.0%
Hong Kong      
  BOC Hong Kong Holdings Ltd. 749,000 2,670 0.0%
  Nexteer Automotive Group Ltd. 148,000 195 0.0%
  China Travel International Investment Hong Kong Ltd. 516,000 149 0.0%
  CITIC Telecom International Holdings Ltd. 302,500 104 0.0%
*,^ MMG Ltd. 196,000 52 0.0%
  Shenwan Hongyuan HK Ltd. 75,000 41 0.0%
1 CGN New Energy Holdings Co. Ltd. 250,000 36 0.0%
  APT Satellite Holdings Ltd. 49,500 33 0.0%
1 Hong Kong—Other †   108,698 1.3%
      111,978 1.3%
 
Hungary †   2,556 0.0%
 
1India †   101,051 1.2%
Indonesia †   23,612 0.3%
Ireland †   9,291 0.1%
Israel †   17,919 0.2%
 
1Italy †   63,681 0.7%
Japan      
  Toyota Motor Corp. 573,994 33,296 0.4%
  Japan—Other †   718,462 8.1%
      751,758 8.5%

 

14

 

Total World Stock Index Fund      
 
    Market Percentage
    Value of Net
  Shares ($000) Assets
1Malaysia †   31,416 0.4%
Malta †   0.0%
1Mexico †   39,510 0.5%
1Netherlands †   87,590 1.0%
New Zealand †   10,214 0.1%
1Norway †   22,329 0.3%
Other2      
3 Vanguard FTSE Emerging Markets ETF 216,133 8,159 0.1%
Pakistan †   1,560 0.0%
Peru †   2,209 0.0%
Philippines †   13,798 0.2%
Poland †   10,809 0.1%
Portugal †   5,437 0.1%
Qatar †   3,901 0.0%
Russia †   35,522 0.4%
Singapore      
*,^ COSCO Corp. Singapore Ltd. 92,000 17 0.0%
1 Singapore—Other †   39,173 0.4%
    39,190 0.4%
South Africa †   67,472 0.8%
South Korea      
Samsung Electronics Co. Ltd. GDR 42,096 29,615 0.3%
South Korea—Other †   110,653 1.3%
    140,268 1.6%
1Spain †   89,085 1.0%
1Sweden †   86,538 1.0%
Switzerland      
Nestle SA 647,708 46,968 0.5%
Novartis AG 492,855 34,977 0.4%
Roche Holding AG 147,532 33,885 0.4%
1 Switzerland—Other †   122,141 1.4%
    237,971 2.7%
Taiwan †   133,164 1.5%

 

15

 

Total World Stock Index Fund      
 
 
 
    Market Percentage
    Value of Net
  Shares ($000) Assets
1Thailand †   34,000 0.4%
 
Turkey †   11,236 0.1%
 
United Arab Emirates †   8,435 0.1%
 
United Kingdom      
HSBC Holdings plc 4,129,228 31,098 0.3%
BP plc 3,909,466 23,112 0.3%
British American Tobacco plc 391,977 22,465 0.3%
Royal Dutch Shell plc Class A 898,651 22,383 0.2%
1 United Kingdom—Other †   423,071 4.8%
    522,129 5.9%
United States      
Basic Materials †   115,429 1.3%
 
Consumer Goods      
Procter & Gamble Co. 535,583 46,489 0.5%
Coca-Cola Co. 862,528 36,571 0.4%
PepsiCo Inc. 300,707 32,236 0.4%
Philip Morris International Inc. 326,429 31,481 0.4%
Altria Group Inc. 409,284 27,062 0.3%
Consumer Goods—Other †   297,126 3.4%
    470,965 5.4%
Consumer Services      
* Amazon.com Inc. 80,219 63,359 0.7%
Home Depot Inc. 259,260 31,632 0.4%
Walt Disney Co. 336,447 31,185 0.4%
Comcast Corp. Class A 501,715 31,016 0.3%
Wal-Mart Stores Inc. 326,172 22,839 0.3%
Consumer Services—Other †   413,360 4.7%
    593,391 6.8%
Financials      
JPMorgan Chase & Co. 755,941 52,356 0.6%
Wells Fargo & Co. 1,058,311 48,693 0.6%
* Berkshire Hathaway Inc. Class B 247,977 35,783 0.4%
Bank of America Corp. 2,152,467 35,516 0.4%
Visa Inc. Class A 394,782 32,573 0.4%
Citigroup Inc. 607,047 29,836 0.3%
Mastercard Inc. Class A 203,250 21,752 0.2%
Financials—Other †   626,044 7.1%
    882,553 10.0%
Health Care      
Johnson & Johnson 574,601 66,648 0.7%
Pfizer Inc. 1,270,446 40,286 0.5%
Merck & Co. Inc. 581,600 34,152 0.4%
UnitedHealth Group Inc. 200,119 28,283 0.3%
Medtronic plc 290,873 23,857 0.3%
Amgen Inc. 157,502 22,233 0.2%
Health Care—Other †   360,172 4.1%
    575,631 6.5%

 

16

 

Total World Stock Index Fund        
 
 
 
        Market Percentage
        Value of Net
      Shares ($000) Assets
Industrials        
  General Electric Co.   1,868,563 54,375 0.6%
  Industrials—Other †     525,844 6.0%
        580,219 6.6%
Oil & Gas        
  Exxon Mobil Corp.   869,839 72,475 0.8%
  Chevron Corp.   397,052 41,591 0.5%
  Schlumberger Ltd.   290,931 22,760 0.3%
  Oil & Gas—Other †     171,600 1.9%
        308,426 3.5%
 
2Other †     45 0.0%
 
Technology        
  Apple Inc.   1,128,548 128,135 1.4%
  Microsoft Corp.   1,579,912 94,668 1.1%
* Facebook Inc. Class A   458,824 60,101 0.7%
* Alphabet Inc. Class A   60,981 49,388 0.6%
* Alphabet Inc. Class C   61,314 48,103 0.5%
  Intel Corp.   988,497 34,469 0.4%
  Cisco Systems Inc.   1,046,637 32,111 0.4%
  International Business Machines Corp.   200,082 30,751 0.3%
  Oracle Corp.   666,992 25,626 0.3%
  QUALCOMM Inc.   306,992 21,096 0.2%
  Technology—Other †     278,143 3.2%
        802,591 9.1%
Telecommunications        
  AT&T Inc.   1,292,788 47,562 0.5%
  Verizon Communications Inc.   853,052 41,032 0.5%
  Telecommunications—Other †     17,356 0.2%
        105,950 1.2%
 
Utilities †     152,847 1.7%
        4,588,047 52.1%
Total Common Stocks (Cost $7,907,078)     8,732,576 99.2%4
 
    Coupon      
Temporary Cash Investments        
Money Market Fund        
5,6 Vanguard Market Liquidity Fund 0.718% 1,262,576 126,270 1.4%
 
7U.S. Government and Agency Obligations †     7,196 0.1%
Total Temporary Cash Investments (Cost $133,458)     133,466 1.5%4
Total Investments (Cost $8,040,536)     8,866,042 100.7%

 

17

 

Total World Stock Index Fund    
 
 
 
    Percentage
  Amount of Net
  ($000) Assets
Other Assets and Liabilities    
Other Assets    
Investment in Vanguard 683  
Receivables for Investment Securities Sold 220  
Receivables for Accrued Income 16,691  
Receivables for Capital Shares Issued 994  
Other Assets 5,750  
Total Other Assets 24,338 0.3%
Liabilities    
Payables for Investment Securities Purchased (1,191)  
Collateral for Securities on Loan (76,749)  
Payables for Capital Shares Redeemed (534)  
Payables to Vanguard (2,953)  
Other Liabilities (1,016)  
Total Liabilities (82,443) (1.0%)
Net Assets 8,807,937 100.0%
 
 
At October 31, 2016, net assets consisted of:    
    Amount
    ($000)
Paid-in Capital   8,122,969
Undistributed Net Investment Income   25,728
Accumulated Net Realized Losses   (165,563)
Unrealized Appreciation (Depreciation)    
Investment Securities   825,506
Futures Contracts   587
Forward Currency Contracts   (803)
Foreign Currencies   (487)
Net Assets   8,807,937
 
 
Investor Shares—Net Assets    
Applicable to 44,383,666 outstanding $.001 par value shares of    
beneficial interest (unlimited authorization)   1,078,383
Net Asset Value Per Share—Investor Shares   $24.30

 

18

 

Total World Stock Index Fund  
 
 
 
  Amount
  ($000)
ETF Shares—Net Assets  
Applicable to 102,521,649 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 6,112,245
Net Asset Value Per Share—ETF Shares $59.62
 
Institutional Shares—Net Assets  
Applicable to 13,283,342 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 1,617,309
Net Asset Value Per Share—Institutional Shares $121.75

• See Note A in Notes to Financial Statements.
* Non-income-producing security.
^ Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $70,070,000.
† Represents the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer, represent
1% or less of net assets.
1 Certain of the fund’s securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold
in transactions exempt from registration, normally to qualified institutional buyers. At October 31, 2016, the aggregate value of these
securities was $32,844,000, representing 0.4% of net assets.
2 “Other” represents securities that are not classified by the fund’s benchmark index.
3 Considered an affiliated company of the fund as the issuer is another member of The Vanguard Group.
4 The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect to futures
investments, the fund’s effective common stock and temporary cash investment positions represent 100.0% and 0.7%, respectively, of
net assets.
5 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the
7-day yield.
6 Includes $76,749,000 of collateral received for securities on loan.
7 Securities with a value of $3,598,000 have been segregated as initial margin for open futures contracts.
GDR—Global Depositary Receipt.
See accompanying Notes, which are an integral part of the Financial Statements.

19

 

Total World Stock Index Fund

Statement of Operations

  Year Ended
  October 31, 2016
  ($000)
Investment Income  
Income  
Dividends1,2 213,412
Interest2 208
Securities Lending—Net 4,632
Total Income 218,252
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 1,181
Management and Administrative—Investor Shares 1,548
Management and Administrative—ETF Shares 4,070
Management and Administrative—Institutional Shares 1,190
Marketing and Distribution—Investor Shares 245
Marketing and Distribution—ETF Shares 392
Marketing and Distribution—Institutional Shares 55
Custodian Fees 1,159
Auditing Fees 44
Shareholders’ Reports—Investor Shares 11
Shareholders’ Reports—ETF Shares 89
Shareholders’ Reports—Institutional Shares 7
Trustees’ Fees and Expenses 4
Total Expenses 9,995
Net Investment Income 208,257
Realized Net Gain (Loss)  
Investment Securities Sold2 5,841
Futures Contracts 2,122
Foreign Currencies and Forward Currency Contracts (1,191)
Realized Net Gain (Loss) 6,772
Change in Unrealized Appreciation (Depreciation)  
Investment Securities 33,527
Futures Contracts (1,318)
Foreign Currencies and Forward Currency Contracts (968)
Change in Unrealized Appreciation (Depreciation) 31,241
Net Increase (Decrease) in Net Assets Resulting from Operations 246,270
1 Dividends are net of foreign withholding taxes of $8,364,000.
2 Dividend income, interest income, and realized net gain (loss) from affiliated companies of the fund were $125,000, $189,000, and ($237,000), respectively.

 

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

20

 

Total World Stock Index Fund

Statement of Changes in Net Assets

  Year Ended October 31,
  2016 2015
  ($000) ($000)
Increase (Decrease) in Net Assets    
Operations    
Net Investment Income 208,257 164,789
Realized Net Gain (Loss) 6,772 20,235
Change in Unrealized Appreciation (Depreciation) 31,241 (237,529)
Net Increase (Decrease) in Net Assets Resulting from Operations 246,270 (52,505)
Distributions    
Net Investment Income    
Investor Shares (22,429) (20,691)
ETF Shares (131,316) (100,240)
Institutional Shares (41,678) (38,992)
Realized Capital Gain    
Investor Shares
ETF Shares
Institutional Shares
Total Distributions (195,423) (159,923)
Capital Share Transactions    
Investor Shares 108,566 143,962
ETF Shares 1,073,261 1,411,644
Institutional Shares (221,774) 613,403
Net Increase (Decrease) from Capital Share Transactions 960,053 2,169,009
Total Increase (Decrease) 1,010,900 1,956,581
Net Assets    
Beginning of Period 7,797,037 5,840,456
End of Period1 8,807,937 7,797,037
1 Net Assets—End of Period includes undistributed (overdistributed) net investment income of $25,728,000 and $13,073,000.

 

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

21

 

Total World Stock Index Fund

Financial Highlights

Investor Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2016 2015 2014 2013 2012
Net Asset Value, Beginning of Period $24.18 $24.82 $23.48 $19.46 $18.40
Investment Operations          
Net Investment Income .565 .557 .571 .473 . 399
Net Realized and Unrealized Gain (Loss)          
on Investments .089 (.643) 1.340 4.084 1.263
Total from Investment Operations .654 (.086) 1.911 4.557 1.662
Distributions          
Dividends from Net Investment Income (. 534) (. 554) (. 571) (. 537) (. 602)
Distributions from Realized Capital Gains
Total Distributions (. 534) (. 554) (. 571) (. 537) (. 602)
Net Asset Value, End of Period $24.30 $24.18 $24.82 $23.48 $19.46
 
Total Return1 2.80% -0.37% 8.20% 23.79% 9.29%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $1,078 $961 $844 $615 $364
Ratio of Total Expenses to Average Net Assets 0.21% 0.25% 0.27% 0.30% 0.35%
Ratio of Net Investment Income to          
Average Net Assets 2.40% 2.31% 2.38% 2.28% 2.44%
Portfolio Turnover Rate2 15% 7% 7% 12% 16%

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

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

22

 

Total World Stock Index Fund

Financial Highlights

ETF Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2016 2015 2014 2013 2012
Net Asset Value, Beginning of Period $59.34 $60.89 $57.60 $47.76 $45.21
Investment Operations          
Net Investment Income 1.443 1.436 1.459 1.218 1.056
Net Realized and Unrealized Gain (Loss)          
on Investments .204 (1.562) 3.291 10.025 3.096
Total from Investment Operations 1.647 (.126) 4.750 11.243 4.152
Distributions          
Dividends from Net Investment Income (1.367) (1.424) (1.460) (1.403) (1.602)
Distributions from Realized Capital Gains
Total Distributions (1.367) (1.424) (1.460) (1.403) (1.602)
Net Asset Value, End of Period $59.62 $59.34 $60.89 $57.60 $47.76
 
Total Return 2.89% -0.23% 8.31% 23.95% 9.47%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $6,112 $5,008 $3,720 $2,837 $1,463
Ratio of Total Expenses to Average Net Assets 0.11% 0.14% 0.17% 0.18% 0.19%
Ratio of Net Investment Income to          
Average Net Assets 2.50% 2.42% 2.48% 2.40% 2.60%
Portfolio Turnover Rate1 15% 7% 7% 12% 16%
1 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares,
including ETF Creation Units.

 

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

23

 

Total World Stock Index Fund

Financial Highlights

Institutional Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2016 2015 2014 2013 2012
Net Asset Value, Beginning of Period $121.18 $124.35 $117.63 $97.56 $92.36
Investment Operations          
Net Investment Income 2.956 2.945 3.007 2.506 2.167
Net Realized and Unrealized Gain (Loss)          
on Investments .414 (3.189) 6.717 20.461 6.336
Total from Investment Operations 3.370 (.244) 9.724 22.967 8.503
Distributions          
Dividends from Net Investment Income (2.800) (2.926) (3.004) (2.897) (3.303)
Distributions from Realized Capital Gains
Total Distributions (2.800) (2.926) (3.004) (2.897) (3.303)
Net Asset Value, End of Period $121.75 $121.18 $124.35 $117.63 $97.56
 
Total Return1 2.88% -0.22% 8.34% 23.95% 9.50%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $1,617 $1,828 $1,277 $724 $325
Ratio of Total Expenses to Average Net Assets 0.10% 0.13% 0.15% 0.16% 0.17%
Ratio of Net Investment Income to          
Average Net Assets 2.51% 2.43% 2.50% 2.42% 2.62%
Portfolio Turnover Rate2 15% 7% 7% 12% 16%

 

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

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

24

 

Total World Stock Index Fund

Notes to Financial Statements

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

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

1. Security Valuation: Securities are valued as of the close of trading on the New York Stock Exchange (generally 4 p.m., Eastern time) on the valuation date. Equity securities are valued at the latest quoted sales prices or official closing prices taken from the primary market in which each security trades; such securities not traded on the valuation date are valued at the mean of the latest quoted bid and asked prices. Securities for which market quotations are not readily available, or whose values have been affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued at their fair values calculated according to procedures adopted by the board of trustees. These procedures include obtaining quotations from an independent pricing service, monitoring news to identify significant market- or security-specific events, and evaluating changes in the values of foreign market proxies (for example, ADRs, futures contracts, or exchange-traded funds), between the time the foreign markets close and the fund’s pricing time. When fair-value pricing is employed, the prices of securities used by a fund to calculate its net asset value may differ from quoted or published prices for the same securities. Investments in Vanguard Market Liquidity Fund are valued at that fund’s net asset value. Temporary cash investments acquired over 60 days to maturity are valued using the latest bid prices or using valuations based on a matrix system (which considers such factors as security prices, yields, maturities, and ratings), both as furnished by independent pricing services. Other temporary cash investments are valued at amortized cost, which approximates market 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 and Forward Currency Contracts: The fund uses index futures contracts to a limited extent, with the objectives of maintaining full exposure to the stock market, enhancing returns, maintaining liquidity, and minimizing transaction costs. The fund may purchase futures contracts to immediately invest incoming cash in the market, or sell futures in response to cash outflows, thereby simulating a fully invested position in the underlying index while maintaining a cash balance for liquidity. The fund may seek to enhance returns by using futures contracts instead of the underlying securities when futures are believed to be priced more attractively than the underlying securities. The primary risks

25

 

Total World Stock Index Fund

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

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

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

During the year ended October 31, 2016, the fund’s average investments in long and short futures contracts represented less than 1% and 0% of net assets, respectively, based on the average of aggregate settlement values at each quarter-end during the period. The fund’s average investment in forward currency contracts represented less than 1% of net assets, based on the average of notional amounts at each quarter-end during the period.

4. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. Management has analyzed the fund’s tax positions taken for all open federal income tax years (October 31, 2013–2016), and has concluded that no provision for federal income tax is required in the fund’s financial statements.

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

26

 

Total World Stock Index Fund

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

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

The fund had no borrowings outstanding at October 31, 2016, or at any time during the period then ended.

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

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

27

 

Total World Stock Index Fund

Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses) 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. Vanguard does not require reimbursement in the current period for certain costs of operations (such as deferred compensation/benefits and risk/insurance costs); the fund’s liability for these costs of operations is included in Payables to Vanguard on the Statement of Net Assets.

Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At October 31, 2016, the fund had contributed to Vanguard capital in the amount of $683,000, representing 0.01% of the fund’s net assets and 0.27% of Vanguard’s capitalization. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.

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

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

The following table summarizes the market value of the fund’s investments as of October 31, 2016, based on the inputs used to value them:

  Level 1 Level 2 Level 3
Investments ($000) ($000) ($000)
Common Stocks—International 467,016 3,676,206 1,307
Common Stocks—United States 4,587,877 125 45
Temporary Cash Investments 126,270 7,196
Futures Contracts—Assets1 96
Futures Contracts—Liabilities1 (150)
Forward Currency Contracts—Assets 56
Forward Currency Contracts—Liabilities (859)
Total 5,181,109 3,682,724 1,352
1 Represents variation margin on the last day of the reporting period.

 

28

 

Total World Stock Index Fund

D. At October 31, 2016, the fair values of derivatives were reflected in the Statement of Net Assets as follows:

    Foreign  
  Equity Exchange  
  Contracts Contracts Total
Statement of Net Assets Caption ($000) ($000) ($000)
Other Assets 96 56 152
Other Liabilities (150) (859) (1,009)

 

Realized net gain (loss) and the change in unrealized appreciation (depreciation) on derivatives for the year ended October 31, 2016, were:

    Foreign  
  Equity Exchange  
  Contracts Contracts Total
Realized Net Gain (Loss) on Derivatives ($000) ($000) ($000)
Futures Contracts 2,122 2,122
Forward Currency Contracts 234 234
Realized Net Gain (Loss) on Derivatives 2,122 234 2,356
 
Change in Unrealized Appreciation (Depreciation) on Derivatives      
Futures Contracts (1,318) (1,318)
Forward Currency Contracts (704) (704)
Change in Unrealized Appreciation (Depreciation) on Derivatives (1,318) (704) (2,022)

 

At October 31, 2016, the aggregate settlement value of open futures contracts and the related unrealized appreciation (depreciation) were:

        ($000)
      Aggregate  
    Number of Settlement Unrealized
    Long (Short) Value Appreciation
Futures Contracts Expiration Contracts Long (Short) (Depreciation)
E-mini S&P 500 Index December 2016 329 34,876 (232)
Dow Jones EURO STOXX 50 Index December 2016 336 11,245 302
E-mini S&P Mid-Cap 400 Index December 2016 59 8,890 (83)
Topix Index December 2016 59 7,832 407
FTSE 100 Index December 2016 60 5,076 166
S&P ASX 200 Index December 2016 25 2,516 27
        587

 

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

29

 

Total World Stock Index Fund

At October 31, 2016, the fund had open forward currency contracts to receive and deliver currencies as follows. Unrealized appreciation (depreciation) on open forward currency contracts is treated as realized gain (loss) for tax purposes.

            Unrealized
  Contract         Appreciation
  Settlement Contract Amount (000) (Depreciation)
Counterparty Date   Receive   Deliver ($000)
The Toronto-Dominion Bank 12/21/16 EUR 4,327 USD 4,884 (122)
Barclays Bank plc 12/21/16 EUR 3,920 USD 4,425 (112)
BNP Paribas 12/13/16 JPY 334,313 USD 3,279 (85)
Barclays Bank plc 12/13/16 JPY 286,660 USD 2,809 (71)
Bank of America, N.A. 12/21/16 GBP 1,832 USD 2,451 (207)
Goldman Sachs International 12/21/16 GBP 1,790 USD 2,379 (185)
JPMorgan Chase Bank, N.A. 12/21/16 EUR 1,540 USD 1,730 (36)
Goldman Sachs International 12/20/16 AUD 1,928 USD 1,433 31
JPMorgan Chase Bank, N.A. 12/20/16 AUD 1,696 USD 1,265 23
JPMorgan Chase Bank, N.A. 12/21/16 GBP 364 USD 481 (35)
BNP Paribas 12/21/16 EUR 209 USD 236 (6)
BNP Paribas 12/20/16 AUD 17 USD 12
JPMorgan Chase Bank, N.A. 12/20/16 USD 310 AUD 406 2
            (803)
AUD—Australian dollar.
EUR—Euro.
GBP—British pound.
JPY—Japanese yen.
USD—U.S. dollar.

 

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

During the year ended October 31, 2016, the fund realized net foreign currency losses of $1,425,000, which decreased distributable net income for tax purposes; accordingly, such losses have been reclassified from accumulated net realized losses to undistributed net investment income.

During the year ended October 31, 2016, the fund realized $133,515,000 of net capital gains resulting from in-kind redemptions—in which shareholders exchanged fund shares for securities held by the fund rather than for cash. Because such gains are not taxable to the fund, and are not distributed to shareholders, they have been reclassified from accumulated net realized losses to paid-in capital.

30

 

Total World Stock Index Fund

For tax purposes, at October 31, 2016, the fund had $38,322,000 of ordinary income available for distribution. At October 31, 2016, the fund had available capital losses totaling $166,213,000 to offset future net capital gains. Of this amount, $23,574,000 is subject to expiration dates; $7,777,000 may be used to offset future net capital gains through October 31, 2017, $1,086,000 through October 31, 2018, and $14,711,000 through October 31, 2019. Capital losses of $142,639,000 realized beginning in fiscal 2012 may be carried forward indefinitely under the Regulated Investment Company Modernization Act of 2010, but must be used before any expiring loss carryforwards. Capital loss carryforwards of $572,000 expired on October 31, 2016; accordingly, such losses have been reclassified from accumulated net realized losses to paid-in capital.

At October 31, 2016, the cost of investment securities for tax purposes was $8,050,657,000. Net unrealized appreciation of investment securities for tax purposes was $815,385,000, consisting of unrealized gains of $1,410,859,000 on securities that had risen in value since their purchase and $595,474,000 in unrealized losses on securities that had fallen in value since their purchase.

F. During the year ended October 31, 2016, the fund purchased $2,534,205,000 of investment securities and sold $1,593,904,000 of investment securities, other than temporary cash investments. Purchases and sales include $1,252,227,000 and $363,152,000, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.

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

  Year Ended October 31,
    2016   2015
  Amount Shares Amount Shares
  ($000) (000) ($000) (000)
Investor Shares        
Issued 274,726 11,758 364,888 14,684
Issued in Lieu of Cash Distributions 21,069 895 19,363 786
Redeemed (187,229) (8,007) (240,289) (9,736)
Net Increase (Decrease)—Investor Shares 108,566 4,646 143,962 5,734
ETF Shares        
Issued 1,441,692 24,918 1,447,939 23,916
Issued in Lieu of Cash Distributions
Redeemed (368,431) (6,800) (36,295) (600)
Net Increase (Decrease)—ETF Shares 1,073,261 18,118 1,411,644 23,316
Institutional Shares        
Issued 508,890 4,321 842,698 6,658
Issued in Lieu of Cash Distributions 37,475 318 35,154 285
Redeemed (768,139) (6,438) (264,449) (2,130)
Net Increase (Decrease)—Institutional Shares (221,774) (1,799) 613,403 4,813

 

H. Management has determined that no material events or transactions occurred subsequent to October 31, 2016, that would require recognition or disclosure in these financial statements.

31

 

Report of Independent Registered
Public Accounting Firm

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

In our opinion, the accompanying statement of net assets—investments summary and the related statements of operations and of changes in net assets and the financial highlights present fairly, in all material respects, the financial position of Vanguard Total World Stock Index Fund (constituting a separate portfolio of Vanguard International Equity Index Funds, hereafter referred to as the “Fund”) at October 31, 2016, the results of its operations for the year then ended, the changes in its net assets for each of the two years in the period then ended, and the financial highlights for each of the five years in the period then ended, in conformity with accounting principles generally accepted in the United States of America. These financial statements and financial highlights (hereafter referred to as “financial statements”) are the responsibility of the Fund’s management. Our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these financial statements in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits, which included confirmation of securities at October 31, 2016 by correspondence with the custodian and brokers and by agreement to the underlying ownership records of the transfer agent, provide a reasonable basis for our opinion.

/s/PricewaterhouseCoopers LLP
Philadelphia, Pennsylvania
December 15, 2016


Special 2016 tax information (unaudited) for Vanguard Total World Stock Index Fund

This information for the fiscal year ended October 31, 2016, is included pursuant to provisions of the Internal Revenue Code.

The fund distributed $160,303,000 of qualified dividend income to shareholders during the fiscal year.

For corporate shareholders, 36.9% of investment income (dividend income plus short-term gains, if any) qualifies for the dividends-received deduction.

The fund designates to shareholders foreign source income of $108,290,000 and foreign taxes paid of $8,103,000. Shareholders will receive more detailed information with their Form 1099-DIV in January 2017 to determine the calendar-year amounts to be included on their 2016 tax returns.

32

 

Your Fund’s After-Tax Returns

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

Calculations are based on the highest individual federal income tax and capital gains tax rates in effect at the times of the distributions and the hypothetical sales. State and local taxes were not considered. After-tax returns reflect any qualified dividend income, using actual prior-year figures and estimates for 2016. (In the example, returns after the sale of fund shares may be higher than those assuming no sale. This occurs when the sale would have produced a capital loss. The calculation assumes that the investor received a tax deduction for the loss.)

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

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

Average Annual Total Returns: Total World Stock Index Fund Investor Shares    
Periods Ended October 31, 2016      
 
      Since
  One Five Inception
  Year Years (6/26/2008)
Returns Before Taxes 2.80% 8.44% 4.40%
Returns After Taxes on Distributions 2.18 7.83 3.98
Returns After Taxes on Distributions and Sale of Fund Shares 1.94 6.62 3.46

 

33

 

About Your Fund’s Expenses

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

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

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

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

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

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

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

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

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

34

 

Six Months Ended October 31, 2016      
  Beginning Ending Expenses
  Account Value Account Value Paid During
Total World Stock Index Fund 4/30/2016 10/31/2016 Period
Based on Actual Fund Return      
Investor Shares $1,000.00 $1,034.52 $0.97
ETF Shares 1,000.00 1,034.98 0.56
Institutional Shares 1,000.00 1,034.90 0.51
Based on Hypothetical 5% Yearly Return      
Investor Shares $1,000.00 $1,024.18 $0.97
ETF Shares 1,000.00 1,024.58 0.56
Institutional Shares 1,000.00 1,024.63 0.51

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 0.19% for Investor Shares, 0.11% for ETF Shares, and 0.10% for Institutional Shares. The dollar amounts shown as “Expenses
Paid” are equal to the annualized expense ratio multiplied by the average account value over the period, multiplied by the number of days in
the most recent six-month period, then divided by the number of days in the most recent 12-month period (184/366).

35

 

Glossary

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

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

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

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

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

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

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

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

Price/Book Ratio. The share price of a stock divided by its net worth, or book value, per share. For a fund, the weighted average price/book ratio of the stocks it holds.

36

 

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

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

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

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

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

Benchmark Information

Spliced Total World Stock Index: FTSE All-World Index through December 18, 2011, and FTSE

Global All Cap Index thereafter. Benchmark returns are adjusted for withholding taxes.

37

 

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The People Who Govern Your Fund

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

A majority of Vanguard’s board members are independent, meaning that they have no affiliation with Vanguard or the funds they oversee, apart from the sizable personal investments they have made as private individuals. The independent board members have distinguished backgrounds in business, academia, and public service. Each of the trustees and executive officers oversees 198 Vanguard funds.

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

InterestedTrustee1

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

IndependentTrustees

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

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

Amy Gutmann
Born 1949. Trustee Since June 2006. Principal
Occupation(s) During the Past Five Years and
Other Experience: President of the University of
Pennsylvania; Christopher H. Browne Distinguished
Professor of Political Science, School of Arts and
Sciences, and Professor of Communication, Annenberg
School for Communication, with secondary faculty
appointments in the Department of Philosophy, School
of Arts and Sciences, and at the Graduate School of
Education, University of Pennsylvania; Trustee of the
National Constitution Center; Chair of the Presidential
Commission for the Study of Bioethical Issues.

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

 

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

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

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

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

Peter F. Volanakis
Born 1955. Trustee Since July 2009. Principal
Occupation(s) During the Past Five Years and
Other Experience: President and Chief Operating
Officer (retired 2010) of Corning Incorporated
(communications equipment); Chairman of the
Board of Trustees of Colby-Sawyer College;
Member of the Advisory Board of the Norris
Cotton Cancer Center.

Executive Officers

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

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

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

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

Vanguard Senior Management Team
Mortimer J. Buckley James M. Norris
Kathleen C. Gubanich Thomas M. Rampulla
Martha G. King Glenn W. Reed
John T. Marcante Karin A. Risi
Chris D. McIsaac Michael Rollings

 

Chairman Emeritus and Senior Advisor
John J. Brennan
Chairman, 1996–2009
Chief Executive Officer and President, 1996–2008

Founder
John C. Bogle
Chairman and Chief Executive Officer, 1974–1996

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

 

 

  P.O. Box 2600
  Valley Forge, PA 19482-2600
 
 
 
Connect with Vanguard® > vanguard.com
 
 
 
Fund Information > 800-662-7447  
 
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  (”Russell”), MTS Next Limited (”MTS”), and FTSE TMX
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This material may be used in conjunction TMX®” and ”FTSE Russell” and other service marks
  and trademarks related to the FTSE or Russell indexes
with the offering of shares of any Vanguard are trademarks of the London Stock Exchange Group
fund only if preceded or accompanied by companies and are used by FTSE, MTS, FTSE TMX and
the fund’s current prospectus. Russell under licence. All information is provided for
  information purposes only. No responsibility or liability
All comparative mutual fund data are from Lipper, a can be accepted by the London Stock Exchange Group
Thomson Reuters Company, or Morningstar, Inc., unless companies nor its licensors for any errors or for any
otherwise noted. loss from use of this publication. Neither the London
You can obtain a free copy of Vanguard’s proxy voting Stock Exchange Group companies nor any of its
guidelines by visiting vanguard.com/proxyreporting or by licensors make any claim, prediction, warranty or
calling Vanguard at 800-662-2739. The guidelines are representation whatsoever, expressly or impliedly,
also available from the SEC’s website, sec.gov. In either as to the results to be obtained from the use of
addition, you may obtain a free report on how your fund the FTSE Indexes or the fitness or suitability of the
voted the proxies for securities it owned during the 12 Indexes for any particular purpose to which they might
months ended June 30. To get the report, visit either be put.
vanguard.com/proxyreporting or sec.gov. The Industry Classification Benchmark (”ICB”) is owned
You can review and copy information about your fund at by FTSE. FTSE does not accept any liability to any
the SEC’s Public Reference Room in Washington, D.C. To person for any loss or damage arising out of any error
find out more about this public service, call the SEC at or omission in the ICB.
202-551-8090. Information about your fund is also  
available on the SEC’s website, and you can receive  
copies of this information, for a fee, by sending a  
request in either of two ways: via email addressed to  
publicinfo@sec.gov or via regular mail addressed to the  
Public Reference Section, Securities and Exchange  
Commission, Washington, DC 20549-1520.  
 
  © 2016 The Vanguard Group, Inc.
  All rights reserved.
  Vanguard Marketing Corporation, Distributor.
 
  Q6280 122016

 



Annual Report | October 31, 2016

Vanguard FTSE International Index Funds

Vanguard FTSE All-World ex-US Index Fund

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

 

A new format, unwavering commitment

As you begin reading this report, you’ll notice that we’ve made some improvements to the opening sections—based on feedback from you, our clients.

Page 1 starts with a new ”Your Fund’s Performance at a Glance,” a concise, handy summary of how your fund performed during the period.

In the renamed ”Chairman’s Perspective,” Bill McNabb will focus on enduring principles and investment insights.

We’ve modified some tables, and eliminated some redundancy, but we haven’t removed any information.

At Vanguard, we’re always looking for better ways to communicate and to help you make sound investment decisions. Thank you for entrusting your assets to us.

Contents  
Your Fund’s Performance at a Glance. 1
Chairman’s Perspective. 4
FTSE All-World ex-US Index Fund. 8
FTSE All-World ex-US Small-Cap Index Fund. 35
Your Fund’s After-Tax Returns. 60
About Your Fund’s Expenses. 61
Glossary. 63

Please note: The opinions expressed in this report are just that—informed opinions. They should not be considered promises or advice.
Also, please keep in mind that the information and opinions cover the period through the date on the front of this report. Of course, the
risks of investing in your fund are spelled out in the prospectus.
See the Glossary for definitions of investment terms used in this report.
About the cover: No matter what language you speak, Vanguard has one consistent message and set of principles. Our primary
focus is on you, our clients. We conduct our business with integrity as a faithful steward of your assets. This message is shown
translated into seven languages, reflecting our expanding global presence.

 

Your Fund’s Performance at a Glance

• For the 12 months ended October 31, 2016, Vanguard FTSE All-World ex-US Index
Fund returned about 1% and Vanguard FTSE All-World ex-US Small-Cap Index Fund
returned about 4%.

• Returns for both funds diverged from that of their benchmark indexes in part because
of temporary pricing discrepancies arising from fair-value adjustments. Please see the
Glossary entry for Fair-Value Pricing.

• Both funds’ returns exceeded the average returns of their peer groups.

• Returns from the Pacific region—the top contributor in both funds—were aided
by Japan and Australia, whose currencies strengthened against the U.S. dollar.
North America and emerging markets also added to performance.

• European stocks lost ground for the period. The relative strength of the U.S. dollar
against local currencies, along with fallout related to the Brexit vote, weighed on
Europe’s performance.

Total Returns: Fiscal Year Ended October 31, 2016  
  Total
  Returns
Vanguard FTSE All-World ex-US Index Fund  
Investor Shares 0.98%
ETF Shares  
Market Price 1.13
Net Asset Value 1.17
Admiral™ Shares 1.13
Institutional Shares 1.15
Institutional Plus Shares 1.18
FTSE All-World ex US Index 0.64
International Funds Average -1.61
International Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.

 

1

 

  Total
  Returns
Vanguard FTSE All-World ex-US Small-Cap Index Fund  
Investor Shares 3.95%
ETF Shares  
Market Price 4.40
Net Asset Value 4.11
Institutional Shares 4.11
FTSE Global Small Cap ex US Index 3.40
International Small-Cap Funds Average 1.39

 

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

 

Total Returns: Inception Through October 31, 2016  
  Average
  Annual Return
FTSE All-World ex-US Index Fund Investor Shares (Returns since inception: 3/8/2007) 1.11%
FTSE All-World ex US Index 1.52
International Funds Average 0.57
International Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.  
 
FTSE All-World ex-US Small-Cap Index Fund Investor Shares (Returns since inception: 4/2/2009) 11.11%
FTSE Global Small Cap ex US Index 11.68
International Small-Cap Funds Average 13.17

 

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

2

 

Expense Ratios            
Your Fund Compared With Its Peer Group          
  Investor ETF Admiral Institutional Institutional Peer Group
  Shares Shares Shares Shares Plus Shares Average
FTSE All-World ex-US Index Fund 0.26% 0.13% 0.13% 0.11% 0.09% 1.37%
FTSE All-World ex-US Small-Cap            
Index Fund 0.31 0.17 0.15 1.59

 

The fund expense ratios shown are from the prospectus dated February 26, 2016, and represent estimated costs for the current fiscal year. For
the fiscal year ended October 31, 2016, the funds’ expense ratios were: for the FTSE All-World ex-US Index Fund, 0.23% for Investor Shares,
0.11% for ETF Shares, 0.11% for Admiral Shares, 0.10% for Institutional Shares, and 0.07% for Institutional Plus Shares; and for the FTSE
All-World ex-US Small-Cap Index Fund, 0.27% for Investor Shares, 0.13% for ETF Shares, and 0.12% for Institutional Shares. The peer-group
expense ratios are derived from data provided by Lipper, a Thomson Reuters Company, and capture information through year-end 2015.

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

3

 

Chairman’s Perspective


Bill McNabb
Chairman and Chief Executive Officer

Dear Shareholder,

Over the three years ended August 31, 2016, investors poured more than $1 trillion into index funds. Indexing now accounts for nearly a third of all mutual fund assets—more than double what it did a decade ago and eight times its share two decades ago.1

By contrast, active management’s commercial struggles have reflected its disappointing investment performance. Over the decade ended December 31, 2015, 82% of actively managed stock funds and 81% of active bond funds have either underperformed their benchmarks or shut down.

This subpar performance has fueled the explosion of asset growth in indexing among individual, retirement, and nonprofit investors. So what might the trend mean for the future of actively managed funds?

Our research and experience indicate that active management can survive—and even succeed—but only if it’s offered at much lower expense.

High costs, which limit a manager’s ability to deliver benchmark-beating returns to clients, are the biggest reason why active has lagged. Industrywide as of December 31, 2015, the average expense ratio for all active stock funds is 1.14%, compared with 0.76% for stock index

1 Sources: Wall Street Journal; Morningstar, Inc.; and Investment Company Institute, 2016.

4

 

funds. And the expense advantage is even wider for bonds; the average expense ratio for an active bond fund is 0.93%, compared with 0.43% for bond index funds.

But even these big differences understate the real gap. These days, it’s not hard to find an index fund that charges maybe 0.05% or 0.10%. So even if you have identified active managers who are skilled at selecting stocks and bonds, to match the return of a comparable (much cheaper) index fund would require significant outperformance. Think about it. Any fund that charges 1.00% in expenses—not even the high end of the range—will find it extraordinarily difficult to overcome the index fund’s head start.

Active management also has taken a hit from a regulatory environment that has been favorable to low-cost strategies. The U.S. Department of Labor several years ago mandated greater disclosure of retirement plan fees. And its new fiduciary rule, which is set to take effect in April, requires financial advisors to demonstrate that their recommendations are aligned with their clients’ best interest. Both changes encourage the use of lower-cost investments, including index funds.

The future of active management

In light of all this, people have been asking me whether active management is “dead.” My response is both yes and no. High-cost active management is dead, and rightly so. It has never been a winning proposition

Market Barometer      
  Average Annual Total Returns
  Periods Ended October 31, 2016
  One Three Five
  Year Years Years
Stocks      
Russell 1000 Index (Large-caps) 4.26% 8.48% 13.51%
Russell 2000 Index (Small-caps) 4.11 4.12 11.51
Russell 3000 Index (Broad U.S. market) 4.24 8.13 13.35
FTSE All-World ex US Index (International) 0.64 -0.94 4.09
 
Bonds      
Bloomberg Barclays U.S. Aggregate Bond Index      
(Broad taxable market) 4.37% 3.48% 2.90%
Bloomberg Barclays Municipal Bond Index      
(Broad tax-exempt market) 4.06 4.89 4.34
Citigroup Three-Month U.S. Treasury Bill Index 0.22 0.07 0.07
 
CPI      
Consumer Price Index 1.64% 1.15% 1.32%

 

5

 

for investors. Low-cost active funds, though, can potentially play an important role for investors who seek to outperform the market.

Paying less for your funds is the only sure-fire way to improve your odds of achieving success in active management. But even if you have found an active manager with low costs, the odds of outperforming the market are still long. You have to be able to identify talented stock and bond portfolio managers with long time horizons and clear investment strategies. Look for managers with consistent track records and the discipline to stick closely to their investment strategy.

Know what you own and why

Despite the well-deserved reputation of indexing and the challenges for active managers, there’s still a place for traditional active strategies that are low-cost, diversified, and highly disciplined, and are run by talented managers who focus on the long term.

Vanguard has always applied these principles to our active strategies, and investors have benefited as a majority of our active funds outperformed their benchmarks and bested their peers’ average annual return over the ten years ended September 30, 2016.

Worried about the election’s impact on your portfolio?
The 2016 presidential election season was
one of the most intense and unpredictable
in U.S. history. In its aftermath, investors
may be left with lingering questions about
what the outcome will mean for their
portfolios. The answer, based on Vanguard
research into decades of historical data, is
that presidential elections typically have no
long-term effect on market performance.
 
These findings hold true regardless of the
market’s initial reaction. Whether there’s
a swoon or bounce immediately after an
election, investors shouldn’t extrapolate
that performance to the long term.
 
As you can see in the accompanying chart,
data going back to 1853 show that stock
market returns are virtually identical no matter
which party controls the White House.
Although headlines out of Washington at any
given time may still cause concern, investors
shouldn’t overreact to short-term events.
Instead, it’s best to maintain a balanced and
diversified portfolio and stay focused on your
long-term goals.
 
Average annual stock market returns based
on party control of the White House
(1853–2015)

Sources: Global Financial Data, 1853–1926; Morningstar, Inc.,
and Ibbotson Associates thereafter through 2015.

 

6

 

But it’s crucial for investors to be patient. Even active managers with the best track records frequently underperform their benchmarks when their investment styles are out of favor. Such periods, though temporary, can persist. So it’s important when entrusting your assets to an active strategy to be in it for the long haul.

Make sure you know what you’re buying and what the risks are. Active strategies are becoming more complex, so it’s important to clearly understand what the investments in your portfolio are designed to accomplish and why you want to hold them. Otherwise, you run the risk of selecting strategies that don’t fit your needs or objectives.

Keeping these considerations in mind can potentially boost your chances of success in identifying active strategies that may be able to help you reach your goals.

As always, thank you for investing with Vanguard.

Sincerely,


F. William McNabb III
Chairman and Chief Executive Officer
November 9, 2016

7

 

FTSE All-World ex-US Index Fund

Fund Profile
As of October 31, 2016

Share-Class Characteristics          
  Investor   Admiral Institutional Institutional
  Shares ETF Shares Shares Shares Plus Shares
Ticker Symbol VFWIX VEU VFWAX VFWSX VFWPX
Expense Ratio1 0.26% 0.13% 0.13% 0.11% 0.09%

 

Portfolio Characteristics    
    FTSE
    All-World
  Fund ex US Index
Number of Stocks 2,586 2,426
Median Market Cap $27.5B $27.5B
Price/Earnings Ratio 20.3x 20.6x
Price/Book Ratio 1.6x 1.6x
Return on Equity 14.6% 14.7%
Earnings Growth    
Rate 7.0% 7.2%
Dividend Yield 3.0% 3.0%
Turnover Rate 5%
Short-Term Reserves -0.3%

 

Sector Diversification (% of equity exposure)
    FTSE
    All-World
  Fund ex US Index
Basic Materials 7.5% 7.6%
Consumer Goods 16.8 16.8
Consumer Services 8.2 8.2
Financials 25.9 25.7
Health Care 7.8 7.8
Industrials 13.6 13.7
Oil & Gas 6.6 6.6
Technology 5.4 5.4
Telecommunications 4.6 4.6
Utilities 3.6 3.6

 

Volatility Measures  
  FTSE
  All-World
  ex US Index
R-Squared 0.98
Beta 0.96

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

 

Ten Largest Holdings (% of total net assets)
Nestle SA Food Products 1.3%
Royal Dutch Shell plc Integrated Oil & Gas 1.1
Novartis AG Pharmaceuticals 0.9
Roche Holding AG Pharmaceuticals 0.9
Samsung Electronics Co. Consumer  
Ltd. Electronics 0.9
Toyota Motor Corp. Automobiles 0.9
HSBC Holdings plc Banks 0.8
Taiwan Semiconductor    
Manufacturing Co. Ltd. Semiconductors 0.8
Tencent Holdings Ltd. Internet 0.8
Unilever Personal Products 0.6
Top Ten   9.0%

The holdings listed exclude any temporary cash investments and
equity index products
.

 

Allocation by Region (% of equity exposure)


1 The expense ratios shown are from the prospectus dated February 26, 2016, and represent estimated costs for the current fiscal year. For the fiscal
year ended October 31, 2016, the expense ratios were 0.23% for Investor Shares, 0.11% for ETF Shares, 0.11% for Admiral Shares, 0.10% for
Institutional Shares, and 0.07% for Institutional Plus Shares.

8

 

FTSE All-World ex-US Index Fund

Market Diversification (% of equity exposure)
    FTSE
    All-World
    ex US
  Fund Index
Europe    
United Kingdom 12.8% 12.8%
France 6.6 6.5
Germany 6.4 6.3
Switzerland 6.0 6.1
Spain 2.2 2.2
Netherlands 2.2 2.2
Sweden 1.9 1.9
Italy 1.4 1.4
Denmark 1.2 1.2
Other 2.5 2.4
Subtotal 43.2% 43.0%
Pacific    
Japan 18.4% 18.5%
Australia 5.2 5.2
South Korea 3.3 3.3
Hong Kong 2.7 2.8
Other 1.1 1.1
Subtotal 30.7% 30.9%
Emerging Markets    
China 4.9% 4.9%
Taiwan 2.9 2.9
India 2.4 2.4
Brazil 2.0 2.0
South Africa 1.8 1.8
Mexico 1.0 1.0
Other 4.7 4.7
Subtotal 19.7% 19.7%
North America    
Canada 6.0% 6.0%
Middle East 0.4% 0.4%

 

9

 

FTSE All-World ex-US Index Fund

Performance Summary

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

Cumulative Performance: March 8, 2007, Through October 31, 2016
Initial Investment of $10,000

 

    Average Annual Total Returns  
    Periods Ended October 31, 2016  
        Since Final Value
    One Five Inception of a $10,000
    Year Years (3/8/2007) Investment
  FTSE All-World ex-US Index        
  Fund*Investor Shares 0.98% 4.10% 1.11% $11,129
• • • • • • • FTSE All-World ex US Index 0.64 4.09 1.52 11,568
– – – – International Funds Average -1.61 4.75 0.57 10,564
International Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.    
"Since Inception" performance is calculated from the Investor Shares’ inception date for both the fund and its comparative standards.

 

      Since Final Value
  One Five Inception of a $10,000
  Year Years (3/2/2007) Investment
FTSE All-World ex-US Index Fund        
ETF Shares Net Asset Value 1.17% 4.26% 1.47% $11,517
FTSE All-World ex US Index 0.64 4.09 1.61 11,670
"Since Inception" performance is calculated from the ETF Shares’ inception date for both the fund and its comparative standard.

 

See Financial Highlights for dividend and capital gains information.

10

 

FTSE All-World ex-US Index Fund

  Average Annual Total Returns  
  Periods Ended October 31, 2016  
 
      Since Final Value
  One Five Inception of a $10,000
  Year Years (9/27/2011) Investment
FTSE All-World ex-US Index Fund Admiral        
Shares 1.13% 4.25% 5.65% $13,230
FTSE All-World ex US Index 0.64 4.09 5.65 13,233
"Since Inception" performance is calculated from the Admiral Shares’ inception date for both the fund and its comparative standard.

 

      Since Final Value
  One Five Inception of a $5,000,000
  Year Years (4/30/2007) Investment
FTSE All-World ex-US Index Fund        
Institutional Shares 1.15% 4.28% 0.58% $5,284,965
 
FTSE All-World ex US Index 0.64 4.09 0.69 5,337,441
"Since Inception" performance is calculated from the Institutional Shares’ inception date for both the fund and its comparative standard.

 

      Since Final Value
  One Five Inception of a $100,000,000
  Year Years (12/16/2010) Investment
FTSE All-World ex-US Index Fund Institutional        
Plus Shares 1.18% 4.30% 2.31% $114,346,650
FTSE All-World ex US Index 0.64 4.09 2.43 115,158,977
"Since Inception" performance is calculated from the Institutional Plus Shares’ inception date for both the fund and its comparative standard.

 

Cumulative Returns of ETF Shares: March 2, 2007, Through October 31, 2016    
      Since
  One Five Inception
  Year Years (3/2/2007)
FTSE All-World ex-US Index Fund ETF Shares      
Market Price 1.13% 23.36% 15.16%
FTSE All-World ex-US Index Fund ETF Shares Net      
Asset Value 1.17 23.22 15.17
FTSE All-World ex US Index 0.64 22.16 16.70
"Since Inception" performance is calculated from the ETF Shares’ inception date for both the fund and its comparative standard.

 

11

 

FTSE All-World ex-US Index Fund

Fiscal-Year Total Returns (%): March 8, 2007, Through October 31, 2016


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

Average Annual Total Returns: Periods Ended September 30, 2016
This table presents returns through the latest calendar quarter—rather than through the end of the fiscal period.
Securities and Exchange Commission rules require that we provide this information.

  Inception One Five Since
  Date Year Years Inception
Investor Shares 3/8/2007 9.23% 6.55% 1.30%
ETF Shares 3/2/2007      
Market Price   9.73 6.94 1.67
Net Asset Value   9.43 6.71 1.66
Admiral Shares 9/27/2011 9.43 6.71 6.10
Institutional Shares 4/30/2007 9.41 6.73 0.76
Institutional Plus Shares 12/16/2010 9.45 6.76 2.63

 

12

 

FTSE All-World ex-US Index Fund

Financial Statements

Statement of Net Assets—Investments Summary
As of October 31, 2016

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

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

    Market Percentage
    Value of Net
  Shares ($000) Assets
Common Stocks      
Australia      
Commonwealth Bank of Australia 2,360,406 131,407 0.5%
Westpac Banking Corp. 4,617,441 106,779 0.5%
Australia & New Zealand Banking Group Ltd. 4,039,059 85,287 0.4%
National Australia Bank Ltd. 3,676,363 78,040 0.3%
BHP Billiton Ltd. 4,460,174 77,923 0.3%
Australia—Other †   800,402 3.2%
    1,279,838 5.2%
 
Austria †   34,418 0.1%
 
Belgium      
* Anheuser-Busch InBev SA/NV 1,108,561 127,230 0.5%
Belgium—Other †   98,689 0.4%
    225,919 0.9%
 
Brazil †   489,154 2.0%
 
Canada      
Royal Bank of Canada 2,056,744 128,499 0.5%
Toronto-Dominion Bank 2,563,836 116,331 0.5%
Bank of Nova Scotia 1,681,324 90,352 0.3%
Suncor Energy Inc. 2,313,081 69,411 0.3%
1 Canada—Other †   1,069,780 4.3%
    1,474,373 5.9%
 
Chile †   67,695 0.3%
 
China      
Tencent Holdings Ltd. 7,425,447 196,792 0.8%
China Construction Bank Corp. 126,971,544 92,721 0.4%
China Mobile Ltd. 7,398,567 84,761 0.4%

 

13

 

FTSE All-World ex-US Index Fund      
 
 
 
      Market Percentage
      Value of Net
    Shares ($000) Assets
  Industrial & Commercial Bank of China Ltd. 100,120,640 60,096 0.3%
  Bank of China Ltd. 104,597,788 46,872 0.2%
  CNOOC Ltd. 22,367,400 28,144 0.1%
  China Petroleum & Chemical Corp. 35,497,284 25,672 0.1%
  China Life Insurance Co. Ltd. 10,351,341 25,627 0.1%
  PetroChina Co. Ltd. 29,249,234 20,013 0.1%
  China Overseas Land & Investment Ltd. 5,315,820 16,319 0.1%
  Agricultural Bank of China Ltd. 35,794,233 15,058 0.1%
  China Telecom Corp. Ltd. 22,411,541 11,555 0.1%
  PICC Property & Casualty Co. Ltd. 6,372,396 10,286 0.1%
  CITIC Ltd. 6,851,275 9,831 0.1%
  China Shenhua Energy Co. Ltd. 4,716,388 9,778 0.1%
  China Unicom Hong Kong Ltd. 7,971,713 9,359 0.1%
  China Resources Land Ltd. 3,742,214 9,294 0.0%
  Sinopharm Group Co. Ltd. 1,455,703 7,069 0.0%
  China Communications Construction Co. Ltd. 6,189,026 6,796 0.0%
  China CITIC Bank Corp. Ltd. 10,531,189 6,792 0.0%
  CRRC Corp. Ltd. 5,652,053 5,118 0.0%
1 China Galaxy Securities Co. Ltd. 5,184,777 4,922 0.0%
* China Resources Beer Holdings Co. Ltd. 2,227,861 4,734 0.0%
  China Cinda Asset Management Co. Ltd. 12,660,693 4,548 0.0%
  China Resources Power Holdings Co. Ltd. 2,674,409 4,531 0.0%
  China Merchants Port Holdings Co. Ltd. 1,668,031 4,313 0.0%
  Dongfeng Motor Group Co. Ltd. 4,078,627 4,251 0.0%
  China Railway Group Ltd. 5,379,352 4,147 0.0%
1 CGN Power Co. Ltd. 13,727,267 4,008 0.0%
* China Taiping Insurance Holdings Co. Ltd. 2,060,364 3,966 0.0%
  China State Construction International Holdings Ltd. 2,492,727 3,637 0.0%
  China Longyuan Power Group Corp. Ltd. 4,694,785 3,580 0.0%
1 People’s Insurance Co. Group of China Ltd. 8,775,161 3,487 0.0%
  China Resources Gas Group Ltd. 1,098,547 3,445 0.0%
  Zhuzhou CRRC Times Electric Co. Ltd. 707,009 3,419 0.0%
*,1 China Huarong Asset Management Co. Ltd. 8,652,874 3,308 0.0%
  China Railway Construction Corp. Ltd. 2,596,745 3,246 0.0%
  Kunlun Energy Co. Ltd. 3,911,523 2,947 0.0%
  Sinopec Shanghai Petrochemical Co. Ltd. 4,858,331 2,477 0.0%
  China Oilfield Services Ltd. 2,504,300 2,404 0.0%
  AviChina Industry & Technology Co. Ltd. 3,357,954 2,279 0.0%
^ China Reinsurance Group Corp. 9,508,576 2,263 0.0%
  Beijing Capital International Airport Co. Ltd. 2,104,557 2,203 0.0%
  China Jinmao Holdings Group Ltd. 7,056,005 1,946 0.0%
  Huaneng Renewables Corp. Ltd. 5,663,075 1,898 0.0%
1 China Railway Signal & Communication Corp. Ltd. 2,246,068 1,821 0.0%
  Chongqing Changan Automobile Co. Ltd. Class B 1,163,079 1,773 0.0%
1 Sinopec Engineering Group Co. Ltd. 2,006,381 1,771 0.0%
* China Coal Energy Co. Ltd. 2,991,638 1,694 0.0%
  Air China Ltd. 2,540,115 1,669 0.0%
  China Power International Development Ltd. 4,575,787 1,664 0.0%
  China Southern Airlines Co. Ltd. 2,445,017 1,372 0.0%
^ Metallurgical Corp. of China Ltd. 4,095,562 1,332 0.0%
  Sinotrans Ltd. 2,648,860 1,247 0.0%
*,^ China COSCO Holdings Co. Ltd. 3,555,160 1,225 0.0%
* China Agri-Industries Holdings Ltd. 3,033,447 1,185 0.0%
  China Resources Cement Holdings Ltd. 2,821,334 1,139 0.0%
^ China Eastern Airlines Corp. Ltd. 2,101,145 943 0.0%
  Huadian Fuxin Energy Corp. Ltd. 3,576,005 828 0.0%

 

14

 

FTSE All-World ex-US Index Fund      
 
 
 
      Market Percentage
      Value of Net
    Shares ($000) Assets
*,^ Angang Steel Co. Ltd. 1,575,537 807 0.0%
  China Machinery Engineering Corp. 1,275,516 761 0.0%
  Shanghai Baosight Software Co. Ltd. Class B 308,442 534 0.0%
  China BlueChemical Ltd. 2,631,895 509 0.0%
^ CSSC Offshore and Marine Engineering Group Co. Ltd. 332,873 502 0.0%
  China National Accord Medicines Corp. Ltd. Class B 73,286 458 0.0%
^ China Foods Ltd. 918,843 406 0.0%
*,^ CITIC Resources Holdings Ltd. 3,012,222 376 0.0%
  China National Materials Co. Ltd. 1,580,369 356 0.0%
^ Sinofert Holdings Ltd. 2,319,208 304 0.0%
1 China—Other †   398,604 1.6%
      1,203,192 4.8%
 
Colombia †   27,114 0.1%
 
1Czech Republic †   10,578 0.0%
 
Denmark      
  Novo Nordisk A/S Class B 2,564,623 91,366 0.4%
1 Denmark—Other †   198,666 0.8%
      290,032 1.2%
 
Egypt †   14,185 0.1%
 
Finland †   176,863 0.7%
 
France      
  TOTAL SA 2,988,449 143,162 0.6%
  Sanofi 1,551,184 120,712 0.5%
  BNP Paribas SA 1,357,302 78,701 0.3%
1 France—Other †   1,258,899 5.1%
      1,601,474 6.5%
Germany      
  Siemens AG 1,056,408 120,027 0.5%
  Bayer AG 1,149,306 114,115 0.5%
  BASF SE 1,282,979 113,259 0.4%
  SAP SE 1,242,220 109,439 0.4%
  Allianz SE 631,900 98,643 0.4%
  Daimler AG 1,324,208 94,472 0.4%
  Deutsche Telekom AG 4,455,828 72,698 0.3%
1 Germany—Other †   834,341 3.4%
      1,556,994 6.3%
 
Greece †   19,051 0.1%
 
Hong Kong      
  AIA Group Ltd. 16,738,852 105,304 0.4%
  BOC Hong Kong Holdings Ltd. 4,992,196 17,794 0.1%
^ China Travel International Investment Hong Kong Ltd. 3,505,542 1,010 0.0%
1 Hong Kong—Other †   555,871 2.2%
      679,979 2.7%
 
Hungary †   16,758 0.1%

 

15

 

FTSE All-World ex-US Index Fund      
 
    Market Percentage
    Value of Net
  Shares ($000) Assets
India      
Nestle India Ltd. 32,014 3,350 0.0%
1 India—Other †   591,178 2.4%
    594,528 2.4%
Indonesia †   137,660 0.6%
Ireland †   39,854 0.2%
Israel †   106,469 0.4%
1Italy †   348,951 1.4%
Japan      
Toyota Motor Corp. 3,797,791 220,298 0.9%
Mitsubishi UFJ Financial Group Inc. 18,902,259 97,532 0.4%
KDDI Corp. 2,578,464 78,368 0.3%
SoftBank Group Corp. 1,195,468 75,292 0.3%
Honda Motor Co. Ltd. 2,492,379 74,576 0.3%
Japan—Other †   3,960,789 16.0%
    4,506,855 18.2%
1Malaysia †   181,441 0.7%
Malta †   0.0%
1Mexico †   233,634 0.9%
Netherlands      
Unilever NV 2,163,079 90,473 0.3%
ING Groep NV 5,367,265 70,456 0.3%
1 Netherlands—Other †   369,494 1.5%
    530,423 2.1%
New Zealand †   46,672 0.2%
Norway †   102,699 0.4%
Other2      
3 Vanguard FTSE Emerging Markets ETF 1,921,981 72,555 0.3%
Pakistan †   2,801 0.0%
Peru †   14,602 0.1%
Philippines †   77,137 0.3%
Poland †   64,129 0.3%
Portugal †   26,570 0.1%
Qatar †   26,379 0.1%
Russia †   219,281 0.9%

 

16

 

FTSE All-World ex-US Index Fund      
 
 
 
    Market Percentage
    Value of Net
  Shares ($000) Assets
Singapore †   220,443 0.9%
 
South Africa      
Naspers Ltd. 596,325 99,873 0.4%
South Africa—Other †   331,949 1.3%
    431,822 1.7%
South Korea      
Samsung Electronics Co. Ltd. GDR 207,312 145,846 0.6%
South Korea—Other †   671,996 2.7%
    817,842 3.3%
Spain      
Banco Santander SA 19,213,676 94,148 0.4%
1 Spain—Other †   446,008 1.8%
    540,156 2.2%
 
Sweden †   471,565 1.9%
 
Switzerland      
Nestle SA 4,286,842 310,856 1.3%
Novartis AG 3,284,554 233,097 0.9%
Roche Holding AG 986,046 226,477 0.9%
Switzerland—Other †   715,967 2.9%
    1,486,397 6.0%
Taiwan      
Taiwan Semiconductor Manufacturing Co. Ltd. ADR 5,137,610 159,780 0.6%
Taiwan—Other †   545,544 2.2%
    705,324 2.8%
 
Thailand †   177,816 0.7%
 
Turkey †   67,231 0.3%
 
United Arab Emirates †   53,405 0.2%
 
United Kingdom      
HSBC Holdings plc 27,535,770 207,376 0.8%
BP plc 26,106,062 154,332 0.6%
Royal Dutch Shell plc Class A 6,012,207 149,747 0.6%
British American Tobacco plc 2,590,633 148,477 0.6%
Royal Dutch Shell plc Class B 5,205,540 134,265 0.6%
GlaxoSmithKline plc 6,756,928 133,479 0.5%
Vodafone Group plc 36,922,380 101,401 0.4%
AstraZeneca plc 1,753,877 98,209 0.4%
Diageo plc 3,500,553 93,173 0.4%
Reckitt Benckiser Group plc 873,885 78,179 0.3%
Unilever plc 1,676,747 70,003 0.3%
1 United Kingdom—Other †   1,765,131 7.1%
    3,133,772 12.6%
Total Common Stocks (Cost $24,530,754)   24,606,030 99.2%4

 

17

 

FTSE All-World ex-US Index Fund        
 
 
 
      Market Percentage
      Value of Net
  Coupon Shares ($000) Assets
Temporary Cash Investments        
Money Market Fund        
5,6 Vanguard Market Liquidity Fund 0.718% 3,664,523 366,489 1.5%
 
7,8U.S. Government and Agency Obligations †     29,189 0.1%
Total Temporary Cash Investments (Cost $395,649)     395,678 1.6%4
Total Investments (Cost $24,926,403)     25,001,708 100.8%
 
      Amount  
      ($000)  
Other Assets and Liabilities        
Other Assets        
Investment in Vanguard     1,916  
Receivables for Investment Securities Sold     287  
Receivables for Accrued Income     82,661  
Receivables for Capital Shares Issued     7,561  
Other Assets     20,566  
Total Other Assets     112,991 0.5%
Liabilities        
Payables for Investment Securities Purchased     (6,554)  
Collateral for Securities on Loan     (273,828)  
Payables for Capital Shares Redeemed     (16,084)  
Payables to Vanguard     (12,577)  
Other Liabilities     (11,208)  
Total Liabilities     (320,251) (1.3%)
Net Assets     24,794,448 100.0%
 
 
At October 31, 2016, net assets consisted of:        
        Amount
        ($000)
Paid-in Capital       25,932,684
Undistributed Net Investment Income       71,432
Accumulated Net Realized Losses       (1,280,410)
Unrealized Appreciation (Depreciation)        
Investment Securities       75,305
Futures Contracts       6,152
Forward Currency Contracts       (7,277)
Foreign Currencies       (3,438)
Net Assets       24,794,448
 
 
Investor Shares—Net Assets        
Applicable to 30,116,872 outstanding $.001 par value shares of      
beneficial interest (unlimited authorization)       529,825
Net Asset Value Per Share—Investor Shares       $17.59

 

18

 

FTSE All-World ex-US Index Fund  
 
 
 
  Amount
  ($000)
ETF Shares—Net Assets  
Applicable to 313,529,835 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 13,982,600
Net Asset Value Per Share—ETF Shares $44.60
 
Admiral Shares—Net Assets  
Applicable to 131,144,325 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 3,635,494
Net Asset Value Per Share—Admiral Shares $27.72
 
Institutional Shares—Net Assets  
Applicable to 50,347,123 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 4,424,285
Net Asset Value Per Share—Institutional Shares $87.88
 
Institutional Plus Shares—Net Assets  
Applicable to 23,879,953 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 2,222,244
Net Asset Value Per Share—Institutional Plus Shares $93.06

• See Note A in Notes to Financial Statements.
* Non-income-producing security.
^ Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $255,125,000.
† Represents the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer, represent
1% or less of net assets.
1 Security exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in transactions exempt from
registration, normally to qualified institutional buyers. At October 31, 2016, the aggregate value of these securities was $149,411,000,
representing 0.6% of net assets.
2 “Other” represents securities that are not classified by the fund’s benchmark index.
3 Considered an affiliated company of the fund as the issuer is another member of The Vanguard Group.
4 The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect to futures
investments, the fund’s effective common stock and temporary cash investment positions represent 100.0% and 0.8%, respectively,
of net assets.
5 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the
7-day yield.
6 Includes $273,828,000 of collateral received for securities on loan.
7 Securities with a value of $11,895,000 have been segregated as initial margin for open futures contracts.
8 Securities with a value of $8,163,000 have been segregated as collateral for open forward currency contracts.
ADR—American Depositary Receipt.
GDR—Global Depositary Receipt.
See accompanying Notes, which are an integral part of the Financial Statements.

19

 

FTSE All-World ex-US Index Fund  
 
 
Statement of Operations  
 
 
  Year Ended
  October 31, 2016
  ($000)
Investment Income  
Income  
Dividends1,2 718,551
Interest2 732
Securities Lending—Net 20,548
Total Income 739,831
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 2,563
Management and Administrative—Investor Shares 896
Management and Administrative—ETF Shares 9,603
Management and Administrative—Admiral Shares 2,278
Management and Administrative—Institutional Shares 2,946
Management and Administrative—Institutional Plus Shares 950
Marketing and Distribution—Investor Shares 147
Marketing and Distribution—ETF Shares 778
Marketing and Distribution—Admiral Shares 368
Marketing and Distribution—Institutional Shares 106
Marketing and Distribution—Institutional Plus Shares 43
Custodian Fees 4,071
Auditing Fees 41
Shareholders’ Reports—Investor Shares 12
Shareholders’ Reports—ETF Shares 269
Shareholders’ Reports—Admiral Shares 21
Shareholders’ Reports—Institutional Shares 13
Shareholders’ Reports—Institutional Plus Shares 9
Trustees’ Fees and Expenses 12
Total Expenses 25,126
Net Investment Income 714,705
Realized Net Gain (Loss)  
Investment Securities Sold2 42,503
Futures Contracts (4,416)
Foreign Currencies and Forward Currency Contracts (797)
Realized Net Gain (Loss) 37,290
Change in Unrealized Appreciation (Depreciation)  
Investment Securities (522,789)
Futures Contracts 1,955
Foreign Currencies and Forward Currency Contracts (6,178)
Change in Unrealized Appreciation (Depreciation) (527,012)
Net Increase (Decrease) in Net Assets Resulting from Operations 224,983

1 Dividends are net of foreign withholding taxes of $49,957,000.
2 Dividend income, interest income, and realized net gain (loss) from affiliated companies of the fund were $2,052,000, $647,000, and
($2,198,000), respectively.
See accompanying Notes, which are an integral part of the Financial Statements.

20

 

FTSE All-World ex-US Index Fund    
 
 
Statement of Changes in Net Assets    
 
  Year Ended October 31,
  2016 2015
  ($000) ($000)
Increase (Decrease) in Net Assets    
Operations    
Net Investment Income 714,705 680,179
Realized Net Gain (Loss) 37,290 (31,448)
Change in Unrealized Appreciation (Depreciation) (527,012) (2,004,442)
Net Increase (Decrease) in Net Assets Resulting from Operations 224,983 (1,355,711)
Distributions    
Net Investment Income    
Investor Shares (15,116) (14,940)
ETF Shares (386,248) (373,817)
Admiral Shares (95,215) (81,360)
Institutional Shares (126,359) (129,879)
Institutional Plus Shares (70,228) (67,629)
Realized Capital Gain    
Investor Shares
ETF Shares
Admiral Shares
Institutional Shares
Institutional Plus Shares
Total Distributions (693,166) (667,625)
Capital Share Transactions    
Investor Shares (24,599) 59,412
ETF Shares 768,493 2,248,885
Admiral Shares 512,292 846,073
Institutional Shares 7,308 148,032
Institutional Plus Shares (383,469) 711,587
Net Increase (Decrease) from Capital Share Transactions 880,025 4,013,989
Total Increase (Decrease) 411,842 1,990,653
Net Assets    
Beginning of Period 24,382,606 22,391,953
End of Period1 24,794,448 24,382,606

 

1 Net Assets—End of Period includes undistributed (overdistributed) net investment income of $71,432,000 and $45,885,000.

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

21

 

FTSE All-World ex-US Index Fund          
 
 
Financial Highlights          
 
 
Investor Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2016 2015 2014 2013 2012
Net Asset Value, Beginning of Period $17.92 $19.40 $19.81 $17.03 $16.95
Investment Operations          
Net Investment Income . 494 . 502 . 6271 .482 .448
Net Realized and Unrealized Gain (Loss)          
on Investments (.341) (1.484) (.413) 2.850 .397
Total from Investment Operations .153 (.982) .214 3.332 .845
Distributions          
Dividends from Net Investment Income (. 483) (. 498) (. 624) (. 552) (.765)
Distributions from Realized Capital Gains
Total Distributions (. 483) (. 498) (. 624) (. 552) (.765)
Net Asset Value, End of Period $17.59 $17.92 $19.40 $19.81 $17.03
 
Total Return2 0.98% -5.16% 1.05% 19.97% 5.30%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $530 $565 $552 $637 $543
Ratio of Total Expenses to          
Average Net Assets 0.23% 0.26% 0.29% 0.30% 0.30%
Ratio of Net Investment Income to          
Average Net Assets 2.89% 2.70% 3.18%1 2.69% 3.13%
Portfolio Turnover Rate 3 5% 3% 4% 8% 6%

 

1 Net investment income per share and the ratio of net investment income to average net assets include $.088 and 0.44%, respectively,
resulting from income received from Vodafone Group plc in the form of cash and shares in Verizon Communications Inc. in February 2014.
2 Total returns do not include transaction or account service fees that may have applied in the periods shown. Fund prospectuses provide
information about any applicable transaction and account service fees.
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.

22

 

FTSE All-World ex-US Index Fund          
 
 
Financial Highlights          
 
 
ETF Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2016 2015 2014 2013 2012
Net Asset Value, Beginning of Period $45.41 $49.17 $50.20 $43.21 $43.17
Investment Operations          
Net Investment Income 1.304 1.335 1.6651 1.295 1.324
Net Realized and Unrealized Gain (Loss)          
on Investments (.846) (3.769) (1.036) 7.204 .884
Total from Investment Operations .458 (2.434) .629 8.499 2.208
Distributions          
Dividends from Net Investment Income (1.268) (1.326) (1.659) (1.509) (2.168)
Distributions from Realized Capital Gains
Total Distributions (1.268) (1.326) (1.659) (1.509) (2.168)
Net Asset Value, End of Period $44.60 $45.41 $49.17 $50.20 $43.21
 
Total Return 1.17% -5.05% 1.21% 20.12% 5.51%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $13,983 $13,525 $12,453 $11,102 $7,400
Ratio of Total Expenses to          
Average Net Assets 0.11% 0.13% 0.14% 0.15% 0.15%
Ratio of Net Investment Income to          
Average Net Assets 3.01% 2.83% 3.33%1 2.84% 3.28%
Portfolio Turnover Rate2 5% 3% 4% 8% 6%

 

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

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

23

 

FTSE All-World ex-US Index Fund          
 
 
Financial Highlights          
 
 
Admiral Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2016 2015 2014 2013 2012
Net Asset Value, Beginning of Period $28.23 $30.57 $31.21 $26.86 $26.86
Investment Operations          
Net Investment Income . 811 . 832 1.0371 .805 .818
Net Realized and Unrealized Gain (Loss)          
on Investments (.532) (2.346) (.644) 4.487 .543
Total from Investment Operations .279 (1.514) .393 5.292 1.361
Distributions          
Dividends from Net Investment Income (.789) (.826) (1.033) (.942) (1.361)
Distributions from Realized Capital Gains
Total Distributions (.789) (.826) (1.033) (.942) (1.361)
Net Asset Value, End of Period $27.72 $28.23 $30.57 $31.21 $26.86
 
Total Return2 1.13% -5.05% 1.23% 20.14% 5.46%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $3,635 $3,163 $2,551 $1,909 $1,235
Ratio of Total Expenses to          
Average Net Assets 0.11% 0.13% 0.14% 0.15% 0.15%
Ratio of Net Investment Income to          
Average Net Assets 3.01% 2.83% 3.33%1 2.84% 3.28%
Portfolio Turnover Rate 3 5% 3% 4% 8% 6%

1 Net investment income per share and the ratio of net investment income to average net assets include $.139 and 0.44%, respectively,
resulting from income received from Vodafone Group plc in the form of cash and shares in Verizon Communications Inc. in February 2014.
2 Total returns do not include transaction or account service fees that may have applied in the periods shown. Fund prospectuses provide
information about any applicable transaction and account service fees.
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.

24

 

FTSE All-World ex-US Index Fund          
 
 
Financial Highlights          
 
 
Institutional Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2016 2015 2014 2013 2012
Net Asset Value, Beginning of Period $89.48 $96.89 $98.93 $85.14 $85.10
Investment Operations          
Net Investment Income 2.577 2.651 3.2991 2.577 2.628
Net Realized and Unrealized Gain (Loss)          
on Investments (1.669) (7.429) (2.049) 14.215 1.735
Total from Investment Operations .908 (4.778) 1.250 16.792 4.363
Distributions          
Dividends from Net Investment Income (2.508) (2.632) (3.290) (3.002) (4.323)
Distributions from Realized Capital Gains
Total Distributions (2.508) (2.632) (3.290) (3.002) (4.323)
Net Asset Value, End of Period $87.88 $89.48 $96.89 $98.93 $85.14
 
Total Return2 1.15% -5.03% 1.23% 20.16% 5.51%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $4,424 $4,501 $4,713 $4,687 $3,684
Ratio of Total Expenses to          
Average Net Assets 0.10% 0.11% 0.12% 0.12% 0.12%
Ratio of Net Investment Income to          
Average Net Assets 3.02% 2.85% 3.35%1 2.87% 3.31%
Portfolio Turnover Rate 3 5% 3% 4% 8% 6%

 

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

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

25

 

FTSE All-World ex-US Index Fund          
 
 
Financial Highlights          
 
 
Institutional Plus Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2016 2015 2014 2013 2012
Net Asset Value, Beginning of Period $94.75 $102.60 $104.76 $90.17 $90.15
Investment Operations          
Net Investment Income 2.754 2.829 3.5171 2.749 2.809
Net Realized and Unrealized Gain (Loss)          
on Investments (1.767) (7.869) (2.169) 15.050 1.829
Total from Investment Operations .987 (5.040) 1.348 17.799 4.638
Distributions          
Dividends from Net Investment Income (2.677) (2.810) (3.508) (3.209) (4.618)
Distributions from Realized Capital Gains
Total Distributions (2.677) (2.810) (3.508) (3.209) (4.618)
Net Asset Value, End of Period $93.06 $94.75 $102.60 $104.76 $90.17
 
Total Return2 1.18% -5.01% 1.25% 20.18% 5.54%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $2,222 $2,628 $2,122 $1,671 $1,274
Ratio of Total Expenses to          
Average Net Assets 0.07% 0.09% 0.10% 0.10% 0.10%
Ratio of Net Investment Income to          
Average Net Assets 3.05% 2.87% 3.37%1 2.89% 3.33%
Portfolio Turnover Rate 3 5% 3% 4% 8% 6%

 

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

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

26

 

FTSE All-World ex-US Index Fund

Notes to Financial Statements

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

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

1. Security Valuation: Securities are valued as of the close of trading on the New York Stock Exchange (generally 4 p.m., Eastern time) on the valuation date. Equity securities are valued at the latest quoted sales prices or official closing prices taken from the primary market in which each security trades; such securities not traded on the valuation date are valued at the mean of the latest quoted bid and asked prices. Securities for which market quotations are not readily available, or whose values have been affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued at their fair values calculated according to procedures adopted by the board of trustees. These procedures include obtaining quotations from an independent pricing service, monitoring news to identify significant market- or security-specific events, and evaluating changes in the values of foreign market proxies (for example, ADRs, futures contracts, or exchange-traded funds), between the time the foreign markets close and the fund’s pricing time. When fair-value pricing is employed, the prices of securities used by a fund to calculate its net asset value may differ from quoted or published prices for the same securities. Investments in Vanguard Market Liquidity Fund are valued at that fund’s net asset value. Temporary cash investments acquired over 60 days to maturity are valued using the latest bid prices or using valuations based on a matrix system (which considers such factors as security prices, yields, maturities, and ratings), both as furnished by independent pricing services. Other temporary cash investments are valued at amortized cost, which approximates market 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 and Forward Currency Contracts: The fund uses index futures contracts to a limited extent, with the objectives of maintaining full exposure to the stock market, enhancing returns, maintaining liquidity, and minimizing transaction costs. The fund may purchase futures contracts to immediately invest incoming cash in the market, or sell futures in response to cash outflows, thereby simulating a fully invested position in the underlying index while maintaining a cash balance for liquidity. The fund may seek to enhance returns by using futures contracts instead of the underlying securities when

27

 

FTSE All-World ex-US Index Fund

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

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

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

During the year ended October 31, 2016, the fund’s average investments in long and short futures contracts represented less than 1% and 0% of net assets, respectively, based on the average of aggregate settlement values at each quarter-end during the period. The fund’s average investment in forward currency contracts represented 2% of net assets, based on the average of notional amounts at each quarter-end during the period.

4. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. Management has analyzed the fund’s tax positions taken for all open federal income tax years (October 31, 2013–2016), and has concluded that no provision for federal income tax is required in the fund’s financial statements.

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FTSE All-World ex-US Index Fund

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

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

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

The fund had no borrowings outstanding at October 31, 2016, or at any time during the period then ended.

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

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

29

 

FTSE All-World ex-US Index Fund

for additional tax reclaims are reflected in the financial statements due to the uncertainty as to the ultimate resolution of proceedings, the likelihood of receipt of these reclaims, and the potential timing of payment.

Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses) 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. Vanguard does not require reimbursement in the current period for certain costs of operations (such as deferred compensation/benefits and risk/insurance costs); the fund’s liability for these costs of operations is included in Payables to Vanguard on the Statement of Net Assets.

Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At October 31, 2016, the fund had contributed to Vanguard capital in the amount of $1,916,000, representing 0.01% of the fund’s net assets and 0.77% of Vanguard’s capitalization. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.

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

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

The following table summarizes the market value of the fund’s investments as of October 31, 2016, based on the inputs used to value them:

  Level 1 Level 2 Level 3
Investments ($000) ($000) ($000)
Common Stocks—North and South America 2,255,548 51,024
Common Stocks—Other 440,768 21,855,523 3,167
Temporary Cash Investments 366,489 29,189
Futures Contracts—Assets1 236
Futures Contracts—Liabilities1 (649)
Forward Currency Contracts—Assets 3,203
Forward Currency Contracts—Liabilities (10,480)
Total 3,062,392 21,928,459 3,167
1 Represents variation margin on the last day of the reporting period.

 

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FTSE All-World ex-US Index Fund

D. At October 31, 2016, the fair values of derivatives were reflected in the Statement of Net Assets as follows:

    Foreign  
  Equity Exchange  
  Contracts Contracts Total
Statement of Net Assets Caption ($000) ($000) ($000)
Other Assets 236 3,203 3,439
Other Liabilities (649) (10,480) (11,129)

 

Realized net gain (loss) and the change in unrealized appreciation (depreciation) on derivatives for the year ended October 31, 2016, were:

    Foreign  
  Equity Exchange  
  Contracts Contracts Total
Realized Net Gain (Loss) on Derivatives ($000) ($000) ($000)
Futures Contracts (4,416) (4,416)
Forward Currency Contracts (221) (221)
Realized Net Gain (Loss) on Derivatives (4,416) (221) (4,637)
 
Change in Unrealized Appreciation (Depreciation) on Derivatives      
Futures Contracts 1,955 1,955
Forward Currency Contracts (4,713) (4,713)
Change in Unrealized Appreciation      
(Depreciation) on Derivatives 1,955 (4,713) (2,758)

 

At October 31, 2016, the aggregate settlement value of open futures contracts and the related unrealized appreciation (depreciation) were:

      ($000)
      Aggregate  
    Number of Settlement Unrealized
    Long (Short) Value Appreciation
Futures Contracts Expiration Contracts Long (Short) (Depreciation)
Dow Jones EURO STOXX 50 December 2016 2,478 82,932 2,081
Topix Index December 2016 407 54,029 2,324
FTSE 100 Index December 2016 425 35,954 1,409
S&P ASX 200 Index December 2016 186 18,718 338
        6,152

 

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

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FTSE All-World ex-US Index Fund

At October 31, 2016, the fund had open forward currency contracts to receive and deliver currencies as follows. Unrealized appreciation (depreciation) on open forward currency contracts is treated as realized gain (loss) for tax purposes.

            Unrealized
  Contract         Appreciation
  Settlement Contract Amount (000) (Depreciation)
Counterparty Date   Receive   Deliver ($000)
The Toronto-Dominion Bank 12/21/16 EUR 101,426 USD 114,476 (2,866)
BNP Paribas 12/13/16 JPY 7,769,440 USD 76,200 (1,984)
Bank of America, N.A. 12/21/16 GBP 39,256 USD 52,535 (4,423)
Goldman Sachs International 12/20/16 AUD 36,733 USD 27,310 597
BNP Paribas 12/21/16 EUR 12,219 USD 13,762 (316)
Citibank, N.A. 12/13/16 JPY 622,515 USD 6,223 (277)
JPMorgan Chase Bank, N.A. 12/21/16 GBP 4,167 USD 5,567 (460)
BNP Paribas 12/20/16 AUD 210 USD 156 3
JPMorgan Chase Bank, N.A. 12/20/16 AUD 135 USD 103 (1)
Bank of America, N.A. 12/13/16 USD 32,500 JPY 3,301,140 966
JPMorgan Chase Bank, N.A. 12/21/16 USD 19,651 EUR 17,737 134
BNP Paribas 12/13/16 USD 18,886 JPY 1,893,500 799
Barclays Bank plc 12/21/16 USD 14,904 EUR 13,331 235
Citibank, N.A. 12/21/16 USD 9,796 EUR 8,986 (92)
Goldman Sachs International 12/13/16 USD 8,597 JPY 891,990 76
Barclays Bank plc 12/21/16 USD 7,675 GBP 6,245 22
JPMorgan Chase Bank, N.A. 12/13/16 USD 6,757 JPY 702,780 44
Goldman Sachs International 12/21/16 USD 6,170 GBP 4,885 183
UBS AG 12/20/16 USD 4,642 AUD 6,148 (29)
JPMorgan Chase Bank, N.A. 12/21/16 USD 3,831 GBP 3,143 (21)
Barclays Bank plc 12/20/16 USD 3,415 AUD 4,510 (11)
JPMorgan Chase Bank, N.A. 12/21/16 USD 2,324 GBP 1,787 134
Citibank, N.A. 12/20/16 USD 2,276 AUD 2,983 10
            (7,277)
AUD—Australian dollar.
EUR—Euro.
GBP—British pound.
JPY—Japanese yen.
USD—U.S. dollar.

 

At October 31, 2016, the counterparty had deposited in segregated accounts securities with a value of $737,000 in connection with open forward currency contracts.

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FTSE All-World ex-US Index Fund

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

During the year ended October 31, 2016, the fund realized net foreign currency losses of $1,018,000, which decreased distributable net income for tax purposes; accordingly, such losses have been reclassified from accumulated net realized losses to undistributed net investment income.

During the year ended October 31, 2016, the fund realized $259,929,000 of net capital gains resulting from in-kind redemptions—in which shareholders exchanged fund shares for securities held by the fund rather than for cash. Because such gains are not taxable to the fund, and are not distributed to shareholders, they have been reclassified from accumulated net realized losses to paid-in capital.

For tax purposes, at October 31, 2016, the fund had $146,451,000 of ordinary income available for distribution. At October 31, 2016, the fund had available capital losses totaling $1,284,197,000 to offset future net capital gains. Of this amount, $249,855,000 is subject to expiration dates; $138,065,000 may be used to offset future net capital gains through October 31, 2017, $32,560,000 through October 31, 2018, and $79,230,000 through October 31, 2019. Capital losses of $1,034,342,000 realized beginning in fiscal 2012 may be carried forward indefinitely under the Regulated Investment Company Modernization Act of 2010, but must be used before any expiring loss carryforwards. Capital loss carryforwards of $29,919,000 expired on October 31, 2016; accordingly, such losses have been reclassified from accumulated net realized losses to paid-in capital.

At October 31, 2016, the cost of investment securities for tax purposes was $24,990,136,000. Net unrealized appreciation of investment securities for tax purposes was $11,572,000, consisting of unrealized gains of $3,600,716,000 on securities that had risen in value since their purchase and $3,589,144,000 in unrealized losses on securities that had fallen in value since their purchase.

F. During the year ended October 31, 2016, the fund purchased $2,723,278,000 of investment securities and sold $1,904,958,000 of investment securities, other than temporary cash investments. Purchases and sales include $230,305,000 and $772,210,000, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.

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FTSE All-World ex-US Index Fund

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

  Year Ended October 31,
  2016 2015
  Amount Shares Amount Shares
  ($000) (000) ($000) (000)
Investor Shares        
Issued 150,674 8,858 202,214 10,640
Issued in Lieu of Cash Distributions 14,669 866 14,509 772
Redeemed (189,942) (11,169) (157,311) (8,322)
Net Increase (Decrease)—Investor Shares (24,599) (1,445) 59,412 3,090
ETF Shares        
Issued 1,251,872 27,991 2,660,025 53,578
Issued in Lieu of Cash Distributions
Redeemed (483,379) (12,300) (411,140) (9,000)
Net Increase (Decrease)—ETF Shares 768,493 15,691 2,248,885 44,578
Admiral Shares        
Issued 1,345,709 50,503 1,381,231 47,037
Issued in Lieu of Cash Distributions 79,969 2,993 67,575 2,285
Redeemed (913,386) (34,390) (602,733) (20,743)
Net Increase (Decrease)—Admiral Shares 512,292 19,106 846,073 28,579
Institutional Shares        
Issued 920,593 10,694 1,019,443 10,800
Issued in Lieu of Cash Distributions 114,255 1,350 118,859 1,266
Redeemed (1,027,540) (11,995) (990,270) (10,410)
Net Increase (Decrease)—Institutional Shares 7,308 49 148,032 1,656
Institutional Plus Shares        
Issued 586,317 6,493 865,085 8,576
Issued in Lieu of Cash Distributions 64,624 721 64,893 655
Redeemed (1,034,410) (11,072) (218,391) (2,179)
Net Increase (Decrease)—Institutional Plus Shares (383,469) (3,858) 711,587 7,052

 

H. Management has determined that no material events or transactions occurred subsequent to October 31, 2016, that would require recognition or disclosure in these financial statements.

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

Fund Profile
As of October 31, 2016

Share-Class Characteristics      
  Investor   Institutional
  Shares ETF Shares Shares
Ticker Symbol VFSVX VSS VFSNX
Expense Ratio1 0.31% 0.17% 0.15%

 

Portfolio Characteristics    
    FTSE Global
    Small Cap
  Fund ex US Index
Number of Stocks 3,515 3,337
Median Market Cap $1.4B $1.4B
Price/Earnings Ratio 22.6x 22.8x
Price/Book Ratio 1.4x 1.4x
Return on Equity 10.5% 10.5%
Earnings Growth    
Rate 9.8% 9.9%
Dividend Yield 2.4% 2.4%
Turnover Rate 14%
Short-Term Reserves -0.3%

 

Sector Diversification (% of equity exposure)
    FTSE Global
    Small Cap
  Fund ex US Index
Basic Materials 9.8% 9.7%
Consumer Goods 11.4 11.5
Consumer Services 11.8 11.8
Financials 20.7 20.7
Health Care 6.3 6.3
Industrials 23.6 23.6
Oil & Gas 5.2 5.2
Technology 7.4 7.4
Telecommunications 1.1 1.1
Utilities 2.7 2.7

 

Volatility Measures  
  FTSE Global
  Small Cap
  ex US Index
R-Squared 0.99
Beta 0.97
These measures show the degree and timing of the fund’s
fluctuations compared with the index over 36 months.

 

Ten Largest Holdings (% of total net assets)
Teck Resources Ltd. Nonferrous Metals 0.5%
Dollarama Inc. Specialty Retailers 0.4
Open Text Corp. Software 0.4
First Quantum Minerals    
Ltd. Nonferrous Metals 0.3
Gildan Activewear Inc. Clothing &  
  Accessories 0.3
CCL Industries Inc. Containers &  
  Packaging 0.3
Seven Generations Exploration &  
Energy Ltd. Production 0.3
Keyera Corp. Exploration &  
  Production 0.3
Onex Corp. Diversified Industrials 0.2
Kinross Gold Corp. Gold Mining 0.2
Top Ten   3.2%
The holdings listed exclude any temporary cash investments and equity index products.

 

1 The expense ratios shown are from the prospectus dated February 26, 2016, and represent estimated costs for the current fiscal year. For the fiscal
year ended October 31, 2016, the expense ratios were 0.27% for Investor Shares, 0.13% for ETF Shares, and 0.12% for Institutional Shares.

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

Allocation by Region (% of equity exposure)


Market Diversification (% of equity exposure)
    FTSE
    Global
    Small Cap
    ex US
  Fund Index
Europe    
United Kingdom 11.2% 11.3%
Germany 3.8 3.6
Sweden 3.5 3.5
Switzerland 3.1 3.0
Italy 2.6 2.6
France 2.5 2.5
Netherlands 1.7 1.7
Spain 1.7 1.7
Norway 1.4 1.4
Denmark 1.1 1.1
Finland 1.1 1.2
Belgium 1.1 1.1
Other 1.7 1.8
Subtotal 36.5% 36.5%
Pacific    
Japan 16.5% 16.4%
Australia 4.4 4.5
South Korea 4.2 4.2
Hong Kong 2.2 2.1
Singapore 1.4 1.4
Other 0.7 0.7
Subtotal 29.4% 29.3%
Emerging Markets    
Taiwan 6.3% 6.3%
China 3.0 3.0
India 2.8 2.8
Thailand 1.6 1.6
Brazil 1.2 1.2
Other 4.8 4.8
Subtotal 19.7% 19.7%
North America    
Canada 14.0% 14.1%
Middle East 0.4% 0.4%

 

36

 

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

Performance Summary

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

Cumulative Performance: April 2, 2009, Through October 31, 2016
Initial Investment of $10,000


    Average Annual Total Returns  
    Periods Ended October 31, 2016  
 
        Since Final Value
    One Five Inception of a $10,000
    Year Years (4/2/2009) Investment
 
  FTSE All-World ex-US Small-Cap        
  Index Fund*Investor Shares 3.95% 5.25% 11.11% $22,233
 
• • • • • • • FTSE Global Small Cap ex US Index 3.40 5.18 11.68 23,112
 
– – – International Small-Cap Funds        
  Average 1.39 8.07 13.17 25,553

 

International Small-Cap Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.
"Since Inception" performance is calculated from the Investor Shares’ inception date for both the fund and its comparative standards.

 

      Since Final Value
  One Five Inception of a $10,000
  Year Years (4/2/2009) Investment
FTSE All-World ex-US Small-Cap Index Fund        
ETF Shares Net Asset Value 4.11% 5.44% 11.33% $22,562
FTSE Global Small Cap ex US Index 3.40 5.18 11.68 23,112
"Since Inception" performance is calculated from the ETF Shares’ inception date for both the fund and its comparative standard.

 

See Financial Highlights for dividend and capital gains information.

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

    Average Annual Total Returns  
  Periods Ended October 31, 2016  
 
      Since Final Value
  One Five Inception of a $5,000,000
  Year Years (4/2/2009) Investment
FTSE All-World ex-US Small-Cap Index Fund        
Institutional Shares 4.11% 5.45% 11.35% $11,296,350
 
FTSE Global Small Cap ex US Index 3.40 5.18 11.68 11,555,755
"Since Inception" performance is calculated from the Institutional Shares’ inception date for both the fund and its comparative standard.

 

Cumulative Returns of ETF Shares: April 2, 2009, Through October 31, 2016    
      Since
  One Five Inception
  Year Years (4/2/2009)
FTSE All-World ex-US Small-Cap Index Fund ETF      
Shares Market Price 4.40% 31.54% 126.08%
FTSE All-World ex-US Small-Cap Index Fund ETF      
Shares Net Asset Value 4.11 30.34 125.62
FTSE Global Small Cap ex US Index 3.40 28.74 131.12
"Since Inception" performance is calculated from the ETF Shares’ inception date for both the fund and its comparative standard.  

 

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

Fiscal-Year Total Returns (%): April 2, 2009, Through October 31, 2016


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

Average Annual Total Returns: Periods Ended September 30, 2016
This table presents returns through the latest calendar quarter—rather than through the end of the fiscal period.
Securities and Exchange Commission rules require that we provide this information.

  Inception One Five Since
  Date Year Years Inception
Investor Shares 4/2/2009 12.29% 7.79% 11.69%
ETF Shares 4/2/2009      
Market Price   12.73 8.20 11.94
Net Asset Value   12.47 7.98 11.91
Institutional Shares 4/2/2009 12.47 8.00 11.93

 

39

 

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

Financial Statements

Statement of Net Assets—Investments Summary
As of October 31, 2016

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

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

    Market Percentage
    Value of Net
  Shares ($000) Assets
Common Stocks      
1Australia †   147,728 4.4%
 
Austria †   29,235 0.9%
 
Belgium †   37,231 1.1%
 
1Brazil †   39,250 1.2%
 
Canada      
Teck Resources Ltd. Class B 743,955 16,063 0.5%
Dollarama Inc. 161,502 12,068 0.4%
Open Text Corp. 192,041 11,924 0.3%
First Quantum Minerals Ltd. 1,089,547 10,349 0.3%
Gildan Activewear Inc. 369,631 9,494 0.3%
CCL Industries Inc. Class B 51,570 9,171 0.3%
* Seven Generations Energy Ltd. Class A 417,714 8,907 0.3%
Keyera Corp. 288,908 8,672 0.3%
Onex Corp. 128,992 8,344 0.2%
* Kinross Gold Corp. 1,968,013 7,644 0.2%
^ H&R REIT 444,035 7,551 0.2%
^ PrairieSky Royalty Ltd. 324,632 7,060 0.2%
^ Vermilion Energy Inc. 163,646 6,418 0.2%
^ AltaGas Ltd. 256,513 6,347 0.2%
Industrial Alliance Insurance & Financial Services Inc. 162,417 6,289 0.2%
CAE Inc. 426,452 5,990 0.2%
Element Fleet Management Corp. 607,852 5,923 0.2%
^ Tahoe Resources Inc. 481,976 5,778 0.2%
Peyto Exploration & Development Corp. 223,326 5,738 0.2%
Yamana Gold Inc. 1,497,511 5,348 0.2%
Methanex Corp. 145,320 5,282 0.2%

 

40

 

FTSE All-World ex-US Small-Cap Index Fund      
 
 
    Market Percentage
    Value of Net
  Shares ($000) Assets
* Detour Gold Corp. 274,307 5,229 0.1%
WSP Global Inc. 159,144 5,155 0.1%
Finning International Inc. 268,161 4,990 0.1%
Ritchie Bros Auctioneers Inc. 141,905 4,907 0.1%
Canada—Other †   276,051 8.2%
    466,692 13.9%
 
Chile †   9,723 0.3%
 
1China †   98,137 2.9%
 
Colombia †   2,163 0.1%
 
Czech Republic †   829 0.0%
 
1Denmark †   37,900 1.1%
 
Egypt †   4,250 0.1%
 
Finland      
Amer Sports Oyj 185,785 5,055 0.1%
Finland—Other †   32,766 1.0%
    37,821 1.1%
France      
Rubis SCA 58,904 5,372 0.2%
1 France—Other †   77,406 2.3%
    82,778 2.5%
Germany      
STADA Arzneimittel AG 98,907 4,960 0.2%
* KUKA AG 43,514 4,938 0.2%
Freenet AG 171,575 4,919 0.1%
1 Germany—Other †   108,306 3.2%
    123,123 3.7%
 
Greece †   3,923 0.1%
 
1Hong Kong †   73,319 2.2%
 
1India †   94,143 2.8%
 
Indonesia †   23,391 0.7%
 
Ireland      
Kingspan Group plc 278,294 6,815 0.2%
Ireland—Other †   7,868 0.2%
    14,683 0.4%
 
Israel †   12,299 0.4%
 
1Italy †   84,116 2.5%

 

41

 

FTSE All-World ex-US Small-Cap Index Fund      
 
 
    Market Percentage
    Value of Net
  Shares ($000) Assets
Japan      
Mebuki Financial Group Inc. 1,504,100 5,353 0.2%
Japan—Other †   537,441 16.0%
    542,794 16.2%
 
Malaysia †   31,557 0.9%
 
1Mexico †   15,951 0.5%
 
Netherlands      
Aalberts Industries NV 153,196 4,838 0.1%
1 Netherlands—Other †   52,222 1.6%
    57,060 1.7%
 
New Zealand †   23,434 0.7%
 
Norway      
*,^ Subsea 7 SA 438,043 4,904 0.1%
1 Norway—Other †   42,133 1.3%
    47,037 1.4%
 
2Other †   392 0.0%
 
Pakistan †   8,530 0.3%
 
Philippines †   16,587 0.5%
Poland †   7,746 0.2%
 
Portugal †   10,663 0.3%
Qatar †   494 0.0%
 
Russia †   2,448 0.1%
 
1Singapore †   46,684 1.4%
 
South Africa †   22,157 0.7%
South Korea †   139,036 4.2%
 
Spain      
Merlin Properties Socimi SA 512,346 5,748 0.2%
1 Spain—Other †   50,383 1.5%
    56,131 1.7%
Sweden      
Castellum AB 416,719 5,647 0.2%
Elekta AB Class B 563,357 4,884 0.1%
1 Sweden—Other †   105,606 3.2%
    116,137 3.5%

 

42

 

FTSE All-World ex-US Small-Cap Index Fund        
 
 
 
        Market Percentage
        Value of Net
      Shares ($000) Assets
Switzerland        
  Temenos Group AG   92,912 6,000 0.2%
  Georg Fischer AG   6,520 5,781 0.2%
  Logitech International SA   227,854 5,511 0.2%
1 Switzerland—Other †     85,126 2.5%
        102,418 3.1%
Taiwan        
  China Life Insurance Co. Ltd.   5,513,597 5,082 0.1%
  Taiwan—Other †     203,491 6.1%
        208,573 6.2%
 
1Thailand †     51,846 1.5%
 
Turkey †     9,712 0.3%
 
United Arab Emirates †     2,242 0.1%
 
United Kingdom        
  Spirax-Sarco Engineering plc   115,195 6,211 0.2%
  Melrose Industries plc   2,982,945 6,156 0.2%
  RPC Group plc   523,910 6,076 0.2%
  IG Group Holdings plc   573,775 5,794 0.2%
  Hiscox Ltd.   448,866 5,605 0.2%
  UBM plc   617,892 5,425 0.2%
  BBA Aviation plc   1,650,388 5,219 0.1%
  Shaftesbury plc   441,128 4,949 0.1%
* BTG plc   607,650 4,890 0.1%
1 United Kingdom—Other †     324,008 9.7%
        374,333 11.2%
Total Common Stocks (Cost $3,428,705)     3,316,696 99.1%3
 
    Coupon      
Temporary Cash Investments        
Money Market Fund        
4,5 Vanguard Market Liquidity Fund 0.718% 2,716,461 271,673 8.1%
 
6U.S. Government and Agency Obligations †     6,898 0.2%
Total Temporary Cash Investments (Cost $278,546)     278,571 8.3%3
Total Investments (Cost $3,707,251)     3,595,267 107.4%
Other Assets and Liabilities        
Other Assets4     16,015 0.5%
Liabilities4     (264,613) (7.9%)
        (248,598) (7.4%)
Net Assets     3,346,669 100.0%

 

43

 

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

  Amount
  ($000)
Statement of Assets and Liabilities  
Assets  
Investments in Securities, at Value  
Unaffiliated Issuers 3,323,594
Affiliated Vanguard Funds 271,673
Total Investments in Securities 3,595,267
Investment in Vanguard 261
Receivables for Investment Securities Sold 349
Receivables for Accrued Income 7,273
Receivables for Capital Shares Issued 509
Other Assets4 7,623
Total Assets 3,611,282
Liabilities  
Payables for Investment Securities Purchased 830
Collateral for Securities on Loan 261,189
Payables for Capital Shares Redeemed 395
Payables to Vanguard 1,594
Other Liabilities 605
Total Liabilities 264,613
Net Assets 3,346,669

 

At October 31, 2016, net assets consisted of:  
  Amount
  ($000)
Paid-in Capital 3,601,325
Undistributed Net Investment Income 16,204
Accumulated Net Realized Losses (158,507)
Unrealized Appreciation (Depreciation)  
Investment Securities (111,984)
Futures Contracts 202
Forward Currency Contracts (256)
Foreign Currencies (315)
Net Assets 3,346,669
 
 
Investor Shares—Net Assets  
Applicable to 14,138,956 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 519,531
Net Asset Value Per Share—Investor Shares $36.74
 
 
ETF Shares—Net Assets  
Applicable to 27,529,681 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 2,652,168
Net Asset Value Per Share—ETF Shares $96.34

 

44

 

FTSE All-World ex-US Small-Cap Index Fund  
 
 
 
  Amount
  ($000)
Institutional Shares—Net Assets  
Applicable to 950,557 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 174,970
Net Asset Value Per Share—Institutional Shares $184.07

 

• See Note A in Notes to Financial Statements.
* Non-income-producing security.
^ Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $243,504,000.
† Represents the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer, represent
1% or less of net assets.
1 Certain of the fund’s securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold
in transactions exempt from registration, normally to qualified institutional buyers. At October 31, 2016, the aggregate value of these
securities was $72,621,000, representing 2.2% of net assets.
2 “Other” represents securities that are not classified by the fund’s benchmark index.
3 The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect to futures
investments, the fund’s effective common stock and temporary cash investment positions represent 100.0% and 7.4%, respectively,
of net assets.
4 Includes a portion of $261,189,000 of collateral received for securities on loan.
5 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the
7-day yield.
6 Securities with a value of $2,299,000 have been segregated as initial margin for open futures contracts.
REIT—Real Estate Investment Trust.
See accompanying Notes, which are an integral part of the Financial Statements.

45

 

FTSE All-World ex-US Small-Cap Index Fund  
 
 
Statement of Operations  
 
  Year Ended
  October 31, 2016
  ($000)
Investment Income  
Income  
Dividends1 79,077
Interest2 122
Securities Lending—Net 11,288
Total Income 90,487
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 442
Management and Administrative—Investor Shares 929
Management and Administrative—ETF Shares 1,674
Management and Administrative—Institutional Shares 106
Marketing and Distribution—Investor Shares 99
Marketing and Distribution—ETF Shares 172
Marketing and Distribution—Institutional Shares 5
Custodian Fees 1,074
Auditing Fees 44
Shareholders’ Reports—Investor Shares 7
Shareholders’ Reports—ETF Shares 145
Shareholders’ Reports—Institutional Shares
Trustees’ Fees and Expenses 2
Total Expenses 4,699
Net Investment Income 85,788
Realized Net Gain (Loss)  
Investment Securities Sold2 3,239
Futures Contracts (2,282)
Foreign Currencies and Forward Currency Contracts 2,853
Realized Net Gain (Loss) 3,810
Change in Unrealized Appreciation (Depreciation)  
Investment Securities 38,147
Futures Contracts (481)
Foreign Currencies and Forward Currency Contracts (311)
Change in Unrealized Appreciation (Depreciation) 37,355
Net Increase (Decrease) in Net Assets Resulting from Operations 126,953

1 Dividends are net of foreign withholding taxes of $6,335,000.
2 Interest income and realized net gain (loss) from an affiliated company of the fund were $103,000 and $3,000, respectively.

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

46

 

FTSE All-World ex-US Small-Cap Index Fund    
 
 
Statement of Changes in Net Assets    
 
  Year Ended October 31,
  2016 2015
  ($000) ($000)
Increase (Decrease) in Net Assets    
Operations    
Net Investment Income 85,788 72,412
Realized Net Gain (Loss) 3,810 51,320
Change in Unrealized Appreciation (Depreciation) 37,355 (227,964)
Net Increase (Decrease) in Net Assets Resulting from Operations 126,953 (104,232)
Distributions    
Net Investment Income    
Investor Shares (12,013) (10,561)
ETF Shares (67,444) (61,064)
Institutional Shares (4,391) (2,759)
Realized Capital Gain    
Investor Shares
ETF Shares
Institutional Shares
Total Distributions (83,848) (74,384)
Capital Share Transactions    
Investor Shares 66,018 86,821
ETF Shares 211,232 604,382
Institutional Shares 9,188 118,310
Net Increase (Decrease) from Capital Share Transactions 286,438 809,513
Total Increase (Decrease) 329,543 630,897
Net Assets    
Beginning of Period 3,017,126 2,386,229
End of Period1 3,346,669 3,017,126

1 Net Assets—End of Period includes undistributed (overdistributed) net investment income of $16,204,000 and $8,731,000.

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

47

 

FTSE All-World ex-US Small-Cap Index Fund          
 
 
Financial Highlights          
 
 
Investor Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2016 2015 2014 2013 2012
Net Asset Value, Beginning of Period $36.27 $38.10 $38.99 $33.21 $32.89
Investment Operations          
Net Investment Income .933 .887 .909 .946 .798
Net Realized and Unrealized Gain (Loss)          
on Investments1 .461 (1.769) (.834) 5.947 .649
Total from Investment Operations 1.394 (.882) .075 6.893 1.447
Distributions          
Dividends from Net Investment Income (.924) (.948) (.965) (1.113) (1.127)
Distributions from Realized Capital Gains
Total Distributions (.924) (.948) (.965) (1.113) (1.127)
Net Asset Value, End of Period $36.74 $36.27 $38.10 $38.99 $33.21
 
Total Return2 3.95% -2.33% 0.15% 21.25% 4.77%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $520 $446 $382 $318 $232
Ratio of Total Expenses to          
Average Net Assets 0.27% 0.31% 0.37% 0.40% 0.45%
Ratio of Net Investment Income to          
Average Net Assets 2.63% 2.41% 2.25% 2.58% 2.54%
Portfolio Turnover Rate 3 14% 9% 13% 19% 18%

1 Includes increases from purchase and redemption fees of $.00, $.00, $.01, $.01, and $.03. Effective July 25, 2014, fees were eliminated.
2 Total returns do not include transaction or account service fees that may have applied in the periods shown. Fund prospectuses provide
information about any applicable transaction and account service fees.
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.

48

 

FTSE All-World ex-US Small-Cap Index Fund          
 
 
Financial Highlights          
 
 
ETF Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2016 2015 2014 2013 2012
Net Asset Value, Beginning of Period $95.09 $99.89 $102.21 $87.11 $86.38
Investment Operations          
Net Investment Income 2.574 2.461 2.570 2.664 2.252
Net Realized and Unrealized Gain (Loss)          
on Investments1 1.216 (4.634) (2.169) 15.595 1.707
Total from Investment Operations 3.790 (2.173) .401 18.259 3.959
Distributions          
Dividends from Net Investment Income (2.540) (2.627) (2.721) (3.159) (3.229)
Distributions from Realized Capital Gains
Total Distributions (2.540) (2.627) (2.721) (3.159) (3.229)
Net Asset Value, End of Period $96.34 $95.09 $99.89 $102.21 $87.11
 
Total Return 4.11% -2.19% 0.34% 21.50% 4.99%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $2,652 $2,407 $1,947 $1,723 $1,040
Ratio of Total Expenses to          
Average Net Assets 0.13% 0.17% 0.19% 0.20% 0.25%
Ratio of Net Investment Income to          
Average Net Assets 2.77% 2.55% 2.43% 2.78% 2.74%
Portfolio Turnover Rate 2 14% 9% 13% 19% 18%

 

1 Includes increases from purchase and redemption fees of $.00, $.00, $.04, $.03, and $.07. Effective July 25, 2014, fees were eliminated.
2 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares,
including ETF Creation Units.

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

49

 

FTSE All-World ex-US Small-Cap Index Fund          
 
 
Financial Highlights          
 
 
Institutional Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2016 2015 2014 2013 2012
Net Asset Value, Beginning of Period $181.69 $190.87 $195.32 $166.39 $165.23
Investment Operations          
Net Investment Income 4.937 4.756 4.933 5.100 4.244
Net Realized and Unrealized Gain (Loss)          
on Investments1 2.326 (8.864) (4.161) 29.812 3.315
Total from Investment Operations 7.263 (4.108) .772 34.912 7.559
Distributions          
Dividends from Net Investment Income (4.883) (5.072) (5.222) (5.982) (6.399)
Distributions from Realized Capital Gains
Total Distributions (4.883) (5.072) (5.222) (5.982) (6.399)
Net Asset Value, End of Period $184.07 $181.69 $190.87 $195.32 $166.39
 
Total Return2 4.11% -2.17% 0.34% 21.51% 5.00%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $175 $164 $57 $18 $15
Ratio of Total Expenses to          
Average Net Assets 0.12% 0.15% 0.18% 0.19% 0.24%
Ratio of Net Investment Income to          
Average Net Assets 2.78% 2.57% 2.44% 2.79% 2.75%
Portfolio Turnover Rate 3 14% 9% 13% 19% 18%

 

1 Includes increases from purchase and redemption fees of $.00, $.00, $.06, $.07, and $.20. Effective July 25, 2014, fees were eliminated.
2 Total returns do not include transaction fees that may have applied in the periods shown. Fund prospectuses provide information about any
applicable transaction fees.
3 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares,
including ETF Creation Units.

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

50

 

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

Notes to Financial Statements

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

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

1. Security Valuation: Securities are valued as of the close of trading on the New York Stock Exchange (generally 4 p.m., Eastern time) on the valuation date. Equity securities are valued at the latest quoted sales prices or official closing prices taken from the primary market in which each security trades; such securities not traded on the valuation date are valued at the mean of the latest quoted bid and asked prices. Securities for which market quotations are not readily available, or whose values have been affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued at their fair values calculated according to procedures adopted by the board of trustees. These procedures include obtaining quotations from an independent pricing service, monitoring news to identify significant market- or security-specific events, and evaluating changes in the values of foreign market proxies (for example, ADRs, futures contracts, or exchange-traded funds), between the time the foreign markets close and the fund’s pricing time. When fair-value pricing is employed, the prices of securities used by a fund to calculate its net asset value may differ from quoted or published prices for the same securities. Investments in Vanguard Market Liquidity Fund are valued at that fund’s net asset value. Temporary cash investments acquired over 60 days to maturity are valued using the latest bid prices or using valuations based on a matrix system (which considers such factors as security prices, yields, maturities, and ratings), both as furnished by independent pricing services. Other temporary cash investments are valued at amortized cost, which approximates market 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 and Forward Currency Contracts: The fund uses index futures contracts to a limited extent, with the objectives of maintaining full exposure to the stock market, enhancing returns, maintaining liquidity, and minimizing transaction costs. The fund may purchase futures contracts to immediately invest incoming cash in the market, or sell futures in response to cash outflows, thereby simulating a fully invested position in the underlying index while maintaining a cash balance for liquidity. The fund may seek to enhance returns by using futures contracts instead of the underlying securities when futures are believed to be priced more attractively than the underlying securities. The primary risks

51

 

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

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 clearing-house, and has entered into clearing agreements with its clearing brokers. The clearinghouse imposes initial margin requirements to secure the fund’s performance and requires daily settlement of variation margin representing changes in the market value of each contract.

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

Futures contracts are valued at their quoted daily settlement prices. Forward currency contracts are valued at their quoted daily prices obtained from an independent third party, adjusted for currency risk based on the expiration date of each contract. The aggregate settlement values and 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 or forward currency contracts.

During the year ended October 31, 2016, the fund’s average investments in long and short futures contracts represented less than 1% and 0% of net assets, respectively, based on the average of aggregate settlement values at each quarter-end during the period. The fund’s average investment in forward currency contracts represented less than 1% of net assets, based on the average of notional amounts at each quarter-end during the period.

4. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. Management has analyzed the fund’s tax positions taken for all open federal income tax years (October 31, 2013–2016), and has concluded that no provision for federal income tax is required in the fund’s financial statements.

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

52

 

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

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

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

The fund had no borrowings outstanding at October 31, 2016, or at any time during the period then ended.

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

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

53

 

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

Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses) 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. Vanguard does not require reimbursement in the current period for certain costs of operations (such as deferred compensation/benefits and risk/insurance costs); the fund’s liability for these costs of operations is included in Payables to Vanguard on the Statement of Assets and Liabilities.

Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At October 31, 2016, the fund had contributed to Vanguard capital in the amount of $261,000, representing 0.01% of the fund’s net assets and 0.10% of Vanguard’s capitalization. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.

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

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

The following table summarizes the market value of the fund’s investments as of October 31, 2016, based on the inputs used to value them:

  Level 1 Level 2 Level 3
Investments ($000) ($000) ($000)
Common Stocks—North and South America 524,226 9,723 221
Common Stocks—Other 203 2,776,077 6,246
Temporary Cash Investments 271,673 6,898
Futures Contracts—Assets1 85
Futures Contracts—Liabilities1 (56)
Forward Currency Contracts—Assets 172
Forward Currency Contracts—Liabilities (428)
Total 796,131 2,792,442 6,467
1 Represents variation margin on the last day of the reporting period.

 

54

 

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

D. At October 31, 2016, the fair values of derivatives were reflected in the Statement of Assets and Liabilities as follows:

    Foreign  
  Equity Exchange  
  Contracts Contracts Total
Statement of Assets and Liabilities Caption ($000) ($000) ($000)
Other Assets 85 172 257
Other Liabilities (56) (428) (484)

 

Realized net gain (loss) and the change in unrealized appreciation (depreciation) on derivatives for the year ended October 31, 2016, were:

 

    Foreign  
  Equity Exchange  
  Contracts Contracts Total
Realized Net Gain (Loss) on Derivatives ($000) ($000) ($000)
Futures Contracts (2,282) (2,282)
Forward Currency Contracts 1,240 1,240
Realized Net Gain (Loss) on Derivatives (2,282) 1,240 (1,042)
 
Change in Unrealized Appreciation (Depreciation) on Derivatives      
Futures Contracts (481) (481)
Forward Currency Contracts (120) (120)
Change in Unrealized Appreciation (Depreciation) on Derivatives (481) (120) (601)

 

At October 31, 2016, the aggregate settlement value of open futures contracts and the related unrealized appreciation (depreciation) were:

      ($000)
      Aggregate  
    Number of Settlement Unrealized
    Long (Short) Value Appreciation
Futures Contracts Expiration Contracts Long (Short) (Depreciation)
MSCI Emerging Markets Index December 2016 181 8,177 (117)
Dow Jones EURO STOXX 50 December 2016 236 7,898 230
E-mini Russell 2000 Index December 2016 63 7,493 (138)
Topix Index December 2016 36 4,779 229
E-mini S&P 500 Index December 2016 3 318 (2)
        202

 

Unrealized appreciation (depreciation) on open MSCI Emerging Markets Index, Dow Jones EURO STOXX 50, E-mini Russell 2000 Index, and E-mini S&P 500 Index futures contracts is required to be treated as realized gain (loss) for tax purposes.

55

 

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

At October 31, 2016, the fund had open forward currency contracts to receive and deliver currencies as follows. Unrealized appreciation (depreciation) on open forward currency contracts is treated as realized gain (loss) for tax purposes.

            Unrealized
  Contract         Appreciation
  Settlement Contract Amount (000) (Depreciation)
Counterparty Date   Receive   Deliver ($000)
The Toronto-Dominion Bank 12/21/16 EUR 10,072 USD 11,368 (285)
BNP Paribas 12/13/16 JPY 508,156 USD 4,984 (130)
BNP Paribas 12/21/16 EUR 463 USD 523 (13)
Deutsche Bank AG 12/21/16 USD 3,366 EUR 2,987 79
Morgan Stanley Capital Services LLC 12/21/16 USD 2,725 EUR 2,417 66
JPMorgan Chase Bank, N.A. 12/13/16 USD 1,162 JPY 118,890 27
            (256)
EUR—Euro.
JPY—Japanese yen.
USD—U.S. dollar.

 

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

During the year ended October 31, 2016, the fund realized net foreign currency gains of $1,613,000, which increased distributable net income for tax purposes; accordingly, such gains have been reclassified from accumulated net realized losses to undistributed net investment income. Certain of the fund’s investments are in securities considered to be passive foreign investment companies, for which any unrealized appreciation and/or realized gains are required to be included in distributable net income for tax purposes. During the year ended October 31, 2016, the fund realized gains on the sale of passive foreign investment companies of $4,007,000, which have been included in current and prior periods’ taxable income; accordingly, such gains have been reclassified from accumulated net realized losses to undistributed net investment income. Passive foreign investment companies held at October 31, 2016, had unrealized appreciation of $24,926,000.

During the year ended October 31, 2016, the fund realized $87,460,000 of net capital gains resulting from in-kind redemptions—in which shareholders exchanged fund shares for securities held by the fund rather than for cash. Because such gains are not taxable to the fund, and are not distributed to shareholders, they have been reclassified from accumulated net realized losses to paid-in capital.

56

 

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

For tax purposes, at October 31, 2016, the fund had $42,414,000 of ordinary income available for distribution. At October 31, 2016, the fund had available capital losses totaling $158,672,000 to offset future net capital gains. Of this amount, $8,716,000 is subject to expiration on October 31, 2019. Capital losses of $149,956,000 realized beginning in fiscal 2012 may be carried forward indefinitely under the Regulated Investment Company Modernization Act of 2010, but must be used before any expiring loss carryforwards.

At October 31, 2016, the cost of investment securities for tax purposes was $3,732,177,000. Net unrealized depreciation of investment securities for tax purposes was $136,910,000, consisting of unrealized gains of $400,873,000 on securities that had risen in value since their purchase and $537,783,000 in unrealized losses on securities that had fallen in value since their purchase.

F. During the year ended October 31, 2016, the fund purchased $992,755,000 of investment securities and sold $714,166,000 of investment securities, other than temporary cash investments. Purchases and sales include $221,081,000 and $266,203,000, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.

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

  Year Ended October 31,
  2016 2015
  Amount Shares Amount Shares
  ($000) (000) ($000) (000)
Investor Shares        
Issued 147,789 4,161 165,488 4,391
Issued in Lieu of Cash Distributions 10,280 289 9,158 249
Redeemed (92,051) (2,604) (87,825) (2,368)
Net Increase (Decrease)—Investor Shares 66,018 1,846 86,821 2,272
ETF Shares        
Issued 507,205 5,416 880,544 8,719
Issued in Lieu of Cash Distributions
Redeemed (295,973) (3,200) (276,162) (2,900)
Net Increase (Decrease)—ETF Shares 211,232 2,216 604,382 5,819
Institutional Shares        
Issued 28,799 155 129,128 663
Issued in Lieu of Cash Distributions 3,148 18 2,545 14
Redeemed (22,759) (126) (13,363) (73)
Net Increase (Decrease)—Institutional Shares 9,188 47 118,310 604

 

H. Management has determined that no material events or transactions occurred subsequent to October 31, 2016, that would require recognition or disclosure in these financial statements.

57

 

Report of Independent Registered
Public Accounting Firm

To the Board of Trustees of Vanguard International Equity Index Funds and the Shareholders of Vanguard FTSE All-World ex-US Index Fund and Vanguard FTSE All-World ex-US Small-Cap Index Fund:

In our opinion, the accompanying statements of net assets—investments summary, statement of assets and liabilities and the related statements of operations and of changes in net assets and the financial highlights present fairly, in all material respects, the financial position of Vanguard FTSE All-World ex-US Index Fund and Vanguard FTSE All-World ex-US Small-Cap Index Fund (constituting separate portfolios of Vanguard International Equity Index Funds, hereafter referred to as the “Funds”) at October 31, 2016, the results of each of their operations for the year then ended, the changes in each of their net assets for each of the two years in the period then ended, and the financial highlights for each of the five years in the period then ended, in conformity with accounting principles generally accepted in the United States of America. These financial statements and financial highlights (hereafter referred to as “financial statements”) are the responsibility of the Funds’ management. Our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these financial statements in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits, which included confirmation of securities at October 31, 2016 by correspondence with the custodian and brokers and by agreement to the underlying ownership records of the transfer agent, provide a reasonable basis for our opinion.

/s/PricewaterhouseCoopers LLP
Philadelphia, Pennsylvania
December 15, 2016

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Special 2016 tax information (unaudited) for Vanguard FTSE All-World ex-US Index Fund

This information for the fiscal year ended October 31, 2016, is included pursuant to provisions of the
Internal Revenue Code.

The fund distributed $505,361,000 of qualified dividend income to shareholders during the fiscal year.

The fund designates to shareholders foreign source income of $653,487,000 and foreign taxes paid
of $48,831,000. Shareholders will receive more detailed information with their Form 1099-DIV in
January 2017 to determine the calendar-year amounts to be included on their 2016 tax returns.


Special 2016 tax information (unaudited) for Vanguard FTSE All-World ex-US Small-Cap Index Fund

This information for the fiscal year ended October 31, 2016, is included pursuant to provisions of the Internal Revenue Code.

The fund distributed $44,871,000 of qualified dividend income to shareholders during the fiscal year.

The fund designates to shareholders foreign source income of $73,970,000 and foreign taxes paid of $6,289,000. Shareholders will receive more detailed information with their Form 1099-DIV in January 2017 to determine the calendar-year amounts to be included on their 2016 tax returns.

59

 

Your Fund’s After-Tax Returns

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

Calculations are based on the highest individual federal income tax and capital gains tax rates in effect at the times of the distributions and the hypothetical sales. State and local taxes were not considered. After-tax returns reflect any qualified dividend income, using actual prior-year figures and estimates for 2016. (In the example, returns after the sale of fund shares may be higher than those assuming no sale. This occurs when the sale would have produced a capital loss. The calculation assumes that the investor received a tax deduction for the loss.)

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

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

Average Annual Total Returns: FTSE International Index Funds      
Periods Ended October 31, 2016      
 
      Since
  One Five Inception
  Year Years (3/8/2007)
FTSE All-World ex-US Index Fund Investor Shares      
Returns Before Taxes 0.98% 4.10% 1.11%
Returns After Taxes on Distributions 0.18 3.33 0.61
Returns After Taxes on Distributions and Sale of Fund Shares 0.95 3.17 0.88

 

      Since
  One Five Inception
  Year Years (4/2/2009)
FTSE All-World ex-US Small-Cap Index Fund Investor Shares      
Returns Before Taxes 3.95% 5.25% 11.11%
Returns After Taxes on Distributions 3.12 4.48 10.42
Returns After Taxes on Distributions and Sale of Fund Shares 2.54 3.97 8.96

 

60

 

About Your Fund’s Expenses

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

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

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

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

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

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

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

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

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

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Six Months Ended October 31, 2016      
  Beginning Ending Expenses
  Account Value Account Value Paid During
  4/30/2016 10/31/2016 Period
Based on Actual Fund Return      
FTSE All-World ex-US Index Fund      
Investor Shares $1,000.00 $1,028.90 $1.07
ETF Shares 1,000.00 1,029.91 0.56
Admiral Shares 1,000.00 1,029.45 0.56
Institutional Shares 1,000.00 1,029.58 0.56
Institutional Plus Shares 1,000.00 1,029.81 0.36
FTSE All-World ex-US Small-Cap Index Fund      
Investor Shares $1,000.00 $1,014.78 $1.27
ETF Shares 1,000.00 1,015.72 0.56
Institutional Shares 1,000.00 1,015.55 0.51
Based on Hypothetical 5% Yearly Return      
FTSE All-World ex-US Index Fund      
Investor Shares $1,000.00 $1,024.08 $1.07
ETF Shares 1,000.00 1,024.58 0.56
Admiral Shares 1,000.00 1,024.58 0.56
Institutional Shares 1,000.00 1,024.58 0.56
Institutional Plus Shares 1,000.00 1,024.78 0.36
FTSE All-World ex-US Small-Cap Index Fund      
Investor Shares $1,000.00 $1,023.88 $1.27
ETF Shares 1,000.00 1,024.58 0.56
Institutional Shares 1,000.00 1,024.63 0.51

 

The calculations are based on expenses incurred in the most recent six-month period. The funds’ annualized six-month expense ratios for that
period are: for the FTSE All-World ex-US Index Fund, 0.21% for Investor Shares, 0.11% for ETF Shares, 0.11% for Admiral Shares, 0.11% for
Institutional Shares, and 0.07% for Institutional Plus Shares; and for the FTSE All-World ex-US Small-Cap Index Fund, 0.25% for Investor
Shares, 0.11% for ETF Shares, and 0.10% for Institutional Shares. The dollar amounts shown as “Expenses Paid” are equal to the annualized
expense ratio multiplied by the average account value over the period, multiplied by the number of days in the most recent six-month period,
then divided by the number of days in the most recent 12-month period (184/366).

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Glossary

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

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

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

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

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

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

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

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

Price/Book Ratio. The share price of a stock divided by its net worth, or book value, per share. For a fund, the weighted average price/book ratio of the stocks it holds.

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

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

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

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

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

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The People Who Govern Your Fund

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

A majority of Vanguard’s board members are independent, meaning that they have no affiliation with Vanguard or the funds they oversee, apart from the sizable personal investments they have made as private individuals. The independent board members have distinguished backgrounds in business, academia, and public service. Each of the trustees and executive officers oversees 198 Vanguard funds.

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

InterestedTrustee1

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

IndependentTrustees

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

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

Amy Gutmann
Born 1949. Trustee Since June 2006. Principal
Occupation(s) During the Past Five Years and
Other Experience: President of the University of
Pennsylvania; Christopher H. Browne Distinguished
Professor of Political Science, School of Arts and
Sciences, and Professor of Communication, Annenberg
School for Communication, with secondary faculty
appointments in the Department of Philosophy, School
of Arts and Sciences, and at the Graduate School of
Education, University of Pennsylvania; Trustee of the
National Constitution Center; Chair of the Presidential
Commission for the Study of Bioethical Issues.

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

 

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

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

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

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

Peter F. Volanakis
Born 1955. Trustee Since July 2009. Principal
Occupation(s) During the Past Five Years and
Other Experience: President and Chief Operating
Officer (retired 2010) of Corning Incorporated
(communications equipment); Chairman of the
Board of Trustees of Colby-Sawyer College;
Member of the Advisory Board of the Norris
Cotton Cancer Center.

Executive Officers

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

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

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

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

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

 

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

 

 

  P.O. Box 2600
  Valley Forge, PA 19482-2600
 
 
 
Connect with Vanguard® > vanguard.com
 
 
 
Fund Information > 800-662-7447  
 
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  All rights reserved.
  Vanguard Marketing Corporation, Distributor.
 
  Q7700 122016

 



Annual Report | October 31, 2016

Vanguard Global ex-U.S. Real Estate

Index Fund

 

A new format, unwavering commitment

As you begin reading this report, you’ll notice that we’ve made some improvements to the opening sections—based on feedback from you, our clients.

Page 1 starts with a new ”Your Fund’s Performance at a Glance,” a concise, handy summary of how your fund performed during the period.

In the renamed ”Chairman’s Perspective,” Bill McNabb will focus on enduring principles and investment insights.

We’ve modified some tables, and eliminated some redundancy, but we haven’t removed any information.

At Vanguard, we’re always looking for better ways to communicate and to help you make sound investment decisions. Thank you for entrusting your assets to us.

Contents  
Your Fund’s Performance at a Glance. 1
Chairman’s Perspective. 3
Fund Profile. 7
Performance Summary. 9
Financial Statements. 12
Your Fund’s After-Tax Returns. 37
About Your Fund’s Expenses. 38
Glossary. 40

Please note: The opinions expressed in this report are just that—informed opinions. They should not be considered promises or advice.
Also, please keep in mind that the information and opinions cover the period through the date on the front of this report. Of course, the
risks of investing in your fund are spelled out in the prospectus.
See the Glossary for definitions of investment terms used in this report.
About the cover: No matter what language you speak, Vanguard has one consistent message and set of principles. Our primary
focus is on you, our clients. We conduct our business with integrity as a faithful steward of your assets. This message is shown
translated into seven languages, reflecting our expanding global presence.

 

Your Fund’s Performance at a Glance

• Vanguard Global ex-U.S. Real Estate Index Fund returned nearly 3% for the 12 months ended October 31, 2016, ahead of its benchmark and the average return of its peers. The fund’s return diverged from that of its benchmark index in part because of temporary pricing discrepancies arising from fair-value adjustments. Please see the Glossary entry for Fair-Value Pricing.

• Stocks in emerging markets and in developed markets of the Pacific region contributed most to fund performance. European stocks were the biggest laggards.

• Returns in the Pacific region were aided by Japan and Australia, whose currencies strengthened against the U.S. dollar. A stronger local currency compared with the U.S. dollar helps returns for U.S. investors. In Europe, U.S. investors were hurt by U.K. stocks, which fell in part because the British pound weakened in the aftermath of this summer’s Brexit vote.

Total Returns: Fiscal Year Ended October 31, 2016  
  Total
  Returns
Vanguard Global ex-U.S. Real Estate Index Fund  
Investor Shares 2.72%
ETF Shares  
Market Price 3.07
Net Asset Value 2.92
Admiral™ Shares 2.91
Institutional Shares 2.93
S&P Global ex-U.S. Property Index 2.08
International Real Estate Funds Average -2.20

 

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

1

 

Total Returns: Inception Through October 31, 2016  
  Average
  Annual Return
Global ex-U.S. Real Estate Index Fund Investor Shares (Returns since inception: 11/1/2010) 4.67%
S&P Global ex-U.S. Property Index 4.48
International Real Estate Funds Average 3.70
International Real Estate Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.

 

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

 

Expense Ratios          
Your Fund Compared With Its Peer Group          
  Investor ETF Admiral Institutional Peer Group
  Shares Shares Shares Shares Average
Global ex-U.S. Real Estate Index Fund 0.36% 0.18% 0.18% 0.16% 1.38%

 

The fund expense ratios shown are from the prospectus dated February 26, 2016, and represent estimated costs for the current fiscal year.
For the fiscal year ended October 31, 2016, the fund’s expense ratios were 0.35% for Investor Shares, 0.15% for ETF Shares, 0.15%
for Admiral Shares, and 0.13% for Institutional Shares. The peer-group expense ratio is derived from data provided by Lipper, a Thomson
Reuters Company, and captures information through year-end 2015.

Peer group: International Real Estate Funds.

 

Chairman’s Perspective


Bill McNabb
Chairman and Chief Executive Officer

Dear Shareholder,

Over the three years ended August 31, 2016, investors poured more than $1 trillion into index funds. Indexing now accounts for nearly a third of all mutual fund assets—more than double what it did a decade ago and eight times its share two decades ago.1

By contrast, active management’s commercial struggles have reflected its disappointing investment performance. Over the decade ended December 31, 2015, 82% of actively managed stock funds and 81% of active bond funds have either underperformed their benchmarks or shut down.

This subpar performance has fueled the explosion of asset growth in indexing among individual, retirement, and nonprofit investors. So what might the trend mean for the future of actively managed funds?

Our research and experience indicate that active management can survive—and even succeed—but only if it’s offered at much lower expense.

High costs, which limit a manager’s ability to deliver benchmark-beating returns to clients, are the biggest reason why active has lagged. Industrywide as of December 31, 2015, the average expense ratio for all active stock funds is 1.14%, compared with 0.76% for stock index

1 Sources: Wall Street Journal; Morningstar, Inc.; and Investment Company Institute, 2016.

3

 

funds. And the expense advantage is even wider for bonds; the average expense ratio for an active bond fund is 0.93%, compared with 0.43% for bond index funds.

But even these big differences understate the real gap. These days, it’s not hard to find an index fund that charges maybe 0.05% or 0.10%. So even if you have identified active managers who are skilled at selecting stocks and bonds, to match the return of a comparable (much cheaper) index fund would require significant outperformance. Think about it. Any fund that charges 1.00% in expenses—not even the high end of the range—will find it extraordinarily difficult to overcome the index fund’s head start.

Active management also has taken a hit from a regulatory environment that has been favorable to low-cost strategies. The U.S. Department of Labor several years ago mandated greater disclosure of retirement plan fees. And its new fiduciary rule, which is set to take effect in April, requires financial advisors to demonstrate that their recommendations are aligned with their clients’ best interest. Both changes encourage the use of lower-cost investments, including index funds.

The future of active management

In light of all this, people have been asking me whether active management is “dead.” My response is both yes and no. High-cost active management is dead, and rightly so. It has never been a winning proposition

Market Barometer      
  Average Annual Total Returns
  Periods Ended October 31, 2016
  One Three Five
  Year Years Years
Stocks      
Russell 1000 Index (Large-caps) 4.26% 8.48% 13.51%
Russell 2000 Index (Small-caps) 4.11 4.12 11.51
Russell 3000 Index (Broad U.S. market) 4.24 8.13 13.35
FTSE All-World ex US Index (International) 0.64 -0.94 4.09
 
Bonds      
Bloomberg Barclays U.S. Aggregate Bond Index      
(Broad taxable market) 4.37% 3.48% 2.90%
Bloomberg Barclays Municipal Bond Index      
(Broad tax-exempt market) 4.06 4.89 4.34
Citigroup Three-Month U.S. Treasury Bill Index 0.22 0.07 0.07
 
CPI      
Consumer Price Index 1.64% 1.15% 1.32%

 

4

 

for investors. Low-cost active funds, though, can potentially play an important role for investors who seek to outperform the market.

Paying less for your funds is the only sure-fire way to improve your odds of achieving success in active management. But even if you have found an active manager with low costs, the odds of outperforming the market are still long. You have to be able to identify talented stock and bond portfolio managers with long time horizons and clear investment strategies. Look for managers with consistent track records and the discipline to stick closely to their investment strategy.

Know what you own and why

Despite the well-deserved reputation of indexing and the challenges for active managers, there’s still a place for traditional active strategies that are low-cost, diversified, and highly disciplined, and are run by talented managers who focus on the long term.

Vanguard has always applied these principles to our active strategies, and investors have benefited as a majority of our active funds outperformed their benchmarks and bested their peers’ average annual return over the ten years ended September 30, 2016.

Worried about the election’s impact on your portfolio?
The 2016 presidential election season was
one of the most intense and unpredictable
in U.S. history. In its aftermath, investors
may be left with lingering questions about
what the outcome will mean for their
portfolios. The answer, based on Vanguard
research into decades of historical data, is
that presidential elections typically have no
long-term effect on market performance.
 
These findings hold true regardless of the
market’s initial reaction. Whether there’s
a swoon or bounce immediately after an
election, investors shouldn’t extrapolate
that performance to the long term.
 
As you can see in the accompanying chart,
data going back to 1853 show that stock
market returns are virtually identical no matter
which party controls the White House.
Although headlines out of Washington at any
given time may still cause concern, investors
shouldn’t overreact to short-term events.
Instead, it’s best to maintain a balanced and
diversified portfolio and stay focused on your
long-term goals.
 
Average annual stock market returns based
on party control of the White House
(1853–2015)

Sources: Global Financial Data, 1853–1926; Morningstar, Inc.,
and Ibbotson Associates thereafter through 2015.

 

5

 

But it’s crucial for investors to be patient. Even active managers with the best track records frequently underperform their benchmarks when their investment styles are out of favor. Such periods, though temporary, can persist. So it’s important when entrusting your assets to an active strategy to be in it for the long haul.

Make sure you know what you’re buying and what the risks are. Active strategies are becoming more complex, so it’s important to clearly understand what the investments in your portfolio are designed to accomplish and why you want to hold them. Otherwise, you run the risk of selecting strategies that don’t fit your needs or objectives.

Keeping these considerations in mind can potentially boost your chances of success in identifying active strategies that may be able to help you reach your goals.

As always, thank you for investing with Vanguard.

Sincerely,


F. William McNabb III
Chairman and Chief Executive Officer
November 9, 2016

6

 

Global ex-U.S. Real Estate Index Fund

Fund Profile
As of October 31, 2016

Share-Class Characteristics        
  Investor   Admiral Institutional
  Shares ETF Shares Shares Shares
Ticker Symbol VGXRX VNQI VGRLX VGRNX
Expense Ratio1 0.36% 0.18% 0.18% 0.16%

 

Portfolio Characteristics    
    S&P
    Global
    ex-U.S
    Property
  Fund Index
Number of Stocks 691 636
Median Market Cap $5.8B $5.8B
Price/Earnings Ratio 11.6x 11.
Price/Book Ratio 1.1x 1.1x
Return on Equity 10.5% 10.5%
Earnings Growth    
Rate 9.2% 9.2%
Dividend Yield 3.4% 3.4%
Turnover Rate 7%  
Short-Term Reserves -0.2%  

 

Allocation by Region (% of equity exposure)


Volatility Measures    
  S&P  
  Global MSCI AC
  ex-U.S. World
  Property Index
  Index ex USA
R-Squared 0.98 0.75
Beta 0.96 0.84
These measures show the degree and timing of the fund’s fluctuations compared with the indexes over 36 months.
 

 

Ten Largest Holdings (% of total net assets)
Mitsubishi Estate Co. Diversified Real  
Ltd. Estate Activities 2.9%
Sun Hung Kai Properties Diversified Real  
Ltd. Estate Activities 2.5
Unibail-Rodamco SE Retail REITs 2.5
Mitsui Fudosan Co. Ltd. Diversified Real  
  Estate Activities 2.4
Cheung Kong Property Real Estate  
Holdings Ltd. Development 2.2
Daiwa House Industry Diversified Real  
Co. Ltd. Estate Activities 1.9
Scentre Group Retail REITs 1.8
Vonovia SE Real Estate  
  Operating  
  Companies 1.7
Link REIT Retail REITs 1.7
China Overseas Land & Real Estate  
Investment Ltd. Development 1.4
Top Ten   21.0%
The holdings listed exclude any temporary cash investments and equity index products.

 

1 The expense ratios shown are from the prospectus dated February 26, 2016, and represent estimated costs for the current fiscal year. For the fiscal
year ended October 31, 2016, the expense ratios were 0.35% for Investor Shares, 0.15% for ETF Shares, 0.15% for Admiral Shares, and 0.13% for
Institutional Shares.

7

 

Global ex-U.S. Real Estate Index Fund

Market Diversification (% of equity exposure)
    S&P
    Global
    ex-U.S.
    Property
  Fund Index
Europe    
United Kingdom 6.2% 6.2%
France 5.3 5.3
Germany 4.8 4.8
Sweden 1.8 1.9
Switzerland 1.5 1.5
Other 3.7 3.8
Subtotal 23.3% 23.5%
Pacific    
Japan 23.2% 23.4%
Hong Kong 13.1 13.2
Australia 9.6 9.9
Singapore 5.7 5.5
Other 0.5 0.6
Subtotal 52.1% 52.6%
Emerging Markets    
China 7.3% 7.3%
South Africa 1.8 1.7
Philippines 1.5 1.5
United Arab Emirates 1.2 1.2
Mexico 1.0 1.2
Indonesia 1.0 1.0
Other 4.1 4.1
Subtotal 17.9% 18.0%
North America    
Canada 2.4% 2.5%
Middle East 0.7% 0.9%
Other 3.6% 2.5%
"Other" represents securities that are not classified by the fund's benchmark index.

 

8

 

Global ex-U.S. Real Estate Index Fund

Performance Summary

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

Cumulative Performance: November 1, 2010, Through October 31, 2016
Initial Investment of $10,000

 

    Average Annual Total Returns  
    Periods Ended October 31, 2016  
 
        Since Final Value
    One Five Inception of a $10,000
    Year Years (11/1/2010) Investment
  Global ex-U.S. Real Estate Index Fund        
  Investor Shares 2.22% 7.42% 4.59% $13,089
 
• • • • • • • • S&P Global ex-U.S. Property Index 2.08 7.05 4.48 13,005
 
– – – – International Real Estate Funds Average -2.20 6.50 3.70 12,435

 

International Real Estate Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.
"Since Inception" performance is calculated from the Investor Shares’ inception date for both the fund and its comparative standards.

 

      Since Final Value
  One Five Inception of a $10,000
  Year Years (11/1/2010) Investment
Global ex-U.S. Real Estate Index Fund        
ETF Shares Net Asset Value 2.92% 7.66% 4.81% $13,255
S&P Global ex-U.S. Property Index 2.08 7.05 4.48 13,005
"Since Inception" performance is calculated from the ETF Shares’ inception date for both the fund and its comparative standards.

 

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

9

 

Global ex-U.S. Real Estate Index Fund

  Average Annual Total Returns  
  Periods Ended October 31, 2016  
 
      Since Final Value
  One Five Inception of a $10,000
  Year Years (2/10/2011) Investment
Global ex-U.S. Real Estate Index Fund Admiral        
Shares 2.41% 7.57% 5.05% $13,259
S&P Global ex-U.S. Property Index 2.08 7.05 4.82 13,094
"Since Inception" performance is calculated from the Admiral Shares’ inception date for both the fund and its comparative standards.

 

      Since Final Value
  One Five Inception of a $5,000,000
  Year Years (4/19/2011) Investment
Global ex-U.S. Real Estate Index Fund        
Institutional Shares 2.42% 7.60% 4.80% $6,482,647
S&P Global ex-U.S. Property Index 2.08 7.05 4.60 6,412,480
"Since Inception" performance is calculated from the Institutional Shares’ inception date for both the fund and its comparative standards.

 

Cumulative Returns of ETF Shares: November 1, 2010, Through October 31, 2016    
      Since
  One Five Inception
  Year Years (11/1/2010)
Global ex-U.S. Real Estate Index Fund ETF Shares      
Market Price 3.07% 45.19% 32.07%
Global ex-U.S. Real Estate Index Fund ETF Shares      
Net Asset Value 2.92 44.62 32.55
S&P Global ex-U.S. Property Index 2.08 40.56 30.05
"Since Inception" performance is calculated from the ETF Shares’ inception date for both the fund and its comparative standards.

 

Fiscal-Year Total Returns (%): November 1, 2010, Through October 31, 2016


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

10

 

Global ex-U.S. Real Estate Index Fund

Average Annual Total Returns: Periods Ended September 30, 2016
This table presents returns through the latest calendar quarter—rather than through the end of the fiscal period.
Securities and Exchange Commission rules require that we provide this information.

  Inception One Five Since
  Date Year Years Inception
Investor Shares 11/1/2010 13.22% 10.67% 5.58%
Fee-Adjusted Returns   12.67 10.57 5.50
ETF Shares 11/1/2010      
Market Price   13.91 11.02 5.70
Net Asset Value   13.49 10.82 5.72
Admiral Shares 2/10/2011 13.47 10.83 6.10
Fee-Adjusted Returns   12.91 10.73 6.01
Institutional Shares 4/19/2011 13.49 10.86 5.88
Fee-Adjusted Returns   12.93 10.76 5.79

 

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

11

 

Global ex-U.S. Real Estate Index Fund

Financial Statements

Statement of Net Assets
As of October 31, 2016

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

      Market
      Value
    Shares ($000)
Common Stocks (99.4%)1    
Australia (9.8%)    
  Scentre Group 23,653,150 75,703
  Westfield Corp. 8,492,515 57,392
  Goodman Group 7,003,466 36,100
  Stockland 10,567,053 35,489
  Vicinity Centres 14,521,986 31,669
  Dexus Property Group 4,267,645 28,991
  GPT Group 7,977,551 28,204
  Mirvac Group 16,469,190 26,126
  LendLease Group 2,357,747 24,153
  Investa Office Fund 2,731,937 8,799
  Charter Hall Group 1,833,376 6,542
  Shopping Centres    
  Australasia Property    
  Group 3,209,890 5,332
  Aveo Group 2,004,071 4,891
  BWP Trust 2,152,705 4,855
  Charter Hall Retail REIT 1,521,252 4,790
  Cromwell Property Group 5,800,465 4,011
  Abacus Property Group 1,248,349 2,652
  ALE Property Group 797,764 2,613
  National Storage REIT 2,136,738 2,352
  Gateway Lifestyle 1,236,176 2,175
^ Growthpoint Properties    
  Australia Ltd. 894,295 2,110
  Folkestone Education    
  Trust 939,813 1,772
  GDI Property Group 2,179,828 1,609
^ Arena REIT 977,738 1,441
  Ingenia Communities    
  Group 694,431 1,437
^ Hotel Property    
  Investments 609,565 1,307
* Servcorp Ltd. 213,819 1,290
  Astro Japan Property    
  Group 237,527 1,221
  Peet Ltd. 1,642,282 1,186
^,* Generation Healthcare    
  REIT 642,896 922
  Villa World Ltd. 522,212 905
  Industria REIT 551,046 894
  Cedar Woods    
  Properties Ltd. 239,025 816
  Sunland Group Ltd. 578,453 667
^ 360 Capital Group Ltd. 809,216 582
  360 Capital Office Fund 273,972 454
  Aspen Group 450,583 383
      411,835
Austria (0.8%)    
  IMMOFINANZ AG 3,903,901 8,402
  BUWOG AG 314,191 7,594
  Conwert Immobilien    
  Invest SE 353,060 6,263
  CA Immobilien    
  Anlagen AG 324,905 5,895
  Atrium European    
  Real Estate Ltd. 750,587 3,211
  S IMMO AG 242,760 2,605
* UBM Development AG 16,427 557
      34,527
Belgium (0.8%)    
  Cofinimmo SA 89,970 10,534
  Befimmo SA 101,607 5,922
  Warehouses De Pauw CVA 62,844 5,790
* Aedifica SA 63,578 5,274
  Retail Estates NV 25,987 2,171
  Intervest Offices    
  & Warehouses NV 54,250 1,439
* Montea SCA 26,838 1,329
  Wereldhave Belgium NV 8,750 1,095
  Xior Student Housing NV 15,258 601
      34,155
Brazil (0.6%)    
  Multiplan Empreendimentos  
  Imobiliarios SA 542,750 10,908
* BR Malls Participacoes    
  SA 2,317,414 9,278
  Iguatemi Empresa de    
  Shopping Centers SA 372,186 3,516

 

12

 

Global ex-U.S. Real Estate Index Fund

      Market
      Value
    Shares ($000)
  Aliansce Shopping    
  Centers SA 250,405 1,316
  BR Properties SA 393,353 1,059
  Sonae Sierra Brasil SA 95,683 575
* Aliansce Shopping    
  Centers SA Receipts 74,632 396
* JHSF Participacoes SA 131,500 72
      27,120
Canada (2.5%)    
  RioCan REIT 707,428 13,755
  H&R REIT 616,126 10,478
  First Capital Realty Inc. 614,869 9,805
^ Smart REIT 282,090 7,035
^ Canadian Apartment    
  Properties REIT 293,467 6,415
  Canadian REIT 159,329 5,486
  Allied Properties REIT 187,216 5,033
  Cominar REIT 393,950 4,365
^ Boardwalk REIT 102,147 3,748
  Granite REIT 104,705 3,294
  Tricon Capital Group Inc. 469,709 3,061
^ Dream Office REIT 238,998 2,978
  Morguard Corp. 23,085 2,900
^ Artis REIT 329,995 2,883
^ Milestone Apartments    
  REIT 166,425 2,238
^ Pure Industrial    
  Real Estate Trust 530,830 2,129
^ Crombie REIT 193,698 1,954
^ Choice Properties REIT 196,907 1,935
^ Dream Global REIT 277,031 1,884
^ CT REIT 143,421 1,572
^ Northview Apartment REIT 98,359 1,462
  Morguard REIT 119,153 1,350
^ Killam Apartment REIT 142,983 1,264
^,* DREAM Unlimited Corp.    
  Class A 233,206 1,201
^ NorthWest Healthcare    
  Properties REIT 149,579 1,171
^ Brookfield Canada    
  Office Properties 58,881 1,165
^ InterRent REIT 150,116 826
  Plaza Retail REIT 200,896 759
  Slate Retail REIT 66,202 684
  Dream Industrial REIT 118,038 668
  Morguard North American    
  Residential REIT 60,242 557
  Slate Office REIT 87,715 544
  Agellan Commercial REIT 60,146 479
  Melcor Developments Ltd. 51,374 475
* Mainstreet Equity Corp. 18,005 436
  OneREIT 164,483 433
      106,422
Chile (0.2%)    
  Parque Arauco SA 2,761,445 6,848
China (7.5%)    
  China Overseas Land    
  & Investment Ltd. 18,960,710 58,207
  China Resources    
  Land Ltd. 12,012,446 29,833
  Country Garden    
  Holdings Co. Ltd. 35,525,163 18,436
  China Vanke Co. Ltd. 5,841,754 15,247
  Fullshare Holdings Ltd. 24,520,500 13,675
* China Evergrande    
  Group 15,807,921 10,405
  Longfor Properties    
  Co. Ltd. 5,449,208 7,233
  Shimao Property    
  Holdings Ltd. 5,219,164 6,962
  Guangzhou R&F    
  Properties Co. Ltd. 4,512,209 6,359
  Shanghai Lujiazui    
  Finance & Trade Zone    
  Development Co. Ltd.    
  Class B 4,033,277 6,279
  Shenzhen    
  Investment Ltd. 13,346,201 5,817
  Sino-Ocean Group    
  Holding Ltd. 13,355,329 5,547
  Sunac China    
  Holdings Ltd. 8,017,378 5,472
^,* Zall Group Ltd. 7,535,574 5,136
^,2 Red Star Macalline    
  Group Corp. Ltd. 4,722,800 5,083
  China Jinmao Holdings    
  Group Ltd. 18,221,054 5,024
  Future Land Holdings    
  Co. Ltd. Class A 2,878,159 4,742
  SOHO China Ltd. 8,322,545 4,291
  Yuexiu Property Co. Ltd. 27,551,094 4,036
^ Shui On Land Ltd. 15,344,038 3,795
^,* Goldin Properties    
  Holdings Ltd. 5,727,010 3,679
  Agile Group    
  Holdings Ltd. 6,619,409 3,669
  KWG Property    
  Holding Ltd. 6,067,158 3,511
  CIFI Holdings Group    
  Co. Ltd. 11,928,000 3,509
* China Logistics Property    
  Holdings Co. Ltd. 6,776,000 3,244
^ China South City    
  Holdings Ltd. 14,242,111 3,151
^,* Carnival Group    
  International    
  Holdings Ltd. 24,693,514 2,930
  Yuexiu REIT 4,827,516 2,769
^,* Poly Property Group    
  Co. Ltd. 8,622,848 2,726

 

13

 

Global ex-U.S. Real Estate Index Fund

      Market
      Value
    Shares ($000)
  Hopson Development    
  Holdings Ltd. 2,984,710 2,691
  K Wah International    
  Holdings Ltd. 4,947,338 2,675
  Logan Property    
  Holdings Co. Ltd. 5,697,984 2,285
* Greentown China    
  Holdings Ltd. 2,694,314 2,197
^,* China Oceanwide    
  Holdings Ltd. 20,584,000 2,094
  Powerlong Real Estate    
  Holdings Ltd. 6,037,139 2,049
  Yuzhou Properties    
  Co. Ltd. 5,433,000 2,016
  China SCE Property    
  Holdings Ltd. 6,473,766 1,977
* Renhe Commercial    
  Holdings Co. Ltd. 72,271,484 1,871
  Shanghai Jinqiao Export    
  Processing Zone    
  Development Co.    
  Ltd. Class B 1,195,134 1,814
  Shanghai Industrial    
  Urban Development    
  Group Ltd. 6,342,799 1,607
2 Sunshine 100 China    
  Holdings Ltd. 3,745,000 1,589
^ Spring REIT 3,685,000 1,553
^ LVGEM China Real    
  Estate Investment    
  Co. Ltd. 4,824,000 1,511
* China Overseas Grand    
  Oceans Group Ltd. 4,049,386 1,487
* Glorious Property    
  Holdings Ltd. 12,335,036 1,478
  Beijing Capital Land Ltd. 3,835,034 1,471
  C C Land Holdings Ltd. 5,531,000 1,469
^ China Aoyuan Property    
  Group Ltd. 6,165,000 1,450
*,2 Redco Properties    
  Group Ltd. 3,624,000 1,308
^ Future Land    
  Development    
  Holdings Ltd. 7,126,000 1,289
  Tian An China    
  Investment Co. Ltd. 2,384,761 1,272
  Gemdale Properties    
  & Investment Corp.    
  Ltd. 18,676,000 1,229
* Beijing Enterprises    
  Medical & Health    
  Group Ltd. 20,268,000 1,173
* Sinolink Worldwide    
  Holdings Ltd. 9,776,643 1,143
  Optics Valley Union    
  Holding Co. Ltd. 10,552,000 1,126
  Times Property    
  Holdings Ltd. 2,428,000 1,126
  Shanghai Shibei Hi-Tech    
  Co. Ltd. Class B 1,015,000 1,112
* Ronshine China    
  Holdings Ltd. 1,389,000 1,105
  Guorui Properties Ltd. 3,240,000 1,082
* Mingfa Group    
  International Co. Ltd. 4,231,908 1,031
  Beijing North Star    
  Co. Ltd. 2,994,000 1,007
  Road King    
  Infrastructure Ltd. 1,074,000 911
  Xinyuan Real Estate    
  Co. Ltd. ADR 166,153 896
  Nam Tai Property Inc. 108,961 883
^,* Greenland Hong Kong    
  Holdings Ltd. 3,439,000 881
* Crown International    
  Corp. Ltd. 3,270,000 831
  Fantasia Holdings    
  Group Co. Ltd. 6,352,443 825
2 China Vast Industrial    
  Urban Development    
  Co. Ltd. 2,017,000 819
  China Merchants    
  Land Ltd. 5,230,000 740
^ Hydoo International    
  Holding Ltd. 7,242,000 724
^,* China New Town    
  Development Co. Ltd. 13,763,700 691
^,* Ping An Securities    
  Group Holdings Ltd. 53,420,000 656
* China Minsheng Drawin    
  Technology Group Ltd. 15,400,000 644
* SRE Group Ltd. 21,628,000 634
* Wuzhou International    
  Holdings Ltd. 6,056,000 625
* Shanghai Huili Building    
  Materials Co. Ltd.    
  Class B 363,700 617
^ Central China Real    
  Estate Ltd. 2,792,000 610
* China New City    
  Commercial    
  Development Ltd. 2,064,000 579
* EverChina International    
  Holdings Co. Ltd. 11,089,331 577
* Greattown Holdings    
  Ltd. Class B 643,800 522
^,* Zhuguang Holdings    
  Group Co. Ltd. 3,088,000 466
^,* Shanghai Zendai    
  Property Ltd. 21,210,000 418
* Guangdong Land    
  Holdings Ltd. 1,780,000 374

 

14

 

Global ex-U.S. Real Estate Index Fund

      Market
      Value
    Shares ($000)
* Beijing Properties    
  Holdings Ltd. 7,442,000 364
* Shenzhen Wongtee    
  International Enterprise    
  Co. Ltd. Class B 519,100 362
* Wanda Hotel    
  Development Co. Ltd. 2,812,741 278
  Lai Fung Holdings Ltd. 12,141,000 262
  Top Spring International    
  Holdings Ltd. 733,500 220
  Tian Shan Development    
  Holding Ltd. 374,000 137
      317,600
Denmark (0.0%)    
^,* TK Development A/S 312,715 414
 
Egypt (0.2%)    
  Talaat Moustafa Group 4,641,392 2,960
* Medinet Nasr Housing 1,033,284 1,622
* Six of October    
  Development    
  & Investment 990,968 1,462
  Palm Hills Developments    
  SAE 5,275,893 1,359
  Heliopolis Housing 134,738 886
* Emaar Misr for    
  Development SAE 2,954,599 714
* United Housing    
  & Development 89,000 69
      9,072
Finland (0.2%)    
  Sponda Oyj 941,497 4,457
  Citycon Oyj 1,662,033 3,895
  Technopolis Oyj 543,194 1,878
      10,230
France (5.3%)    
  Unibail-Rodamco SE 441,269 104,742
  Klepierre 921,522 37,661
  Gecina SA 179,048 26,106
  Fonciere Des Regions 218,410 19,088
  ICADE 200,310 14,385
  Nexity SA 167,756 8,423
* Fonciere de Paris SIIC 42,210 6,134
  Mercialys SA 245,140 5,078
  Altarea SCA 11,573 2,211
  Fonciere des Murs SCA 16,765 487
  ANF Immobilier 12,873 289
  Affine SA 448 7
      224,611
Germany (4.8%)    
  Vonovia SE 2,070,185 72,985
  Deutsche Wohnen AG 1,493,823 48,806
  LEG Immobilien AG 278,974 23,532
  TAG Immobilien AG 649,055 8,655
  Deutsche EuroShop AG 199,195 8,609
  Grand City Properties SA 464,740 8,175
  alstria office REIT-AG 459,635 5,929
  TLG Immobilien AG 263,715 5,529
2 ADO Properties SA 133,185 4,868
* PATRIZIA Immobilien AG 180,511 3,737
  Hamborner REIT AG 358,511 3,538
  VIB Vermoegen AG 119,323 2,617
  DIC Asset AG 216,408 2,077
^,* WCM Beteiligungs    
  & Grundbesitz-AG 516,418 1,526
^,* ADLER Real Estate AG 99,289 1,457
      202,040
Greece (0.1%)    
  Grivalia Properties    
  REIC AE 174,606 1,345
* LAMDA Development SA 186,890 1,012
      2,357
Hong Kong (13.3%)    
  Sun Hung Kai    
  Properties Ltd. 7,073,441 105,332
  Cheung Kong Property    
  Holdings Ltd. 12,301,875 90,944
  Link REIT 9,982,089 71,012
  Wharf Holdings Ltd. 5,331,000 39,970
  Hongkong Land    
  Holdings Ltd. 5,228,612 35,012
  Henderson Land    
  Development Co. Ltd. 5,493,320 32,494
  New World    
  Development Co. Ltd. 23,535,000 29,260
  Sino Land Co. Ltd. 13,506,605 22,933
  Wheelock & Co. Ltd. 3,524,652 21,691
  Hang Lung    
  Properties Ltd. 9,199,932 20,232
  Hang Lung Group Ltd. 3,812,103 14,582
  Swire Properties Ltd. 4,679,600 13,438
  Hysan    
  Development Co. Ltd. 2,745,655 12,672
  Kerry Properties Ltd. 2,697,332 8,541
  Champion REIT 9,524,512 5,410
  Great Eagle    
  Holdings Ltd. 1,086,697 4,821
  Chinese Estates    
  Holdings Ltd. 2,164,452 3,917
  Sunlight REIT 4,515,400 2,793
  Prosperity REIT 5,299,649 2,289
  Joy City Property Ltd. 15,846,030 2,235
* Wang On Properties Ltd. 1,668,000 2,073
^ Yida China Holdings Ltd. 4,570,000 1,872
  Far East Consortium    
  International Ltd. 4,119,000 1,686
* HKR International Ltd. 3,077,282 1,479
  Kowloon Development    
  Co. Ltd. 1,472,414 1,474

 

15

 

Global ex-U.S. Real Estate Index Fund

      Market
      Value
    Shares ($000)
^ Langham Hospitality    
  Investments and    
  Langham Hospitality    
  Investments Ltd. 3,557,000 1,422
  Liu Chong Hing    
  Investment Ltd. 930,000 1,310
  Lai Sun Development    
  Co. Ltd. 51,532,953 1,054
^ Emperor International    
  Holdings Ltd. 4,249,832 995
  Regal REIT 3,748,815 990
  SEA Holdings Ltd. 376,000 957
* Jiayuan International    
  Group Ltd. 2,048,000 822
  CSI Properties Ltd. 21,998,348 791
* Chuang’s Consortium    
  International Ltd. 3,488,000 762
  Soundwill Holdings Ltd. 397,500 721
  China Properties    
  Investment    
  Holdings Ltd. 19,533,600 424
* Man Sang    
  International Ltd. 4,688,000 392
  Wang On Group Ltd. 32,000,000 284
* ZH International    
  Holdings Ltd. 2,370,000 63
* Kingwell Group Ltd. 1,228,000 29
      559,178
India (0.4%)    
  DLF Ltd. 1,882,495 4,252
  Oberoi Realty Ltd. 344,578 1,819
* Indiabulls Real Estate Ltd.  1,215,071 1,598
* Housing Development    
  & Infrastructure Ltd. 1,230,719 1,535
  Prestige Estates    
  Projects Ltd. 484,053 1,407
  Phoenix Mills Ltd. 242,272 1,369
* Godrej Properties Ltd. 221,265 1,188
* Unitech Ltd. 8,622,320 779
  Sobha Ltd. 165,145 691
  Mahindra Lifespace    
  Developers Ltd. 84,255 537
  Omaxe Ltd. 193,009 489
      15,664
Indonesia (1.0%)    
  Bumi Serpong Damai    
  Tbk PT 41,064,027 6,813
  Ciputra Development    
  Tbk PT 47,281,799 5,722
  Pakuwon Jati Tbk PT 102,813,028 5,673
  Lippo Karawaci Tbk PT 81,024,100 5,605
  Summarecon Agung    
  Tbk PT 39,813,800 5,029
  Hanson International    
  Tbk PT 256,132,200 2,745
* PP Properti Tbk PT 21,613,400 2,240
* Alam Sutera Realty      
  Tbk PT 51,144,597 1,756
* Kawasan Industri      
  Jababeka Tbk PT 73,722,083 1,695
  Intiland Development      
  Tbk PT 28,506,851 1,257
* Modernland Realty      
  Tbk PT 37,306,000 1,047
  Ciputra Surya Tbk PT   3,187,120 744
* Lippo Cikarang Tbk PT   1,583,900 734
  Ciputra Property Tbk PT 12,217,683 712
* Sentul City Tbk PT 91,662,600 640
  Puradelta Lestari      
  Tbk PT 30,354,200 591
* Agung Podomoro      
  Land Tbk PT 22,535,400 497
  Bekasi Fajar Industrial      
  Estate Tbk PT 19,500,682 465
* Bakrieland Development      
  Tbk PT 48,597,400 186
        44,151
Ireland (0.3%)      
  Green REIT plc   3,030,989 4,526
  Hibernia REIT plc   3,052,645 4,299
  Irish Residential      
  Properties REIT plc   1,557,961 2,009
        10,834
Israel (0.8%)      
  Azrieli Group Ltd.   161,642 6,881
  Gazit-Globe Ltd.   425,928 3,847
  Alony Hetz Properties      
  & Investments Ltd.   433,773 3,729
  Melisron Ltd.   78,750 3,346
* Airport City Ltd.   265,234 2,883
  Reit 1 Ltd.   736,805 2,220
  Amot Investments Ltd.   496,870 2,073
  Norstar Holdings Inc.   74,256 1,259
* Summit Real Estate      
  Holdings Ltd.   200,231 1,162
* Jerusalem Economy Ltd.   488,181 1,103
  Sella Capital Real      
  Estate Ltd.   619,059 1,081
  Big Shopping Centers Ltd. 15,989 1,074
  Africa Israel Properties Ltd. 56,107 965
  Blue Square Real      
  Estate Ltd.   22,519 914
  Alrov Properties and      
  Lodgings Ltd.   36,472 780
  Property & Building      
  Corp. Ltd.   9,286 766
* ADO Group Ltd.   44,165 569
* Africa Israel      
  Investments Ltd.   259,759 75
        34,727

 

16

 

Global ex-U.S. Real Estate Index Fund

      Market
      Value
    Shares ($000)
Italy (0.1%)    
  Beni Stabili SpA SIIQ 4,538,517 2,646
  Immobiliare Grande    
  Distribuzione SIIQ SPA 1,521,045 1,172
* Prelios SPA 1,827,926 167
      3,985
Japan (23.4%)    
  Mitsubishi Estate    
  Co. Ltd. 6,178,845 122,803
  Mitsui Fudosan Co. Ltd. 4,407,057 100,366
  Daiwa House Industry    
  Co. Ltd. 2,959,774 81,236
  Daito Trust Construction    
  Co. Ltd. 346,600 58,083
  Sumitomo Realty    
  & Development    
  Co. Ltd. 2,117,367 55,657
  Nippon Building Fund Inc. 6,281 37,323
  Japan Real Estate    
  Investment Corp. 5,535 32,052
  Nomura Real Estate    
  Master Fund Inc. 18,529 30,076
  Japan Retail Fund    
  Investment Corp. 11,342 25,803
  United Urban    
  Investment Corp. 13,121 22,188
  Hulic Co. Ltd. 2,148,512 20,457
  Nippon Prologis REIT Inc. 8,188 18,531
  Orix JREIT Inc. 10,766 18,442
  Japan Prime Realty    
  Investment Corp. 3,880 16,756
  Daiwa House REIT    
  Investment Corp. 6,018 16,316
  Advance Residence    
  Investment Corp. 5,781 16,181
  GLP J-Reit 12,621 15,816
  Activia Properties Inc. 2,670 12,956
  Tokyu Fudosan    
  Holdings Corp. 2,278,156 12,841
  Tokyo Tatemono Co. Ltd. 964,383 12,250
  Japan Hotel REIT    
  Investment Corp. 16,666 11,244
  Kenedix Office    
  Investment Corp. 1,806 10,183
  Nippon Accommodations    
  Fund Inc. 2,158 9,820
  Frontier Real Estate    
  Investment Corp. 2,058 9,680
  Nomura Real Estate    
  Holdings Inc. 562,729 9,503
^ Mori Hills REIT    
  Investment Corp. 6,225 8,777
  Japan Logistics Fund Inc. 3,926 8,539
^ Daiwa Office    
  Investment Corp. 1,459 8,241
^ Industrial & Infrastructure    
  Fund Investment Corp. 1,561 8,219
  Japan Excellent Inc. 5,787 8,096
  Leopalace21 Corp. 1,188,750 7,729
  Aeon Mall Co. Ltd. 506,683 7,525
  Hulic Reit Inc. 4,206 7,361
  Invincible Investment Corp. 14,377 6,970
  Mori Trust Sogo Reit Inc. 4,288 6,899
  Premier Investment Corp. 4,985 6,426
  AEON REIT    
  Investment Corp. 4,775 5,791
  Tokyu REIT Inc. 4,348 5,734
  Fukuoka REIT Corp. 3,285 5,701
^ Sekisui House SI    
  Residential Investment    
  Corp. 4,913 5,695
  Japan Rental Housing    
  Investments Inc. 7,353 5,690
  LaSalle Logiport REIT 4,838 5,133
  Sekisui House Reit Inc. 3,639 4,920
  Comforia Residential    
  REIT Inc. 2,140 4,806
  Ichigo Office REIT    
  Investment 6,809 4,589
  Kenedix Residential    
  Investment Corp. 1,568 4,454
  NIPPON REIT    
  Investment Corp. 1,763 4,445
  NTT Urban    
  Development Corp. 483,200 4,442
  Kenedix Retail REIT Corp. 1,764 4,258
^ Hoshino Resorts REIT Inc. 722 4,233
  Hankyu Reit Inc. 2,670 3,802
  MCUBS MidCity    
  Investment Corp. 1,116 3,629
  TOC Co. Ltd. 400,829 3,622
  Heiwa Real Estate    
  REIT Inc. 4,463 3,378
  Global One Real Estate    
  Investment Corp.    
  Class A 871 3,288
^ Invesco Office J-Reit Inc. 3,653 2,954
  Daikyo Inc. 1,351,050 2,899
* Mitsui Fudosan    
  Logistics Park Inc. 817 2,602
  Takara Leben Co. Ltd. 375,952 2,550
  Unizo Holdings Co. Ltd. 81,300 2,266
  Daibiru Corp. 256,457 2,228
  Heiwa Real Estate Co. Ltd. 148,632 2,115
^ SIA Reit Inc. 418 1,479
  Goldcrest Co. Ltd. 77,140 1,402
^ Ichigo Hotel REIT    
  Investment Corp. 1,055 1,201
  Keihanshin Building    
  Co. Ltd. 202,300 1,056

 

17

 

Global ex-U.S. Real Estate Index Fund

      Market
      Value
    Shares ($000)
^ Starts Proceed    
  Investment Corp. 681 1,026
^ Samty Residential    
  Investment Corp. 1,249 975
  Tosei Corp. 129,500 969
^ Star Asia Investment Corp. 1,091 918
^ Shinoken Group Co. Ltd. 50,000 905
  Sun Frontier Fudousan    
  Co. Ltd. 94,000 896
^ Japan Property    
  Management    
  Center Co. Ltd. 52,300 698
^ Nippon Commercial    
  Development Co. Ltd. 38,800 679
^ Tosei Reit Investment    
  Corp. 664 662
  Tokyo Rakutenchi Co. Ltd. 135,000 647
^ SAMTY Co. Ltd. 61,400 639
* Ardepro Co. Ltd. 604,600 627
  Airport Facilities Co. Ltd. 110,700 604
^ Nippon Healthcare    
  Investment Corp. 330 558
* Health Care & Medical    
  Investment Corp. 532 553
^ Japan Senior Living    
  Investment Corp. 360 494
* Arealink Co. Ltd. 41,500 473
  Tokyo Theatres Co. Inc. 354,017 408
      984,438
Malaysia (0.7%)    
  IOI Properties    
  Group Bhd. 6,807,716 3,967
  KLCCP Stapled Group 1,443,370 2,746
  Sunway Bhd. 3,395,385 2,525
  IGB REIT 5,880,000 2,270
  Sunway REIT 5,113,434 2,244
  SP Setia Bhd Group 2,353,860 1,967
  Mah Sing Group Bhd. 5,366,225 1,955
  Capitaland Malaysia    
  Mall Trust 4,087,800 1,561
  UEM Sunrise Bhd. 5,386,765 1,436
* Eco World Development    
  Group Bhd. 3,664,900 1,187
  Eastern & Oriental Bhd. 3,169,156 1,186
  Pavilion REIT 2,658,000 1,113
  UOA Development Bhd. 1,722,700 1,057
  Matrix Concepts    
  Holdings Bhd. 1,695,483 1,047
  Axis REIT 2,406,100 987
* YNH Property Bhd. 1,724,359 642
  LBS Bina Group Bhd. 1,158,900 481
* KSL Holdings Bhd. 1,802,900 477
  Tropicana Corp. Bhd. 1,710,146 414
  IGB Corp. Bhd. 126,100 75
* Eco World Development    
  Group Bhd Warrants 2    
  Exp. 03/26/2022 450,320 43
* Eastern & Oriental Bhd    
  Warrants Exp.    
  07/21/2019 438,840 18
* Matrix Concepts Holdings    
  Bhd. Warrants Exp.    
  07/20/2020 133,683 14
* Mah Sing Group Warrants    
  Exp. 01/15/2026 264,345 8
* Mah Sing Group Bhd.    
  Warrants Exp.    
  03/18/2018 156,256 7
      29,427
Mexico (1.2%)    
  Fibra Uno Administracion    
  SA de CV 11,737,012 22,398
  Concentradora Fibra    
  Danhos SA de CV 4,214,015 7,716
  Macquarie Mexico Real    
  Estate Management    
  SA de CV 3,652,182 4,601
  PLA Administradora    
  Industrial S de RL    
  de CV 2,701,594 4,477
  Corp Inmobiliaria Vesta    
  SAB de CV 2,324,770 3,518
  Prologis Property Mexico    
  SA de CV 1,524,100 2,562
* Grupo GICSA SA de CV 2,209,703 1,494
  Fibra Shop Portafolios    
  Inmobiliarios SAPI    
  de CV 1,646,718 1,382
  Concentradora Fibra    
  Hotelera Mexicana    
  SA de CV 1,435,238 1,128
  Asesor de Activos    
  Prisma SAPI de CV 1,520,700 1,021
      50,297
Netherlands (0.6%)    
  Eurocommercial    
  Properties NV 214,461 9,124
  Wereldhave NV 178,951 8,010
  Vastned Retail NV 86,056 3,311
  NSI NV 622,090 2,441
  Brack Capital    
  Properties NV 14,120 1,210
      24,096
New Zealand (0.6%)    
  Kiwi Property Group Ltd. 5,795,709 6,077
  Goodman Property Trust 4,483,165 3,990
  Precinct Properties    
  New Zealand Ltd. 4,472,750 3,984

 

18

 

Global ex-U.S. Real Estate Index Fund

      Market
      Value
    Shares ($000)
  Argosy Property Ltd. 3,697,741 2,776
  Property for    
  Industry Ltd. 2,026,065 2,320
  Vital Healthcare    
  Property Trust 1,476,466 2,154
^ Stride Property Group 1,615,091 2,149
^,* Investore Property Ltd. 924,437 1,007
      24,457
Norway (0.2%)    
2 Entra ASA 345,217 3,701
  Olav Thon    
  Eiendomsselskap ASA 136,270 2,679
  Norwegian Property ASA 975,139 1,271
  Selvaag Bolig ASA 181,004 884
      8,535
Philippines (1.5%)    
  SM Prime Holdings Inc. 51,318,299 28,496
  Ayala Land Inc. 26,145,200 19,556
  Megaworld Corp. 55,861,000 4,630
  Robinsons Land Corp. 7,100,150 4,539
* DoubleDragon    
  Properties Corp. 2,645,990 3,045
  Vista Land    
  & Lifescapes Inc. 18,961,278 2,047
  Filinvest Land Inc. 44,943,000 1,637
  Belle Corp. 17,410,800 1,049
      64,999
Poland (0.0%)    
^,* Globe Trade Centre SA 850,784 1,740
  Echo Investment SA 160,767 215
      1,955
Qatar (0.2%)    
  United Development    
  Co. QSC 762,880 4,180
  Barwa Real Estate Co. 437,612 3,833
* Mazaya Qatar Real    
  Estate Development    
  QSC 237,537 821
      8,834
Russia (0.1%)    
  LSR Group PJSC GDR 893,843 2,527
  Etalon Group Ltd. GDR 369,499 1,055
      3,582
Singapore (5.8%)    
  CapitaLand Ltd. 11,482,838 25,468
  CapitaLand Mall Trust 11,962,534 17,826
  Ascendas REIT 10,384,561 17,697
  Global Logistic    
  Properties Ltd. 13,125,831 16,702
  City Developments Ltd. 2,741,990 16,695
  Suntec REIT 11,259,027 13,599
  CapitaLand Commercial    
  Trust 9,459,282 10,704
  UOL Group Ltd. 2,617,378 10,645
  Mapletree Commercial    
  Trust 7,832,633 8,609
^ Fortune REIT 6,074,861 7,360
  Mapletree Industrial    
  Trust 5,287,234 6,539
  Keppel REIT 7,969,015 6,250
  Mapletree Greater China    
  Commercial Trust 8,043,142 6,016
  Mapletree Logistics    
  Trust 6,790,029 5,051
  Frasers Centrepoint    
  Trust 2,533,541 3,790
  Starhill Global REIT 6,010,968 3,521
  Ascott Residence Trust 4,107,655 3,354
  CapitaLand Retail    
  China Trust 3,079,486 3,314
  Parkway Life REIT 1,764,055 3,246
* Frasers Logistics    
  & Industrial Trust 4,574,400 3,172
  CDL Hospitality Trusts 3,059,202 2,950
  Yanlord Land Group Ltd. 2,938,904 2,925
  Frasers Commercial    
  Trust 2,609,367 2,559
  AIMS AMP Capital    
  Industrial REIT 2,522,776 2,504
^ Keppel DC REIT 2,718,300 2,434
^ SPH REIT 3,400,900 2,386
  Lippo Malls Indonesia    
  Retail Trust 8,504,206 2,382
  Ascendas India Trust 3,057,166 2,350
  Cache Logistics Trust 3,805,805 2,272
  Wing Tai Holdings Ltd. 1,832,610 2,233
  First REIT 2,293,454 2,201
* Manulife US REIT 2,530,400 2,124
  Croesus Retail Trust 3,349,700 2,071
^ Yoma Strategic    
  Holdings Ltd. 4,862,618 2,059
  OUE Hospitality Trust 4,172,600 2,041
  Ascendas Hospitality    
  Trust 3,751,700 1,997
^ Sinarmas Land Ltd. 5,682,700 1,961
  Cambridge Industrial    
  Trust 4,677,509 1,898
^ United Industrial    
  Corp. Ltd. 877,388 1,716
  Frasers Centrepoint Ltd. 1,549,300 1,654
^ GuocoLand Ltd. 1,183,077 1,631
  Far East Hospitality    
  Trust 3,776,496 1,612
  Soilbuild Business    
  Space REIT 3,221,460 1,565
^ Wheelock Properties    
  Singapore Ltd. 1,297,869 1,391
  Ho Bee Land Ltd. 818,103 1,253
  Perennial Real Estate    
  Holdings Ltd. 1,903,577 1,149

 

19

 

Global ex-U.S. Real Estate Index Fund

      Market
      Value
    Shares ($000)
  Sabana Shari’ah Compliant  
  Industrial REIT 2,936,060 1,098
  OUE Commercial REIT 2,163,900 1,081
^,* Ying Li International    
  Real Estate Ltd. 4,365,000 508
* Keppel DC REIT Rights    
  Exp. 01/07/2016 744,814 48
      245,611
South Africa (1.8%)    
  Growthpoint    
  Properties Ltd. 10,151,110 18,929
  Redefine    
  Properties Ltd. 20,247,803 17,326
  Resilient REIT Ltd. 1,455,075 12,037
  Hyprop    
  Investments Ltd. 958,163 8,502
* Attacq Ltd. 3,066,484 3,900
  Vukile Property Fund Ltd. 2,600,038 3,546
  SA Corporate Real Estate    
  Fund Nominees    
  Pty Ltd. 7,803,114 3,191
* Arrowhead    
  Properties Ltd. 4,007,983 2,589
  Emira Property    
  Fund Ltd. 2,023,437 2,093
  Rebosis Property    
  Fund Ltd. 1,693,627 1,437
  Octodec    
  Investments Ltd. 808,714 1,298
  Delta Property Fund Ltd. 2,165,978 1,232
  MAS Real Estate Inc. 629,632 967
  Balwin Properties Ltd. 1,441,955 739
* Hospitality Property    
  Fund Ltd. Class B 24,739 24
      77,810
South Korea (0.0%)    
^ SK D&D Co. Ltd. 21,312 861
^ Dongwon Development    
  Co. Ltd. 189,529 756
      1,617
Spain (0.9%)    
  Merlin Properties    
  Socimi SA 1,434,564 16,096
  Inmobiliaria Colonial SA 1,179,079 8,314
  Hispania Activos    
  Inmobiliarios    
  SOCIMI SA 482,795 5,929
  Axiare Patrimonio    
  SOCIMI SA 258,987 3,680
  Lar Espana Real Estate    
  Socimi SA 411,167 2,951
^,* Realia Business SA 705,481 682
      37,652
Sweden (2.1%)    
  Castellum AB 1,213,732 16,446
  Fabege AB 624,890 10,554
* Fastighets AB Balder    
  Class B 400,563 9,098
  Hufvudstaden AB Class A 523,177 8,097
  Wallenstam AB 977,811 7,532
  Hemfosa Fastigheter AB 702,846 6,608
  Wihlborgs Fastigheter AB 307,386 5,958
  Kungsleden AB 696,049 4,389
  Atrium Ljungberg AB 217,438 3,378
  Sagax AB Class B 324,170 2,861
  Klovern AB B Shares 2,052,081 2,165
* D Carnegie & Co.    
  AB Class B 161,321 1,813
  Dios Fastigheter AB 220,400 1,468
  Victoria Park AB 560,737 1,385
  Catena AB 69,998 1,021
  Platzer Fastigheter    
  Holding AB Class B 171,531 992
  NP3 Fastigheter AB 188,303 964
* Magnolia Bostad AB 69,451 802
* Tribona AB 129,122 606
  FastPartner AB 28,279 452
      86,589
Switzerland (1.6%)    
  Swiss Prime Site AG 317,412 26,326
  PSP Swiss Property AG 179,432 16,055
  Allreal Holding AG 63,796 9,389
  Mobimo Holding AG 27,442 6,603
  Intershop Holding AG 6,149 3,140
  Zug Estates Holding AG    
  Class B 1,134 1,895
  Hiag Immobilien    
  Holding AG 12,238 1,276
* Investis Holding SA 12,083 698
      65,382
Taiwan (0.7%)    
  Highwealth Construction    
  Corp. 3,950,149 5,850
* Ruentex Development    
  Co. Ltd. 4,043,579 4,667
  Huaku Development    
  Co. Ltd. 1,063,554 1,872
  Prince Housing    
  & Development Corp. 4,792,478 1,518
  Chong Hong    
  Construction Co. Ltd. 869,497 1,428
  Farglory Land    
  Development Co. Ltd. 1,175,631 1,351
  Cathay No 1 REIT 2,257,310 1,191
  Cathay Real Estate    
  Development Co. Ltd. 2,151,100 1,103
  Shin Kong No.1 REIT 2,144,000 952

 

20

 

Global ex-U.S. Real Estate Index Fund

        Market
        Value
      Shares ($000)
  Hung Sheng      
  Construction Ltd. 1,711,000 923
  Taiwan Land      
  Development Corp. 2,881,450 900
* Radium Life Tech      
  Co. Ltd.   2,950,947 837
  Hung Poo Real Estate    
  Development Corp. 939,194 772
  Kindom Construction    
  Corp.   1,564,000 770
  Huang Hsiang      
  Construction Corp. 579,000 708
  Kuoyang Construction    
  Co. Ltd.   1,647,665 648
  KEE TAI Properties    
  Co. Ltd.   1,886,869 603
* Shining Building      
  Business Co. Ltd. 1,642,971 519
  Cathay No 2 REIT   1,033,000 514
  Pacific Construction Co. 784,000 279
  Advancetek      
  Enterprise Co. Ltd. 53,000 30
        27,435
Thailand (1.2%)      
* Central Pattana PCL 5,985,700 9,512
  CPN Retail Growth    
  Leasehold Property    
  Fund   7,258,610 4,254
  Tesco Lotus Retail    
  Growth Freehold    
  & Leasehold      
  Property Fund   7,986,086 4,172
* Land & Houses PCL 15,502,400 4,063
  Samui Airport Property    
  Fund Leasehold   2,967,975 2,245
* Pruksa Real Estate PCL 3,187,700 2,101
* WHA Corp. PCL      
  (Foreign)   22,319,630 2,101
* Supalai PCL   2,709,705 1,888
* Bangkok Land PCL 39,225,400 1,770
* IMPACT Growth REIT 3,127,700 1,393
* Quality Houses PCL 19,279,200 1,376
* Golden Ventures      
  Leasehold REIT   2,646,900 1,120
* U City PCL 1,209,459,100 1,037
* Ananda Development    
  PCL   6,594,800 928
* LPN Development PCL 2,447,500 798
  TICON Property Fund 2,678,900 774
* Singha Estate PCL 5,474,800 734
* Amata Corp. PCL   2,149,500 711
  Sansiri PCL   14,694,200 696
^ TICON Industrial      
  Connection PCL NVDR 1,609,280 683
* CP Tower Growth    
  Leasehold Property    
  Fund 1,497,400 663
* Siam Future    
  Development PCL 3,772,367 652
* Platinum Group PCL 3,319,400 625
* AP Thailand PCL 2,878,050 583
* Country Group    
  Development PCL 15,806,100 460
^,* WHA Corp. PCL 4,759,678 448
* Property Perfect PCL 12,008,800 343
* MBK PCL 743,220 312
  Asian Property    
  Development PCL    
  (Foreign) 1,513,270 307
* SC Asset Corp. PCL 3,071,925 303
  Univentures PCL    
  (Foreign) 1,577,100 261
* Sansiri PCL (Local) 5,418,200 257
  SC Asset Corp. PCL    
  (Foreign) 2,526,712 250
  TICON Industrial    
  Connection PCL    
  (Foreign) 578,993 246
* Rojana Industrial    
  Park PCL 1,700,812 226
^ Rojana Industrial    
  Park PCL NVDR 1,541,382 205
  Bangkok Land PCL    
  (Foreign) 4,269,495 193
  Sansiri PCL (Foreign) 4,060,798 192
* Univentures PCL 1,067,500 177
^ Land & Houses PCL    
  (Foreign) 481,300 126
^ Singha Estate PCL    
  (Foreign) 933,364 125
^ SC Asset Corp. PCL    
  NVDR 831,300 82
  Property Perfect PCL    
  (Foreign) 2,742,000 78
  Rojana Industrial Park    
  PCL (Foreign) 481,328 64
* TICON Industrial    
  Connection PCL 98,400 42
* WHA Corp. PCL Warrants    
  Exp. 12/31/2019 108,341 25
* Sansiri PCL (Foreign)    
  Warrants Exp.    
  11/24/2017 3,159,666 11
  Sansiri PCL NVDR    
  Warrants Exp.    
  11/24/2017 2,936,700 10
* Raimon Land PCL    
  Warrants Exp.    
  06/14/2018 1,271,475
      49,622

 

21

 

Global ex-U.S. Real Estate Index Fund

      Market
      Value
    Shares ($000)
Turkey (0.3%)    
  Emlak Konut Gayrimenkul    
  Yatirim Ortakligi AS 8,625,296 8,813
  Is Gayrimenkul Yatirim    
  Ortakligi AS 2,049,595 1,042
  Torunlar Gayrimenkul    
  Yatirim Ortakligi AS 336,025 533
  Saf Gayrimenkul Yatirim    
  Ortakligi AS 1,154,444 317
      10,705
United Arab Emirates (1.3%)  
  Emaar Properties PJSC 15,425,709 29,210
  Aldar Properties PJSC 13,828,648 9,899
  Emaar Malls PJSC 8,583,491 5,996
  DAMAC Properties    
  Dubai Co. PJSC 7,448,440 4,448
* Eshraq Properties Co.    
  PJSC 4,734,595 1,016
* Deyaar Development    
  PJSC 6,299,477 913
* Union Properties PJSC 4,365,950 840
  RAK Properties PJSC 4,611,175 775
      53,097
United Kingdom (6.5%)    
  Land Securities    
  Group plc 3,558,832 43,456
  British Land Co. plc 4,545,998 32,547
  Hammerson plc 3,484,382 23,441
  Segro plc 3,678,704 19,703
  Derwent London plc 492,342 14,560
  Shaftesbury plc 1,234,445 13,849
  Intu Properties plc 4,002,493 13,489
  Capital & Counties    
  Properties plc 3,342,978 11,789
  Great Portland    
  Estates plc 1,527,982 11,087
  Tritax Big Box REIT plc 4,907,849 8,165
  UNITE Group plc 985,501 6,676
  Big Yellow Group plc 659,260 5,578
  F&C Commercial    
  Property Trust Ltd. 3,606,594 5,540
  Assura plc 7,253,622 5,225
  LondonMetric    
  Property plc 2,790,423 5,091
  Grainger plc 1,849,906 5,008
  Hansteen Holdings plc 3,306,923 4,359
  Safestore Holdings plc 919,375 4,035
  Workspace Group plc 522,245 4,017
  NewRiver REIT plc 1,033,138 3,928
  Primary Health    
  Properties plc 2,686,041 3,670
  Empiric Student    
  Property plc 2,096,368 2,843
  St. Modwen    
  Properties plc 845,471 2,830
  Redefine International plc 5,560,077 2,821
  UK Commercial Property    
  Trust Ltd. 2,944,041 2,811
  Daejan Holdings plc 40,167 2,675
  Picton Property    
  Income Ltd. 2,452,197 2,126
  Schroder REIT Ltd. 2,335,556 1,614
  Helical plc 487,898 1,579
  Capital & Regional plc 2,095,201 1,451
  Mucklow A & J Group plc 262,432 1,425
* CLS Holdings plc 74,411 1,415
^,* Raven Russia Ltd. 2,846,645 1,356
  Urban & Civic plc 473,312 1,143
  U & I Group plc 556,211 1,072
2 Regional REIT Ltd. 812,955 1,053
  McKay Securities plc 438,847 1,030
      274,457
Total Common Stocks    
(Cost $4,376,453)   4,186,367
 
Temporary Cash Investments (2.3%)1  
Money Market Fund (2.3%)    
3,4 Vanguard Market    
  Liquidity Fund,    
  0.718% 951,203 95,130
 
    Face  
    Amount  
    ($000)  
U.S. Government and Agency Obligations (0.0%)
5 United States Treasury Bill,    
  0.320%–0.340%, 12/8/16 1,100 1,100
 
5 United States Treasury Bill,    
  0.360%, 1/12/17 400 399
      1,499
Total Temporary Cash Investments  
(Cost $96,624)   96,629
Total Investments (101.7%)    
(Cost $4,473,077)   4,282,996

 

22

 

Global ex-U.S. Real Estate Index Fund

    Amount
    ($000)
Other Assets and Liabilities (-1.7%)    
Other Assets    
Investment in Vanguard   336
Receivables for Investment Securities Sold 597
Receivables for Accrued Income   12,003
Receivables for Capital Shares Issued   1,477
Other Assets   1,552
Total Other Assets   15,965
Liabilities    
Payables for Investment Securities    
Purchased   (4,624)
Collateral for Securities on Loan   (80,113)
Payables for Capital Shares Redeemed   (191)
Payables to Vanguard   (1,211)
Other Liabilities   (119)
Total Liabilities   (86,258)
Net Assets (100%) 4,212,703
 
 
At October 31, 2016, net assets consisted of:
    Amount
    ($000)
Paid-in Capital 4,470,877
Undistributed Net Investment Income   20,409
Accumulated Net Realized Losses   (87,958)
Unrealized Appreciation (Depreciation)    
Investment Securities   (190,081)
Futures Contracts   (109)
Foreign Currencies   (435)
Net Assets 4,212,703

 

  Amount
  ($000)
Investor Shares—Net Assets  
Applicable to 2,765,697 outstanding  
$.001 par value shares of beneficial  
interest (unlimited authorization) 59,042
Net Asset Value Per Share—  
Investor Shares $21.35
 
 
ETF Shares—Net Assets  
Applicable to 67,775,790 outstanding  
$.001 par value shares of beneficial  
interest (unlimited authorization) 3,615,983
Net Asset Value Per Share—  
ETF Shares $53.35
 
 
Admiral Shares—Net Assets  
Applicable to 11,533,433 outstanding  
$.001 par value shares of beneficial  
interest (unlimited authorization) 372,914
Net Asset Value Per Share—  
Admiral Shares $32.33
 
 
Institutional Shares—Net Assets  
Applicable to 1,529,648 outstanding  
$.001 par value shares of beneficial  
interest (unlimited authorization) 164,764
Net Asset Value Per Share—  
Institutional Shares $107.71

 

• See Note A in Notes to Financial Statements.
^ Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $71,766,000.
* Non-income-producing security.
1 The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect to futures
investments, the fund’s effective common stock and temporary cash investment positions represent 100.0% and 1.7%, respectively,
of net assets.
2 Security exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in transactions exempt
from registration, normally to qualified institutional buyers. At October 31, 2016, the aggregate value of these securities was $18,421,000,
representing 0.4% of net assets.
3 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the
7-day yield.
4 Includes $80,113,000 of collateral received for securities on loan.
5 Securities with a value of $1,200,000 have been segregated as initial margin for open futures contracts.
ADR—American Depositary Receipt.
GDR—Global Depositary Receipt.
NVDR—Non-Voting Depository Receipt.
REIT—Real Estate Investment Trust.
See accompanying Notes, which are an integral part of the Financial Statements.

23

 

Global ex-U.S. Real Estate Index Fund

Statement of Operations

  Year Ended
  October 31, 2016
  ($000)
Investment Income  
Income  
Dividends1,2 132,204
Interest2 52
Securities Lending—Net 2,846
Total Income 135,102
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 552
Management and Administrative—Investor Shares 162
Management and Administrative—ETF Shares 3,331
Management and Administrative—Admiral Shares 358
Management and Administrative—Institutional Shares 151
Marketing and Distribution—Investor Shares 16
Marketing and Distribution—ETF Shares 272
Marketing and Distribution—Admiral Shares 38
Marketing and Distribution—Institutional Shares 5
Custodian Fees 846
Auditing Fees 41
Shareholders’ Reports—Investor Shares 2
Shareholders’ Reports—ETF Shares 197
Shareholders’ Reports—Admiral Shares 2
Shareholders’ Reports—Institutional Shares
Trustees’ Fees and Expenses 2
Total Expenses 5,975
Net Investment Income 129,127
Realized Net Gain (Loss)  
Investment Securities Sold2 (31,174)
Futures Contracts (963)
Foreign Currencies 414
Realized Net Gain (Loss) (31,723)
Change in Unrealized Appreciation (Depreciation)  
Investment Securities 3,730
Futures Contracts (109)
Foreign Currencies (348)
Change in Unrealized Appreciation (Depreciation) 3,273
Net Increase (Decrease) in Net Assets Resulting from Operations 100,677
1 Dividends are net of foreign withholding taxes of $9,691,000.
2 Dividend income, interest income, and realized net gain (loss) from affiliated companies of the fund were $0, $43,000, and ($36,000), respectively.
See accompanying Notes, which are an integral part of the Financial Statements.

 

24

 

Global ex-U.S. Real Estate Index Fund

Statement of Changes in Net Assets

  Year Ended October 31,
  2016 2015
  ($000) ($000)
Increase (Decrease) in Net Assets    
Operations    
Net Investment Income 129,127 105,492
Realized Net Gain (Loss) (31,723) 15,715
Change in Unrealized Appreciation (Depreciation) 3,273 (229,808)
Net Increase (Decrease) in Net Assets Resulting from Operations 100,677 (108,601)
Distributions    
Net Investment Income    
Investor Shares (1,787) (1,956)
ETF Shares (110,683) (91,740)
Admiral Shares (11,538) (11,597)
Institutional Shares (5,506) (7,070)
Realized Capital Gain    
Investor Shares
ETF Shares
Admiral Shares
Institutional Shares
Total Distributions (129,514) (112,363)
Capital Share Transactions    
Investor Shares 1,259 10,627
ETF Shares 531,472 1,089,398
Admiral Shares 25,946 72,528
Institutional Shares (2,165) 6,988
Net Increase (Decrease) from Capital Share Transactions 556,512 1,179,541
Total Increase (Decrease) 527,675 958,577
Net Assets    
Beginning of Period 3,685,028 2,726,451
End of Period1 4,212,703 3,685,028
1 Net Assets—End of Period includes undistributed (overdistributed) net investment income of $20,409,000 and $14,970,000.

 

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

25

 

Global ex-U.S. Real Estate Index Fund

Financial Highlights

Investor Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2016 2015 2014 2013 2012
Net Asset Value, Beginning of Period $21.44 $22.63 $23.06 $21.04 $18.14
Investment Operations          
Net Investment Income . 6551 .683 . 944 .6851 .7001
Net Realized and Unrealized Gain (Loss)          
on Investments 2 (.088) (1.103) (.443) 2.321 2.995
Total from Investment Operations .567 (.420) .501 3.006 3.695
Distributions          
Dividends from Net Investment Income (. 657) (.770) (. 931) (. 986) (.795)
Distributions from Realized Capital Gains
Total Distributions (. 657) (.770) (. 931) (. 986) (.795)
Net Asset Value, End of Period $21.35 $21.44 $22.63 $23.06 $21.04
 
Total Return3 2.72% -1.82% 2.41% 14.69% 21.31%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $59 $58 $51 $156 $84
Ratio of Total Expenses to          
Average Net Assets 0.35% 0.36% 0.37% 0.40% 0.45%
Ratio of Net Investment Income to          
Average Net Assets 3.10% 2.97% 4.10% 2.95% 3.74%
Portfolio Turnover Rate 4 7% 12% 8% 8% 10%

 

1 Calculated based on average shares outstanding.
2 Includes increases from purchase and redemption fees of $.00, $.00, $.00, $.02, and $.01.
3 Total returns do not include transaction or account service fees that may have applied in the periods shown. Fund prospectuses provide
information about any applicable transaction and account service fees.
4 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares,
including ETF Creation Units.

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

26

 

Global ex-U.S. Real Estate Index Fund

Financial Highlights

ETF Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2016 2015 2014 2013 2012
Net Asset Value, Beginning of Period $53.58 $56.54 $57.64 $52.60 $45.39
Investment Operations          
Net Investment Income 1.7521 1.802 2.437 1.7131 1.8201
Net Realized and Unrealized Gain (Loss)          
on Investments 2 (.241) (2.747) (1.120) 5.869 7.460
Total from Investment Operations 1.511 (.945) 1.317 7.582 9.280
Distributions          
Dividends from Net Investment Income (1.741) (2.015) (2.417) (2.542) (2.070)
Distributions from Realized Capital Gains
Total Distributions (1.741) (2.015) (2.417) (2.542) (2.070)
Net Asset Value, End of Period $53.35 $53.58 $56.54 $57.64 $52.60
 
Total Return 2.92% -1.66% 2.51% 14.77% 21.44%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $3,616 $3,111 $2,203 $1,306 $381
Ratio of Total Expenses to          
Average Net Assets 0.15% 0.18% 0.24% 0.27% 0.32%
Ratio of Net Investment Income to          
Average Net Assets 3.30% 3.15% 4.23% 3.08% 3.87%
Portfolio Turnover Rate 3 7% 12% 8% 8% 10%

1 Calculated based on average shares outstanding.
2 Includes increases from purchase and redemption fees of $.00, $.00, $.00, $.02, and $.03.
3 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares,
including ETF Creation Units.

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

27

 

Global ex-U.S. Real Estate Index Fund

Financial Highlights

Admiral Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2016 2015 2014 2013 2012
Net Asset Value, Beginning of Period $32.47 $34.27 $34.92 $31.87 $27.51
Investment Operations          
Net Investment Income 1.0581 1.090 1.466 1.0121 1.0931
Net Realized and Unrealized Gain (Loss)          
on Investments 2 (.139) (1.673) (.661) 3.580 4.528
Total from Investment Operations .919 (.583) .805 4.592 5.621
Distributions          
Dividends from Net Investment Income (1.059) (1.217) (1.455) (1.542) (1.261)
Distributions from Realized Capital Gains
Total Distributions (1.059) (1.217) (1.455) (1.542) (1.261)
Net Asset Value, End of Period $32.33 $32.47 $34.27 $34.92 $31.87
 
Total Return3 2.91% -1.66% 2.55% 14.83% 21.43%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $373 $349 $296 $117 $43
Ratio of Total Expenses to          
Average Net Assets 0.15% 0.18% 0.24% 0.27% 0.32%
Ratio of Net Investment Income to          
Average Net Assets 3.30% 3.15% 4.23% 3.08% 3.87%
Portfolio Turnover Rate 4 7% 12% 8% 8% 10%

Signal Shares were renamed Admiral Shares in October 2013. Prior periods’ Financial Highlights are for the Signal class.
1 Calculated based on average shares outstanding.
2 Includes increases from purchase and redemption fees of $.00, $.00, $.00, $.01, and $.01.
3 Total returns do not include transaction or account service fees that may have applied in the periods shown. Fund prospectuses provide
information about any applicable transaction and account service fees.
4 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares,
including ETF Creation Units.

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

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Global ex-U.S. Real Estate Index Fund

Financial Highlights

Institutional Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2016 2015 2014 2013 2012
Net Asset Value, Beginning of Period $108.17 $114.14 $116.37 $106.19 $91.68
Investment Operations          
Net Investment Income 3.5591 3.657 4.954 3.4071 3.6581
Net Realized and Unrealized Gain (Loss)          
on Investments 2 (. 483) (5.541) (2.273) 11.930 15.107
Total from Investment Operations 3.076 (1.884) 2.681 15.337 18.765
Distributions          
Dividends from Net Investment Income (3.536) (4.086) (4.911) (5.157) (4.255)
Distributions from Realized Capital Gains
Total Distributions (3.536) (4.086) (4.911) (5.157) (4.255)
Net Asset Value, End of Period $107.71 $108.17 $114.14 $116.37 $106.19
 
Total Return3 2.93% -1.61% 2.55% 14.87% 21.48%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $165 $167 $176 $92 $61
Ratio of Total Expenses to          
Average Net Assets 0.13% 0.16% 0.22% 0.24% 0.29%
Ratio of Net Investment Income to          
Average Net Assets 3.32% 3.17% 4.25% 3.11% 3.90%
Portfolio Turnover Rate 4 7% 12% 8% 8% 10%

 

1 Calculated based on average shares outstanding.
2 Includes increases from purchase and redemption fees of $.01, $.00, $.00, $.07, and $.06.
3 Total returns do not include transaction fees that may have applied in the periods shown. Fund prospectuses provide information about any
applicable transaction fees.
4 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares,
including ETF Creation Units.

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

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Global ex-U.S. Real Estate Index Fund

Notes to Financial Statements

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

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

1. Security Valuation: Securities are valued as of the close of trading on the New York Stock Exchange (generally 4 p.m., Eastern time) on the valuation date. Equity securities are valued at the latest quoted sales prices or official closing prices taken from the primary market in which each security trades; such securities not traded on the valuation date are valued at the mean of the latest quoted bid and asked prices. Securities for which market quotations are not readily available, or whose values have been affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued at their fair values calculated according to procedures adopted by the board of trustees. These procedures include obtaining quotations from an independent pricing service, monitoring news to identify significant market- or security-specific events, and evaluating changes in the values of foreign market proxies (for example, ADRs, futures contracts, or exchange-traded funds), between the time the foreign markets close and the fund’s pricing time. When fair-value pricing is employed, the prices of securities used by a fund to calculate its net asset value may differ from quoted or published prices for the same securities. Investments in Vanguard Market Liquidity Fund are valued at that fund’s net asset value. Temporary cash investments acquired over 60 days to maturity are valued using the latest bid prices or using valuations based on a matrix system (which considers such factors as security prices, yields, maturities, and ratings), both as furnished by independent pricing services. Other temporary cash investments are valued at amortized cost, which approximates market 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, enhancing returns, maintaining liquidity, and minimizing transaction costs. The fund may purchase futures contracts to immediately invest incoming cash in the market, or sell futures in response to cash outflows, thereby simulating a fully invested position

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Global ex-U.S. Real Estate Index Fund

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

Futures contracts are valued at their quoted daily settlement prices. The aggregate settlement values of the contracts are not recorded in the Statement of Net Assets. Fluctuations in the value of the contracts are recorded in the Statement of Net Assets as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized futures gains (losses).

During the year ended October 31, 2016, the fund’s average investments in long and short futures contracts represented less than 1% and 0% of net assets, respectively, based on the average of aggregate settlement values at each quarter-end during the period.

4. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. Management has analyzed the fund’s tax positions taken for all open federal income tax years (October 31, 2013–2016), and has concluded that no provision for federal income tax is required in the fund’s financial statements.

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

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

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Global ex-U.S. Real Estate Index Fund

represents fees charged to borrowers plus income earned on invested cash collateral, less expenses associated with the loan. During the term of the loan, the fund is entitled to all distributions made on or in respect of the loaned securities.

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

The fund had no borrowings outstanding at October 31, 2016, or at any time during the period then ended.

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

Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses) 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. Vanguard does not require reimbursement in the current period for certain costs of operations (such as deferred compensation/benefits and risk/insurance costs); the fund’s liability for these costs of operations is included in Payables to Vanguard on the Statement of Net Assets.

Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At October 31, 2016, the fund had contributed to Vanguard capital in the amount of $336,000, representing 0.01% of the fund’s net assets and 0.13% of Vanguard’s capitalization. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.

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Global ex-U.S. Real Estate Index Fund

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

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

The following table summarizes the market value of the fund’s investments as of October 31, 2016, based on the inputs used to value them:

  Level 1 Level 2 Level 3
Investments ($000) ($000) ($000)
Common Stocks 185,618 3,992,833 7,916
Temporary Cash Investments 95,130 1,499
Futures Contracts—Liabilities1 (45)
Total 280,703 3,994,332 7,916
1 Represents variation margin on the last day of the reporting period.

 

D. At October 31, 2016, the aggregate settlement value of open futures contracts and the related unrealized appreciation (depreciation) were:

 

      ($000)
      Aggregate  
    Number of Settlement Unrealized
    Long (Short) Value Appreciation
Futures Contracts Expiration Contracts Long (Short) (Depreciation)
E-mini S&P 500 Index December 2016 242 25,653 (109)

 

Unrealized appreciation (depreciation) on open futures contracts is required to be treated as realized gain (loss) for tax purposes.

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

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Global ex-U.S. Real Estate Index Fund

During the year ended October 31, 2016, the fund realized net foreign currency gains of $414,000, which increased distributable net income for tax purposes; accordingly, such gains have been reclassified from accumulated net realized losses to undistributed net investment income. Certain of the fund’s investments are in securities considered to be passive foreign investment companies, for which any unrealized appreciation and/or realized gains are required to be included in distributable net income for tax purposes. During the year ended October 31, 2016, the fund realized gains on the sale of passive foreign investment companies of $5,412,000, which have been included in current and prior periods’ taxable income; accordingly, such gains have been reclassified from accumulated net realized losses to undistributed net investment income. Passive foreign investment companies held at October 31, 2016, had unrealized appreciation of $85,137,000.

During the year ended October 31, 2016, the fund realized $7,366,000 of net capital gains resulting from in-kind redemptions—in which shareholders exchanged fund shares for securities held by the fund rather than for cash. Because such gains are not taxable to the fund, and are not distributed to shareholders, they have been reclassified from accumulated net realized losses to paid-in capital.

For tax purposes, at October 31, 2016, the fund had $106,465,000 of ordinary income available for distribution. At October 31, 2016, the fund had available capital losses totaling $88,065,000 to offset future net capital gains. Of this amount, $1,948,000 is subject to expiration on October 31, 2019. Capital losses of $86,117,000 realized beginning in fiscal 2012 may be carried forward indefinitely under the Regulated Investment Company Modernization Act of 2010, but must be used before any expiring loss carryforwards.

At October 31, 2016, the cost of investment securities for tax purposes was $4,558,214,000.

Net unrealized depreciation of investment securities for tax purposes was $275,218,000, consisting of unrealized gains of $187,425,000 on securities that had risen in value since their purchase and $462,643,000 in unrealized losses on securities that had fallen in value since their purchase.

F. During the year ended October 31, 2016, the fund purchased $891,251,000 of investment securities and sold $363,507,000 of investment securities, other than temporary cash investments. Purchases and sales include $461,932,000 and $87,712,000, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.

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Global ex-U.S. Real Estate Index Fund

G. Capital share transactions for each class of shares were:      
  Year Ended October 31,
  2016 2015
  Amount Shares Amount Shares
  ($000) (000) ($000) (000)
Investor Shares        
Issued1 9,439 444 24,542 1,092
Issued in Lieu of Cash Distributions 1,605 76 1,827 85
Redeemed 2 (9,785) (462) (15,742) (716)
Net Increase (Decrease)—Investor Shares 1,259 58 10,627 461
ETF Shares        
Issued1 623,142 11,610 1,249,356 22,106
Issued in Lieu of Cash Distributions
Redeemed 2 (91,670) (1,900) (159,958) (3,000)
Net Increase (Decrease)—ETF Shares 531,472 9,710 1,089,398 19,106
Admiral Shares        
Issued1 69,738 2,160 119,047 3,503
Issued in Lieu of Cash Distributions 9,885 310 9,915 306
Redeemed 2 (53,677) (1,680) (56,434) (1,716)
Net Increase (Decrease)—Admiral Shares 25,946 790 72,528 2,093
Institutional Shares        
Issued1 8,742 83 64,020 552
Issued in Lieu of Cash Distributions 3,610 34 4,296 40
Redeemed 2 (14,517) (132) (61,328) (592)
Net Increase (Decrease)—Institutional Shares (2,165) (15) 6,988
1 Includes purchase fees for fiscal 2016 and 2015 of $266,000 and $611,000, respectively (fund totals).
2 Net of redemption fees for fiscal 2016 and 2015 of $170,000 and $296,000, respectively (fund totals).

 

H. Management has determined that no material events or transactions occurred subsequent to October 31, 2016, that would require recognition or disclosure in these financial statements.

35

 

Report of Independent Registered
Public Accounting Firm

To the Board of Trustees of Vanguard International Equity Index Funds and the Shareholders of Vanguard Global ex-U.S. Real Estate Index Fund:

In our opinion, the accompanying statement of net assets and the related statements of operations and of changes in net assets and the financial highlights present fairly, in all material respects, the financial position of Vanguard Global ex-U.S. Real Estate Index Fund (constituting a separate portfolio of Vanguard International Equity Index Funds, hereafter referred to as the “Fund”) at October 31, 2016, the results of its operations for the year then ended, the changes in its net assets for each of the two years in the period then ended, and the financial highlights for each of the five years in the period then ended, in conformity with accounting principles generally accepted in the United States of America. These financial statements and financial highlights (hereafter referred to as “financial statements”) are the responsibility of the Fund’s management. Our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these financial statements in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits, which included confirmation of securities at October 31, 2016 by correspondence with the custodian and brokers and by agreement to the underlying ownership records of the transfer agent, provide a reasonable basis for our opinion.

/s/PricewaterhouseCoopers LLP
Philadelphia, Pennsylvania
December 15, 2016

Special 2016 tax information (unaudited) for Vanguard Global ex-U.S. Real Estate Index Fund

This information for the fiscal year ended October 31, 2016, is included pursuant to provisions of the
Internal Revenue Code.

The fund distributed $32,065,000 of qualified dividend income to shareholders during the fiscal year.

The fund designates to shareholders foreign source income of $128,192,000 and foreign taxes paid
of $9,403,000. Shareholders will receive more detailed information with their Form 1099-DIV in
January 2017 to determine the calendar-year amounts to be included on their 2016 tax returns.

36

 

Your Fund’s After-Tax Returns

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

Calculations are based on the highest individual federal income tax and capital gains tax rates in effect at the times of the distributions and the hypothetical sales. State and local taxes were not considered. After-tax returns reflect any qualified dividend income, using actual prior-year figures and estimates for 2016. (In the example, returns after the sale of fund shares may be higher than those assuming no sale. This occurs when the sale would have produced a capital loss. The calculation assumes that the investor received a tax deduction for the loss.)

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

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

Average Annual Total Returns: Global ex-U.S. Real Estate Index Fund Investor Shares  
Periods Ended October 31, 2016      
 
      Since
  One Five Inception
  Year Years (11/1/2010)
Returns Before Taxes 2.22% 7.42% 4.59%
Returns After Taxes on Distributions 1.07 5.99 3.37
Returns After Taxes on Distributions and Sale of Fund Shares 1.45 5.31 3.14

 

Vanguard fund returns are adjusted to reflect the 0.25% fee on purchases and redemptions.

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About Your Fund’s Expenses

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

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

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

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

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

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

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

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

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

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Six Months Ended October 31, 2016      
  Beginning Ending Expenses
  Account Value Account Value Paid During
Global ex-U.S. Real Estate Index Fund 4/30/2016 10/31/2016 Period
Based on Actual Fund Return      
Investor Shares $1,000.00 $991.52 $1.70
ETF Shares 1,000.00 992.69 0.75
Admiral Shares 1,000.00 992.56 0.75
Institutional Shares 1,000.00 992.59 0.65
Based on Hypothetical 5% Yearly Return      
Investor Shares $1,000.00 $1,023.43 $1.73
ETF Shares 1,000.00 1,024.38 0.76
Admiral Shares 1,000.00 1,024.38 0.76
Institutional Shares 1,000.00 1,024.48 0.66

The calculations are based on expenses incurred in the most recent six-month period. The fund’s annualized six-month expense ratios for that
period are 0.34% for Investor Shares, 0.15% for ETF Shares, 0.15% for Admiral Shares, and 0.13% for Institutional Shares. The dollar
amounts shown as “Expenses Paid” are equal to the annualized expense ratio multiplied by the average account value over the period,
multiplied by the number of days in the most recent six-month period, then divided by the number of days in the most recent 12-month period
(184/366).

39

 

Glossary

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

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

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

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

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

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

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

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

Price/Book Ratio. The share price of a stock divided by its net worth, or book value, per share. For a fund, the weighted average price/book ratio of the stocks it holds.

40

 

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

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

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

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

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

41

 

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The People Who Govern Your Fund

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

A majority of Vanguard’s board members are independent, meaning that they have no affiliation with Vanguard or the funds they oversee, apart from the sizable personal investments they have made as private individuals. The independent board members have distinguished backgrounds in business, academia, and public service. Each of the trustees and executive officers oversees 198 Vanguard funds.

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

InterestedTrustee1

F. William McNabb III

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

IndependentTrustees

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

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

Amy Gutmann
Born 1949. Trustee Since June 2006. Principal
Occupation(s) During the Past Five Years and
Other Experience: President of the University of
Pennsylvania; Christopher H. Browne Distinguished
Professor of Political Science, School of Arts and
Sciences, and Professor of Communication, Annenberg
School for Communication, with secondary faculty
appointments in the Department of Philosophy, School
of Arts and Sciences, and at the Graduate School of
Education, University of Pennsylvania; Trustee of the
National Constitution Center; Chair of the Presidential
Commission for the Study of Bioethical Issues.

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

 

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

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

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

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

Peter F. Volanakis
Born 1955. Trustee Since July 2009. Principal
Occupation(s) During the Past Five Years and
Other Experience: President and Chief Operating
Officer (retired 2010) of Corning Incorporated
(communications equipment); Chairman of the
Board of Trustees of Colby-Sawyer College;
Member of the Advisory Board of the Norris
Cotton Cancer Center.

Executive Officers

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

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

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

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

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

 

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

 

 

  P.O. Box 2600
  Valley Forge, PA 19482-2600
 
 
 
Connect with Vanguard® > vanguard.com
 
 
 
Fund Information > 800-662-7447 The index is a product of S&P Dow Jones Indices LLC
Direct Investor Account Services > 800-662-2739 (“SPDJI”), and has been licensed for use by Vanguard. 
  Standard & Poor’s® and S&P® are registered
Institutional Investor Services > 800-523-1036 trademarks of Standard & Poor’s Financial Services LLC
Text Telephone for People (“S&P”); Dow Jones® is a registered trademark of Dow
Who Are Deaf or Hard of Hearing > 800-749-7273 Jones Trademark Holdings LLC (“Dow Jones”); S&P®
  and S&P 500® are trademarks of S&P; and these
This material may be used in conjunction trademarks have been licensed for use by SPDJI and
with the offering of shares of any Vanguard sublicensed for certain purposes by Vanguard. 
fund only if preceded or accompanied by Vanguard product(s) are not sponsored, endorsed, sold
  or promoted by SPDJI, Dow Jones, S&P, or their
the fund’s current prospectus. respective affiliates and none of such parties make any
All comparative mutual fund data are from Lipper, a representation regarding the advisability of investing in
Thomson Reuters Company, or Morningstar, Inc., unless such product(s) nor do they have any liability for any
otherwise noted. errors, omissions, or interruptions of the index.
 
You can obtain a free copy of Vanguard’s proxy voting  
guidelines by visiting vanguard.com/proxyreporting or by  
calling Vanguard at 800-662-2739. The guidelines are  
also available from the SEC’s website, sec.gov. In  
addition, you may obtain a free report on how your fund  
voted the proxies for securities it owned during the 12  
months ended June 30. To get the report, visit either  
vanguard.com/proxyreporting or sec.gov.  
 
You can review and copy information about your fund at  
the SEC’s Public Reference Room in Washington, D.C. To  
find out more about this public service, call the SEC at  
202-551-8090. Information about your fund is also  
available on the SEC’s website, and you can receive  
copies of this information, for a fee, by sending a  
request in either of two ways: via email addressed to  
publicinfo@sec.gov or via regular mail addressed to the  
Public Reference Section, Securities and Exchange  
Commission, Washington, DC 20549-1520.  
 
  © 2016 The Vanguard Group, Inc.
  All rights reserved.
  Vanguard Marketing Corporation, Distributor.
 
  Q7380 122016

 



Annual Report | October 31, 2016

Vanguard Emerging Markets Stock

Index Fund

 

A new format, unwavering commitment

As you begin reading this report, you’ll notice that we’ve made some improvements to the opening sections—based on feedback from you, our clients.

Page 1 starts with a new ”Your Fund’s Performance at a Glance,” a concise, handy summary of how your fund performed during the period.

In the renamed ”Chairman’s Perspective,” Bill McNabb will focus on enduring principles and investment insights.

We’ve modified some tables, and eliminated some redundancy, but we haven’t removed any information.

At Vanguard, we’re always looking for better ways to communicate and to help you make sound investment decisions. Thank you for entrusting your assets to us.

Contents  
Your Fund’s Performance at a Glance. 1
Chairman’s Perspective. 3
Fund Profile. 7
Performance Summary. 9
Financial Statements. 12
Your Fund’s After-Tax Returns. 37
About Your Fund’s Expenses. 38
Glossary. 40

Please note: The opinions expressed in this report are just that—informed opinions. They should not be considered promises or advice.
Also, please keep in mind that the information and opinions cover the period through the date on the front of this report. Of course, the
risks of investing in your fund are spelled out in the prospectus.
See the Glossary for definitions of investment terms used in this report.
About the cover: No matter what language you speak, Vanguard has one consistent message and set of principles. Our primary
focus is on you, our clients. We conduct our business with integrity as a faithful steward of your assets. This message is shown
translated into seven languages, reflecting our expanding global presence.

 

Your Fund’s Performance at a Glance

• For the 12 months ended October 31, 2016, Vanguard Emerging Markets Stock Index
Fund closely tracked its target index, returning 10.21% for Investor Shares. The fund’s
result exceeded the 7.71% average annual return of its emerging markets peers.

• Among countries represented in the fund, Brazil had extremely strong returns amid a
sharp rebound in shares of the state-controlled oil company. By contrast, Chinese stocks
were generally weak, as concerns about that country’s economic slowdown persisted.

• In September, your fund completed a previously announced, phased benchmark
transition to the FTSE Emerging Markets All Cap China A Inclusion Index from the FTSE
Emerging Index. The change gives your fund exposure to small-cap companies and China
A-share firms.

• For the ten years ended October 31, 2016, the fund had an annualized return of 3.34%,
in line with its benchmark index and more than a percentage point better than the average
return of peers.

Total Returns: Fiscal Year Ended October 31, 2016  
  Total
  Returns
Vanguard Emerging Markets Stock Index Fund  
Investor Shares 10.21%
FTSE Emerging Markets ETF Shares  
Market Price 11.00
Net Asset Value 10.47
Admiral™ Shares 10.41
Institutional Shares 10.42
Institutional Plus Shares 10.48
Spliced Emerging Markets Index 10.10
Emerging Markets Funds Average 7.71

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

1

 

Total Returns: Ten Years Ended October 31, 2016  
  Average
  Annual Return
Emerging Markets Stock Index Fund Investor Shares 3.34%
Spliced Emerging Markets Index 3.64
Emerging Markets Funds Average 2.29
For a benchmark description, see the Glossary.
Emerging Markets Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.

 

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

 

Expense Ratios            
Your Fund Compared With Its Peer Group          
  Investor ETF Admiral Institutional Institutional  Peer Group
  Shares Shares Shares Shares Plus Shares  Average
Emerging Markets Stock Index            
Fund 0.33% 0.15% 0.15% 0.12% 0.10% 1.54%

The fund expense ratios shown are from the prospectus dated February 26, 2016, and represent estimated costs for the current fiscal year.
For the fiscal year ended October 31, 2016, the fund’s expense ratios were 0.32% for Investor Shares, 0.14% for FTSE Emerging Markets ETF
Shares, 0.14% for Admiral Shares, 0.11% for Institutional Shares, and 0.09% for Institutional Plus Shares. The peer-group expense ratio is
derived from data provided by Lipper, a Thomson Reuters Company, and captures information through year-end 2015.

Peer group: Emerging Markets Funds.

2

 

Chairman’s Perspective


Bill McNabb
Chairman and Chief Executive Officer

Dear Shareholder,

Over the three years ended August 31, 2016, investors poured more than $1 trillion into index funds. Indexing now accounts for nearly a third of all mutual fund assets—more than double what it did a decade ago and eight times its share two decades ago.1

By contrast, active management’s commercial struggles have reflected its disappointing investment performance. Over the decade ended December 31, 2015, 82% of actively managed stock funds and 81% of active bond funds have either underperformed their benchmarks or shut down.

This subpar performance has fueled the explosion of asset growth in indexing among individual, retirement, and nonprofit investors. So what might the trend mean for the future of actively managed funds?

Our research and experience indicate that active management can survive—and even succeed—but only if it’s offered at much lower expense.

High costs, which limit a manager’s ability to deliver benchmark-beating returns to clients, are the biggest reason why active has lagged. Industrywide as of December 31, 2015, the average expense ratio for all active stock funds is 1.14%, compared with 0.76% for stock index

1 Sources: Wall Street Journal; Morningstar, Inc.; and Investment Company Institute, 2016.

3

 

funds. And the expense advantage is even wider for bonds; the average expense ratio for an active bond fund is 0.93%, compared with 0.43% for bond index funds.

But even these big differences understate the real gap. These days, it’s not hard to find an index fund that charges maybe 0.05% or 0.10%. So even if you have identified active managers who are skilled at selecting stocks and bonds, to match the return of a comparable (much cheaper) index fund would require significant outperformance. Think about it. Any fund that charges 1.00% in expenses—not even the high end of the range—will find it extraordinarily difficult to overcome the index fund’s head start.

Active management also has taken a hit from a regulatory environment that has been favorable to low-cost strategies. The U.S. Department of Labor several years ago mandated greater disclosure of retirement plan fees. And its new fiduciary rule, which is set to take effect in April, requires financial advisors to demonstrate that their recommendations are aligned with their clients’ best interest. Both changes encourage the use of lower-cost investments, including index funds.

The future of active management

In light of all this, people have been asking me whether active management is “dead.” My response is both yes and no. High-cost active management is dead, and rightly so. It has never been a winning proposition

Market Barometer      
  Average Annual Total Returns
  Periods Ended October 31, 2016
  One Three Five
  Year Years Years
Stocks      
Russell 1000 Index (Large-caps) 4.26% 8.48% 13.51%
Russell 2000 Index (Small-caps) 4.11 4.12 11.51
Russell 3000 Index (Broad U.S. market) 4.24 8.13 13.35
FTSE All-World ex US Index (International) 0.64 -0.94 4.09
 
Bonds      
Bloomberg Barclays U.S. Aggregate Bond Index      
(Broad taxable market) 4.37% 3.48% 2.90%
Bloomberg Barclays Municipal Bond Index      
(Broad tax-exempt market) 4.06 4.89 4.34
Citigroup Three-Month U.S. Treasury Bill Index 0.22 0.07 0.07
 
CPI      
Consumer Price Index 1.64% 1.15% 1.32%

 

4

 

for investors. Low-cost active funds, though, can potentially play an important role for investors who seek to outperform the market.

Paying less for your funds is the only sure-fire way to improve your odds of achieving success in active management. But even if you have found an active manager with low costs, the odds of outperforming the market are still long. You have to be able to identify talented stock and bond portfolio managers with long time horizons and clear investment strategies. Look for managers with consistent track records and the discipline to stick closely to their investment strategy.

Know what you own and why

Despite the well-deserved reputation of indexing and the challenges for active managers, there’s still a place for traditional active strategies that are low-cost, diversified, and highly disciplined, and are run by talented managers who focus on the long term.

Vanguard has always applied these principles to our active strategies, and investors have benefited as a majority of our active funds outperformed their benchmarks and bested their peers’ average annual return over the ten years ended September 30, 2016.

Worried about the election’s impact on your portfolio?
The 2016 presidential election season was
one of the most intense and unpredictable
in U.S. history. In its aftermath, investors
may be left with lingering questions about
what the outcome will mean for their
portfolios. The answer, based on Vanguard
research into decades of historical data, is
that presidential elections typically have no
long-term effect on market performance.
 
These findings hold true regardless of the
market’s initial reaction. Whether there’s
a swoon or bounce immediately after an
election, investors shouldn’t extrapolate
that performance to the long term.
 
As you can see in the accompanying chart,
data going back to 1853 show that stock
market returns are virtually identical no matter
which party controls the White House.
Although headlines out of Washington at any
given time may still cause concern, investors
shouldn’t overreact to short-term events.
Instead, it’s best to maintain a balanced and
diversified portfolio and stay focused on your
long-term goals.
 
Average annual stock market returns based
on party control of the White House
(1853–2015)

Sources: Global Financial Data, 1853–1926; Morningstar, Inc.,
and Ibbotson Associates thereafter through 2015.

 

5

 

But it’s crucial for investors to be patient. Even active managers with the best track records frequently underperform their benchmarks when their investment styles are out of favor. Such periods, though temporary, can persist. So it’s important when entrusting your assets to an active strategy to be in it for the long haul.

Make sure you know what you’re buying and what the risks are. Active strategies are becoming more complex, so it’s important to clearly understand what the investments in your portfolio are designed to accomplish and why you want to hold them. Otherwise, you run the risk of selecting strategies that don’t fit your needs or objectives.

Keeping these considerations in mind can potentially boost your chances of success in identifying active strategies that may be able to help you reach your goals.

As always, thank you for investing with Vanguard.

Sincerely,


F. William McNabb III
Chairman and Chief Executive Officer
November 9, 2016

6

 

Emerging Markets Stock Index Fund

Fund Profile
As of October 31, 2016

Share-Class Characteristics          
    FTSE      
    Emerging      
  Investor Markets ETF Admiral Institutional Institutional
  Shares Shares Shares Shares Plus Shares
Ticker Symbol VEIEX VWO VEMAX VEMIX VEMRX
Expense Ratio1 0.33% 0.15% 0.15% 0.12% 0.10%

 

Portfolio Characteristics    
    FTSE  
    Emerging  
    Markets FTSE
    All Cap Global
    China A All Cap
    Inclusion ex US
  Fund Index Index
Number of Stocks 4,293 3,658 5,783
Median Market Cap $12.2B $12.2B $21.0B
Price/Earnings Ratio 19.1x 19.9x 20.8x
Price/Book Ratio 1.7x 1.7x 1.6x
Return on Equity 16.7% 16.7% 14.3%
Earnings Growth      
Rate 9.4% 9.6% 7.4%
Dividend Yield 2.6% 2.7% 3.0%
Turnover Rate 13%
Short-Term Reserves 0.0%

 

Sector Diversification (% of equity exposure)
    FTSE  
    Emerging  
    Markets FTSE
    All Cap Global
    China A All Cap
    Inclusion ex US
  Fund Index Index
Basic Materials 7.4% 7.4% 7.8%
Consumer Goods 10.5 10.5 16.2
Consumer Services 7.9 7.9 8.6
Financials 29.1 29.1 25.2
Health Care 3.3 3.3 7.7
Industrials 11.8 11.9 14.7
Oil & Gas 7.9 7.9 6.5
Technology 12.5 12.4 5.6
Telecommunications 5.7 5.8 4.2
Utilities 3.9 3.8 3.5

 

Volatility Measures    
  Spliced FTSE Global
  Emerging All Cap ex US
  Mkts Index Index
R-Squared 0.99 0.71
Beta 0.99 1.10
These measures show the degree and timing of the fund’s fluctuations compared with the indexes over 36 months.

 

Ten Largest Holdings (% of total net assets)
Taiwan Semiconductor    
Manufacturing Co. Ltd. Semiconductors 3.5%
Tencent Holdings Ltd. Internet 3.4
Naspers Ltd. Broadcasting &  
  Entertainment 1.7
China Construction Bank    
Corp. Banks 1.6
China Mobile Ltd. Mobile  
  Telecommunications 1.5
Petroleo Brasileiro SA Integrated Oil & Gas 1.1
Industrial & Commercial    
Bank of China Ltd. Banks 1.1
Hon Hai Precision Electrical  
Industry Co. Ltd. Components &  
  Equipment 1.0
Itau Unibanco Holding    
SA Banks 1.0
Banco Bradesco SA Banks 0.9
Top Ten   16.8%
The holdings listed exclude any temporary cash investments and equity index products.

 

1 The expense ratios shown are from the prospectus dated February 26, 2016, and represent estimated costs for the current fiscal year. For the fiscal
year ended October 31, 2016, the expense ratios were 0.32% for Investor Shares, 0.14% for FTSE Emerging Markets ETF Shares, 0.14% for Admiral
Shares, 0.11% for Institutional Shares, and 0.09% for Institutional Plus Shares.

7

 

Emerging Markets Stock Index Fund

Market Diversification (% of equity exposure)
    FTSE  
    Emerging  
    Markets FTSE
    All Cap Global
    China A All Cap
    Inclusion ex US
  Fund Index Index
Europe      
Other 0.5% 0.4% 42.2%
Pacific      
Other 0.1% 0.0% 30.7%
Emerging Markets      
China 27.9% 27.9% 4.7%
Taiwan 15.5 15.5 3.2
India 11.8 11.8 2.5
Brazil 9.2 9.3 1.9
South Africa 7.8 7.9 1.7
Mexico 4.3 4.3 0.9
Thailand 3.9 3.9 0.8
Russia 3.9 3.9 0.8
Malaysia 3.6 3.7 0.8
Indonesia 2.8 2.8 0.6
Philippines 1.6 1.6 0.3
Chile 1.3 1.3 0.3
Turkey 1.3 1.3 0.3
Poland 1.3 1.2 0.3
United Arab      
Emirates 1.0 1.0 0.2
Other 1.7 1.7 0.4
Subtotal 98.9% 99.1% 19.7%
North America 0.0% 0.0% 6.9%
Middle East      
Other 0.5% 0.5% 0.5%

 

8

 

Emerging Markets Stock Index Fund

Performance Summary

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

Cumulative Performance: October 31, 2006, Through October 31, 2016
Initial Investment of $10,000

 

 

    Average Annual Total Returns  
    Periods Ended October 31, 2016  
          Final Value
    One Five Ten of a $10,000
    Year Years Years Investment
  Emerging Markets Stock Index        
  Fund*Investor Shares 10.21% 0.81% 3.34% $13,893
• • • • • • • • Spliced Emerging Markets Index 10.10 0.84 3.64 14,298
 
– – – – Emerging Markets Funds Average 7.71 0.64 2.29 12,547
  FTSE Global All Cap ex US Index 0.92 4.20 2.24 12,478
For a benchmark description, see the Glossary.
Emerging Markets Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.

 

        Final Value
  One Five Ten of a $10,000
  Year Years Years Investment
FTSE Emerging Markets        
ETF Shares Net Asset Value 10.47% 1.00% 3.50% $14,105
Spliced Emerging Markets Index 10.10 0.84 3.64 14,298
FTSE Global All Cap ex US Index 0.92 4.20 2.24 12,478

 

See Financial Highlights for dividend and capital gains information.

9

 

Emerging Markets Stock Index Fund

  Average Annual Total Returns  
  Periods Ended October 31, 2016  
 
        Final Value
  One Five Ten of a $10,000
  Year Years Years Investment
Emerging Markets Stock Index Fund Admiral        
Shares 10.41% 0.99% 3.50% $14,101
Spliced Emerging Markets Index 10.10 0.84 3.64 14,298
FTSE Global All Cap ex US Index 0.92 4.20 2.24 12,478

 

        Final Value
  One Five Ten of a $5,000,000
  Year Years Years Investment
Emerging Markets Stock Index Fund        
Institutional Shares 10.42% 1.02% 3.54% $7,083,305
 
Spliced Emerging Markets Index 10.10 0.84 3.64 7,148,756
 
FTSE Global All Cap ex US Index 0.92 4.20 2.24 6,238,904

 

      Since Final Value
  One Five Inception of a $100,000,000
  Year Years (12/15/2010) Investment
Emerging Markets Stock Index Fund        
Institutional Plus Shares 10.48% 1.05% -0.89% $94,857,950
Spliced Emerging Markets Index 10.10 0.84 -0.89 91,300,862
FTSE Global All Cap ex US Index 0.92 4.20 2.38 114,801,984
"Since Inception" performance is calculated from the Institutional Plus Shares’ inception date for both the fund and its comparative standards.

 

Cumulative Returns of ETF Shares: October 31, 2006, Through October 31, 2016    
  One Five Ten
  Year Years Years
FTSE Emerging Markets ETF Shares Market Price 11.00% 5.80% 39.76%
FTSE Emerging Markets ETF Shares Net Asset      
Value 10.47 5.09 41.05
Spliced Emerging Markets Index 10.10 4.29 42.98

 

10

 

Emerging Markets Stock Index Fund

Fiscal-Year Total Returns (%): October 31, 2006, Through October 31, 2016

 

For a benchmark description, see the Glossary.

Average Annual Total Returns: Periods Ended September 30, 2016
This table presents returns through the latest calendar quarter—rather than through the end of the fiscal period.
Securities and Exchange Commission rules require that we provide this information.

  Inception One Five Ten
  Date Year Years Years
Investor Shares 5/4/1994 15.62% 3.27% 3.76%
FTSE Emerging Markets ETF        
Shares 3/4/2005      
Market Price   16.66 4.08 3.91
Net Asset Value   15.83 3.44 3.91
Admiral Shares 6/23/2006 15.84 3.44 3.91
Institutional Shares 6/22/2000 15.86 3.48 3.95
Institutional Plus Shares 12/15/2010 15.88 3.50 -1.021
1 Return since inception.

 

11

 

Emerging Markets Stock Index Fund

Financial Statements

Statement of Net Assets—Investments Summary
As of October 31, 2016

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

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

    Market Percentage
    Value of Net
  Shares ($000) Assets
Common Stocks      
Brazil      
Itau Unibanco Holding SA Preference Shares 27,781,186 334,210 0.5%
Ambev SA 52,785,855 311,390 0.5%
* Petroleo Brasileiro SA 48,210,897 281,532 0.5%
Banco Bradesco SA Preference Shares 26,049,295 272,897 0.4%
* Petroleo Brasileiro SA Preference Shares 47,865,186 265,268 0.4%
Itau Unibanco Holding SA ADR 19,605,348 233,892 0.4%
Itausa - Investimentos Itau SA Preference Shares 58,123,729 171,895 0.3%
* Petroleo Brasileiro SA ADR (XNYS) Preference Shares 8,139,235 90,020 0.1%
* Petroleo Brasileiro SA ADR (XNYS) 4,172,883 48,698 0.1%
Itau Unibanco Holding SA 2,879,395 30,075 0.0%
Itausa - Investimentos Itau SA 51,353 143 0.0%
1 Brazil—Other †   3,664,488 5.9%
    5,704,508 9.1%
 
Chile †   853,931 1.4%
 
China      
Tencent Holdings Ltd. 80,402,164 2,130,845 3.4%
China Construction Bank Corp. 1,361,995,111 994,593 1.6%
China Mobile Ltd. 79,235,456 907,753 1.5%
Industrial & Commercial Bank of China Ltd. 1,113,554,240 668,399 1.1%
Bank of China Ltd. 1,161,352,650 520,425 0.8%
Ping An Insurance Group Co. of China Ltd. 80,050,946 421,350 0.7%
CNOOC Ltd. 238,545,705 300,156 0.5%
China Petroleum & Chemical Corp. 393,698,659 284,723 0.5%
China Life Insurance Co. Ltd. (XHKG) 112,979,287 279,707 0.5%
PetroChina Co. Ltd. 312,836,155 214,054 0.4%
Agricultural Bank of China Ltd. 434,111,065 182,618 0.3%
China Overseas Land & Investment Ltd. 57,620,178 176,888 0.3%
China Telecom Corp. Ltd. 242,161,271 124,849 0.2%

 

12

 

Emerging Markets Stock Index Fund      
 
 
 
      Market Percentage
      Value of Net
    Shares ($000) Assets
  China Shenhua Energy Co. Ltd. 54,170,270 112,307 0.2%
  PICC Property & Casualty Co. Ltd. 67,580,295 109,082 0.2%
  CITIC Ltd. 74,223,897 106,509 0.2%
  China Resources Land Ltd. 41,274,696 102,507 0.2%
  China Unicom Hong Kong Ltd. 86,542,017 101,602 0.2%
  Sinopharm Group Co. Ltd. 16,284,700 79,079 0.1%
  China Communications Construction Co. Ltd. 71,048,276 78,015 0.1%
  China CITIC Bank Corp. Ltd. 120,554,719 77,750 0.1%
  CRRC Corp. Ltd. 69,624,277 63,040 0.1%
1 China Galaxy Securities Co. Ltd. 58,479,870 55,520 0.1%
  China Cinda Asset Management Co. Ltd. 152,160,000 54,664 0.1%
* China Resources Beer Holdings Co. Ltd. 25,215,499 53,585 0.1%
  China Resources Power Holdings Co. Ltd. 29,989,048 50,812 0.1%
  China Railway Group Ltd. 64,864,408 50,000 0.1%
  China Merchants Port Holdings Co. Ltd. 18,595,610 48,078 0.1%
  Dongfeng Motor Group Co. Ltd. 45,270,744 47,185 0.1%
1 CGN Power Co. Ltd. 160,659,878 46,905 0.1%
* China Taiping Insurance Holdings Co. Ltd. 23,268,820 44,785 0.1%
1 People’s Insurance Co. Group of China Ltd. 105,149,000 41,779 0.1%
  China Railway Construction Corp. Ltd. 32,296,265 40,371 0.1%
  China State Construction International Holdings Ltd. 27,442,872 40,035 0.1%
  China Longyuan Power Group Corp. Ltd. 51,834,660 39,521 0.1%
  Zhuzhou CRRC Times Electric Co. Ltd. 7,782,500 37,631 0.1%
  China Resources Gas Group Ltd. 11,428,100 35,834 0.1%
  Kunlun Energy Co. Ltd. 46,321,230 34,901 0.1%
  China Oilfield Services Ltd. 31,941,800 30,657 0.1%
  Sinopec Shanghai Petrochemical Co. Ltd. 57,364,788 29,242 0.1%
*,^,1 China Huarong Asset Management Co. Ltd. 73,402,000 28,061 0.1%
  Beijing Capital International Airport Co. Ltd. 24,969,081 26,132 0.1%
  AviChina Industry & Technology Co. Ltd. 37,443,000 25,410 0.1%
  Huaneng Renewables Corp. Ltd. 64,942,000 21,761 0.0%
  Chongqing Changan Automobile Co. Ltd. Class B 14,142,062 21,563 0.0%
*,^ China Coal Energy Co. Ltd. 37,583,800 21,277 0.0%
  China Jinmao Holdings Group Ltd. 71,106,094 19,607 0.0%
  Air China Ltd. 29,018,748 19,066 0.0%
1 Sinopec Engineering Group Co. Ltd. 20,204,772 17,838 0.0%
  China Southern Airlines Co. Ltd. 31,218,000 17,519 0.0%
  China Power International Development Ltd. 46,674,469 16,973 0.0%
^,1 China Railway Signal & Communication Corp. Ltd. 20,740,400 16,817 0.0%
  Metallurgical Corp. of China Ltd. 47,542,937 15,459 0.0%
*,^ China COSCO Holdings Co. Ltd. 43,008,000 14,819 0.0%
  Sinotrans Ltd. 30,905,000 14,553 0.0%
* China Agri-Industries Holdings Ltd. 35,587,961 13,908 0.0%
  China Resources Cement Holdings Ltd. 33,444,686 13,505 0.0%
* China Construction Bank Corp. Class A 16,697,218 12,956 0.0%
  China Merchants Shekou Industrial Zone Holdings Co. Ltd. Class A 5,050,130 12,628 0.0%
^ China Reinsurance Group Corp. 49,853,000 11,866 0.0%
  Shenwan Hongyuan Group Co. Ltd. Class A 12,122,481 11,530 0.0%
^ China Eastern Airlines Corp. Ltd. 25,606,000 11,497 0.0%
  China State Construction Engineering Corp. Ltd. Class A (XSSC) 10,651,095 11,275 0.0%
  Huadian Fuxin Energy Corp. Ltd. 43,759,852 10,133 0.0%
  Agricultural Bank of China Ltd. Class A (XSHG) 20,559,300 9,587 0.0%
*,^ Angang Steel Co. Ltd. 18,440,374 9,443 0.0%
  China National Accord Medicines Corp. Ltd. Class B 1,404,917 8,780 0.0%
* Industrial & Commercial Bank of China Ltd. Class A 12,670,959 8,285 0.0%
* PetroChina Co. Ltd. Class A 7,591,886 8,215 0.0%

 

13

 

Emerging Markets Stock Index Fund      
 
 
 
      Market Percentage
      Value of Net
    Shares ($000) Assets
* Bank of China Ltd. Class A 15,736,100 7,871 0.0%
  Shanghai Baosight Software Co. Ltd. Class B 4,312,026 7,472 0.0%
  China BlueChemical Ltd. 34,769,405 6,721 0.0%
  China State Construction Engineering Corp. Ltd. Class A (XSHG) 6,181,400 6,543 0.0%
  China Merchants Securities Co. Ltd. Class A (XSSC) 2,453,174 6,492 0.0%
^ CSSC Offshore and Marine Engineering Group Co. Ltd. 4,292,000 6,470 0.0%
^ Sinopec Kantons Holdings Ltd. 13,467,000 6,314 0.0%
* China Petroleum & Chemical Corp. Class A 8,034,099 5,931 0.0%
  China Foods Ltd. 12,991,506 5,742 0.0%
*,^ CITIC Resources Holdings Ltd. 45,704,000 5,703 0.0%
  China Machinery Engineering Corp. 9,487,639 5,661 0.0%
  Shenzhen Overseas Chinese Town Co. Ltd. Class A 5,511,821 5,633 0.0%
  CRRC Corp. Ltd. Class A (XSHG) 3,879,500 5,335 0.0%
  China National Nuclear Power Co. Ltd. Class A 5,319,107 5,302 0.0%
  Cinda Real Estate Co. Ltd. Class A (XSSC) 4,878,719 5,214 0.0%
  AVIC Aircraft Co. Ltd. Class A 1,540,402 5,072 0.0%
  CRRC Corp. Ltd. Class A (XSSC) 3,574,774 4,916 0.0%
  China Railway Group Ltd. Class A (XSSC) 3,857,814 4,783 0.0%
* China Shipbuilding Industry Co. Ltd. Class A (XSSC) 4,957,752 4,767 0.0%
  China National Materials Co. Ltd. 20,269,000 4,562 0.0%
^ China Overseas Property Holdings Ltd. 22,090,092 4,479 0.0%
  Agricultural Bank of China Ltd. Class A (XSSC) 9,440,500 4,402 0.0%
  China International Travel Service Corp. Ltd. Class A 658,141 4,378 0.0%
^ Sinofert Holdings Ltd. 32,824,000 4,307 0.0%
  China United Network Communications Ltd. Class A (XSSC) 5,497,924 4,160 0.0%
  China Railway Group Ltd. Class A (XSHG) 3,248,829 4,028 0.0%
  Dah Chong Hong Holdings Ltd. 9,481,000 3,965 0.0%
  Chongqing Changan Automobile Co. Ltd. Class A 1,695,900 3,918 0.0%
  China Resources Sanjiu Medical & Pharmaceutical Co. Ltd. Class A 974,679 3,866 0.0%
  Baoshan Iron & Steel Co. Ltd. Class A (XSSC) 4,663,265 3,855 0.0%
* China Shipbuilding Industry Co. Ltd. Class A (XSHG) 3,837,900 3,690 0.0%
  Daqin Railway Co. Ltd. Class A (XSHG) 3,643,120 3,643 0.0%
  COSCO International Holdings Ltd. 7,598,000 3,524 0.0%
  Poly Culture Group Corp. Ltd. 1,250,300 3,374 0.0%
  Offshore Oil Engineering Co. Ltd. Class A (XSSC) 3,187,570 3,340 0.0%
  China United Network Communications Ltd. Class A (XSHG) 4,397,800 3,328 0.0%
  Daqin Railway Co. Ltd. Class A (XSSC) 3,323,570 3,324 0.0%
* China Life Insurance Co. Ltd. Class A 963,800 3,102 0.0%
  China XD Electric Co. Ltd. Class A (XSSC) 3,641,107 2,944 0.0%
  Avic Aviation Engine Corp. plc Class A (XSSC) 544,366 2,814 0.0%
  Inner Mongolia MengDian HuaNeng Thermal Power Corp.      
  Ltd. Class A (XSSC) 5,879,228 2,738 0.0%
  China Railway Construction Corp. Ltd. Class A (XSSC) 1,769,795 2,688 0.0%
  Dongxing Securities Co. Ltd. Class A (XSHG) 771,200 2,635 0.0%
  Power Construction Corp. of China Ltd. Class A (XSSC) 2,613,156 2,616 0.0%
*,^ Sinotrans Shipping Ltd. 16,009,500 2,595 0.0%
  Power Construction Corp. of China Ltd. Class A (XSHG) 2,430,302 2,433 0.0%
  Baoshan Iron & Steel Co. Ltd. Class A (XSHG) 2,918,600 2,413 0.0%
  Bluestar Adisseo Co. Class A 1,157,745 2,398 0.0%
  AVIC Electromechanical Systems Co. Ltd. Class A 914,232 2,348 0.0%
* Zhongjin Gold Corp. Ltd. Class A (XSSC) 1,174,812 2,196 0.0%
  China National Chemical Engineering Co. Ltd. Class A (XSHG) 2,490,177 2,193 0.0%
  China National Chemical Engineering Co. Ltd. Class A (XSSC) 2,391,725 2,106 0.0%
* China Datang Corp. Renewable Power Co. Ltd. 23,042,000 2,105 0.0%
  China Merchants Securities Co. Ltd. Class A (XSHG) 784,200 2,075 0.0%
  Huadian Heavy Industries Co. Ltd. Class A (XSSC) 1,526,509 1,997 0.0%

 

14

 

Emerging Markets Stock Index Fund      
 
 
 
    Market Percentage
    Value of Net
  Shares ($000) Assets
^ China Electronics Corp. Holdings Co. Ltd. 8,296,000 1,996 0.0%
Shanghai Baosteel Packaging Co. Ltd. Class A 1,258,200 1,912 0.0%
China CAMC Engineering Co. Ltd. Class A 553,597 1,906 0.0%
* Shanghai Datun Energy Resources Co. Ltd. Class A 1,156,850 1,877 0.0%
Avic Aviation Engine Corp. plc Class A (XSHG) 357,386 1,847 0.0%
Norinco International Cooperation Ltd. Class A 483,900 1,812 0.0%
* China Eastern Airlines Corp. Ltd. Class A (XSHG) 1,928,700 1,802 0.0%
* Baoding Tianwei Baobian Electric Co. Ltd. Class A 1,886,301 1,779 0.0%
Air China Ltd. Class A (XSHG) 1,626,099 1,778 0.0%
* Sinopec Oilfield Equipment Corp. Class A 1,040,893 1,721 0.0%
China Spacesat Co. Ltd. Class A (XSSC) 358,897 1,676 0.0%
^ China Energy Engineering Corp. Ltd. 12,130,000 1,671 0.0%
North Electro-Optic Co. Ltd. Class A 494,561 1,593 0.0%
* Sinosteel Engineering & Technology Co. Ltd. Class A 668,330 1,579 0.0%
* Dongxing Securities Co. Ltd. Class A (XSSC) 459,313 1,571 0.0%
* Inner Mongolia Lantai Industrial Co. Ltd. Class A 802,400 1,556 0.0%
China Oilfield Services Ltd. Class A 862,777 1,554 0.0%
* Angang Steel Co. Ltd. Class A 2,266,055 1,510 0.0%
SDIC Power Holdings Co. Ltd. Class A (XSHG) 1,529,000 1,479 0.0%
Shanghai Electric Power Co. Ltd. Class A (XSSC) 844,723 1,463 0.0%
* Zhongjin Gold Corp. Ltd. Class A (XSHG) 781,160 1,460 0.0%
Shenzhen Topway Video Communication Co. Ltd. Class A 625,920 1,398 0.0%
Sinoma Science & Technology Co. Ltd. Class A 515,740 1,345 0.0%
East China Engineering Science and Technology Co. Ltd. Class A 589,564 1,306 0.0%
* China Eastern Airlines Corp. Ltd. Class A (XSSC) 1,386,700 1,295 0.0%
North Navigation Control Technology Co. Ltd. Class A (XSSC) 597,204 1,295 0.0%
Jihua Group Corp. Ltd. Class A (XSSC) 1,027,040 1,288 0.0%
China XD Electric Co. Ltd. Class A (XSHG) 1,531,400 1,238 0.0%
* China Greatwall Computer Shenzhen Co. Ltd. Class A 716,877 1,224 0.0%
Offshore Oil Engineering Co. Ltd. Class A (XSHG) 1,162,500 1,218 0.0%
Lanpec Technologies Ltd. Class A 638,300 1,209 0.0%
Inner Mongolia MengDian HuaNeng Thermal Power Corp. Ltd.      
Class A (XSHG) 2,555,201 1,190 0.0%
Sinochem International Corp. Class A (XSSC) 794,851 1,173 0.0%
China Avionics Systems Co. Ltd. Class A (XSSC) 411,820 1,169 0.0%
* Wuhan Iron & Steel Co. Ltd. Class A (XSHG) 2,526,701 1,168 0.0%
Guangxi Guiguan Electric Power Co. Ltd. Class A (XSSC) 1,175,359 1,153 0.0%
Sichuan Chengfei Integration Technology Corp. Class A 216,379 1,147 0.0%
China Shenhua Energy Co. Ltd. Class A (XSHG) 427,130 1,064 0.0%
Metallurgical Corp. of China Ltd. Class A (XSHG) 1,714,400 1,062 0.0%
China Spacesat Co. Ltd. Class A (XSHG) 226,387 1,057 0.0%
Guodian Nanjing Automation Co. Ltd. Class A 851,900 1,053 0.0%
Metallurgical Corp. of China Ltd. Class A (XSSC) 1,696,933 1,051 0.0%
China Southern Airlines Co. Ltd. Class A (XSSC) 983,183 1,043 0.0%
* SDIC Essence Holdings Co. Ltd. Class A (XSHG) 439,500 1,043 0.0%
Sinomach Automobile Co. Ltd. Class A (XSSC) 531,194 1,033 0.0%
Daye Special Steel Co. Ltd. Class A 556,300 1,005 0.0%
* China First Heavy Industries Class A (XSHG) 1,200,650 995 0.0%
FAW CAR Co. Ltd. Class A 589,943 989 0.0%
China National Software & Service Co. Ltd. Class A (XSSC) 242,434 977 0.0%
Jihua Group Corp. Ltd. Class A (XSHG) 768,000 963 0.0%
China Railway Construction Corp. Ltd. Class A (XSHG) 631,100 959 0.0%
China Railway Erju Co. Ltd. Class A (XSHG) 498,900 950 0.0%
China Animal Husbandry Industry Co. Ltd. Class A (XSHG) 291,800 929 0.0%
Tian Di Science & Technology Co. Ltd. Class A (XSSC) 1,340,984 928 0.0%
* China First Heavy Industries Class A (XSSC) 1,118,300 927 0.0%

 

15

 

Emerging Markets Stock Index Fund      
 
 
 
    Market Percentage
    Value of Net
  Shares ($000) Assets
Shanghai Electric Power Co. Ltd. Class A (XSHG) 521,400 903 0.0%
* North Huajin Chemical Industries Co. Ltd. Class A 687,903 896 0.0%
Cinda Real Estate Co. Ltd. Class A (XSHG) 837,122 895 0.0%
* Beijing Tiantan Biological Products Corp. Ltd. Class A (XSSC) 146,821 882 0.0%
Guangxi Guiguan Electric Power Co. Ltd. Class A (XSHG) 868,300 852 0.0%
China CSSC Holdings Ltd. Class A (XSHG) 249,270 828 0.0%
Xinjiang Guannong Fruit & Antler Group Co. Ltd. Class A (XSSC) 687,142 828 0.0%
Minmetals Land Ltd. 6,472,000 816 0.0%
China CSSC Holdings Ltd. Class A (XSSC) 244,280 812 0.0%
Heilongjiang Agriculture Co. Ltd. Class A 517,150 809 0.0%
Xinjiang Yilite Industry Co. Ltd. Class A (XSHG) 342,900 778 0.0%
* Beijing Tiantan Biological Products Corp. Ltd. Class A (XSHG) 127,100 763 0.0%
* Grinm Advanced Materials Co. Ltd. Class A (XSSC) 474,000 760 0.0%
China Avionics Systems Co. Ltd. Class A (XSHG) 262,584 746 0.0%
China CITIC Bank Corp. Ltd. Class A (XSHG) 824,050 738 0.0%
* Inner Mongolia Pingzhuang Energy Co. Ltd. Class A 711,300 733 0.0%
COFCO Tunhe Co. Ltd. Class A 421,800 723 0.0%
CSSC Offshore and Marine Engineering Group Co. Ltd. Class A      
(XSSC) 177,401 722 0.0%
* SDIC Essence Holdings Co. Ltd. Class A (XSSC) 298,900 709 0.0%
China Southern Airlines Co. Ltd. Class A (XSHG) 663,500 704 0.0%
China Merchants Land Ltd. 4,948,000 700 0.0%
* Minmetals Development Co. Ltd. Class A (XSHG) 283,000 700 0.0%
Air China Ltd. Class A (XSSC) 630,438 689 0.0%
Besttone Holdings Co. Ltd. Class A (XSSC) 218,900 685 0.0%
CITIC Heavy Industries Co. Ltd. Class A (XSSC) 831,227 647 0.0%
China Shenhua Energy Co. Ltd. Class A (XSSC) 251,550 626 0.0%
* China Tungsten And Hightech Materials Co. Ltd. Class A 259,900 624 0.0%
Sinochem International Corp. Class A (XSHG) 414,700 612 0.0%
SDIC Power Holdings Co. Ltd. Class A (XSSC) 631,993 611 0.0%
North Navigation Control Technology Co. Ltd. Class A (XSHG) 256,600 556 0.0%
Huadian Heavy Industries Co. Ltd. Class A (XSHG) 414,676 543 0.0%
* Wuhan Iron & Steel Co. Ltd. Class A (XSSC) 1,161,460 537 0.0%
CITIC Heavy Industries Co. Ltd. Class A (XSHG) 624,200 486 0.0%
COSCO Shipping Co. Ltd. Class A (XSHG) 557,401 480 0.0%
Sinotrans Air Transportation Development Co. Ltd. Class A (XSSC) 161,950 456 0.0%
China Television Media Ltd. Class A (XSSC) 129,531 440 0.0%
CSSC Offshore and Marine Engineering Group Co. Ltd. Class A      
(XSHG) 107,500 437 0.0%
China National Software & Service Co. Ltd. Class A (XSHG) 97,500 393 0.0%
* Grinm Advanced Materials Co. Ltd. Class A (XSHG) 241,500 387 0.0%
Besttone Holdings Co. Ltd. Class A (XSHG) 119,700 374 0.0%
* China Coal Energy Co. Ltd. Class A (XSHG) 361,900 355 0.0%
Huolinhe Opencut Coal Industry Corp. Ltd. of Inner Mongolia Class A 251,700 345 0.0%
Sinomach Automobile Co. Ltd. Class A (XSHG) 177,150 344 0.0%
Xinjiang Yilite Industry Co. Ltd. Class A (XSSC) 148,688 338 0.0%
Sinopec Shanghai Petrochemical Co. Ltd. Class A 388,400 337 0.0%
Tian Di Science & Technology Co. Ltd. Class A (XSHG) 456,100 316 0.0%
* SGIS Songshan Co. Ltd. Class A 459,790 277 0.0%
Sinotrans Air Transportation Development Co. Ltd. Class A (XSHG) 96,100 271 0.0%
China CITIC Bank Corp. Ltd. Class A (XSSC) 301,100 270 0.0%
* Minmetals Development Co. Ltd. Class A (XSSC) 104,800 259 0.0%
Xinjiang Guannong Fruit & Antler Group Co. Ltd. Class A (XSHG) 203,200 245 0.0%
China Television Media Ltd. Class A (XSHG) 59,700 203 0.0%
* China COSCO Holdings Co. Ltd. Class A 221,002 171 0.0%
* China Animal Husbandry Industry Co. Ltd. Class A (XSSC) 44,200 141 0.0%

 

16

 

Emerging Markets Stock Index Fund      
 
 
 
    Market Percentage
    Value of Net
  Shares ($000) Assets
* China Coal Energy Co. Ltd. Class A (XSSC) 125,594 123 0.0%
* Xinjiang Ba Yi Iron & Steel Co. Ltd. Class A 149,000 116 0.0%
China Railway Erju Co. Ltd. Class A (XSSC) 35,100 67 0.0%
COSCO Shipping Co. Ltd. Class A (XSSC) 67,400 58 0.0%
1 China—Other †   7,730,578 12.4%
    17,329,780 27.7%
 
Colombia †   316,151 0.5%
 
1Czech Republic †   123,047 0.2%
 
Egypt †   197,766 0.3%
 
Greece †   217,958 0.3%
 
Hong Kong †   55,315 0.1%
 
Hungary †   199,565 0.3%
 
India      
Housing Development Finance Corp. Ltd. 23,773,814 496,037 0.8%
Infosys Ltd. 28,474,195 424,940 0.7%
Reliance Industries Ltd. 23,839,604 376,526 0.6%
Tata Consultancy Services Ltd. 7,092,451 254,795 0.4%
Sun Pharmaceutical Industries Ltd. 16,777,713 186,915 0.3%
Oil & Natural Gas Corp. Ltd. 31,588,075 135,468 0.2%
Coal India Ltd. 20,478,617 99,705 0.2%
Bharat Petroleum Corp. Ltd. 9,639,505 96,752 0.2%
State Bank of India 22,903,690 88,613 0.2%
Indian Oil Corp. Ltd. 17,539,844 85,083 0.1%
NTPC Ltd. 31,905,779 72,764 0.1%
Power Grid Corp. of India Ltd. 18,063,876 47,604 0.1%
Hindustan Petroleum Corp. Ltd. 5,690,848 39,817 0.1%
GAIL India Ltd. 5,021,506 32,587 0.1%
NMDC Ltd. 13,353,067 26,275 0.1%
Rural Electrification Corp. Ltd. 11,913,992 24,078 0.1%
Power Finance Corp. Ltd. 10,930,581 20,345 0.0%
Bharat Heavy Electricals Ltd. 9,719,991 20,240 0.0%
Bharat Electronics Ltd. 1,014,910 19,788 0.0%
* Bank of Baroda 7,464,745 17,498 0.0%
NHPC Ltd. 39,309,568 15,779 0.0%
* Steel Authority of India Ltd. 17,399,502 13,586 0.0%
Oil India Ltd. 2,089,320 12,995 0.0%
* Punjab National Bank 4,964,487 10,724 0.0%
* Canara Bank 1,829,788 8,614 0.0%
* IDBI Bank Ltd. 5,680,208 6,266 0.0%
* Mangalore Refinery & Petrochemicals Ltd. 3,978,304 5,380 0.0%
Union Bank of India 2,209,377 4,900 0.0%
* Bank of India 2,581,349 4,446 0.0%
Indian Bank 1,188,005 4,142 0.0%
National Aluminium Co. Ltd. 5,087,835 4,067 0.0%
IFCI Ltd. 7,003,134 2,729 0.0%
Engineers India Ltd. 644,768 2,602 0.0%
Oriental Bank of Commerce 1,126,646 2,169 0.0%
* Central Bank of India 1,473,550 2,017 0.0%
* Corp Bank 3,188,493 1,991 0.0%

 

17

 

Emerging Markets Stock Index Fund      
 
 
 
    Market Percentage
    Value of Net
  Shares ($000) Assets
* Vijaya Bank 2,143,889 1,421 0.0%
* Shipping Corp. of India Ltd. 1,047,395 1,065 0.0%
Gujarat Mineral Development Corp. Ltd. 576,191 957 0.0%
* Indian Overseas Bank 2,108,758 842 0.0%
* Syndicate Bank 657,322 727 0.0%
* UCO Bank 800,000 418 0.0%
* Allahabad Bank 287,312 325 0.0%
Andhra Bank 286,108 242 0.0%
1 India—Other †   4,647,859 7.4%
    7,322,093 11.7%
Indonesia      
Telekomunikasi Indonesia Persero Tbk PT 760,083,605 245,411 0.4%
Bank Central Asia Tbk PT 187,880,124 223,379 0.3%
Astra International Tbk PT 302,692,000 190,971 0.3%
Bank Rakyat Indonesia Persero Tbk PT 164,527,800 153,631 0.2%
Bank Mandiri Persero Tbk PT 142,274,080 125,322 0.2%
Bank Negara Indonesia Persero Tbk PT 123,025,361 52,521 0.1%
Semen Indonesia Persero Tbk PT 47,967,204 36,156 0.1%
Perusahaan Gas Negara Persero Tbk 165,598,604 32,437 0.1%
Tambang Batubara Bukit Asam Persero Tbk PT 14,277,925 13,028 0.0%
Jasa Marga Persero Tbk PT 34,702,700 12,038 0.0%
* Aneka Tambang Persero Tbk PT 162,408,891 11,146 0.0%
Waskita Karya Persero Tbk PT 48,058,000 9,646 0.0%
Bank Tabungan Negara Persero Tbk PT 35,960,000 5,260 0.0%
Wijaya Karya Persero Tbk PT 21,869,500 4,308 0.0%
Wijaya Karya Beton Tbk PT 34,608,000 2,357 0.0%
* Krakatau Steel Persero Tbk PT 40,419,400 2,045 0.0%
Timah Persero Tbk PT 16,286,100 1,161 0.0%
Adhi Karya Persero Tbk PT 5,388,200 936 0.0%
Indonesia—Other †   600,044 1.0%
    1,721,797 2.7%
Malaysia      
Public Bank Bhd. (Local) 46,755,000 221,304 0.3%
Tenaga Nasional Bhd. 52,309,907 178,736 0.3%
1 Malaysia—Other †   1,859,568 3.0%
    2,259,608 3.6%
Mexico      
Fomento Economico Mexicano SAB de CV 32,549,470 312,217 0.5%
America Movil SAB de CV 434,326,703 287,697 0.5%
Grupo Financiero Banorte SAB de CV 34,803,555 204,962 0.3%
Grupo Televisa SAB 37,976,940 186,861 0.3%
* Cemex SAB de CV 209,551,603 181,380 0.3%
Wal-Mart de Mexico SAB de CV 83,359,054 176,368 0.3%
1 Mexico—Other †   1,334,222 2.1%
    2,683,707 4.3%
 
Pakistan †   75,000 0.1%
 
Peru †   161,261 0.3%
 
Philippines †   1,009,334 1.6%
 
Poland †   774,351 1.2%

 

18

 

Emerging Markets Stock Index Fund      
 
 
 
    Market Percentage
    Value of Net
  Shares ($000) Assets
Qatar †   223,415 0.4%
 
Russia      
Sberbank of Russia PJSC 161,438,168 375,771 0.6%
Gazprom PJSC 88,022,453 192,884 0.3%
Lukoil PJSC ADR 3,636,459 176,886 0.3%
Gazprom PJSC ADR 38,808,778 167,339 0.3%
VTB Bank PJSC 58,129,231,072 62,180 0.1%
AK Transneft OAO Preference Shares 23,793 56,979 0.1%
Rosneft PJSC GDR 10,469,019 56,932 0.1%
Rosneft PJSC 6,996,815 38,383 0.1%
RusHydro PJSC 1,579,839,418 19,830 0.0%
VTB Bank PJSC GDR 9,086,137 18,991 0.0%
Bashneft PJSC 340,785 17,868 0.0%
Inter RAO UES PJSC 266,733,670 14,310 0.0%
* Aeroflot PJSC 6,789,524 13,910 0.0%
Federal Grid Co. Unified Energy System JSC 4,093,494,717 11,048 0.0%
Bashneft PAO Preference Shares 300,228 7,009 0.0%
Rosseti PJSC 450,217,605 6,934 0.0%
Mosenergo OAO 28,759,534 777 0.0%
OGK-2 PJSC 97,144,880 561 0.0%
Russia—Other †   1,159,924 1.9%
    2,398,516 3.8%
 
Singapore †   4,882 0.0%
 
South Africa      
Naspers Ltd. 6,441,259 1,078,784 1.7%
Sasol Ltd. 8,256,486 228,003 0.4%
MTN Group Ltd. 26,228,732 226,546 0.4%
* Steinhoff International Holdings NV 37,181,472 200,582 0.3%
Standard Bank Group Ltd. 18,067,927 191,796 0.3%
South Africa—Other †   2,945,264 4.7%
    4,870,975 7.8%
Taiwan      
Taiwan Semiconductor Manufacturing Co. Ltd. 237,443,845 1,424,985 2.3%
Taiwan Semiconductor Manufacturing Co. Ltd. ADR 24,605,789 765,240 1.2%
Hon Hai Precision Industry Co. Ltd. 225,418,779 608,893 1.0%
Formosa Plastics Corp. 77,331,616 208,977 0.3%
Formosa Chemicals & Fibre Corp. 68,355,830 202,949 0.3%
Nan Ya Plastics Corp. 90,671,253 188,299 0.3%
Delta Electronics Inc. 33,733,767 177,594 0.3%
Largan Precision Co. Ltd. 1,499,135 176,861 0.3%
Taiwan—Other †   5,860,200 9.4%
    9,613,998 15.4%
 
1Thailand †   2,414,087 3.9%
 
Turkey †   812,775 1.3%
 
United Arab Emirates †   634,146 1.0%
Total Common Stocks (Cost $61,426,171)   61,977,966 99.0%2

 

19

 

Emerging Markets Stock Index Fund        
 
 
 
      Market Percentage
      Value of Net
  Coupon Shares ($000) Assets
Temporary Cash Investments        
Money Market Fund        
3,4 Vanguard Market Liquidity Fund 0.718% 12,180,663 1,218,188 2.0%
 
5U.S. Government and Agency Obligations †     66,884 0.1%
Total Temporary Cash Investments (Cost $1,284,948)     1,285,072 2.1%2
Total Investments (Cost $62,711,119)     63,263,038 101.1%
 
      Amount  
      ($000)  
Other Assets and Liabilities        
Other Assets        
Investment in Vanguard     4,643  
Receivables for Investment Securities Sold     3,836  
Receivables for Accrued Income     41,644  
Receivables for Capital Shares Issued     10,688  
Currency at Value and Receivable     63,194  
Other Assets     9,525  
Total Other Assets     133,530 0.2%
Liabilities        
Payables for Investment Securities Purchased     (38,396)  
Collateral for Securities on Loan     (698,123)  
Payables for Capital Shares Redeemed     (21,071)  
Payables to Vanguard     (50,365)  
Other Liabilities     (289)  
Total Liabilities     (808,244) (1.3%)
Net Assets     62,588,324 100.0%
 
 
At October 31, 2016, net assets consisted of:        
        Amount
        ($000)
Paid-in Capital       71,249,357
Undistributed Net Investment Income       66,975
Accumulated Net Realized Losses       (9,267,814)
Unrealized Appreciation (Depreciation)        
Investment Securities       551,919
Futures Contracts       (12,451)
Swap Contracts       (139)
Foreign Currencies       477
Net Assets       62,588,324

 

20

 

Emerging Markets Stock Index Fund  
 
 
 
  Amount
  ($000)
Investor Shares—Net Assets  
Applicable to 65,821,560 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 1,570,049
Net Asset Value Per Share—Investor Shares $23.85
 
ETF Shares—Net Assets  
Applicable to 1,184,963,795 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 44,636,253
Net Asset Value Per Share—ETF Shares $37.67
 
Admiral Shares—Net Assets  
Applicable to 292,538,247 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 9,165,539
Net Asset Value Per Share—Admiral Shares $31.33
 
Institutional Shares—Net Assets  
Applicable to 175,906,635 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 4,190,902
Net Asset Value Per Share—Institutional Shares $23.82
 
Institutional Plus Shares—Net Assets  
Applicable to 38,173,213 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 3,025,581
Net Asset Value Per Share—Institutional Plus Shares $79.26

• See Note A in Notes to Financial Statements.
* Non-income-producing security.
^ Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $619,217,000.
† Represents the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer, represent
1% or less of net assets.
1 Certain of the fund’s securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in
transactions exempt from registration, normally to qualified institutional buyers. At October 31, 2016, the aggregate value of these
securities was $486,064,000, representing 0.8% of net assets.
2 The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts and swap contracts. After giving
effect to futures and swap investments, the fund’s effective common stock and temporary cash investment positions represent 100.0% and
1.1%, respectively, of net assets.
3 Includes $698,123,000 of collateral received for securities on loan.
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 Securities with a value of $27,394,000 have been segregated as initial margin for open futures contracts.
ADR—American Depositary Receipt.
GDR—Global Depositary Receipt.
See accompanying Notes, which are an integral part of the Financial Statements.

21

 

Emerging Markets Stock Index Fund

Statement of Operations

  Year Ended
  October 31, 2016
  ($000)
Investment Income  
Income  
Dividends1 1,457,321
Interest2 2,551
Securities Lending—Net 33,951
Total Income 1,493,823
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 4,133
Management and Administrative—Investor Shares 3,242
Management and Administrative—ETF Shares 22,714
Management and Administrative—Admiral Shares 4,578
Management and Administrative—Institutional Shares 1,288
Management and Administrative—Institutional Plus Shares 446
Marketing and Distribution—Investor Shares 343
Marketing and Distribution—ETF Shares 1,917
Marketing and Distribution—Admiral Shares 896
Marketing and Distribution—Institutional Shares 114
Marketing and Distribution—Institutional Plus Shares 50
Custodian Fees 33,073
Auditing Fees 52
Shareholders’ Reports—Investor Shares 37
Shareholders’ Reports—ETF Shares 922
Shareholders’ Reports—Admiral Shares 71
Shareholders’ Reports—Institutional Shares 19
Shareholders’ Reports—Institutional Plus Shares
Trustees’ Fees and Expenses 28
Total Expenses 73,923
Net Investment Income 1,419,900
Realized Net Gain (Loss)  
Investment Securities Sold2 (3,365,309)
Futures Contracts 103,571
Swap Contracts (21)
Foreign Currencies (697)
Realized Net Gain (Loss) (3,262,456)
Change in Unrealized Appreciation (Depreciation)  
Investment Securities 7,275,501
Futures Contracts (26,611)
Swap Contracts (139)
Foreign Currencies 1,846
Change in Unrealized Appreciation (Depreciation) 7,250,597
Net Increase (Decrease) in Net Assets Resulting from Operations 5,408,041

 

1 Dividends are net of foreign withholding taxes of $168,824,000.
2 Interest income and realized net gain (loss) from an affiliated company of the fund were $2,422,000 and $31,000, respectively.
See accompanying Notes, which are an integral part of the Financial Statements.

22

 

Emerging Markets Stock Index Fund

Statement of Changes in Net Assets

  Year Ended October 31,
  2016 2015
  ($000) ($000)
Increase (Decrease) in Net Assets    
Operations    
Net Investment Income 1,419,900 1,679,389
Realized Net Gain (Loss) (3,262,456) (1,993,789)
Change in Unrealized Appreciation (Depreciation) 7,250,597 (10,361,915)
Net Increase (Decrease) in Net Assets Resulting from Operations 5,408,041 (10,676,315)
Distributions    
Net Investment Income    
Investor Shares (35,658) (45,750)
ETF Shares (979,859) (1,206,542)
Admiral Shares (210,225) (237,570)
Institutional Shares (98,859) (105,620)
Institutional Plus Shares (74,323) (77,229)
Realized Capital Gain    
Investor Shares
ETF Shares
Admiral Shares
Institutional Shares
Institutional Plus Shares
Total Distributions (1,398,924) (1,672,711)
Capital Share Transactions    
Investor Shares (111,055) (137,894)
ETF Shares 4,839,640 (1,905,825)
Admiral Shares 470,804 874,453
Institutional Shares 231,732 380,858
Institutional Plus Shares 233,053 363,624
Net Increase (Decrease) from Capital Share Transactions 5,664,174 (424,784)
Total Increase (Decrease) 9,673,291 (12,773,810)
Net Assets    
Beginning of Period 52,915,033 65,688,843
End of Period1 62,588,324 52,915,033
1 Net Assets—End of Period includes undistributed (overdistributed) net investment income of $66,975,000 and $41,604,000.

 

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

23

 

Emerging Markets Stock Index Fund

Financial Highlights

Investor Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2016 2015 2014 2013 2012
Net Asset Value, Beginning of Period $22.16 $27.02 $26.78 $26.36 $26.39
Investment Operations          
Net Investment Income . 530 .642 .672 .667 . 576
Net Realized and Unrealized Gain (Loss)          
on Investments 1.691 (4.865) .271 .548 .237
Total from Investment Operations 2.221 (4.223) .943 1.215 .813
Distributions          
Dividends from Net Investment Income (. 531) (. 637) (.703) (.795) (. 843)
Distributions from Realized Capital Gains
Total Distributions (. 531) (. 637) (.703) (.795) (. 843)
Net Asset Value, End of Period $23.85 $22.16 $27.02 $26.78 $26.36
 
Total Return1 10.21% -15.74% 3.59% 4.78% 3.30%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $1,570 $1,573 $2,063 $2,181 $2,333
Ratio of Total Expenses to Average Net Assets 0.32% 0.33% 0.33% 0.33% 0.33%
Ratio of Net Investment Income to          
Average Net Assets 2.50% 2.53% 2.56% 2.45% 2.38%
Portfolio Turnover Rate2 13% 7% 9% 26% 8%

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

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

24

 

Emerging Markets Stock Index Fund

Financial Highlights

FTSE Emerging Markets ETF Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2016 2015 2014 2013 2012
Net Asset Value, Beginning of Period $34.98 $42.66 $42.28 $41.65 $41.73
Investment Operations          
Net Investment Income .900 1.086 1.137 1.129 .984
Net Realized and Unrealized Gain (Loss)          
on Investments1 2.679 (7.685) .428 .860 .367
Total from Investment Operations 3.579 (6.599) 1.565 1.989 1.351
Distributions          
Dividends from Net Investment Income (.889) (1.081) (1.185) (1.359) (1.431)
Distributions from Realized Capital Gains
Total Distributions (.889) (1.081) (1.185) (1.359) (1.431)
Net Asset Value, End of Period $37.67 $34.98 $42.66 $42.28 $41.65
 
Total Return 10.47% -15.59% 3.77% 4.97% 3.47%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $44,636 $37,071 $48,000 $51,083 $57,125
Ratio of Total Expenses to Average Net Assets 0.14% 0.15% 0.15% 0.15% 0.18%
Ratio of Net Investment Income to          
Average Net Assets 2.68% 2.71% 2.74% 2.63% 2.53%
Portfolio Turnover Rate2 13% 7% 9% 26% 8%

 

1 Includes increases from purchase and redemption fees of $.00, $.00, $.00, $.00, and $.01. Purchase and redemption fees were eliminated
effective February 29, 2012, and May 23, 2012, respectively.
2 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares,
including ETF Creation Units.

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

25

 

Emerging Markets Stock Index Fund

Financial Highlights

Admiral Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2016 2015 2014 2013 2012
Net Asset Value, Beginning of Period $29.10 $35.49 $35.17 $34.65 $34.71
Investment Operations          
Net Investment Income .747 .903 .946 .940 .816
Net Realized and Unrealized Gain (Loss)          
on Investments1 2.222 (6.394) .361 .709 .311
Total from Investment Operations 2.969 (5.491) 1.307 1.649 1.127
Distributions          
Dividends from Net Investment Income (.739) (.899) (.987) (1.129) (1.187)
Distributions from Realized Capital Gains
Total Distributions (.739) (.899) (.987) (1.129) (1.187)
Net Asset Value, End of Period $31.33 $29.10 $35.49 $35.17 $34.65
 
Total Return2 10.41% -15.60% 3.79% 4.94% 3.49%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $9,166 $8,060 $8,870 $6,959 $6,801
Ratio of Total Expenses to Average Net Assets 0.14% 0.15% 0.15% 0.15% 0.18%
Ratio of Net Investment Income to          
Average Net Assets 2.68% 2.71% 2.74% 2.63% 2.53%
Portfolio Turnover Rate 3 13% 7% 9% 26% 8%

 

1 Includes increases from purchase and redemption fees of $.00, $.00, $.00, $.00, and $.01. Purchase and redemption fees were eliminated
effective February 29, 2012, and May 23, 2012, respectively.
2 Total returns do not include transaction or account service fees that may have applied in the periods shown. Fund prospectuses provide
information about any applicable transaction and account service fees.
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.

26

 

Emerging Markets Stock Index Fund

Financial Highlights

Institutional Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2016 2015 2014 2013 2012
Net Asset Value, Beginning of Period $22.13 $26.99 $26.74 $26.36 $26.42
Investment Operations          
Net Investment Income . 577 . 696 .726 .725 . 643
Net Realized and Unrealized Gain (Loss)          
on Investments 1.683 (4.865) .283 .532 .225
Total from Investment Operations 2.260 (4.169) 1.009 1.257 .868
Distributions          
Dividends from Net Investment Income (. 570) (. 691) (.759) (. 877) (. 928)
Distributions from Realized Capital Gains
Total Distributions (. 570) (. 691) (.759) (. 877) (. 928)
Net Asset Value, End of Period $23.82 $22.13 $26.99 $26.74 $26.36
 
Total Return1 10.42% -15.57% 3.85% 4.95% 3.54%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $4,191 $3,645 $4,002 $3,558 $2,495
Ratio of Total Expenses to Average Net Assets 0.11% 0.12% 0.12% 0.12% 0.12%
Ratio of Net Investment Income to          
Average Net Assets 2.71% 2.74% 2.77% 2.66% 2.59%
Portfolio Turnover Rate2 13% 7% 9% 26% 8%

 

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

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

27

 

Emerging Markets Stock Index Fund

Financial Highlights

Institutional Plus Shares          
 
For a Share Outstanding Year Ended October 31,
Throughout Each Period 2016 2015 2014 2013 2012
Net Asset Value, Beginning of Period $73.61 $89.77 $88.97 $87.68 $87.90
Investment Operations          
Net Investment Income 1.928 2.326 2.436 2.426 2.131
Net Realized and Unrealized Gain (Loss)          
on Investments1 5.630 (16.171) .904 1.792 .776
Total from Investment Operations 7.558 (13.845) 3.340 4.218 2.907
Distributions          
Dividends from Net Investment Income (1.908) (2.315) (2.540) (2.928) (3.127)
Distributions from Realized Capital Gains
Total Distributions (1.908) (2.315) (2.540) (2.928) (3.127)
Net Asset Value, End of Period $79.26 $73.61 $89.77 $88.97 $87.68
 
Total Return2 10.48% -15.55% 3.83% 4.99% 3.56%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $3,026 $2,566 $2,754 $2,320 $1,607
Ratio of Total Expenses to Average Net Assets 0.09% 0.10% 0.10% 0.10% 0.10%
Ratio of Net Investment Income to          
Average Net Assets 2.73% 2.76% 2.79% 2.68% 2.61%
Portfolio Turnover Rate 3 13% 7% 9% 26% 8%

 

1 Includes increases from purchase and redemption fees of $.00, $.00, $.00, $.00, and $.01. Purchase and redemption fees were eliminated
effective February 29, 2012, and May 23, 2012, respectively.
2 Total returns do not include transaction fees that may have applied in the periods shown. Fund prospectuses provide information about any
applicable transaction fees.
3 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares,
including ETF Creation Units
.

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

28

 

Emerging Markets Stock Index Fund

Notes to Financial Statements

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

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

1. Security Valuation: Securities are valued as of the close of trading on the New York Stock Exchange (generally 4 p.m., Eastern time) on the valuation date. Equity securities are valued at the latest quoted sales prices or official closing prices taken from the primary market in which each security trades; such securities not traded on the valuation date are valued at the mean of the latest quoted bid and asked prices. Securities for which market quotations are not readily available, or whose values have been affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued at their fair values calculated according to procedures adopted by the board of trustees. These procedures include obtaining quotations from an independent pricing service, monitoring news to identify significant market- or security-specific events, and evaluating changes in the values of foreign market proxies (for example, ADRs, futures contracts, or exchange-traded funds), between the time the foreign markets close and the fund’s pricing time. When fair-value pricing is employed, the prices of securities used by a fund to calculate its net asset value may differ from quoted or published prices for the same securities. Investments in Vanguard Market Liquidity Fund are valued at that fund’s net asset value. Temporary cash investments acquired over 60 days to maturity are valued using the latest bid prices or using valuations based on a matrix system (which considers such factors as security prices, yields, maturities, and ratings), both as furnished by independent pricing services. Other temporary cash investments are valued at amortized cost, which approximates market 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, enhancing returns, maintaining liquidity, and minimizing transaction costs. The fund may purchase futures contracts to immediately invest incoming cash in the market, or sell futures in response to cash outflows, thereby simulating a fully invested position in the underlying index while maintaining a cash balance for liquidity. The fund may seek to enhance

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Emerging Markets Stock Index Fund

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

Futures contracts are valued at their quoted daily settlement prices. The aggregate settlement values of the contracts are not recorded in the Statement of Net Assets. Fluctuations in the value of the contracts are recorded in the Statement of Net Assets as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized futures gains (losses).

During the year ended October 31, 2016, the fund’s average investments in long and short futures contracts represented less than 1% and 0% of net assets, respectively, based on the average of aggregate settlement values at each quarter-end during the period.

4. Swap Contracts: The fund has entered into equity swap contracts to earn the total return on selected reference stocks in the fund’s target index. Under the terms of the swaps, the fund receives the total return on the referenced stock (i.e., receiving the increase or paying the decrease in value of the selected reference stock and receiving the equivalent of any dividends in respect of the selected referenced stock) over a specified period of time, applied to a notional amount that represents the value of a designated number of shares of the selected reference stock at the beginning of the equity swap contract. The fund also receives a fixed rate spread related to the reference stock and pays a floating rate based on short-term interest rates, applied to the notional amount. To mitigate interest rate risk on the floating rate payable, the fund invests an amount approximating the notional amount of the swap in high-quality temporary cash investments.

The notional amounts of swap contracts are not recorded in the Statement of Net Assets. Swaps are valued daily based on market quotations received from independent pricing services or recognized dealers and the change in value is recorded in the Statement of Net Assets as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until termination of the swap, at which time realized gain (loss) is recorded. A risk associated with all types of swaps is the possibility that a counterparty may default on its obligation to pay net amounts due to the fund. The fund’s maximum amount subject to counterparty risk is the unrealized appreciation on the swap contract. The fund mitigates its counterparty risk by entering into swaps only with a diverse group of prequalified counterparties, monitoring their financial strength, entering into master netting arrangements with its counterparties, and requiring its counterparties to transfer collateral as security for their performance. In the absence of a default, the collateral pledged or received by the fund cannot be repledged, resold or rehypothecated. In the event of a counterparty’s default (including bankruptcy), the fund may terminate any swap contracts with that counterparty, determine the net amount owed by either party in accordance with its master netting arrangements, and sell or retain any collateral held up to the net amount owed to the fund under the master netting arrangements. The swap contracts contain provisions whereby a counterparty may terminate open contracts if the

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Emerging Markets Stock Index Fund

fund net assets decline below a certain level, triggering a payment by the fund if the fund is in a net liability position at the time of the termination. The payment amount would be reduced by any collateral the fund has pledged. Any securities pledged as collateral for open contracts are noted in the Statement of Net Assets. The value of collateral received or pledged is compared daily to the value of the swap contracts exposure with each counterparty, and any difference, if in excess of a specified minimum transfer amount, is adjusted and settled within two business days.

During the year ended October 31, 2016, the fund’s average amounts of investments in total return swaps represented less than 1% of net assets, based on the average of notional amounts at each quarter-end during the period.

5. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. Management has analyzed the fund’s tax positions taken for all open federal income tax years (October 31, 2013–2016), and has concluded that no provision for federal income tax is required in the fund’s financial statements.

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

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

8. Credit Facility: The fund and certain other funds managed by The Vanguard Group (“Vanguard”) participate in a $3.1 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement that may be renewed annually; each fund is individually liable for its borrowings, if any, under the credit facility. Borrowings may be utilized for temporary and emergency purposes, and are subject to the fund’s regulatory and contractual borrowing restrictions. The participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn amount of the facility; these fees are allocated to the funds based on a method approved by the fund’s board of trustees and included in Management and Administrative expenses on the fund’s Statement of

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Emerging Markets Stock Index Fund

Operations. Any borrowings under this facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate, federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread.

The fund had no borrowings outstanding at October 31, 2016, or at any time during the period then ended.

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

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

Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses) 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. Vanguard does not require reimbursement in the current period for certain costs of operations (such as deferred compensation/benefits and risk/insurance costs); the fund’s liability for these costs of operations is included in Payables to Vanguard on the Statement of Net Assets.

Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At October 31, 2016, the fund had contributed to Vanguard capital in the amount of $4,643,000, representing 0.01% of the fund’s net assets and 1.86% of Vanguard’s capitalization. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.

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Emerging Markets Stock Index Fund

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

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

The following table summarizes the market value of the fund’s investments as of October 31, 2016, based on the inputs used to value them:

  Level 1 Level 2 Level 3
Investments ($000) ($000) ($000)
Common Stocks—North and South America 8,979,738 733,775 6,045
Common Stocks—Other 1,106,172 50,996,919 155,317
Temporary Cash Investments 1,218,188 66,884
Futures Contracts—Assets1 3,105
Swap Contracts—Liabilities (139)
Total 11,307,203 51,797,439 161,362
1 Represents variation margin on the last day of the reporting period.

 

Securities in certain countries may transfer between Level 1 and Level 2 because of differences in stock market closure times that may result from transitions between standard and daylight saving time in those countries and the United States. Based on values on the date of transfer, securities valued at $2,409,146,000 based on Level 1 inputs were transferred from Level 2 during the fiscal year. Additionally, based on values on the date of transfer, securities valued at $704,360,000 based on Level 2 inputs were transferred from Level 1 during the fiscal year.

The fund invests in securities of foreign issuers, which may subject it to investment risks not normally associated with investing in securities of U.S. corporations. Further, at October 31, 2016, the fund had a concentration of its investments in securities issued in China, and the performance of such investments may be impacted by the country’s social, political, and economic conditions.

D. At October 31, 2016, the aggregate settlement value of open futures contracts and the related unrealized appreciation (depreciation) were:

      ($000)
      Aggregate  
    Number of Settlement Unrealized
    Long (Short) Value Appreciation
Futures Contracts Expiration Contracts Long (Short) (Depreciation)
MSCI Emerging Markets Index December 2016 13,500 609,863 (12,451)

 

Unrealized appreciation (depreciation) on open futures contracts is required to be treated as realized gain (loss) for tax purposes.

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Emerging Markets Stock Index Fund

E. At October 31, 2016, the fund had the following open total return swap contracts:

        Fixed/Floating Unrealized
      Notional Net Rate Appreciation
  Termination   Amount Received (Depreciation)
Reference Entity Date Counterparty ($000) (Paid) ($000)
Odontoprev SA 1/19/17 MSCS 6,166 9.118% (139)
MSCS—Morgan Stanley Capital Services Inc.

 

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

During the year ended October 31, 2016, the fund realized net foreign currency losses of $697,000, which decreased distributable net income for tax purposes; accordingly, such losses have been reclassified from accumulated net realized losses to undistributed net investment income.

During the year ended October 31, 2016, the fund realized $215,435,000 of net capital losses resulting from in-kind redemptions—in which shareholders exchanged fund shares for securities held by the fund rather than for cash. Because such losses are not taxable to the fund, and are not distributed to shareholders, they have been reclassified from accumulated net realized losses to paid-in capital.

Realized and unrealized gains (losses) on certain of the fund’s swap contracts are treated as ordinary income (loss) for tax purposes. Realized losses of $21,000 on swap contracts have been reclassified from accumulated net realized losses to undistributed net investment income.

For tax purposes, at October 31, 2016, the fund had $198,648,000 of ordinary income available for distribution. At October 31, 2016, the fund had available capital losses totaling $9,280,265,000 to offset future net capital gains. Of this amount, $2,105,602,000 is subject to expiration dates; $1,591,794,000 may be used to offset future net capital gains through October 31, 2017, $212,374,000 through October 31, 2018, and $301,434,000 through October 31, 2019. Capital losses of $7,174,663,000 realized beginning in fiscal 2012 may be carried forward indefinitely under the Regulated Investment Company Modernization Act of 2010, but must be used before any expiring loss carryforwards. Capital loss carryforwards of $59,681,000 expired on October 31, 2016; accordingly, such losses have been reclassified from accumulated net realized losses to paid-in capital.

At October 31, 2016, the cost of investment securities for tax purposes was $62,796,859,000. Net unrealized appreciation of investment securities for tax purposes was $466,179,000, consisting of unrealized gains of $11,500,043,000 on securities that had risen in value since their purchase and $11,033,864,000 in unrealized losses on securities that had fallen in value since their purchase.

G. During the year ended October 31, 2016, the fund purchased $13,450,074,000 of investment securities and sold $7,883,014,000 of investment securities, other than temporary cash investments. Purchases and sales include $2,990,301,000 and $1,021,634,000, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.

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Emerging Markets Stock Index Fund

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

  Year Ended October 31,
  2016 2015
  Amount Shares Amount Shares
  ($000) (000) ($000) (000)
Investor Shares        
Issued 246,846 11,404 364,606 14,768
Issued in Lieu of Cash Distributions 33,853 1,520 43,224 1,839
Redeemed (391,754) (18,106) (545,724) (21,958)
Net Increase (Decrease)—Investor Shares (111,055) (5,182) (137,894) (5,351)
ETF Shares        
Issued 6,502,086 179,818 2,723,101 66,677
Issued in Lieu of Cash Distributions
Redeemed (1,662,446) (54,600) (4,628,926) (132,000)
Net Increase (Decrease)—ETF Shares 4,839,640 125,218 (1,905,825) (65,323)
Admiral Shares        
Issued 2,310,990 81,410 2,379,828 73,134
Issued in Lieu of Cash Distributions 183,978 6,293 207,486 6,725
Redeemed (2,024,164) (72,200) (1,712,861) (52,780)
Net Increase (Decrease)—Admiral Shares 470,804 15,503 874,453 27,079
Institutional Shares        
Issued 1,295,401 60,195 1,464,969 59,422
Issued in Lieu of Cash Distributions 90,635 4,081 97,029 4,142
Redeemed (1,154,304) (53,098) (1,181,140) (47,125)
Net Increase (Decrease)—Institutional Shares 231,732 11,178 380,858 16,439
Institutional Plus Shares        
Issued 596,491 8,606 622,489 7,130
Issued in Lieu of Cash Distributions 69,387 940 69,085 885
Redeemed (432,825) (6,232) (327,950) (3,832)
Net Increase (Decrease)—Institutional Plus Shares 233,053 3,314 363,624 4,183

 

I. Management has determined that no material events or transactions occurred subsequent to October 31, 2016, that would require recognition or disclosure in these financial statements.

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Report of Independent Registered
Public Accounting Firm

To the Board of Trustees of Vanguard International Equity Index Funds and the Shareholders of Vanguard Emerging Markets Stock Index Fund: In our opinion, the accompanying statement of net assets—investments summary and the related statements of operations and of changes in net assets and the financial highlights present fairly, in all material respects, the financial position of Vanguard Emerging Markets Stock Index Fund (constituting a separate portfolio of Vanguard International Equity Index Funds, hereafter referred to as the “Fund”) at October 31, 2016, the results of its operations for the year then ended, the changes in its net assets for each of the two years in the period then ended, and the financial highlights for each of the five years in the period then ended, in conformity with accounting principles generally accepted in the United States of America. These financial statements and financial highlights (hereafter referred to as “financial statements”) are the responsibility of the Fund’s management. Our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these financial statements in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits, which included confirmation of securities at October 31, 2016 by correspondence with the custodian and brokers and by agreement to the underlying ownership records of the transfer agent, provide a reasonable basis for our opinion.

/s/PricewaterhouseCoopers LLP
Philadelphia, Pennsylvania
December 15, 2016

Special 2016 tax information (unaudited) for Vanguard Emerging Markets Stock Index Fund

This information for the fiscal year ended October 31, 2016, is included pursuant to provisions of the
Internal Revenue Code.

The fund distributed $551,616,000 of qualified dividend income to shareholders during the fiscal year.

The fund designates to shareholders foreign source income of $1,549,342,000 and foreign taxes paid
of $166,497,000. Shareholders will receive more detailed information with their Form 1099-DIV in
January 2017 to determine the calendar-year amounts to be included on their 2016 tax returns.

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Your Fund’s After-Tax Returns

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

Calculations are based on the highest individual federal income tax and capital gains tax rates in effect at the times of the distributions and the hypothetical sales. State and local taxes were not considered. After-tax returns reflect any qualified dividend income, using actual prior-year figures and estimates for 2016. (In the example, returns after the sale of fund shares may be higher than those assuming no sale. This occurs when the sale would have produced a capital loss. The calculation assumes that the investor received a tax deduction for the loss.)

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

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

Average Annual Total Returns: Emerging Markets Stock Index Fund Investor Shares  
Periods Ended October 31, 2016      
 
  One Five Ten
  Year Years Years
Returns Before Taxes 10.21% 0.81% 3.34%
Returns After Taxes on Distributions 9.31 0.08 2.80
Returns After Taxes on Distributions and Sale of Fund Shares 5.96 0.55 2.64

 

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About Your Fund’s Expenses

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

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

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

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

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

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

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

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

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

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Six Months Ended October 31, 2016      
  Beginning Ending Expenses
  Account Value Account Value Paid During
Emerging Markets Stock Index Fund 4/30/2016 10/31/2016 Period
Based on Actual Fund Return      
Investor Shares $1,000.00 $1,100.59 $1.58
FTSE Emerging Markets ETF Shares 1,000.00 1,102.16 0.69
Admiral Shares 1,000.00 1,101.79 0.74
Institutional Shares 1,000.00 1,101.78 0.58
Institutional Plus Shares 1,000.00 1,102.11 0.48
Based on Hypothetical 5% Yearly Return      
Investor Shares $1,000.00 $1,023.63 $1.53
FTSE Emerging Markets ETF Shares 1,000.00 1,024.48 0.66
Admiral Shares 1,000.00 1,024.43 0.71
Institutional Shares 1,000.00 1,024.58 0.56
Institutional Plus Shares 1,000.00 1,024.68 0.46

The calculations are based on expenses incurred in the most recent six-month period. The funds’ annualized six-month expense ratios for that
period are 0.30% for Investor Shares, 0.13% for FTSE Emerging Markets ETF Shares, 0.14% for Admiral Shares, 0.11% for Institutional
Shares, and 0.09% for Institutional Plus Shares. The dollar amounts shown as “Expenses Paid” are equal to the annualized expense ratio
multiplied by the average account value over the period, multiplied by the number of days in the most recent six-month period, then divided
by the number of days in the most recent 12-month period (184/366).

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Glossary

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

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

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

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

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

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

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

Price/Book Ratio. The share price of a stock divided by its net worth, or book value, per share. For a fund, the weighted average price/book ratio of the stocks it holds.

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

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

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

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

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

Benchmark Information

Spliced Emerging Markets Index: Select Emerging Markets Index through August 23, 2006; MSCI Emerging Markets Index through January 9, 2013; FTSE Emerging Transition Index through June 27, 2013; FTSE Emerging Index through November 1, 2015; FTSE Emerging Markets All Cap China A Transition Index through September 18, 2016; and FTSE Emerging Markets All Cap China A Inclusion Index thereafter. Benchmark returns are adjusted for withholding taxes.

41

 

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The People Who Govern Your Fund

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

A majority of Vanguard’s board members are independent, meaning that they have no affiliation with Vanguard or the funds they oversee, apart from the sizable personal investments they have made as private individuals. The independent board members have distinguished backgrounds in business, academia, and public service. Each of the trustees and executive officers oversees 198 Vanguard funds.

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

InterestedTrustee1

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

IndependentTrustees

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

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

Amy Gutmann
Born 1949. Trustee Since June 2006. Principal
Occupation(s) During the Past Five Years and
Other Experience: President of the University of
Pennsylvania; Christopher H. Browne Distinguished
Professor of Political Science, School of Arts and
Sciences, and Professor of Communication, Annenberg
School for Communication, with secondary faculty
appointments in the Department of Philosophy, School
of Arts and Sciences, and at the Graduate School of
Education, University of Pennsylvania; Trustee of the
National Constitution Center; Chair of the Presidential
Commission for the Study of Bioethical Issues.

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

 

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

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

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

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

Peter F. Volanakis
Born 1955. Trustee Since July 2009. Principal
Occupation(s) During the Past Five Years and
Other Experience: President and Chief Operating
Officer (retired 2010) of Corning Incorporated
(communications equipment); Chairman of the
Board of Trustees of Colby-Sawyer College;
Member of the Advisory Board of the Norris
Cotton Cancer Center.

Executive Officers

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

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

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

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

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

 

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

 

 

  P.O. Box 2600
  Valley Forge, PA 19482-2600
 
 
 
Connect with Vanguard® > vanguard.com
 
 
 
Fund Information > 800-662-7447  
 
Direct Investor Account Services > 800-662-2739 London Stock Exchange Group companies include FTSE
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  (”Russell”), MTS Next Limited (”MTS”), and FTSE TMX
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  and trademarks related to the FTSE or Russell indexes
with the offering of shares of any Vanguard are trademarks of the London Stock Exchange Group
fund only if preceded or accompanied by companies and are used by FTSE, MTS, FTSE TMX and
the fund’s current prospectus. Russell under licence. All information is provided for
  information purposes only. No responsibility or liability
All comparative mutual fund data are from Lipper, a can be accepted by the London Stock Exchange Group
Thomson Reuters Company, or Morningstar, Inc., unless companies nor its licensors for any errors or for any
otherwise noted. loss from use of this publication. Neither the London
You can obtain a free copy of Vanguard’s proxy voting Stock Exchange Group companies nor any of its
guidelines by visiting vanguard.com/proxyreporting or by licensors make any claim, prediction, warranty or
calling Vanguard at 800-662-2739. The guidelines are representation whatsoever, expressly or impliedly,
also available from the SEC’s website, sec.gov. In either as to the results to be obtained from the use of
addition, you may obtain a free report on how your fund the FTSE Indexes or the fitness or suitability of the
voted the proxies for securities it owned during the 12 Indexes for any particular purpose to which they might
months ended June 30. To get the report, visit either be put.
vanguard.com/proxyreporting or sec.gov. The Industry Classification Benchmark (”ICB”) is owned
You can review and copy information about your fund at by FTSE. FTSE does not accept any liability to any
the SEC’s Public Reference Room in Washington, D.C. To person for any loss or damage arising out of any error
find out more about this public service, call the SEC at or omission in the ICB.
202-551-8090. Information about your fund is also  
available on the SEC’s website, and you can receive  
copies of this information, for a fee, by sending a  
request in either of two ways: via email addressed to  
publicinfo@sec.gov or via regular mail addressed to the  
Public Reference Section, Securities and Exchange  
Commission, Washington, DC 20549-1520.  
 
  © 2016 The Vanguard Group, Inc.
  All rights reserved.
  Vanguard Marketing Corporation, Distributor.
 
  Q5330 122016

 


Item 2: Code of Ethics. The Registrant has adopted a code of ethics that applies to the Registrant’s principal executive officer, principal financial officer, principal accounting officer or controller or persons performing similar functions. The Code of Ethics was amended during the reporting period covered by this report to make certain technical, non-material changes.

Item 3: Audit Committee Financial Expert. All members of the Audit Committee have been determined by the Registrant’s Board of Trustees to be Audit Committee Financial Experts and to be independent: Rajiv L. Gupta, JoAnn Heffernan Heisen, F. Joseph Loughrey, Mark Loughridge, and Peter F. Volanakis.

Item 4: Principal Accountant Fees and Services.

(a) Audit Fees.

Audit Fees of the Registrant

Fiscal Year Ended October 31, 2016: $318,000
Fiscal Year Ended October 31, 2015: $307,000

Aggregate Audit Fees of Registered Investment Companies in the Vanguard Group.

Fiscal Year Ended October 31, 2016: $9,629,849
Fiscal Year Ended October 31, 2015: $7,000,200

Includes fees billed in connection with audits of the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc. and Vanguard Marketing Corporation.

(b) Audit-Related Fees.

Fiscal Year Ended October 31, 2016: $2,717,627
Fiscal Year Ended October 31, 2015: $2,899,096

Includes fees billed in connection with assurance and related services provided to the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc., and Vanguard Marketing Corporation.

(c) Tax Fees.

Fiscal Year Ended October 31, 2016: $254,050
Fiscal Year Ended October 31, 2015: $353,389

Includes fees billed in connection with tax compliance, planning, and advice services provided to the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc., and Vanguard Marketing Corporation.

 

(d) All Other Fees.

Fiscal Year Ended October 31, 2016: $214,225
Fiscal Year Ended October 31, 2015: $202,313

Includes fees billed for services related to tax reported information provided to the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc., and Vanguard Marketing Corporation.

(e) (1) Pre-Approval Policies. The policy of the Registrant’s Audit Committee is to consider and, if appropriate, approve before the principal accountant is engaged for such services, all specific audit and non-audit services provided to: the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc., and entities controlled by The Vanguard Group, Inc. that provide ongoing services to the Registrant. In making a determination, the Audit Committee considers whether the services are consistent with maintaining the principal accountant’s independence.

     In the event of a contingency situation in which the principal accountant is needed to provide services in between scheduled Audit Committee meetings, the Chairman of the Audit Committee would be called on to consider and, if appropriate, pre-approve audit or permitted non-audit services in an amount sufficient to complete services through the next Audit Committee meeting, and to determine if such services would be consistent with maintaining the accountant’s independence. At the next scheduled Audit Committee meeting, services and fees would be presented to the Audit Committee for formal consideration, and, if appropriate, approval by the entire Audit Committee. The Audit Committee would again consider whether such services and fees are consistent with maintaining the principal accountant’s independence.

     The Registrant’s Audit Committee is informed at least annually of all audit and non-audit services provided by the principal accountant to the Vanguard complex, whether such services are provided to: the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc., or other entities controlled by The Vanguard Group, Inc. that provide ongoing services to the Registrant.

     (2) No percentage of the principal accountant’s fees or services were approved pursuant to the waiver provision of paragraph (c)(7)(i)(C) of Rule 2-01 of Regulation S-X.

(f) For the most recent fiscal year, over 50% of the hours worked under the principal accountant’s engagement were not performed by persons other than full-time, permanent employees of the principal accountant.

(g) Aggregate Non-Audit Fees.

Fiscal Year Ended October 31, 2016: $468,275
Fiscal Year Ended October 31, 2015: $555,702

 

Includes fees billed for non-audit services provided to the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc., and Vanguard Marketing Corporation.

(h) For the most recent fiscal year, the Audit Committee has determined that the provision of all non-audit services was consistent with maintaining the principal accountant’s independence.

Item 5: Audit Committee of Listed Registrants.

The Registrant is a listed issuer as defined in rule 10A-3 under the Securities Exchange Act of 1934 (“Exchange Act”). The Registrant has a separately-designated standing audit committee established in accordance with Section 3(a)(58)(A) of the Exchange Act. The Registrant’s audit committee members are: Emerson U. Fullwood, Rajiv L. Gupta, Amy Gutmann, JoAnn Heffernan Heisen, F. Joseph Loughrey, Mark Loughridge, Scott C. Malpass, André F. Perold, and Peter F. Volanakis.

Item 6: Investments.


Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
 
Common Stocks (99.9%)1    
Austria (0.5%)    
  Erste Group Bank AG 528,601 16,576
  OMV AG 266,276 8,310
  voestalpine AG 210,643 7,462
  ANDRITZ AG 132,154 6,910
  BUWOG AG 167,955 4,060
  IMMOFINANZ AG 1,671,121 3,597
* Raiffeisen Bank International AG 217,730 3,566
  Wienerberger AG 215,433 3,443
  CA Immobilien Anlagen AG 130,235 2,363
  Conwert Immobilien Invest SE 129,439 2,296
  Oesterreichische Post AG 63,070 2,176
  Lenzing AG 16,454 2,144
  Verbund AG 120,727 2,013
  Mayr Melnhof Karton AG 13,910 1,541
  Telekom Austria AG Class A 260,973 1,499
  Schoeller-Bleckmann Oilfield Equipment AG 19,862 1,407
  Vienna Insurance Group AG Wiener Versicherung Gruppe 68,960 1,359
  UNIQA Insurance Group AG 192,102 1,237
  RHI AG 47,268 1,190
  S IMMO AG 95,903 1,029
  Strabag SE 28,809 967
  DO & CO AG 11,749 910
  Zumtobel Group AG 47,769 838
  EVN AG 57,286 670
  Palfinger AG 21,181 641
  Semperit AG Holding 17,913 486
*,^ Flughafen Wien AG 18,215 442
  Kapsch TrafficCom AG 9,843 441
      79,573
Belgium (2.2%)    
* Anheuser-Busch InBev SA/NV 1,467,974 168,480
* KBC Group NV 506,910 30,902
  UCB SA 221,988 15,022
  Solvay SA Class A 130,043 14,918
  Ageas 368,713 13,470
  Groupe Bruxelles Lambert SA 142,839 12,279
  Umicore SA 168,913 10,267
  Proximus SADP 257,804 7,379
  Colruyt SA 121,987 6,557
  Ackermans & van Haaren NV 45,759 6,351
  bpost SA 185,341 4,931
* Telenet Group Holding NV 90,230 4,831
  Cofinimmo SA 37,403 4,379
  Ontex Group NV 135,061 4,085
  Sofina SA 28,715 4,011
  Bekaert SA 63,883 2,840
  Melexis NV 39,448 2,583
  Elia System Operator SA/NV 47,402 2,453
  Warehouses De Pauw CVA 26,092 2,404
  D'ieteren SA/NV 49,684 2,190
  Befimmo SA 34,738 2,025
* Aedifica SA 23,661 1,963
  Gimv NV 36,262 1,952
  Euronav NV 241,310 1,888
  Ion Beam Applications 35,106 1,667
* Tessenderlo Chemie NV (Voting Shares) 43,947 1,467
  Econocom Group SA/NV 96,756 1,439
  Cie d'Entreprises CFE 12,571 1,386
* AGFA-Gevaert NV 325,534 1,353
* Orange Belgium SA 54,525 1,228
  Barco NV 14,649 1,152

 

1

 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* KBC Ancora 29,836 1,132
  Kinepolis Group NV 22,442 1,010
  Van de Velde NV 13,291 936
*,^ Nyrstar (Voting Shares) 167,522 860
  EVS Broadcast Equipment SA 17,867 625
  Wereldhave Belgium NV 3,820 478
      342,893
Denmark (2.8%)    
  Novo Nordisk A/S Class B 3,395,967 120,983
  Danske Bank A/S 1,373,356 42,367
  Vestas Wind Systems A/S 403,228 32,305
  Pandora A/S 203,944 26,524
  AP Moller - Maersk A/S Class B 11,564 17,738
  Carlsberg A/S Class B 195,232 17,589
  DSV A/S 340,786 16,501
* Genmab A/S 100,043 16,475
  Novozymes A/S 411,571 15,268
  ISS A/S 340,218 13,356
  Coloplast A/S Class B 185,000 12,888
  AP Moller - Maersk A/S Class A 7,718 11,281
  Chr Hansen Holding A/S 161,781 9,689
* TDC A/S 1,478,394 8,151
  Jyske Bank A/S 130,087 5,898
*,2 DONG Energy A/S 145,360 5,760
  GN Store Nord A/S 272,376 5,521
  Tryg A/S 208,110 4,058
  Sydbank A/S 128,793 4,022
  William Demant Holding A/S 207,257 3,856
* H Lundbeck A/S 110,373 3,557
  SimCorp A/S 62,348 3,443
  Royal Unibrew A/S 71,440 3,342
^ FLSmidth & Co. A/S 90,522 3,284
* Topdanmark A/S 118,907 3,200
  NKT Holding A/S 44,734 3,012
  Dfds A/S 55,570 2,685
^ Ambu A/S Class B 43,751 2,267
  Rockwool International A/S Class B 11,794 1,973
*,^ Bavarian Nordic A/S 54,464 1,845
2 Scandinavian Tobacco Group A/S 89,728 1,552
  Spar Nord Bank A/S 151,169 1,516
  ALK-Abello A/S 10,274 1,390
  Schouw & Co. AB 21,702 1,377
  Matas A/S 61,827 1,200
  Alm Brand A/S 120,582 907
*,^ Bang & Olufsen A/S 61,177 676
  Solar A/S Class B 10,978 603
*,^ D/S Norden A/S 18,961 270
      428,329
Finland (1.8%)    
  Nokia Oyj 10,513,658 46,939
  Sampo Oyj Class A 864,682 39,615
  Kone Oyj Class B 700,536 32,233
  UPM-Kymmene Oyj 982,164 22,847
  Fortum Oyj 820,724 13,681
  Wartsila OYJ Abp 287,846 12,439
  Neste Oyj 235,034 10,140
  Stora Enso Oyj 1,066,252 10,076
  Elisa Oyj 294,691 9,929
  Nokian Renkaat Oyj 249,225 8,359
  Orion Oyj Class B 186,837 7,953
  Huhtamaki Oyj 188,352 7,601
  Metso Oyj 247,072 6,478
  Kesko Oyj Class B 124,310 6,177
  Amer Sports Oyj 214,142 5,827

 

2

 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Tieto Oyj 135,372 3,714
  Valmet Oyj 247,243 3,671
  Konecranes Oyj 106,366 3,623
  Cargotec Oyj Class B 76,379 3,132
* Outokumpu Oyj 375,270 2,616
^ Metsa Board Oyj 413,767 2,377
  Sponda Oyj 453,631 2,148
  YIT Oyj 233,359 1,946
  Citycon Oyj 753,031 1,765
  Kemira Oyj 137,901 1,643
  Uponor Oyj 95,536 1,625
^ Caverion Corp. 220,729 1,588
*,^ Outotec Oyj 334,566 1,457
  Sanoma Oyj 152,449 1,426
  Cramo Oyj 45,631 1,196
  Oriola-KD Oyj 224,026 1,050
  Ramirent Oyj 119,552 881
  Raisio Oyj 202,935 848
* Finnair Oyj 120,744 535
^ F-Secure Oyj 117,927 417
*,^ Stockmann OYJ Abp Class B 51,685 386
      278,338
France (14.4%)    
  TOTAL SA 3,958,249 189,620
  Sanofi 2,053,898 159,833
  BNP Paribas SA 1,798,456 104,281
  LVMH Moet Hennessy Louis Vuitton SE 460,992 83,929
  AXA SA 3,544,985 79,983
  Danone SA 1,045,391 72,507
  Schneider Electric SE 998,287 67,135
  Vinci SA 857,828 62,124
  Airbus Group SE 1,005,962 59,734
  Orange SA 3,507,427 55,185
  Societe Generale SA 1,347,610 52,567
  Pernod Ricard SA 390,653 46,458
  Essilor International SA 372,442 41,853
  L'Oreal SA Loyalty Line 232,325 41,623
  Vivendi SA 2,024,839 40,984
  Cie de Saint-Gobain 877,069 38,945
^ Engie SA 2,644,386 38,137
  Safran SA 544,319 37,455
  Air Liquide SA 368,372 37,431
  L'Oreal SA 201,798 36,154
  Cie Generale des Etablissements Michelin 331,926 35,950
  Air Liquide SA (Prime de fidelite) 337,631 34,308
  Kering 137,164 30,433
  Legrand SA 489,327 27,646
  Renault SA 317,214 27,586
  Carrefour SA 1,043,692 27,354
  Publicis Groupe SA 377,582 25,902
* Valeo SA 435,192 25,113
  Capgemini SA 293,267 24,288
  Veolia Environnement SA 897,897 19,617
  Sodexo SA 163,120 18,942
  Dassault Systemes 232,658 18,416
  Christian Dior SE 95,027 18,328
  Thales SA 192,745 18,134
  Hermes International 43,923 17,794
  Atos SE 167,005 17,331
  Credit Agricole SA 1,530,944 16,517
  Klepierre 377,664 15,434
  SES SA Class A 657,266 15,121
  Technip SA 215,989 14,335
  Arkema SA 131,213 12,442

 

3

 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Accor SA 318,624 12,091
  Bouygues SA 357,102 11,641
  Teleperformance 104,942 11,088
  Gecina SA 73,687 10,744
  STMicroelectronics NV 1,131,607 10,740
* Peugeot SA 715,791 10,719
  Eiffage SA 132,344 9,798
  Suez 593,586 9,402
  SCOR SE 288,931 9,357
  Iliad SA 43,075 9,030
  Bureau Veritas SA 474,927 8,970
  Edenred 379,516 8,783
  Zodiac Aerospace 357,111 8,679
  Natixis SA 1,712,374 8,664
  Ingenico Group SA 99,864 7,899
  Groupe Eurotunnel SE 841,300 7,874
  Rexel SA 555,756 7,708
* Alstom SA 283,627 7,622
  Eurofins Scientific SE 16,524 7,509
  SEB SA 49,506 7,286
  Societe BIC SA 49,353 6,841
  Eutelsat Communications SA 320,666 6,720
  Orpea 77,124 6,419
  Wendel SA 55,072 6,336
  Rubis SCA 68,384 6,236
  Bollore SA 1,787,809 5,886
  Fonciere Des Regions 65,769 5,748
2 Elior Group 241,211 5,419
  Lagardere SCA 211,980 5,398
  Aeroports de Paris 53,147 5,368
  Credit Agricole SA Loyalty Line 497,173 5,364
2 Euronext NV 129,084 5,169
  Casino Guichard Perrachon SA 103,821 5,168
  CNP Assurances 297,421 5,151
  Faurecia 136,093 5,017
  Imerys SA 69,337 4,828
* Ubisoft Entertainment SA 139,400 4,743
  ICADE 65,415 4,698
  SFR Group SA 168,728 4,547
  Eurazeo SA 76,412 4,400
  Ipsen SA 62,677 4,333
  Electricite de France SA 385,788 4,325
  JCDecaux SA 136,600 4,178
  Nexity SA 78,122 3,922
  Technicolor SA 670,709 3,918
2 Amundi SA 78,120 3,831
  BioMerieux 26,195 3,816
  Remy Cointreau SA 43,869 3,557
  Plastic Omnium SA 105,995 3,456
* Nexans SA 60,683 3,449
  Altran Technologies SA 212,578 3,033
* Sartorius Stedim Biotech 44,017 2,970
  Alten SA 41,465 2,963
* Vallourec SA 536,553 2,637
  Elis SA 157,762 2,621
* DBV Technologies SA 37,873 2,611
  Euler Hermes Group 28,828 2,501
  Havas SA 302,136 2,459
  Sopra Steria Group 23,325 2,373
  Korian SA 70,736 2,167
  Metropole Television SA 121,466 2,116
  SPIE SA 109,743 2,074
*,2 Worldline SA/France 74,359 2,042
  IPSOS 62,107 2,028

 

4

 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Neopost SA 62,759 1,901
  Vicat SA 28,789 1,810
* Groupe Fnac SA 25,390 1,733
^ Television Francaise 1 186,807 1,721
  Tarkett SA 46,524 1,657
*,^ Air France-KLM 271,367 1,654
  Mercialys SA 78,218 1,620
  Electricite de France SA Loyalty Line 122,442 1,373
  Trigano SA 18,323 1,296
  Faiveley Transport SA 11,671 1,272
* Virbac SA 7,880 1,254
*,2 Europcar Groupe SA 131,159 1,219
  Gaztransport Et Technigaz SA 34,438 1,164
  Coface SA 154,361 1,000
^ CGG SA 37,505 991
*,^ Etablissements Maurel et Prom 221,852 977
*,^ Genfit 51,982 973
  Boiron SA 9,687 819
* Eramet 16,877 792
  FFP 10,444 769
^ Rallye SA 41,032 743
  Vilmorin & Cie SA 12,093 727
  Beneteau SA 59,221 685
* Fonciere de Paris SIIC 4,667 678
  Assystem 20,994 629
  Bonduelle SCA 25,794 611
^ Bourbon Corp. 45,936 599
  Guerbet 9,331 555
  Albioma SA 33,290 550
  Interparfums SA 17,165 493
  Derichebourg SA 147,311 461
  Mersen 20,538 411
  Direct Energie 10,921 407
  Jacquet Metal Service 24,187 406
  GL Events 21,932 391
*,^ Parrot SA 36,713 326
  Manitou BF SA 16,467 297
* Esso SA Francaise 5,970 240
  Haulotte Group SA 17,128 237
  Union Financiere de France BQE SA 6,570 175
* Stallergenes Greer plc 5,371 172
* Euro Disney SCA 100,136 127
      2,211,284
Germany (14.3%)    
  Siemens AG 1,398,861 158,936
  Bayer AG 1,522,417 151,161
  BASF SE 1,698,847 149,971
  SAP SE 1,644,643 144,893
  Allianz SE 837,961 130,810
  Daimler AG 1,757,817 125,407
  Deutsche Telekom AG 5,913,660 96,483
  adidas AG 368,074 60,473
  Linde AG 340,364 56,217
  Deutsche Post AG 1,747,188 54,182
  Bayerische Motoren Werke AG 597,460 52,126
  Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen 262,596 50,986
  Fresenius SE & Co. KGaA 672,375 49,680
  Volkswagen AG Preference Shares 337,451 46,526
  Henkel AG & Co. KGaA Preference Shares 319,185 41,025
  Continental AG 198,503 38,131
  Infineon Technologies AG 2,064,508 37,131
* Deutsche Bank AG 2,540,393 36,738
  Fresenius Medical Care AG & Co. KGaA 398,482 32,458
  Vonovia SE 858,879 30,280

 

5

 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* Deutsche Boerse AG 352,116 27,496
  HeidelbergCement AG 268,178 25,369
  E.ON SE 3,453,978 25,314
  Merck KGaA 237,492 24,445
  Henkel AG & Co. KGaA 214,760 23,663
  Deutsche Wohnen AG 619,696 20,247
  thyssenkrupp AG 782,210 18,150
  ProSiebenSat.1 Media SE 392,895 16,933
  Beiersdorf AG 183,736 16,198
  Symrise AG 224,084 15,389
  Porsche Automobil Holding SE Preference Shares 282,429 15,262
  Brenntag AG 284,515 15,210
* RWE AG 886,097 14,097
  Commerzbank AG 1,918,079 13,063
  GEA Group AG 327,369 12,680
  Hannover Rueck SE 111,328 12,420
  LANXESS AG 168,671 10,816
* QIAGEN NV 413,341 10,109
  Wirecard AG 211,612 10,045
  MTU Aero Engines AG 94,220 9,839
  LEG Immobilien AG 116,141 9,797
*,2 Innogy SE 238,215 9,460
  METRO AG 301,391 9,028
  Evonik Industries AG 283,802 8,888
  United Internet AG 215,710 8,869
  OSRAM Licht AG 153,746 8,732
*,2 Zalando SE 192,551 8,467
  Volkswagen AG 54,386 8,130
  Bayerische Motoren Werke AG Preference Shares 99,970 7,590
  HUGO BOSS AG 117,479 7,387
  KION Group AG 119,774 7,237
^ K&S AG 355,103 7,191
*,2 Covestro AG 116,035 6,871
  MAN SE 63,908 6,541
* KUKA AG 54,574 6,193
  Fuchs Petrolub SE Preference Shares 128,312 5,743
  STADA Arzneimittel AG 114,197 5,727
  Freenet AG 197,504 5,662
  RTL Group SA 71,643 5,615
  Deutsche Lufthansa AG 430,163 5,506
  HOCHTIEF AG 39,827 5,438
  Rheinmetall AG 77,155 5,356
* Dialog Semiconductor plc 129,769 5,103
  Sartorius AG Preference Shares 62,967 4,957
* Uniper SE 370,369 4,930
  Telefonica Deutschland Holding AG 1,261,666 4,893
  TUI AG-DI 383,129 4,875
  Aurubis AG 82,672 4,310
  Gerresheimer AG 56,979 4,298
  Axel Springer SE 82,319 4,124
  Fraport AG Frankfurt Airport Services Worldwide 68,068 4,041
  Rational AG 7,630 3,965
  Aareal Bank AG 108,282 3,917
  Suedzucker AG 144,892 3,717
  Deutsche EuroShop AG 85,575 3,699
  TAG Immobilien AG 261,535 3,487
^ Drillisch AG 75,024 3,428
  Software AG 92,613 3,366
  Fielmann AG 46,824 3,250
  Hella KGaA Hueck & Co. 82,907 3,164
* Nordex SE 116,564 3,070
  alstria office REIT-AG 234,899 3,030
  Jungheinrich AG Preference Shares 89,815 2,836
  Krones AG 27,002 2,754

 

6

 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Norma Group SE 57,711 2,655
  Wacker Chemie AG 27,478 2,451
  FUCHS PETROLUB SE 61,192 2,421
  Salzgitter AG 71,037 2,335
  Leoni AG 61,342 2,327
  GRENKE AG 13,030 2,268
  CTS Eventim AG & Co. KGaA 61,796 2,218
  Bechtle AG 20,854 2,193
  Talanx AG 69,486 2,157
^ Stroeer SE & Co. KGaA 47,101 2,155
*,^ Bilfinger SE 61,104 2,152
  TLG Immobilien AG 101,360 2,125
  Nemetschek SE 33,578 2,094
* MorphoSys AG 47,120 2,092
* Kloeckner & Co. SE 166,189 2,075
* Schaeffler AG Preference Shares 134,092 2,033
  Indus Holding AG 34,028 2,008
2 ADO Properties SA 53,584 1,959
  Duerr AG 25,918 1,933
2 Deutsche Pfandbriefbank AG 185,523 1,908
  RHOEN-KLINIKUM AG 68,316 1,902
  CompuGroup Medical SE 41,653 1,846
* PATRIZIA Immobilien AG 79,531 1,646
  DMG Mori AG 34,736 1,590
  Pfeiffer Vacuum Technology AG 17,449 1,583
* zooplus AG 11,113 1,582
  Sixt SE 24,616 1,494
  Sixt SE Preference Shares 32,206 1,438
*,2 Tele Columbus AG 180,694 1,428
*,^ SGL Carbon SE 111,926 1,397
  Takkt AG 58,275 1,382
  KWS Saat SE 3,889 1,272
  Puma SE 4,971 1,239
* Vossloh AG 20,195 1,228
  BRAAS Monier Building Group SA 41,593 1,199
  Jenoptik AG 67,991 1,168
*,^ Heidelberger Druckmaschinen AG 425,530 1,130
  Carl Zeiss Meditec AG 30,235 1,088
  XING AG 5,240 1,069
* Wincor Nixdorf AG 12,963 944
^ BayWa AG 27,549 926
  Draegerwerk AG & Co. KGaA Preference Shares 12,656 904
  Deutz AG 176,692 874
  ElringKlinger AG 56,190 870
  Bertrandt AG 8,181 870
* HeidelbergCement AG (Milan Shares) 8,655 817
  DIC Asset AG 81,773 785
* AIXTRON SE 151,756 752
* Wuestenrot & Wuerttembergische AG 37,071 738
  Deutsche Beteiligungs AG 19,285 652
*,2 Hapag-Lloyd AG 31,597 629
  Gerry Weber International AG 48,792 609
  RWE AG Preference Shares 52,183 604
  comdirect bank AG 57,063 579
  Hamburger Hafen und Logistik AG 36,413 579
  Wacker Neuson SE 40,721 563
* H&R GmbH & Co. KGaA 28,131 521
^ SMA Solar Technology AG 19,545 502
  Hornbach Baumarkt AG 15,377 485
  Biotest AG Preference Shares 33,095 461
  Draegerwerk AG & Co. KGaA 6,552 418
  CropEnergies AG 46,603 264
  Biotest AG 13,549 242
      2,210,829

 

7

 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
Ireland (0.5%)    
  Kerry Group plc Class A 268,064 19,455
* Bank of Ireland 50,715,735 10,856
  Smurfit Kappa Group plc 433,742 9,523
  Kingspan Group plc 325,165 7,963
* Ryanair Holdings plc ADR 103,091 7,741
  Glanbia plc 324,246 5,282
  C&C Group plc 602,119 2,310
  Green REIT plc 1,236,761 1,847
  Hibernia REIT plc 1,245,641 1,754
  Origin Enterprises plc 227,588 1,411
  Irish Continental Group plc 292,972 1,367
* Permanent TSB Group Holdings plc 232,610 633
*,^ Irish Bank Resolution Corp. Ltd. 2,503,596
      70,142
Isle of Man (0.0%)    
* Paysafe Group plc 895,840 4,735
 
Italy (3.7%)    
  Eni SPA 4,536,993 65,842
  Enel SPA 14,010,558 60,236
  Intesa Sanpaolo SPA (Registered) 22,121,265 51,292
  Assicurazioni Generali SPA 2,314,510 29,897
  UniCredit SPA 9,798,308 24,316
  Snam SPA 4,514,500 23,786
  Atlantia SPA 879,627 21,537
  Luxottica Group SPA 328,457 16,355
*,^ Telecom Italia SPA (Registered) 18,328,242 15,933
  CNH Industrial NV 1,692,207 13,138
  Terna Rete Elettrica Nazionale SPA 2,621,661 12,833
  Ferrari NV 243,513 12,821
  Tenaris SA 867,592 12,271
  Fiat Chrysler Automobiles NV 1,612,742 11,823
  Prysmian SPA 380,215 9,455
  EXOR SPA 207,056 8,803
* Leonardo-Finmeccanica SPA 705,713 8,593
  Telecom Italia SPA (Bearer) 11,019,539 7,822
  Mediobanca SPA 1,029,119 7,539
2 Poste Italiane SPA 843,911 5,618
  Davide Campari-Milano SPA 524,959 5,287
  Recordati SPA 186,113 5,263
  Moncler SPA 271,639 4,522
^ Banco Popolare SC 1,519,457 4,386
* Saipem SPA 10,600,424 4,359
^ Unione di Banche Italiane SPA 1,564,595 4,317
  FinecoBank Banca Fineco SPA 728,610 4,258
  Banca Popolare dell'Emilia Romagna SC 890,625 4,185
  Mediaset SPA 1,354,078 3,872
  A2A SPA 2,835,702 3,862
  UnipolSai SPA 1,940,204 3,708
  Intesa Sanpaolo SPA 1,711,525 3,706
^ Banca Popolare di Milano Scarl 7,951,652 3,644
  Brembo SPA 53,844 3,334
* Yoox Net-A-Porter Group SPA 114,594 3,296
  Banca Mediolanum SPA 461,851 3,193
  Hera SPA 1,222,410 3,125
^ Salvatore Ferragamo SPA 115,531 2,824
  Azimut Holding SPA 175,223 2,813
  Banca Popolare di Sondrio SCPA 833,020 2,781
  Unipol Gruppo Finanziario SPA 907,973 2,780
  Cerved Information Solutions SPA 345,113 2,778
  DiaSorin SPA 44,178 2,715
  Buzzi Unicem SPA 132,117 2,569
  De' Longhi SPA 105,478 2,468

 

8

 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Interpump Group SPA 151,775 2,434
  Banca Generali SPA 103,732 2,307
  Ansaldo STS SPA 187,036 2,150
2 Infrastrutture Wireless Italiane SPA 430,710 2,036
2 Anima Holding SPA 414,233 2,018
  Autogrill SPA 231,908 1,933
^ Societa Cattolica di Assicurazioni SCRL 309,806 1,873
  Industria Macchine Automatiche SPA 27,824 1,721
  Iren SPA 913,801 1,640
  Parmalat SPA 596,694 1,577
  Amplifon SPA 143,137 1,512
* Ei Towers SPA 31,209 1,470
^ Tod's SPA 25,053 1,464
*,^ Banca Monte dei Paschi di Siena SPA 4,758,225 1,274
2 OVS SPA 225,717 1,237
  Societa Iniziative Autostradali e Servizi SPA 126,470 1,184
  Beni Stabili SpA SIIQ 1,966,201 1,146
^ Saras SPA 647,439 1,125
  Banca IFIS SPA 38,655 1,120
  ACEA SPA 86,029 1,114
  MARR SPA 58,599 1,079
  Brunello Cucinelli SPA 49,856 988
  Danieli & C Officine Meccaniche SPA RSP 72,389 970
  ERG SPA 86,590 962
  Credito Valtellinese SC 2,075,530 913
  Reply SPA 7,163 900
^ Salini Impregilo SPA 292,212 814
  Datalogic SPA 37,613 789
  Buzzi Unicem SPA RSP 76,287 779
  Italmobiliare SPA 16,326 775
^ Credito Emiliano SPA 134,130 756
2 RAI Way SPA 187,560 734
* Safilo Group SPA 62,173 651
  ASTM SPA 57,886 625
  CIR-Compagnie Industriali Riunite SPA 560,182 624
^ Piaggio & C SPA 342,710 597
  Immobiliare Grande Distribuzione SIIQ SPA 702,597 541
^ Cairo Communication SPA 115,084 494
*,^ Banca Carige SPA 1,323,517 452
  Cementir Holding SPA 90,352 441
*,^ Fincantieri SPA 972,674 441
  Danieli & C Officine Meccaniche SPA 23,099 431
  Esprinet SPA 53,275 395
* Gruppo Editoriale L'Espresso SPA 386,076 321
  Geox SPA 146,782 316
  Cofide SPA 734,900 312
* Juventus Football Club SPA 936,139 301
*,^ Arnoldo Mondadori Editore SPA 285,378 282
  DeA Capital SPA 216,354 256
^ Astaldi SPA 63,339 256
*,^ Rizzoli Corriere Della Sera Mediagroup SPA 232,091 249
  Zignago Vetro SPA 39,469 239
  Falck Renewables SPA 149,610 134
* EXOR SPA Rights Exp. 11/09/2016 210,136
      561,107
Netherlands (5.0%)    
  Unilever NV 2,865,071 119,835
  ING Groep NV 7,109,259 93,324
  ASML Holding NV 590,562 62,478
* Koninklijke Ahold Delhaize NV 2,326,236 53,067
  Koninklijke Philips NV 1,678,400 50,574
  Unibail-Rodamco SE 180,991 42,961
  Heineken NV 397,683 32,757
  Akzo Nobel NV 456,486 29,494

 

9

 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  RELX NV (London Shares) 1,675,265 28,249
* ArcelorMittal 3,370,992 22,778
  Wolters Kluwer NV 537,707 20,793
  Koninklijke DSM NV 322,060 20,700
  Koninklijke KPN NV 5,736,351 18,705
  NN Group NV 595,338 17,933
  Aegon NV 3,537,628 15,304
  Heineken Holding NV 180,002 13,850
* Altice NV Class A 689,879 12,724
  Randstad Holding NV 203,094 10,446
2 ABN AMRO Group NV 393,832 9,090
  Gemalto NV 149,505 8,123
  Koninklijke Vopak NV 121,261 6,120
  Aalberts Industries NV 176,404 5,571
  Delta Lloyd NV 828,928 5,008
  Boskalis Westminster 152,096 4,905
  SBM Offshore NV 334,391 4,800
  IMCD Group NV 98,064 4,241
* Galapagos NV 68,120 4,145
* Altice NV Class B 216,935 4,039
  APERAM SA 84,712 3,853
* PostNL NV 817,785 3,851
  ASM International NV 88,636 3,781
  Eurocommercial Properties NV 81,357 3,461
  Wereldhave NV 74,221 3,322
  TKH Group NV 78,972 3,039
  Corbion NV 104,931 2,421
2 GrandVision NV 94,342 2,160
*,^ OCI NV 153,498 2,131
  BE Semiconductor Industries NV 62,349 2,031
* Fugro NV 109,975 1,967
  Koninklijke BAM Groep NV 399,564 1,859
*,^ TomTom NV 222,199 1,797
2 Flow Traders 54,947 1,696
  Arcadis NV 123,980 1,632
2 Refresco Group NV 105,454 1,540
  Vastned Retail NV 34,873 1,342
  Wessanen 94,835 1,133
  Accell Group 44,443 1,112
  NSI NV 262,454 1,030
  Brunel International NV 38,161 623
  BinckBank NV 102,001 605
      768,400
Norway (1.2%)    
^ Statoil ASA 1,765,910 28,830
  DNB ASA 1,774,060 25,647
  Telenor ASA 1,278,400 20,333
  Orkla ASA 1,438,581 13,584
  Marine Harvest ASA 684,377 12,419
  Yara International ASA 322,730 11,400
  Norsk Hydro ASA 2,452,942 10,966
  Gjensidige Forsikring ASA 316,796 5,676
*,^ Subsea 7 SA 503,378 5,635
* Storebrand ASA 830,213 4,270
  TGS Nopec Geophysical Co. ASA 184,897 3,740
  Schibsted ASA Class B 162,767 3,667
  Schibsted ASA Class A 149,769 3,590
  Salmar ASA 92,997 3,018
* Aker BP ASA 185,841 2,974
^ Tomra Systems ASA 271,272 2,945
  Bakkafrost P/F 61,080 2,561
  Leroy Seafood Group ASA 46,586 2,463
2 XXL ASA 182,186 2,280
  Veidekke ASA 131,424 1,964

 

10

 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
2 Entra ASA 167,444 1,795
  SpareBank 1 SMN 231,628 1,704
  Aker ASA 44,347 1,636
  Atea ASA 175,469 1,571
*,^ Seadrill Ltd. 656,264 1,395
* Opera Software ASA 192,956 1,360
  Kongsberg Gruppen ASA 92,809 1,325
  SpareBank 1 SR-Bank ASA 217,769 1,298
  Austevoll Seafood ASA 133,128 1,200
*,2 Aker Solutions ASA 261,333 1,199
*,^ Nordic Semiconductor ASA 279,542 1,119
*,^ Petroleum Geo-Services ASA 400,819 1,076
*,^ DNO ASA 1,183,964 1,010
  Hoegh LNG Holdings Ltd. 76,914 806
*,^ Norwegian Air Shuttle ASA 21,073 711
^ Ocean Yield ASA 75,805 633
  Norwegian Property ASA 467,128 609
*,^ REC Silicon ASA 3,803,657 475
*,^ Akastor ASA 339,876 468
  Stolt-Nielsen Ltd. 34,424 423
* Treasure ASA 153,272 340
  Wilh Wilhelmsen ASA 103,093 326
^,2 BW LPG Ltd. 100,886 325
* Prosafe SE Class A 1,303,496 44
      190,810
Other (0.0%) 3    
  Diebold Inc. 26,549 579
 
Portugal (0.3%)    
  Galp Energia SGPS SA 947,398 12,845
  EDP - Energias de Portugal SA 3,522,362 11,642
  Jeronimo Martins SGPS SA 454,920 7,817
  NOS SGPS SA 410,428 2,727
  EDP Renovaveis SA 358,345 2,707
  CTT-Correios de Portugal SA 265,100 1,754
  REN - Redes Energeticas Nacionais SGPS SA 511,483 1,495
  Sonae SGPS SA 1,765,448 1,404
^ Banco Comercial Portugues SA 1,007,576 1,342
  Navigator Co. SA 451,234 1,322
* Banco BPI SA 638,456 793
  Semapa-Sociedade de Investimento e Gestao 44,815 575
  Altri SGPS SA 135,891 473
^ Mota-Engil SGPS SA 156,825 306
  Sonaecom SGPS SA 78,110 219
* Banco Espirito Santo SA 8,371,877 17
      47,438
Spain (5.1%)    
  Banco Santander SA 26,515,106 129,925
  Banco Bilbao Vizcaya Argentaria SA 11,849,532 85,301
  Telefonica SA 7,880,006 80,066
  Iberdrola SA 10,393,273 70,731
  Industria de Diseno Textil SA 1,950,921 68,073
  Amadeus IT Group SA 761,194 35,825
* Repsol SA 2,020,045 28,205
2 Aena SA 118,812 17,410
^ Abertis Infraestructuras SA 1,157,020 17,150
* Ferrovial SA 879,685 17,090
* Red Electrica Corp. SA 798,422 16,633
  CaixaBank SA 4,777,500 14,416
  Endesa SA 582,402 12,362
  Grifols SA 612,645 12,089
  Enagas SA 418,860 12,007
* Banco de Sabadell SA 8,822,860 11,781
  Gas Natural SDG SA 565,458 11,131

 

11

 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Bankinter SA 1,278,135 9,769
* ACS Actividades de Construccion y Servicios SA 311,129 9,517
  Gamesa Corp. Tecnologica SA 410,495 9,478
  Bankia SA 8,430,010 7,406
  Grifols SA Preference Shares 475,697 6,833
  Merlin Properties Socimi SA 593,440 6,658
* Banco Popular Espanol SA 5,688,793 6,224
  Distribuidora Internacional de Alimentacion SA 1,138,809 6,083
  Mapfre SA 1,882,812 5,585
^ Bolsas y Mercados Espanoles SHMSF SA 142,458 4,305
2 Cellnex Telecom SA 257,692 4,226
  Viscofan SA 84,540 3,980
  Mediaset Espana Comunicacion SA 334,209 3,730
  Acciona SA 47,645 3,621
  Ebro Foods SA 158,723 3,423
* Acerinox SA 259,836 3,198
  Inmobiliaria Colonial SA 430,514 3,036
  Zardoya Otis SA 353,922 2,981
  Prosegur Cia de Seguridad SA 381,586 2,767
  Grupo Catalana Occidente SA 83,901 2,642
  Melia Hotels International SA 213,252 2,633
* Indra Sistemas SA 212,207 2,624
  Applus Services SA 237,303 2,277
  Tecnicas Reunidas SA 58,085 2,173
  Hispania Activos Inmobiliarios SOCIMI SA 167,214 2,054
*,^,2 Euskaltel SA 180,118 1,812
  CIE Automotive SA 87,053 1,792
  Vidrala SA 30,136 1,728
* NH Hotel Group SA 389,222 1,717
  Faes Farma SA 448,947 1,648
  Almirall SA 110,148 1,583
  Axiare Patrimonio SOCIMI SA 106,910 1,519
  Cia de Distribucion Integral Logista Holdings SA 65,314 1,448
  Corp Financiera Alba SA 31,227 1,369
  Construcciones y Auxiliar de Ferrocarriles SA 3,401 1,281
* Sacyr SA 505,788 1,153
*,^ Fomento de Construcciones y Contratas SA 128,960 1,116
^ Obrascon Huarte Lain SA 252,756 1,013
  Atresmedia Corp. de Medios de Comunicacion SA 94,565 972
*,^ Pharma Mar SA 302,813 818
* Promotora de Informaciones SA 98,830 685
*,^ Codere SA 914,906 551
  Papeles y Cartones de Europa SA 91,945 480
  Ence Energia y Celulosa SA 212,340 463
*,^ Liberbank SA 422,956 420
* Ferrovial SA Rights Exp. 11/14/2016 879,685 377
* Papeles y Cartones de Europa SA Rights 91,945 18
*,^ Deoleo SA 29,797 6
      781,387
Sweden (4.9%)    
  Nordea Bank AB 5,840,849 61,382
  Hennes & Mauritz AB Class B 1,746,176 49,107
  Swedbank AB Class A 1,938,627 45,362
  Svenska Handelsbanken AB Class A 2,691,555 36,694
  Atlas Copco AB Class A 1,141,741 33,447
  Assa Abloy AB Class B 1,730,698 31,453
  Svenska Cellulosa AB SCA Class B 1,101,050 31,185
  Volvo AB Class B 2,850,489 30,574
  Investor AB Class B 834,737 29,644
  Skandinaviska Enskilda Banken AB Class A 2,648,309 26,712
  Telefonaktiebolaget LM Ericsson Class B 5,473,399 26,551
  Sandvik AB 1,977,269 22,465
  Telia Co. AB 4,762,120 19,024
^ Atlas Copco AB Class B 721,293 18,841

 

12

 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Hexagon AB Class B 472,439 16,532
  Skanska AB Class B 663,841 14,416
  Swedish Match AB 346,761 12,067
  SKF AB 697,274 11,810
  Boliden AB 504,353 11,689
  Electrolux AB Class B 409,550 9,693
* Kinnevik AB 369,462 9,341
  Securitas AB Class B 557,074 8,598
  Alfa Laval AB 576,658 8,273
  Trelleborg AB Class B 447,804 7,816
  Industrivarden AB Class A 386,156 7,331
  Castellum AB 487,074 6,600
* Lundin Petroleum AB 328,421 5,903
^ ICA Gruppen AB 182,148 5,655
  Elekta AB Class B 643,935 5,583
  Getinge AB 339,045 5,552
  Industrivarden AB 301,018 5,369
  Husqvarna AB 696,655 5,238
^ Tele2 AB 580,651 4,795
^ Fingerprint Cards AB Class B 478,395 4,633
  BillerudKorsnas AB 281,656 4,625
  Fabege AB 245,308 4,143
* NCC AB Class B 154,048 3,915
* Fastighets AB Balder Class B 169,337 3,846
  Hexpol AB 459,392 3,775
  Loomis AB Class B 130,589 3,712
*,^ Nibe Industrier AB Class B 487,078 3,623
  AAK AB 47,463 3,134
  Hufvudstaden AB Class A 201,227 3,114
  Indutrade AB 167,249 3,111
  L E Lundbergforetagen AB Class B 47,502 3,075
  Axfood AB 193,976 3,031
*,^ Swedish Orphan Biovitrum AB 292,755 2,997
  Holmen AB 87,587 2,997
2 Thule Group AB 185,828 2,869
*,2 Dometic Group AB 400,924 2,836
  Wallenstam AB 355,675 2,740
  Saab AB Class B 76,718 2,717
  Modern Times Group MTG AB Class B 100,670 2,709
  NetEnt AB 341,406 2,690
* SSAB AB Class B 986,293 2,618
  Peab AB 296,859 2,518
  Sweco AB Class B 121,284 2,433
  JM AB 83,913 2,416
  Wihlborgs Fastigheter AB 123,933 2,402
  Lifco AB Class B 86,852 2,198
  Com Hem Holding AB 242,041 2,178
* Betsson AB 218,557 2,110
^ Investment AB Latour Class B 55,895 2,063
  Intrum Justitia AB 65,545 2,021
*,^,2 Attendo AB 237,182 2,021
  Avanza Bank Holding AB 51,992 1,965
* Bonava AB B Ord 153,336 1,895
  Bilia AB 79,054 1,885
  AF AB 100,361 1,837
  Kungsleden AB 290,762 1,833
* Oriflame Holding AG 45,095 1,657
  Hemfosa Fastigheter AB 170,689 1,605
2 Bravida Holding AB 256,680 1,578
  Pandox AB 98,423 1,562
  Ratos AB 364,661 1,499
* Cloetta AB Class B 395,709 1,402
  Atrium Ljungberg AB 85,235 1,324
*,^ SSAB AB Class A 408,100 1,294

 

13

 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Vitrolife AB 24,244 1,254
  Bure Equity AB 103,093 1,130
  Nobia AB 128,867 1,123
  Melker Schorling AB 19,196 1,110
  Haldex AB 86,082 1,109
  Klovern AB 914,147 964
  Lindab International AB 104,310 893
  Concentric AB 74,159 882
  SAS AB Preference Shares 13,832 847
  Klovern AB Preference Shares 24,390 833
* Investment AB Oresund 51,683 826
  Svenska Handelsbanken AB Class B 60,446 812
  Rezidor Hotel Group AB 184,202 752
*,^ Collector AB 50,994 630
  SKF AB Class A 37,098 630
  SkiStar AB 39,583 609
  Clas Ohlson AB 42,466 600
^ Nordnet AB 129,142 530
  Mekonomen AB 27,837 495
*,^ SAS AB 268,120 454
^ Fastighets AB Balder Preference Shares 10,918 413
^ Hemfosa Fastigheter AB Preference Shares 21,058 374
  Sagax AB Preference Shares 98,641 357
  Ratos AB Preference Shares 1,612 334
* NCC AB Class A 8,944 226
* Tele2 AB Rights 580,651 174
* Bonava AB A Ord 9,328 113
      759,782
Switzerland (13.5%)    
  Nestle SA 5,676,575 411,631
  Novartis AG 4,350,342 308,733
  Roche Holding AG 1,322,779 303,818
  UBS Group AG 6,407,232 90,583
  ABB Ltd. 3,522,923 72,679
  Zurich Insurance Group AG 274,205 71,775
  Syngenta AG 168,855 67,570
  Cie Financiere Richemont SA 940,689 60,477
  Swiss Re AG 600,883 55,769
  Credit Suisse Group AG 3,829,469 53,432
  Givaudan SA 16,977 32,835
  Geberit AG 67,919 28,714
  LafargeHolcim Ltd. 475,546 25,366
  Actelion Ltd. 166,455 24,052
  LafargeHolcim Ltd. (France Shares) 415,132 22,172
  Swisscom AG 41,775 19,096
  SGS SA 9,351 18,927
  Sika AG 3,876 18,630
  Lonza Group AG 95,404 18,003
  Adecco Group AG 291,793 17,327
  Partners Group Holding AG 33,585 17,002
^ Swatch Group AG (Bearer) 55,927 16,820
  Julius Baer Group Ltd. 401,018 16,234
  Swiss Life Holding AG 58,910 15,590
  Schindler Holding AG 74,343 13,811
  Kuehne & Nagel International AG 93,070 12,615
  Sonova Holding AG 93,825 12,583
  Chocoladefabriken Lindt & Spruengli AG Registered Shares 193 11,972
* Dufry AG 87,982 10,704
  Baloise Holding AG 85,804 10,556
  Swiss Prime Site AG 119,238 9,890
  Chocoladefabriken Lindt & Spruengli AG Participation Certificates 1,816 9,430
  Clariant AG 507,814 8,409
  Galenica AG 7,494 7,514
  Straumann Holding AG 19,612 7,358

 

14

 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Schindler Holding AG (Registered) 37,953 7,025
Temenos Group AG 106,625 6,886
Aryzta AG 155,307 6,824
EMS-Chemie Holding AG 13,363 6,708
Georg Fischer AG 7,491 6,642
PSP Swiss Property AG 72,562 6,493
Logitech International SA 263,390 6,370
Helvetia Holding AG 11,173 5,813
Roche Holding AG (Bearer) 23,663 5,500
* Flughafen Zuerich AG 27,815 5,113
Swatch Group AG (Registered) 88,440 5,098
BB Biotech AG 100,332 4,747
Barry Callebaut AG 3,548 4,418
2 Sunrise Communications Group AG 62,775 4,289
Cembra Money Bank AG 52,037 3,977
dorma&kaba Holding AG 5,635 3,916
Tecan Group AG 21,379 3,523
* CS Real Estate Fund LivingPlus 25,161 3,494
Pargesa Holding SA 51,501 3,457
DKSH Holding AG 49,551 3,434
Panalpina Welttransport Holding AG 25,631 3,325
Banque Cantonale Vaudoise 5,193 3,262
ams AG 105,729 2,961
OC Oerlikon Corp. AG 308,295 2,898
Valiant Holding AG 28,791 2,730
GAM Holding AG 280,316 2,715
Belimo Holding AG 877 2,678
Forbo Holding AG 2,083 2,655
Mobimo Holding AG 11,012 2,650
Bucher Industries AG 11,869 2,637
Allreal Holding AG 17,392 2,560
Emmi AG 3,998 2,362
Sulzer AG 23,973 2,361
Autoneum Holding AG 8,526 2,256
SFS Group AG 29,201 2,200
* Gategroup Holding AG 40,367 2,124
u-blox Holding AG 10,873 2,055
Schweiter Technologies AG 1,672 1,801
Implenia AG 26,445 1,771
Burckhardt Compression Holding AG 5,584 1,619
Huber & Suhner AG 27,567 1,605
Rieter Holding AG 8,315 1,579
St. Galler Kantonalbank AG 4,115 1,545
VZ Holding AG 4,839 1,431
Valora Holding AG 4,695 1,364
Daetwyler Holding AG 9,484 1,299
COSMO Pharmaceuticals NV 8,765 1,273
* AFG Arbonia-Forster Holding AG 84,445 1,267
Vontobel Holding AG 25,849 1,266
Intershop Holding AG 2,220 1,134
Conzzeta AG 1,637 1,131
Ascom Holding AG 64,075 1,097
Ypsomed Holding AG 5,594 1,068
Kudelski SA 58,909 1,016
LEM Holding SA 910 1,015
* Bell AG 2,365 1,012
^ Leonteq AG 16,737 965
^ BKW AG 19,771 920
Siegfried Holding AG 4,071 837
APG SGA SA 1,901 794
EFG International AG 138,136 745
Vetropack Holding AG 443 727
* Zehnder Group AG 15,956 663
* Schmolz & Bickenbach AG 912,440 598

 

15

 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
*,^ Basilea Pharmaceutica AG 8,136 548
*,^ Meyer Burger Technology AG 157,406 514
  Swissquote Group Holding SA 17,559 499
  Bachem Holding AG 5,172 461
* Alpiq Holding AG 4,393 408
  Plazza AG 1,622 386
* Orascom Development Holding AG 23,200 139
      2,084,730
United Kingdom (29.7%)    
  HSBC Holdings plc 36,461,098 274,595
  BP plc 34,572,312 204,382
  British American Tobacco plc 3,429,525 196,557
  Royal Dutch Shell plc Class B 6,892,488 177,775
  GlaxoSmithKline plc 8,945,514 176,713
  Royal Dutch Shell plc Class A (London Shares) 6,731,459 167,661
  Vodafone Group plc 48,886,159 134,258
  AstraZeneca plc 2,322,103 130,027
  Diageo plc 4,633,626 123,332
  Reckitt Benckiser Group plc 1,156,583 103,469
  Shire plc 1,656,510 93,531
  Unilever plc 2,219,261 92,653
  National Grid plc 6,943,087 90,315
  Imperial Brands plc 1,772,045 85,717
  Lloyds Banking Group plc 117,829,254 82,283
  Prudential plc 4,746,147 77,452
  Rio Tinto plc 2,226,178 77,416
  Barclays plc 31,126,113 72,114
  BT Group plc 15,400,292 70,688
* Glencore plc 21,436,358 65,619
  BHP Billiton plc 3,883,094 58,391
  Compass Group plc 3,032,089 54,864
  WPP plc 2,384,304 51,771
* Standard Chartered plc 4,933,112 42,898
  Aviva plc 7,431,922 40,272
  BAE Systems plc 5,809,601 38,493
* Tesco plc 14,916,779 38,421
  CRH plc (Dublin Shares) 1,135,535 36,864
  RELX NV 2,014,591 35,961
  SSE plc 1,848,200 35,935
  Experian plc 1,764,483 33,922
* Anglo American plc 2,401,874 33,336
  Royal Dutch Shell plc Class A 1,230,297 30,656
  Legal & General Group plc 10,901,680 27,889
  Rolls-Royce Holdings plc 3,051,897 27,091
  Centrica plc 9,960,441 26,089
  Wolseley plc 464,205 24,078
  Smith & Nephew plc 1,648,416 23,830
  Old Mutual plc 8,985,774 22,105
  London Stock Exchange Group plc 580,551 19,941
  Sky plc 1,927,551 19,270
  Associated British Foods plc 639,532 19,237
  Kingfisher plc 4,155,709 18,358
  Land Securities Group plc 1,443,904 17,631
  Sage Group plc 1,987,940 17,540
  Bunzl plc 618,730 16,611
  Carnival plc 335,878 16,200
  Paddy Power Betfair plc 150,812 15,623
  Next plc 260,442 15,323
  Randgold Resources Ltd. 171,536 15,234
  Standard Life plc 3,643,502 15,036
  Whitbread plc 336,823 14,879
  Johnson Matthey plc 355,763 14,829
  Burberry Group plc 816,600 14,728
  3i Group plc 1,783,030 14,616

 

16

 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
United Utilities Group plc 1,255,330 14,430
Ashtead Group plc 922,277 14,371
ITV plc 6,868,378 14,319
InterContinental Hotels Group plc 362,748 14,063
Pearson plc 1,514,124 14,008
* Royal Bank of Scotland Group plc 6,038,193 13,954
British Land Co. plc 1,891,209 13,540
DCC plc 162,864 13,251
Mondi plc 676,426 13,201
RSA Insurance Group plc 1,872,723 12,644
CRH plc (London Shares) 389,555 12,606
Smiths Group plc 724,231 12,550
Marks & Spencer Group plc 2,984,458 12,418
Severn Trent plc 433,572 12,342
Informa plc 1,495,777 12,306
GKN plc 3,155,117 12,304
Intertek Group plc 294,489 12,287
Persimmon plc 563,509 11,665
St. James's Place plc 958,909 11,074
Wm Morrison Supermarkets plc 3,974,784 11,003
2 Worldpay Group plc 3,116,658 10,832
Micro Focus International plc 410,120 10,739
Direct Line Insurance Group plc 2,535,937 10,729
Taylor Wimpey plc 6,017,156 10,420
International Consolidated Airlines Group SA (London Shares) 1,952,342 10,353
Croda International plc 240,752 10,296
Barratt Developments plc 1,835,820 10,180
Royal Mail plc 1,681,792 10,090
Provident Financial plc 272,293 9,816
Hammerson plc 1,445,098 9,722
J Sainsbury plc 3,112,951 9,544
Rentokil Initial plc 3,344,311 9,328
Halma plc 694,718 8,894
Capita plc 1,218,464 8,722
Admiral Group plc 369,201 8,650
DS Smith plc 1,714,460 8,360
Weir Group plc 399,720 8,303
Tate & Lyle plc 862,687 8,227
2 Auto Trader Group plc 1,794,712 8,222
Segro plc 1,528,263 8,186
Mediclinic International plc 713,636 7,913
Pennon Group plc 762,212 7,779
Coca-Cola HBC AG 357,191 7,708
G4S plc 2,852,754 7,663
Rightmove plc 166,548 7,602
Meggitt plc 1,424,294 7,577
Travis Perkins plc 463,266 7,537
2 Merlin Entertainments plc 1,307,776 7,370
Spirax-Sarco Engineering plc 135,077 7,283
Investec plc 1,167,882 7,248
Melrose Industries plc 3,460,522 7,142
RPC Group plc 612,911 7,108
Schroders plc 206,166 7,096
Inmarsat plc 826,811 7,092
Aberdeen Asset Management plc 1,812,994 7,092
* Just Eat plc 1,025,029 7,041
Dixons Carphone plc 1,819,955 6,997
Berkeley Group Holdings plc 237,948 6,863
IG Group Holdings plc 668,236 6,748
Booker Group plc 3,029,134 6,644
Hiscox Ltd. 523,521 6,537
Bellway plc 224,542 6,498
Hargreaves Lansdown plc 447,277 6,341
John Wood Group plc 672,369 6,320

 

17

 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  UBM plc 718,739 6,310
  Inchcape plc 787,035 6,258
  Fresnillo plc 308,217 6,201
  IMI plc 502,255 6,101
  BBA Aviation plc 1,922,347 6,079
  TUI AG 468,617 5,940
  ICAP plc 992,484 5,885
  William Hill plc 1,613,754 5,838
^ Intu Properties plc 1,731,798 5,837
  Shaftesbury plc 512,285 5,747
* BTG plc 701,782 5,647
  Polymetal International plc 515,514 5,621
  Babcock International Group plc 462,478 5,590
  Cobham plc 3,160,132 5,514
  Henderson Group plc 1,936,295 5,479
  Hikma Pharmaceuticals plc 255,184 5,473
  Spectris plc 218,489 5,471
  Derwent London plc 183,548 5,428
* CYBG plc 1,622,423 5,363
*,^ Tullow Oil plc 1,650,174 5,328
  Indivior plc 1,341,162 5,151
  Howden Joinery Group plc 1,124,124 5,148
  Greene King plc 567,185 5,074
* Metro Bank plc 139,958 4,734
  Capital & Counties Properties plc 1,336,064 4,711
  Petrofac Ltd. 476,053 4,688
  Great Portland Estates plc 637,294 4,624
  easyJet plc 403,065 4,622
  Hays plc 2,653,037 4,431
* GVC Holdings plc 519,828 4,429
  Close Brothers Group plc 272,600 4,424
  Daily Mail & General Trust plc 480,548 4,411
  Beazley plc 972,261 4,329
  Playtech plc 379,802 4,308
  Aggreko plc 440,375 4,306
  Antofagasta plc 642,953 4,276
  Man Group plc 2,797,146 4,264
  Balfour Beatty plc 1,253,298 4,155
  Jupiter Fund Management plc 768,300 4,051
  Phoenix Group Holdings 451,365 4,032
* Intermediate Capital Group plc 533,162 3,949
  Rotork plc 1,582,312 3,948
  Amec Foster Wheeler plc 716,253 3,908
  Centamin plc 2,009,187 3,892
  Domino's Pizza Group plc 923,059 3,838
  Regus plc 1,250,793 3,805
  Berendsen plc 318,152 3,755
  Electrocomponents plc 817,684 3,725
  B&M European Value Retail SA 1,287,054 3,695
  SSP Group plc 867,266 3,604
  WH Smith plc 200,064 3,601
  UDG Healthcare plc 444,198 3,550
  HomeServe plc 465,742 3,477
  AA plc 1,106,757 3,462
  National Express Group plc 761,610 3,421
  Tritax Big Box REIT plc 2,035,478 3,386
  WS Atkins plc 180,684 3,339
* Serco Group plc 1,987,422 3,328
  Victrex plc 150,671 3,227
  Lancashire Holdings Ltd. 370,556 3,160
  Moneysupermarket.com Group plc 976,944 3,128
  Ashmore Group plc 723,985 3,109
  Britvic plc 450,237 3,055
  QinetiQ Group plc 1,064,951 2,999

 

18

 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Essentra plc 480,129 2,993
  Greencore Group plc 737,633 2,977
* Firstgroup plc 2,201,823 2,949
  Dignity plc 90,841 2,946
  Ultra Electronics Holdings plc 128,005 2,909
  Drax Group plc 742,117 2,875
  Kier Group plc 172,892 2,875
  Dechra Pharmaceuticals plc 172,576 2,840
  UNITE Group plc 418,227 2,833
^ Ladbrokes plc 1,680,855 2,744
  AVEVA Group plc 119,722 2,696
*,^ Ocado Group plc 802,202 2,695
  Kennedy Wilson Europe Real Estate plc 215,125 2,670
* Cairn Energy plc 1,065,964 2,650
  Genus plc 111,216 2,554
  JD Sports Fashion plc 135,155 2,513
  Bodycote plc 346,480 2,511
  Elementis plc 856,657 2,498
^ TalkTalk Telecom Group plc 990,469 2,467
  Carillion plc 800,795 2,454
  Pagegroup plc 553,278 2,450
  Grafton Group plc 401,997 2,442
* SVG Capital plc 278,993 2,398
2 Spire Healthcare Group plc 527,525 2,397
  Cineworld Group plc 359,890 2,377
  Diploma plc 207,292 2,376
  Galliford Try plc 153,543 2,302
  PZ Cussons plc 557,721 2,283
* Thomas Cook Group plc 2,660,234 2,261
  Vesuvius plc 505,260 2,255
  Bovis Homes Group plc 241,055 2,232
  Synthomer plc 509,502 2,227
  Big Yellow Group plc 259,352 2,194
2 John Laing Group plc 662,270 2,191
* Evraz plc 873,875 2,191
  BGEO Group plc 60,421 2,183
  Crest Nicholson Holdings plc 438,315 2,178
  Assura plc 3,000,464 2,161
  Greggs plc 184,589 2,158
  Renishaw plc 68,194 2,150
  Fidessa Group plc 71,437 2,148
  Paragon Group of Cos. plc 529,320 2,147
  Grainger plc 767,304 2,077
  NMC Health plc 115,517 2,063
* Vectura Group plc 1,244,530 2,060
  Go-Ahead Group plc 78,428 1,989
  Savills plc 233,547 1,981
  LondonMetric Property plc 1,076,133 1,963
  Dairy Crest Group plc 255,616 1,908
  Tullett Prebon plc 436,200 1,895
  Redrow plc 406,324 1,887
  Stagecoach Group plc 779,225 1,885
  Hansteen Holdings plc 1,399,142 1,844
  Virgin Money Holdings UK plc 435,250 1,752
  Dunelm Group plc 188,439 1,745
  esure Group plc 523,812 1,741
  Acacia Mining plc 274,047 1,740
  Marston's plc 1,062,120 1,737
  Morgan Advanced Materials plc 519,706 1,731
  Restaurant Group plc 376,648 1,728
  Mitie Group plc 664,244 1,707
  Entertainment One Ltd. 600,004 1,706
  Pets at Home Group plc 648,200 1,694
  Workspace Group plc 218,714 1,682

 

19

 

Vanguard® European Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* Petra Diamonds Ltd. 899,971 1,676
  Senior plc 769,945 1,641
  J D Wetherspoon plc 153,388 1,633
  Brewin Dolphin Holdings plc 512,399 1,630
  Telecom Plus plc 112,500 1,629
  Safestore Holdings plc 371,095 1,629
*,^ Sports Direct International plc 476,495 1,611
* KAZ Minerals plc 456,317 1,594
  SuperGroup plc 95,739 1,576
  Halfords Group plc 378,259 1,573
2 Zoopla Property Group plc 420,803 1,569
  Ted Baker plc 51,507 1,559
*,2 Wizz Air Holdings plc 83,583 1,544
  Debenhams plc 2,331,536 1,531
  Mitchells & Butlers plc 437,711 1,492
2 Hastings Group Holdings plc 555,561 1,486
  SIG plc 1,059,157 1,433
  International Personal Finance plc 396,023 1,426
  Hunting plc 230,473 1,416
  Hochschild Mining plc 434,190 1,415
  F&C Commercial Property Trust Ltd. 920,041 1,413
  Card Factory plc 439,988 1,367
  KCOM Group plc 896,781 1,293
  Northgate plc 251,151 1,290
  Vedanta Resources plc 146,584 1,281
  De La Rue plc 180,255 1,262
2 Sophos Group plc 439,992 1,245
* Imagination Technologies Group plc 449,843 1,244
  Lonmin plc 518,283 1,208
  UK Commercial Property Trust Ltd. 1,247,453 1,191
  NCC Group plc 490,583 1,139
  Redefine International PLC 2,239,563 1,136
  Keller Group plc 133,896 1,115
  St. Modwen Properties plc 332,405 1,113
  Interserve plc 267,293 1,111
2 McCarthy & Stone plc 536,464 1,102
  Computacenter plc 123,800 1,100
* Ophir Energy plc 1,278,053 1,079
  Polypipe Group plc 345,803 1,066
* Enterprise Inns plc 936,945 1,057
  Fenner plc 366,510 982
* Allied Minds plc 231,742 962
  Laird plc 500,742 887
  888 Holdings plc 325,679 867
  Picton Property Income Ltd. 989,923 858
  Shanks Group plc 773,660 850
* Chemring Group plc 478,026 848
  Chesnara plc 216,191 842
2 Ibstock plc 413,116 842
  Devro plc 299,723 833
  RPS Group plc 400,556 825
  ITE Group plc 464,760 823
*,2 Countryside Properties plc 285,847 815
* Premier Oil plc 963,071 776
  Oxford Instruments plc 93,613 774
  Rank Group plc 318,512 752
* Nostrum Oil & Gas plc 169,240 728
* Phoenix Group Holdings Rights 267,253 726
  Soco International plc 427,922 722
  Lookers plc 568,234 717
  Xaar plc 135,653 697
* Premier Foods plc 1,236,920 689
* Aldermore Group plc 323,966 684
  Schroder REIT Ltd. 976,195 675

 

20

 

Vanguard® European Stock Index Fund        
Schedule of Investments        
October 31, 2016        
 
          Market
          Value
        Shares ($000)
*,^ AO World plc     333,660 644
  Foxtons Group plc     488,511 640
  Countrywide plc     290,899 638
  N Brown Group plc     264,402 617
*,2 Shawbrook Group plc     220,763 607
  Cape plc     226,767 577
  Daejan Holdings plc     8,543 569
  OneSavings Bank plc     152,472 540
  Helical plc     161,234 522
* Lamprell plc     478,670 430
2 CMC Markets plc     157,110 365
* Mothercare plc     257,194 337
*,^ Genel Energy plc     260,124 259
* Shanks Group plc Rights     290,122 112
          4,579,037
United States (0.0%)        
* Mylan NV     439 16
 
 
Total Common Stocks (Cost $21,109,126)       15,399,409
 
          Market
          Value
    Coupon   Shares ($000)
 
Temporary Cash Investments (1.6%)1        
Money Market Fund (1.5%)        
4,5 Vanguard Market Liquidity Fund 0.718%   2,302,737 230,297
 
 
        Face  
      Maturity Amount  
      Date ($000)  
U.S. Government and Agency Obligations (0.1%)        
6 Federal Home Loan Bank Discount Notes 0.339% 11/4/16 5,000 5,000
7 Freddie Mac Discount Notes 0.300% 11/8/16 1,000 1,000
8 United States Treasury Bill 0.320%-0.341% 12/8/16 4,300 4,299
9 United States Treasury Bill 0.280%-0.291% 12/22/16 2,800 2,799
9 United States Treasury Bill 0.326% 12/29/16 600 600
8 United States Treasury Bill 0.337%-0.360% 1/12/17 3,600 3,598
8 United States Treasury Bill 0.320% 1/26/17 5,000 4,996
8 United States Treasury Bill 0.406% 2/9/17 1,100 1,099
 
          23,391
 
Total Temporary Cash Investments (Cost $253,686)       253,688
 
Total Investments (101.5%) (Cost $21,362,812)       15,653,097
Other Assets and Liabilities—Net (-1.5%)5       (230,004)
 
Net Assets (100%)       15,423,093

* Non-income-producing security.
^ Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $214,827,000.
1 The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect to futures
investments, the fund's effective common stock and temporary cash investment positions represent 100.0% and 1.5%, respectively, of net
assets.
2 Security exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in transactions exempt from
registration, normally to qualified institutional buyers. At October 31, 2016, the aggregate value of these securities was $165,071,000,
representing 1.1% of net assets.
3 “Other” represents securities that are not classified by the fund’s benchmark index.
4 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day
yield.
5 Includes $229,152,000 of collateral received for securities on loan.

21

 

Vanguard® European Stock Index Fund
Schedule of Investments
October 31, 2016

6 The issuer operates under a congressional charter; its securities are generally neither guaranteed by the U.S. Treasury nor backed by the full
faith and credit of the U.S. government.
7 The issuer was placed under federal conservatorship in September 2008; since that time, its daily operations have been managed by the Federal
Housing Finance Agency and it receives capital from the U.S. Treasury, as needed to maintain a positive net worth, in exchange for senior
preferred stock.
8 Securities with a value of $8,710,000 and cash of $1,280,000 have been segregated as collateral for open forward currency contracts.
9 Securities with a value of $1,999,000 have been segregated as initial margin for open futures contracts.
ADR—American Depositary Receipt.
REIT—Real Estate Investment Trust.

22

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
 
Common Stocks (99.6%)1    
Australia (16.8%)    
Commonwealth Bank of Australia 1,615,225 89,922
Westpac Banking Corp. 3,170,785 73,325
Australia & New Zealand Banking Group Ltd. 2,773,182 58,557
National Australia Bank Ltd. 2,524,978 53,599
BHP Billiton Ltd. 3,064,581 53,541
Wesfarmers Ltd. 1,068,281 33,265
CSL Ltd. 435,916 33,263
Woolworths Ltd. 1,207,043 21,662
Macquarie Group Ltd. 293,675 17,753
Rio Tinto Ltd. 403,813 16,708
Scentre Group 4,866,177 15,574
Telstra Corp. Ltd. 4,096,864 15,494
Transurban Group 1,948,870 15,378
Woodside Petroleum Ltd. 696,189 14,903
Brambles Ltd. 1,506,181 13,187
Westfield Corp. 1,846,676 12,480
Newcrest Mining Ltd. 708,695 12,409
Amcor Ltd. 1,101,496 12,295
Suncorp Group Ltd. 1,229,085 11,155
QBE Insurance Group Ltd. 1,313,320 9,950
South32 Ltd. 5,079,710 9,913
Insurance Australia Group Ltd. 2,322,169 9,709
AMP Ltd. 2,778,425 9,635
AGL Energy Ltd. 646,659 9,420
Goodman Group 1,699,443 8,760
Stockland 2,288,252 7,685
Aristocrat Leisure Ltd. 603,329 7,024
Aurizon Holdings Ltd. 1,887,745 6,994
Vicinity Centres 3,151,534 6,873
Ramsay Health Care Ltd. 123,259 6,864
Origin Energy Ltd. 1,673,334 6,745
ASX Ltd. 182,956 6,545
APA Group 1,062,367 6,421
Fortescue Metals Group Ltd. 1,523,304 6,393
James Hardie Industries plc 425,235 6,329
Dexus Property Group 922,219 6,265
Sonic Healthcare Ltd. 393,070 6,113
GPT Group 1,707,663 6,037
Caltex Australia Ltd. 250,200 5,824
Treasury Wine Estates Ltd. 706,211 5,757
Oil Search Ltd. 1,115,899 5,594
Mirvac Group 3,523,886 5,590
LendLease Group 525,779 5,386
Cochlear Ltd. 54,214 5,268
Medibank Pvt Ltd. 2,631,003 5,154
Sydney Airport 1,044,104 4,963
Challenger Ltd. 548,542 4,478
Orica Ltd. 360,145 4,449
Tatts Group Ltd. 1,385,060 4,270
Santos Ltd. 1,577,724 4,222
DUET Group 2,326,076 4,211
Bendigo & Adelaide Bank Ltd. 440,967 3,724
Computershare Ltd. 463,232 3,711
Coca-Cola Amatil Ltd. 511,749 3,708
SEEK Ltd. 330,859 3,675
Incitec Pivot Ltd. 1,588,018 3,552
Boral Ltd. 716,774 3,425
BlueScope Steel Ltd. 544,139 3,228
Star Entertainment Grp Ltd. 782,975 2,963
Crown Resorts Ltd. 357,512 2,956
Tabcorp Holdings Ltd. 797,291 2,929

 

23

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Domino's Pizza Enterprises Ltd. 59,208 2,884
Alumina Ltd. 2,388,400 2,871
^ Bank of Queensland Ltd. 360,927 2,864
Healthscope Ltd. 1,670,540 2,802
Orora Ltd. 1,160,197 2,557
Vocus Communications Ltd. 563,680 2,444
JB Hi-Fi Ltd. 109,669 2,364
Ansell Ltd. 140,576 2,316
Qantas Airways Ltd. 979,502 2,276
ALS Ltd. 480,690 2,271
CIMIC Group Ltd. 91,120 2,045
Harvey Norman Holdings Ltd. 517,958 1,984
AusNet Services 1,700,789 1,937
REA Group Ltd. 48,912 1,897
Downer EDI Ltd. 421,170 1,862
Link Administration Holdings Ltd. 338,724 1,852
^ IOOF Holdings Ltd. 296,245 1,844
TPG Telecom Ltd. 319,758 1,833
Northern Star Resources Ltd. 560,759 1,814
DuluxGroup Ltd. 370,548 1,812
Iluka Resources Ltd. 409,173 1,794
^ Qube Holdings Ltd. 1,056,954 1,789
Investa Office Fund 554,281 1,785
Adelaide Brighton Ltd. 438,190 1,780
Evolution Mining Ltd. 973,396 1,717
Magellan Financial Group Ltd. 102,444 1,654
carsales.com Ltd. 204,145 1,652
* Mayne Pharma Group Ltd. 1,295,064 1,612
Macquarie Atlas Roads Group 438,193 1,570
nib holdings Ltd. 426,514 1,562
Independence Group NL 467,419 1,522
Charter Hall Group 416,537 1,486
Perpetual Ltd. 42,321 1,453
OZ Minerals Ltd. 278,772 1,424
* Whitehaven Coal Ltd. 607,507 1,397
Fairfax Media Ltd. 2,196,094 1,376
^ Flight Centre Travel Group Ltd. 53,452 1,373
CSR Ltd. 487,846 1,355
Primary Health Care Ltd. 463,333 1,350
BT Investment Management Ltd. 191,669 1,343
* Metcash Ltd. 867,522 1,309
* WorleyParsons Ltd. 203,706 1,302
^ Mineral Resources Ltd. 142,928 1,257
Navitas Ltd. 294,828 1,172
Shopping Centres Australasia Property Group 702,659 1,167
Nufarm Ltd. 171,248 1,150
^ Regis Resources Ltd. 452,325 1,141
GrainCorp Ltd. Class A 178,084 1,136
^ Blackmores Ltd. 12,666 1,077
BWP Trust 475,187 1,072
Sigma Pharmaceuticals Ltd. 1,052,078 1,062
^ InvoCare Ltd. 106,183 1,054
Bapcor Ltd. 268,475 1,047
IRESS Ltd. 120,238 1,035
Charter Hall Retail REIT 328,179 1,033
^ Super Retail Group Ltd. 137,442 1,022
Aveo Group 414,523 1,012
Cromwell Property Group 1,419,661 982
* St. Barbara Ltd. 478,731 977
^ Sirtex Medical Ltd. 45,039 953
Breville Group Ltd. 127,126 894
Sims Metal Management Ltd. 115,397 878
^ Platinum Asset Management Ltd. 229,545 869
^ G8 Education Ltd. 360,747 865

 

24

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Cleanaway Waste Management Ltd. 978,116 861
  Pact Group Holdings Ltd. 169,073 843
  Spotless Group Holdings Ltd. 1,102,154 836
^ ARB Corp. Ltd. 63,985 829
  Premier Investments Ltd. 76,601 824
  Beach Energy Ltd. 1,427,886 777
  SAI Global Ltd. 214,629 763
  Retail Food Group Ltd. 148,059 762
  Southern Cross Media Group Ltd. 659,401 720
^ Mantra Group Ltd. 285,844 714
  Myer Holdings Ltd. 794,184 708
  MYOB Group Ltd. 252,093 707
^,* Syrah Resources Ltd. 254,698 696
  Automotive Holdings Group Ltd. 220,725 678
  Steadfast Group Ltd. 416,018 675
^,* Aconex Ltd. 158,672 671
  Abacus Property Group 311,442 662
^ Webjet Ltd. 78,853 655
^ Altium Ltd. 109,996 655
  Ardent Leisure Group 426,864 654
* Saracen Mineral Holdings Ltd. 743,557 642
^ Eclipx Group Ltd. 215,594 631
^ Monadelphous Group Ltd. 88,616 626
  Seven Group Holdings Ltd. 89,722 618
  GUD Holdings Ltd. 83,961 606
  Technology One Ltd. 137,638 588
  GWA Group Ltd. 269,958 585
  Sandfire Resources NL 147,827 583
  Brickworks Ltd. 56,254 576
  APN Outdoor Group Ltd. 159,002 573
^ Costa Group Holdings Ltd. 258,528 559
  Resolute Mining Ltd. 470,324 556
* NEXTDC Ltd. 196,058 548
* Nanosonics Ltd. 206,023 542
  Genworth Mortgage Insurance Australia Ltd. 233,090 542
* Australian Agricultural Co. Ltd. 405,689 538
^,* Orocobre Ltd. 180,214 525
^ FlexiGroup Ltd. 304,752 520
  Tassal Group Ltd. 175,679 514
^ Gateway Lifestyle 291,077 512
  Australian Pharmaceutical Industries Ltd. 348,960 503
^,* Perseus Mining Ltd. 1,049,581 493
^ Bellamy's Australia Ltd. 55,910 483
^ Credit Corp. Group Ltd. 35,221 474
^ IPH Ltd. 105,688 470
  Seven West Media Ltd. 896,040 462
  Bega Cheese Ltd. 122,363 458
^ Greencross Ltd. 86,185 457
  McMillan Shakespeare Ltd. 55,164 453
  National Storage REIT 408,830 450
  Corporate Travel Management Ltd. 31,119 449
^,* Galaxy Resources Ltd. 1,604,440 430
^,* Western Areas Ltd. 217,908 409
  Growthpoint Properties Australia Ltd. 169,089 399
^ IDP Education Ltd. 115,828 399
^ Regis Healthcare Ltd. 131,828 394
  iSentia Group Ltd. 146,079 390
* Infigen Energy 508,622 389
  Nine Entertainment Co. Holdings Ltd. 593,316 387
^,* UGL Ltd. 157,819 385
* Pilbara Minerals Ltd. 962,055 379
  Asaleo Care Ltd. 340,609 377
  oOh!media Ltd. 114,104 371
* Beadell Resources Ltd. 1,033,535 368

 

25

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
^ Cover-More Group Ltd. 338,377 366
  Folkestone Education Trust 193,839 365
  Ingenia Communities Group 175,428 363
  360 Capital Industrial Fund 185,927 348
* Bradken Ltd. 140,925 344
^ Japara Healthcare Ltd. 240,857 344
^,* Karoon Gas Australia Ltd. 196,111 341
  SmartGroup Corp. Ltd. 74,085 336
^,* Gold Road Resources Ltd. 770,873 336
  Sims Metal Management Ltd. ADR 42,621 325
^ Estia Health Ltd. 158,766 323
^ Select Harvests Ltd. 69,220 322
  Village Roadshow Ltd. 83,042 321
* APN News & Media Ltd. 155,943 317
  Arena REIT 213,761 315
^ RCG Corp. Ltd. 282,028 312
  Cabcharge Australia Ltd. 114,012 312
  GDI Property Group 421,136 311
  Virtus Health Ltd. 56,444 299
  Newcrest Mining Ltd. ADR 16,929 292
  Collins Foods Ltd. 79,843 292
^ TFS Corp. Ltd. 269,055 286
  Programmed Maintenance Services Ltd. 257,640 281
^,* Mesoblast Ltd. 297,448 277
^ BWX Ltd. 75,447 274
  SG Fleet Group Ltd. 98,686 269
^ Tox Free Solutions Ltd. 147,025 264
^,* Blue Sky Alternative Investments Ltd. 47,352 262
  Astro Japan Property Group 48,525 249
  Hotel Property Investments 112,164 240
^ OFX Group Ltd. 184,906 218
  RCR Tomlinson Ltd. 105,718 214
^,* Ten Network Holdings Ltd. 270,457 212
^,* Highfield Resources Ltd. 244,305 211
^,* Senex Energy Ltd. 1,091,195 209
  CSG Ltd. 205,452 200
^,* Starpharma Holdings Ltd. 349,356 194
* AWE Ltd. 465,794 191
^ Thorn Group Ltd. 143,264 188
  MACA Ltd. 139,094 186
^ Ainsworth Game Technology Ltd. 137,090 186
^,* Liquefied Natural Gas Ltd. 418,482 176
  WPP AUNZ Ltd. 254,584 158
^,* Mount Gibson Iron Ltd. 623,360 155
  Reject Shop Ltd. 27,271 155
  Cedar Woods Properties Ltd. 44,952 153
* Cardno Ltd. 208,032 146
^,* Paladin Energy Ltd. 1,369,635 146
^,* Lynas Corp. Ltd. 3,376,727 143
  ERM Power Ltd. 121,428 104
^ Decmil Group Ltd. 119,124 100
^,* Slater & Gordon Ltd. 323,362 89
^,* Billabong International Ltd. 86,734 80
^ Cash Converters International Ltd. 319,273 78
* Watpac Ltd. 101,769 69
^ SMS Management & Technology Ltd. 56,015 65
* MMA Offshore Ltd. 279,707 65
  NZME Ltd. 119,012 57
^,* Arrium Ltd. 2,773,644 46
^,* Capitol Health Ltd. 465,009 44
* Kingsgate Consolidated Ltd. 130,071 20
^,* Acrux Ltd. 77,116 20
* BGP Holdings PLC 15,642,708

 

26

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
^,* DSHE Holdings Ltd. 147,770
      968,038
Hong Kong (8.8%)    
  AIA Group Ltd. 11,502,645 72,363
  CK Hutchison Holdings Ltd. 2,695,591 33,285
  Hong Kong Exchanges & Clearing Ltd. 1,162,397 30,730
  Cheung Kong Property Holdings Ltd. 2,698,091 19,946
  Sun Hung Kai Properties Ltd. 1,335,118 19,881
  Link REIT 2,148,643 15,285
  CLP Holdings Ltd. 1,465,541 14,897
  Hong Kong & China Gas Co. Ltd. 7,143,332 13,954
  Hang Seng Bank Ltd. 725,541 13,085
  BOC Hong Kong Holdings Ltd. 3,440,546 12,263
  Jardine Matheson Holdings Ltd. 196,020 11,940
  Power Assets Holdings Ltd. 1,262,816 11,852
  Sands China Ltd. 2,310,347 10,026
  Wharf Holdings Ltd. 1,153,297 8,647
  Galaxy Entertainment Group Ltd. 2,037,950 8,345
  Hongkong Land Holdings Ltd. 1,118,700 7,491
  Jardine Strategic Holdings Ltd. 212,700 7,463
  MTR Corp. Ltd. 1,337,717 7,403
  AAC Technologies Holdings Inc. 681,000 6,489
  Henderson Land Development Co. Ltd. 1,066,726 6,310
  New World Development Co. Ltd. 5,018,870 6,240
2 WH Group Ltd. 6,921,665 5,606
  Swire Pacific Ltd. Class A 485,625 5,048
  Sino Land Co. Ltd. 2,954,300 5,016
  China Mengniu Dairy Co. Ltd. 2,624,000 4,957
  Cheung Kong Infrastructure Holdings Ltd. 601,215 4,920
  Wheelock & Co. Ltd. 787,486 4,846
  Techtronic Industries Co. Ltd. 1,203,000 4,520
  Bank of East Asia Ltd. 1,118,476 4,496
  Hang Lung Properties Ltd. 1,916,317 4,214
  Samsonite International SA 1,250,973 3,933
  Want Want China Holdings Ltd. 5,612,000 3,416
  Hang Lung Group Ltd. 839,000 3,209
  Swire Properties Ltd. 1,108,965 3,185
* Semiconductor Manufacturing International Corp. 23,907,000 2,895
  Hysan Development Co. Ltd. 610,603 2,818
  Li & Fung Ltd. 5,585,259 2,746
  Yue Yuen Industrial Holdings Ltd. 703,019 2,677
  NWS Holdings Ltd. 1,347,411 2,384
  PCCW Ltd. 3,931,143 2,340
  ASM Pacific Technology Ltd. 234,528 2,260
  Wynn Macau Ltd. 1,384,040 2,120
^ Tingyi Cayman Islands Holding Corp. 1,842,600 1,986
  Hopewell Holdings Ltd. 559,124 1,958
  VTech Holdings Ltd. 153,900 1,888
  Shangri-La Asia Ltd. 1,650,096 1,812
  Kerry Properties Ltd. 561,358 1,778
  Minth Group Ltd. 482,000 1,706
  First Pacific Co. Ltd. 2,228,823 1,688
  PRADA SPA 479,900 1,681
  Xinyi Glass Holdings Ltd. 1,850,000 1,591
  Fortune REIT 1,243,000 1,506
  Sun Art Retail Group Ltd. 2,135,000 1,504
* Esprit Holdings Ltd. 1,758,400 1,450
  Vitasoy International Holdings Ltd. 694,000 1,449
  Kingston Financial Group Ltd. 3,408,000 1,415
  Champion REIT 2,363,000 1,342
  Haitong International Securities Group Ltd. 2,056,347 1,316
  Cathay Pacific Airways Ltd. 993,548 1,308
  SJM Holdings Ltd. 1,849,359 1,276
  MGM China Holdings Ltd. 735,200 1,213

 

27

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Great Eagle Holdings Ltd. 253,000 1,122
  Luk Fook Holdings International Ltd. 366,000 1,073
  Dah Sing Financial Holdings Ltd. 155,352 1,054
  Melco International Development Ltd. 799,000 1,042
  Cafe de Coral Holdings Ltd. 294,000 1,038
^ Xinyi Solar Holdings Ltd. 2,736,000 1,014
  Man Wah Holdings Ltd. 1,478,400 981
  Television Broadcasts Ltd. 260,500 943
  L'Occitane International SA 442,500 914
  Nexteer Automotive Group Ltd. 680,000 897
^ China Goldjoy Group Ltd. 9,020,000 871
  Johnson Electric Holdings Ltd. 355,625 860
  HKBN Ltd. 727,000 857
  Uni-President China Holdings Ltd. 1,265,400 855
  Value Partners Group Ltd. 890,000 849
  Shui On Land Ltd. 3,333,666 824
* Freeman FinTech Corp. Ltd. 11,966,489 816
  Guotai Junan International Holdings Ltd. 2,123,213 811
  NagaCorp Ltd. 1,310,000 808
^ Brightoil Petroleum Holdings Ltd. 2,726,000 784
^ Chow Tai Fook Jewellery Group Ltd. 1,101,600 781
  China Travel International Investment Hong Kong Ltd. 2,576,000 742
  Orient Overseas International Ltd. 196,324 734
  Kerry Logistics Network Ltd. 546,179 725
* Huabao International Holdings Ltd. 1,925,000 721
  FIH Mobile Ltd. 2,170,000 716
  Shougang Fushan Resources Group Ltd. 3,304,000 714
* Global Brands Group Holding Ltd. 6,113,259 692
  Dah Sing Banking Group Ltd. 378,456 684
  Pou Sheng International Holdings Ltd. 2,084,000 651
  IGG Inc. 887,000 647
  Sunlight REIT 1,042,000 645
  Stella International Holdings Ltd. 370,000 641
  CP Pokphand Co. Ltd. 4,996,000 637
  SITC International Holdings Co. Ltd. 1,075,000 636
  Yuexiu REIT 1,091,000 626
  Pacific Textiles Holdings Ltd. 487,000 614
  Lifestyle International Holdings Ltd. 457,000 612
^,* KuangChi Science Ltd. 1,741,000 606
  BEP International Holdings Ltd. 9,130,000 599
  Town Health International Medical Group Ltd. 3,730,000 596
  Shun Tak Holdings Ltd. 1,764,000 595
  Giordano International Ltd. 1,124,000 593
  K Wah International Holdings Ltd. 1,071,500 579
  Towngas China Co. Ltd. 979,929 551
  Hopewell Highway Infrastructure Ltd. 1,014,656 543
* China Baoli Technologies Holdings Ltd. 17,250,000 537
  SmarTone Telecommunications Holdings Ltd. 349,000 527
^,*,2 IMAX China Holding Inc. 110,300 522
  Truly International Holdings Ltd. 1,330,000 520
  SEA Holdings Ltd. 201,060 512
  Prosperity REIT 1,181,000 510
  United Co. RUSAL plc 1,437,000 510
^ China LNG Group Ltd. 16,820,000 491
* Pacific Basin Shipping Ltd. 3,286,000 491
* Vision Fame International Holding Ltd. 1,388,000 484
  SA Sa International Holdings Ltd. 1,035,860 474
  CITIC Telecom International Holdings Ltd. 1,323,000 453
* China Oceanwide Holdings Ltd. 4,297,000 437
  Yingde Gases Group Co. Ltd. 1,045,000 421
  Texwinca Holdings Ltd. 588,000 412
  Goodbaby International Holdings Ltd. 807,000 390
^,* MMG Ltd. 1,460,000 384
* Nan Hai Corp. Ltd. 11,450,000 376

 

28

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Hutchison Telecommunications Hong Kong Holdings Ltd. 1,138,000 367
* HC International Inc. 494,000 364
  Dynam Japan Holdings Co. Ltd. 253,200 364
* GCL New Energy Holdings Ltd. 6,032,000 361
  Kowloon Development Co. Ltd. 359,000 359
  Chow Sang Sang Holdings International Ltd. 202,000 357
  G-Resources Group Ltd. 20,139,000 354
  Sun Hung Kai & Co. Ltd. 558,000 351
* Convoy Global Holdings Ltd. 10,734,000 331
  Lai Sun Development Co. Ltd. 15,930,000 326
^ Regina Miracle International Holdings Ltd. 317,000 324
  Gemdale Properties & Investment Corp. Ltd. 4,906,000 323
* China Strategic Holdings Ltd. 13,490,000 320
* Sino Oil And Gas Holdings Ltd. 12,815,000 315
  China Harmony New Energy Auto Holding Ltd. 665,000 309
  Emperor Capital Group Ltd. 2,904,000 306
  NewOcean Energy Holdings Ltd. 1,184,000 305
  Chong Hing Bank Ltd. 155,000 305
  Canvest Environmental Protection Group Co. Ltd. 667,000 301
* Microport Scientific Corp. 406,000 300
* United Photovoltaics Group Ltd. 3,432,000 300
  Far East Consortium International Ltd. 728,000 298
^,* Macau Legend Development Ltd. 1,673,000 293
* Beijing Enterprises Medical & Health Group Ltd. 4,866,000 282
^,* China LotSynergy Holdings Ltd. 6,680,000 271
  Ju Teng International Holdings Ltd. 822,000 260
^,* China Ocean Industry Group Ltd. 8,825,000 259
* United Laboratories International Holdings Ltd. 464,000 256
  TCC International Holdings Ltd. 978,000 248
* China Innovative Finance Group Ltd. 2,142,000 238
^,* Summit Ascent Holdings Ltd. 778,000 237
  APT Satellite Holdings Ltd. 355,500 234
* China Medical & HealthCare Group Ltd. 4,073,039 233
* Mei Ah Entertainment Group Ltd. 3,040,000 231
  China Aerospace International Holdings Ltd. 1,792,000 230
* TOM Group Ltd. 910,000 223
* NetMind Financial Holdings Ltd. 24,144,000 217
  Liu Chong Hing Investment Ltd. 152,000 214
* China Jicheng Holdings Ltd. 6,400,782 213
  Shenwan Hongyuan HK Ltd. 380,000 209
^ Lee's Pharmaceutical Holdings Ltd. 238,000 206
  Spring REIT 487,000 205
* China Financial International Investments Ltd. 4,010,000 204
* Kong Sun Holdings Ltd. 3,825,000 192
  Technovator International Ltd. 412,000 170
* Midland Holdings Ltd. 472,000 168
  Road King Infrastructure Ltd. 189,000 160
^,* Honghua Group Ltd. 1,535,000 156
* 13 Holdings Ltd. 528,500 156
^ China Silver Group Ltd. 712,000 141
  Parkson Retail Group Ltd. 1,420,000 141
  CGN New Energy Holdings Co. Ltd. 968,000 140
* Qianhai Health Holdings Ltd. 6,522,500 138
* Peace Map Holding Ltd. 5,520,000 131
* Xinchen China Power Holdings Ltd. 748,000 130
* Yanchang Petroleum International Ltd. 4,510,000 127
* Lifestyle China Group Ltd. 436,000 122
^,* Anton Oilfield Services Group 912,000 122
  AMVIG Holdings Ltd. 352,000 119
* Good Resources Holdings Ltd. 2,258,940 116
  EVA Precision Industrial Holdings Ltd. 1,048,000 115
^,* Suncorp Technologies Ltd. 11,530,000 113
* Singamas Container Holdings Ltd. 1,048,000 109
* New Sports Group Ltd. 8,060,000 104

 

29

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* New Focus Auto Tech Holdings Ltd. 1,460,000 101
  TPV Technology Ltd. 530,000 101
  Inspur International Ltd. 498,000 99
  Varitronix International Ltd. 242,000 98
  Yip's Chemical Holdings Ltd. 240,000 98
* Sunshine Oilsands Ltd. 1,682,500 97
^ China Huarong Energy Co. Ltd. 1,437,800 96
^,* Haier Healthwise Holdings Ltd. 2,930,000 96
* Tou Rong Chang Fu Group Ltd. 4,044,000 83
* Mason Financial Holdings Ltd. 3,500,000 80
* SOCAM Development Ltd. 186,000 72
  New World Department Store China Ltd. 482,000 71
* Hong Kong Television Network Ltd. 385,000 69
* Emperor Watch & Jewellery Ltd. 1,740,000 69
^,* Trinity Ltd. 926,000 68
* Sincere Watch Hong Kong Ltd. 2,250,000 62
  Polytec Asset Holdings Ltd. 775,000 56
* Auto Italia Holdings 3,225,000 54
  Henderson Investment Ltd. 524,000 44
* Silver Base Group Holdings Ltd. 537,000 39
* China Healthcare Enterprise Group Ltd. 2,203,826 38
* Winshine Science Co. Ltd. 1,108,000 27
* GT Group Holdings Ltd. 640,000 23
* Neo-Neon Holdings Ltd. 66,000 10
      505,836
Japan (59.1%)    
  Toyota Motor Corp. 2,598,707 150,743
  Mitsubishi UFJ Financial Group Inc. 12,934,024 66,737
  KDDI Corp. 1,764,400 53,626
  SoftBank Group Corp. 818,070 51,523
  Honda Motor Co. Ltd. 1,705,527 51,032
  Japan Tobacco Inc. 1,141,059 43,383
  Sumitomo Mitsui Financial Group Inc. 1,235,334 42,831
  Mizuho Financial Group Inc. 23,793,341 40,062
  Sony Corp. 1,194,744 37,656
  FANUC Corp. 186,176 34,087
  Takeda Pharmaceutical Co. Ltd. 735,991 32,917
  Keyence Corp. 43,477 31,873
  NTT DOCOMO Inc. 1,248,800 31,362
  East Japan Railway Co. 355,285 31,275
  Seven & i Holdings Co. Ltd. 741,954 30,969
  Astellas Pharma Inc. 2,022,870 30,023
  Shin-Etsu Chemical Co. Ltd. 392,755 29,779
  Central Japan Railway Co. 172,300 29,299
  Canon Inc. 998,817 28,694
  Mitsubishi Corp. 1,310,134 28,515
  Tokio Marine Holdings Inc. 669,390 26,403
  Mitsubishi Electric Corp. 1,878,654 25,417
  Murata Manufacturing Co. Ltd. 180,179 25,160
  Nintendo Co. Ltd. 102,898 24,805
  Kao Corp. 476,877 24,538
  Daikin Industries Ltd. 253,212 24,265
  Hitachi Ltd. 4,411,258 23,516
  Bridgestone Corp. 610,950 22,803
  Fuji Heavy Industries Ltd. 583,412 22,798
  Mitsui & Co. Ltd. 1,622,700 22,483
  Mitsubishi Estate Co. Ltd. 1,123,982 22,339
  Nidec Corp. 230,728 22,325
  Panasonic Corp. 2,025,590 20,896
  Denso Corp. 478,686 20,830
  Mitsui Fudosan Co. Ltd. 904,580 20,601
  Komatsu Ltd. 899,109 20,013
  ORIX Corp. 1,248,310 19,781
  Nissan Motor Co. Ltd. 1,917,052 19,501

 

30

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Otsuka Holdings Co. Ltd. 402,279 17,606
ITOCHU Corp. 1,374,597 17,359
Kubota Corp. 1,069,428 17,237
Daiwa House Industry Co. Ltd. 613,905 16,850
Nomura Holdings Inc. 3,243,894 16,248
Eisai Co. Ltd. 253,668 16,166
SMC Corp. 55,700 16,146
Fast Retailing Co. Ltd. 47,320 15,942
Dai-ichi Life Holdings Inc. 1,079,900 15,832
Hoya Corp. 376,502 15,709
Daiichi Sankyo Co. Ltd. 630,691 15,155
Nippon Steel & Sumitomo Metal Corp. 747,430 14,809
FUJIFILM Holdings Corp. 382,895 14,478
Kyocera Corp. 296,450 14,404
MS&AD Insurance Group Holdings Inc. 485,101 14,401
Suzuki Motor Corp. 392,368 13,990
Shionogi & Co. Ltd. 282,251 13,900
Kirin Holdings Co. Ltd. 802,316 13,793
Toray Industries Inc. 1,437,857 13,382
Secom Co. Ltd. 185,103 13,353
Tokyo Electron Ltd. 147,513 13,306
* Toshiba Corp. 3,627,424 13,134
Mitsubishi Heavy Industries Ltd. 3,062,743 13,102
MEIJI Holdings Co. Ltd. 130,030 12,969
Asahi Group Holdings Ltd. 361,721 12,903
Shimano Inc. 74,998 12,823
Recruit Holdings Co. Ltd. 309,135 12,418
Sumitomo Corp. 1,076,538 12,377
Sumitomo Mitsui Trust Holdings Inc. 359,681 12,137
Daito Trust Construction Co. Ltd. 69,258 11,606
Terumo Corp. 299,900 11,598
Sompo Holdings Inc. 352,226 11,397
Ono Pharmaceutical Co. Ltd. 436,465 11,066
Olympus Corp. 304,994 10,872
Sumitomo Realty & Development Co. Ltd. 412,539 10,844
West Japan Railway Co. 175,037 10,778
Oriental Land Co. Ltd. 184,377 10,770
Ajinomoto Co. Inc. 481,606 10,710
Asahi Kasei Corp. 1,180,836 10,645
Sumitomo Electric Industries Ltd. 717,321 10,597
Dentsu Inc. 212,002 10,568
Nitto Denko Corp. 147,766 10,295
Nippon Telegraph & Telephone Corp. 231,375 10,258
Fujitsu Ltd. 1,706,981 10,124
Chubu Electric Power Co. Inc. 678,872 9,994
Shiseido Co. Ltd. 372,853 9,617
Daiwa Securities Group Inc. 1,609,984 9,612
Sysmex Corp. 135,284 9,375
Rakuten Inc. 802,500 9,252
Resona Holdings Inc. 2,077,543 9,209
Aeon Co. Ltd. 664,295 9,180
JX Holdings Inc. 2,316,923 9,155
Sekisui House Ltd. 551,335 9,110
Tokyo Gas Co. Ltd. 1,984,959 9,007
Mazda Motor Corp. 539,691 8,950
Unicharm Corp. 374,823 8,913
Nitori Holdings Co. Ltd. 70,482 8,419
Mitsubishi Chemical Holdings Corp. 1,259,379 8,269
Inpex Corp. 879,600 8,206
Aisin Seiki Co. Ltd. 184,589 8,109
Makita Corp. 116,227 8,036
Hankyu Hanshin Holdings Inc. 239,200 7,919
TDK Corp. 114,187 7,884
Osaka Gas Co. Ltd. 1,888,548 7,855

 

31

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Marubeni Corp. 1,488,556 7,822
Japan Exchange Group Inc. 522,300 7,755
Yamato Holdings Co. Ltd. 338,261 7,707
Taisei Corp. 1,016,863 7,621
Omron Corp. 186,810 7,170
Toyota Industries Corp. 156,120 7,163
Tokyu Corp. 952,409 7,130
Chugai Pharmaceutical Co. Ltd. 208,757 7,114
T&D Holdings Inc. 585,661 7,082
JFE Holdings Inc. 492,407 7,057
Kintetsu Group Holdings Co. Ltd. 1,724,927 6,963
Sumitomo Chemical Co. Ltd. 1,455,276 6,883
* Kansai Electric Power Co. Inc. 700,014 6,692
NEC Corp. 2,478,284 6,627
Isuzu Motors Ltd. 517,598 6,402
Asahi Glass Co. Ltd. 912,115 6,379
NTT Data Corp. 120,200 6,203
Obayashi Corp. 643,775 6,202
Odakyu Electric Railway Co. Ltd. 291,581 5,949
Yamaha Motor Co. Ltd. 266,047 5,910
Kajima Corp. 871,362 5,876
Sumitomo Metal Mining Co. Ltd. 452,149 5,876
Nippon Paint Holdings Co. Ltd. 172,800 5,876
Dai Nippon Printing Co. Ltd. 574,513 5,763
* Tokyo Electric Power Co. Holdings Inc. 1,483,884 5,749
Yamaha Corp. 160,739 5,743
LIXIL Group Corp. 248,518 5,708
Koito Manufacturing Co. Ltd. 107,555 5,647
Sekisui Chemical Co. Ltd. 356,645 5,617
Tohoku Electric Power Co. Inc. 454,542 5,569
Bandai Namco Holdings Inc. 185,854 5,567
Santen Pharmaceutical Co. Ltd. 380,400 5,547
Japan Post Holdings Co. Ltd. 430,713 5,483
Concordia Financial Group Ltd. 1,166,179 5,407
Seiko Epson Corp. 264,400 5,359
TOTO Ltd. 134,039 5,355
M3 Inc. 174,300 5,304
Ricoh Co. Ltd. 649,882 5,297
Suntory Beverage & Food Ltd. 119,300 5,216
Kikkoman Corp. 163,922 5,215
Kuraray Co. Ltd. 335,213 5,082
Nikon Corp. 334,430 5,054
Toyota Tsusho Corp. 212,048 5,006
FamilyMart UNY Holdings Co. Ltd. 77,713 4,874
Shimizu Corp. 541,293 4,811
NSK Ltd. 432,336 4,806
Yahoo Japan Corp. 1,246,500 4,782
Keikyu Corp. 473,531 4,777
^ Lawson Inc. 62,595 4,756
Ryohin Keikaku Co. Ltd. 22,200 4,742
MISUMI Group Inc. 258,500 4,715
Tobu Railway Co. Ltd. 959,206 4,709
Japan Post Bank Co. Ltd. 396,911 4,678
Nagoya Railroad Co. Ltd. 876,000 4,623
NGK Insulators Ltd. 249,541 4,580
Toppan Printing Co. Ltd. 482,872 4,541
Nissan Chemical Industries Ltd. 133,900 4,540
Yakult Honsha Co. Ltd. 97,115 4,528
Rohm Co. Ltd. 86,133 4,528
Keio Corp. 546,808 4,526
* Kyushu Railway Co. 152,019 4,479
Hoshizaki Corp. 48,700 4,395
Mitsui Chemicals Inc. 882,190 4,345
Shizuoka Bank Ltd. 512,859 4,328

 

32

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
NH Foods Ltd. 179,466 4,301
Alps Electric Co. Ltd. 178,200 4,275
Don Quijote Holdings Co. Ltd. 112,000 4,257
Taisho Pharmaceutical Holdings Co. Ltd. 43,423 4,236
Brother Industries Ltd. 224,759 4,124
Mitsubishi Tanabe Pharma Corp. 211,636 4,119
Suruga Bank Ltd. 166,696 4,070
Nissin Foods Holdings Co. Ltd. 69,947 4,048
Yaskawa Electric Corp. 253,355 4,042
Tosoh Corp. 618,000 4,036
Kawasaki Heavy Industries Ltd. 1,370,357 4,003
Chiba Bank Ltd. 645,129 3,990
Kyushu Electric Power Co. Inc. 438,944 3,989
Electric Power Development Co. Ltd. 170,879 3,979
Hirose Electric Co. Ltd. 30,118 3,974
Kansai Paint Co. Ltd. 183,790 3,950
Daicel Corp. 299,773 3,942
Amada Holdings Co. Ltd. 345,493 3,936
Konica Minolta Inc. 437,953 3,923
Stanley Electric Co. Ltd. 142,441 3,922
Hamamatsu Photonics KK 129,144 3,908
Tsuruha Holdings Inc. 33,500 3,865
Toho Gas Co. Ltd. 415,518 3,853
Trend Micro Inc. 109,258 3,847
Seibu Holdings Inc. 220,517 3,815
NGK Spark Plug Co. Ltd. 189,381 3,758
Hisamitsu Pharmaceutical Co. Inc. 70,340 3,752
* IHI Corp. 1,423,720 3,745
Kyowa Hakko Kirin Co. Ltd. 244,886 3,737
Lion Corp. 228,000 3,729
Aozora Bank Ltd. 1,117,676 3,693
Shimadzu Corp. 252,596 3,675
Alfresa Holdings Corp. 173,832 3,674
Nisshin Seifun Group Inc. 247,924 3,652
Asics Corp. 171,132 3,652
Oji Holdings Corp. 851,521 3,600
Nippon Express Co. Ltd. 727,925 3,596
Konami Holdings Corp. 90,549 3,576
JGC Corp. 202,021 3,571
Toyo Suisan Kaisha Ltd. 87,996 3,565
USS Co. Ltd. 206,760 3,497
Isetan Mitsukoshi Holdings Ltd. 345,080 3,488
Yamada Denki Co. Ltd. 670,940 3,468
Chugoku Electric Power Co. Inc. 292,813 3,426
Mitsubishi Materials Corp. 117,350 3,362
Nabtesco Corp. 112,465 3,359
Rinnai Corp. 34,907 3,353
Taiheiyo Cement Corp. 1,170,000 3,351
Toho Co. Ltd. 111,433 3,343
Obic Co. Ltd. 64,000 3,325
Nomura Research Institute Ltd. 94,732 3,286
DeNA Co. Ltd. 102,051 3,283
J Front Retailing Co. Ltd. 238,290 3,280
Yokogawa Electric Corp. 232,796 3,270
Teijin Ltd. 168,735 3,260
Hulic Co. Ltd. 341,400 3,251
Mitsubishi Motors Corp. 584,721 3,246
Mebuki Financial Group Inc. 910,925 3,242
JTEKT Corp. 218,366 3,232
Keisei Electric Railway Co. Ltd. 131,702 3,175
Minebea Co. Ltd. 310,200 3,165
Keihan Holdings Co. Ltd. 468,000 3,160
Nippon Yusen KK 1,527,083 3,125
Fukuoka Financial Group Inc. 712,041 3,081

 

33

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  ANA Holdings Inc. 1,094,143 3,073
  Disco Corp. 25,400 3,070
  Park24 Co. Ltd. 99,000 3,059
  Sojitz Corp. 1,163,818 3,054
  Kobayashi Pharmaceutical Co. Ltd. 58,300 3,047
  Kewpie Corp. 106,100 3,013
  Start Today Co. Ltd. 171,600 3,007
  Sohgo Security Services Co. Ltd. 65,800 2,997
^ Casio Computer Co. Ltd. 214,872 2,993
  Marui Group Co. Ltd. 212,342 2,979
  Iida Group Holdings Co. Ltd. 153,000 2,957
  Sumitomo Rubber Industries Ltd. 173,890 2,917
  Mabuchi Motor Co. Ltd. 50,102 2,912
  Pigeon Corp. 103,400 2,909
  Toyo Seikan Group Holdings Ltd. 155,473 2,868
  Hino Motors Ltd. 262,809 2,865
  Sega Sammy Holdings Inc. 192,291 2,839
  Sumitomo Heavy Industries Ltd. 537,153 2,828
  Tokyu Fudosan Holdings Corp. 497,855 2,806
  Ezaki Glico Co. Ltd. 49,200 2,797
  Fuji Electric Co. Ltd. 558,783 2,790
  Mitsubishi Gas Chemical Co. Inc. 179,460 2,762
  Hakuhodo DY Holdings Inc. 228,550 2,747
  TonenGeneral Sekiyu KK 278,713 2,744
  JSR Corp. 180,143 2,738
  CyberAgent Inc. 93,800 2,725
  Yamazaki Baking Co. Ltd. 119,335 2,676
  Miraca Holdings Inc. 55,285 2,669
  Air Water Inc. 142,281 2,662
  Shimamura Co. Ltd. 20,653 2,644
  MediPal Holdings Corp. 153,484 2,622
  Haseko Corp. 269,000 2,618
  Credit Saison Co. Ltd. 151,375 2,617
  Calbee Inc. 72,100 2,616
  Hitachi High-Technologies Corp. 62,680 2,614
  Mitsui OSK Lines Ltd. 1,042,811 2,608
  Sumitomo Dainippon Pharma Co. Ltd. 150,438 2,606
  Kurita Water Industries Ltd. 109,878 2,600
  Suzuken Co. Ltd. 80,862 2,597
  SCREEN Holdings Co. Ltd. 37,600 2,572
  Ebara Corp. 85,800 2,547
  Shinsei Bank Ltd. 1,565,373 2,531
  Square Enix Holdings Co. Ltd. 76,415 2,528
  Tokyo Tatemono Co. Ltd. 197,500 2,509
  NOK Corp. 110,356 2,487
  Nippon Shinyaku Co. Ltd. 48,800 2,477
  Kyushu Financial Group Inc. 371,900 2,473
  Kose Corp. 27,100 2,472
  Bank of Kyoto Ltd. 336,363 2,467
  Sundrug Co. Ltd. 31,200 2,454
  Hiroshima Bank Ltd. 571,000 2,444
  DIC Corp. 80,200 2,429
  Nankai Electric Railway Co. Ltd. 531,000 2,411
* Kobe Steel Ltd. 290,995 2,401
  Sony Financial Holdings Inc. 169,924 2,387
  Advantest Corp. 166,387 2,378
  Otsuka Corp. 49,726 2,366
  Hitachi Metals Ltd. 189,007 2,362
  Hitachi Chemical Co. Ltd. 100,666 2,353
^,* Sharp Corp. 1,349,829 2,342
  THK Co. Ltd. 110,432 2,332
  Yamaguchi Financial Group Inc. 210,864 2,325
  Temp Holdings Co. Ltd. 136,300 2,312
  Nichirei Corp. 104,000 2,274

 

34

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Takashimaya Co. Ltd. 277,494 2,263
  Nifco Inc. 39,100 2,252
  Chugoku Bank Ltd. 166,309 2,231
  Kakaku.com Inc. 132,400 2,224
  Idemitsu Kosan Co. Ltd. 96,792 2,224
  Kaneka Corp. 267,995 2,217
  Nippon Electric Glass Co. Ltd. 405,752 2,207
  SBI Holdings Inc. 185,506 2,204
  Hachijuni Bank Ltd. 395,628 2,157
  Nexon Co. Ltd. 126,200 2,148
  Ube Industries Ltd. 1,027,936 2,121
  Hitachi Construction Machinery Co. Ltd. 101,232 2,118
^ Japan Airport Terminal Co. Ltd. 54,500 2,092
  Nippon Shokubai Co. Ltd. 30,300 2,091
  Zenkoku Hosho Co. Ltd. 48,600 2,090
  Hokuriku Electric Power Co. 181,834 2,065
  Asahi Intecc Co. Ltd. 47,670 2,065
  Gunma Bank Ltd. 431,481 2,060
  Mitsubishi UFJ Lease & Finance Co. Ltd. 424,660 2,056
^ Ito En Ltd. 55,100 2,006
  Azbil Corp. 67,600 2,005
  Kaken Pharmaceutical Co. Ltd. 31,800 2,003
^ Kawasaki Kisen Kaisha Ltd. 801,000 1,982
  Hikari Tsushin Inc. 21,400 1,964
  Sawai Pharmaceutical Co. Ltd. 30,300 1,958
  Daifuku Co. Ltd. 107,400 1,941
  Nomura Real Estate Holdings Inc. 114,878 1,940
  Maruichi Steel Tube Ltd. 59,914 1,932
  Denka Co. Ltd. 421,927 1,914
  Kagome Co. Ltd. 71,900 1,885
  Sotetsu Holdings Inc. 385,000 1,879
  Matsumotokiyoshi Holdings Co. Ltd. 36,400 1,875
  Seven Bank Ltd. 609,440 1,874
  Tsumura & Co. 65,672 1,866
  Sanwa Holdings Corp. 187,200 1,864
^,* PeptiDream Inc. 36,000 1,854
  COMSYS Holdings Corp. 104,400 1,838
  Nihon M&A Center Inc. 56,600 1,837
  Nippon Kayaku Co. Ltd. 159,000 1,832
  Sumco Corp. 173,768 1,818
  AEON Financial Service Co. Ltd. 102,970 1,813
  Sugi Holdings Co. Ltd. 33,700 1,805
  Calsonic Kansei Corp. 144,000 1,805
  TIS Inc. 79,500 1,799
  Nihon Kohden Corp. 73,600 1,794
  Benesse Holdings Inc. 68,247 1,788
  Hokuhoku Financial Group Inc. 124,000 1,787
  Morinaga & Co. Ltd. 38,400 1,786
  Coca-Cola West Co. Ltd. 60,324 1,783
  Glory Ltd. 53,900 1,782
  Megmilk Snow Brand Co. Ltd. 50,900 1,771
  Yokohama Rubber Co. Ltd. 101,100 1,755
  Horiba Ltd. 36,600 1,750
  Showa Shell Sekiyu KK 186,822 1,741
  Furukawa Electric Co. Ltd. 59,160 1,741
* Acom Co. Ltd. 376,400 1,732
  Sumitomo Forestry Co. Ltd. 123,500 1,720
  Izumi Co. Ltd. 37,200 1,719
  Mitsubishi Logistics Corp. 126,831 1,717
  Nippon Paper Industries Co. Ltd. 91,048 1,704
  Cosmos Pharmaceutical Corp. 7,800 1,697
  Aeon Mall Co. Ltd. 114,155 1,695
  Toyoda Gosei Co. Ltd. 73,903 1,693
  Kamigumi Co. Ltd. 198,148 1,692

 

35

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Nishi-Nippon Railroad Co. Ltd. 354,000 1,678
  Oracle Corp. Japan 30,468 1,658
  Zensho Holdings Co. Ltd. 88,600 1,655
  Aoyama Trading Co. Ltd. 46,900 1,652
  Sankyo Co. Ltd. 46,817 1,649
  House Foods Group Inc. 73,600 1,643
  GS Yuasa Corp. 379,999 1,641
  Sapporo Holdings Ltd. 57,800 1,633
  Tokyo Century Corp. 46,300 1,631
  Miura Co. Ltd. 94,500 1,631
  Penta-Ocean Construction Co. Ltd. 273,400 1,629
  Rohto Pharmaceutical Co. Ltd. 92,800 1,628
  Takara Holdings Inc. 171,700 1,626
  Citizen Watch Co. Ltd. 289,348 1,626
  Welcia Holdings Co. Ltd. 23,758 1,620
  Daiichikosho Co. Ltd. 37,000 1,608
  Iyo Bank Ltd. 261,398 1,607
  Dowa Holdings Co. Ltd. 216,000 1,604
  Seino Holdings Co. Ltd. 143,900 1,595
  Showa Denko KK 120,049 1,586
  SCSK Corp. 42,500 1,585
  Coca-Cola East Japan Co. Ltd. 71,000 1,565
  NTN Corp. 411,000 1,556
  Toyota Boshoku Corp. 61,109 1,541
  Relo Group Inc. 9,300 1,540
  OSG Corp. 72,230 1,538
  Leopalace21 Corp. 236,400 1,537
  NHK Spring Co. Ltd. 160,896 1,523
  Morinaga Milk Industry Co. Ltd. 189,000 1,522
  Kinden Corp. 126,331 1,521
* Itoham Yonekyu Holdings Inc. 158,462 1,511
  Ain Holdings Inc. 22,300 1,505
  Toyo Tire & Rubber Co. Ltd. 96,500 1,497
  Fujikura Ltd. 254,000 1,492
  77 Bank Ltd. 330,000 1,491
  Ulvac Inc. 47,200 1,490
  NOF Corp. 136,000 1,478
  Sumitomo Osaka Cement Co. Ltd. 352,000 1,458
* Nishi-Nippon Financial Holdings Inc. 146,067 1,454
  Aica Kogyo Co. Ltd. 50,800 1,450
  Taiyo Nippon Sanso Corp. 137,701 1,447
  Nipro Corp. 117,000 1,445
  ADEKA Corp. 95,300 1,441
  Shikoku Electric Power Co. Inc. 152,044 1,430
  Pilot Corp. 31,900 1,426
  Topcon Corp. 94,500 1,411
  Ibiden Co. Ltd. 96,783 1,405
  Pola Orbis Holdings Inc. 16,800 1,398
  Daido Steel Co. Ltd. 327,087 1,388
  Japan Post Insurance Co. Ltd. 66,031 1,384
  Nagase & Co. Ltd. 107,800 1,379
  Sankyu Inc. 234,000 1,378
  ABC-Mart Inc. 22,587 1,374
  TS Tech Co. Ltd. 51,100 1,370
  Toyobo Co. Ltd. 832,000 1,362
^ MonotaRO Co. Ltd. 55,802 1,357
  Ushio Inc. 112,384 1,356
  Wacoal Holdings Corp. 117,000 1,350
^,* LINE Corp. 32,880 1,346
  Daishi Bank Ltd. 310,000 1,333
  K's Holdings Corp. 77,000 1,333
^,* Tokuyama Corp. 308,000 1,317
  Tokyo Ohka Kogyo Co. Ltd. 37,000 1,314
  Bic Camera Inc. 151,300 1,302

 

36

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Hokkaido Electric Power Co. Inc. 171,193 1,302
Nihon Parkerizing Co. Ltd. 93,900 1,294
Skylark Co. Ltd. 91,500 1,287
Toagosei Co. Ltd. 114,000 1,269
Nikkon Holdings Co. Ltd. 59,000 1,267
Resorttrust Inc. 63,300 1,265
Nippon Suisan Kaisha Ltd. 262,800 1,263
Kyowa Exeo Corp. 83,300 1,251
Chiyoda Corp. 143,123 1,248
Shimachu Co. Ltd. 46,300 1,242
Tsubakimoto Chain Co. 156,000 1,236
Japan Steel Works Ltd. 57,373 1,232
Ship Healthcare Holdings Inc. 41,700 1,220
Tadano Ltd. 108,500 1,218
Amano Corp. 64,600 1,202
Nisshin Steel Co. Ltd. 90,300 1,201
Shochiku Co. Ltd. 107,000 1,199
OKUMA Corp. 143,000 1,197
Mitsui Mining & Smelting Co. Ltd. 535,000 1,192
H2O Retailing Corp. 80,000 1,188
Sangetsu Corp. 61,500 1,188
Nippon Light Metal Holdings Co. Ltd. 518,400 1,180
Rengo Co. Ltd. 188,000 1,179
Zeon Corp. 129,000 1,178
Japan Airlines Co. Ltd. 39,792 1,174
Nisshinbo Holdings Inc. 117,800 1,173
Capcom Co. Ltd. 45,400 1,173
Awa Bank Ltd. 178,000 1,171
Shiga Bank Ltd. 225,000 1,167
Nippon Gas Co. Ltd. 38,500 1,165
Nishimatsu Construction Co. Ltd. 245,000 1,144
Itochu Techno-Solutions Corp. 46,332 1,143
Iwatani Corp. 191,000 1,141
Toda Corp. 210,000 1,138
Taiyo Yuden Co. Ltd. 106,200 1,135
Tokai Tokyo Financial Holdings Inc. 223,100 1,132
Hazama Ando Corp. 174,600 1,126
Fujitsu General Ltd. 49,000 1,124
San-In Godo Bank Ltd. 156,200 1,124
FP Corp. 20,800 1,120
Yamato Kogyo Co. Ltd. 39,517 1,113
Kyudenko Corp. 34,500 1,111
Ogaki Kyoritsu Bank Ltd. 309,000 1,105
Lintec Corp. 50,700 1,104
Senshu Ikeda Holdings Inc. 242,500 1,103
Colowide Co. Ltd. 56,400 1,096
Heiwa Corp. 46,600 1,095
Valor Holdings Co. Ltd. 38,500 1,092
TechnoPro Holdings Inc. 31,800 1,089
Maeda Corp. 117,000 1,084
Hanwa Co. Ltd. 177,000 1,083
^ Sanrio Co. Ltd. 57,650 1,080
Kiyo Bank Ltd. 64,700 1,073
Kokuyo Co. Ltd. 80,900 1,072
Toho Holdings Co. Ltd. 51,000 1,070
Arcs Co. Ltd. 42,600 1,069
^ Mitsubishi Pencil Co. Ltd. 21,000 1,050
Oki Electric Industry Co. Ltd. 80,300 1,048
SHO-BOND Holdings Co. Ltd. 21,700 1,046
Fuji Machine Manufacturing Co. Ltd. 81,900 1,042
KYORIN Holdings Inc. 46,300 1,035
Tokyo Seimitsu Co. Ltd. 37,500 1,023
Maeda Road Construction Co. Ltd. 55,000 1,018
Okumura Corp. 175,000 1,008

 

37

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Kenedix Inc. 239,700 1,008
  Jafco Co. Ltd. 29,900 993
  Juroku Bank Ltd. 328,000 989
  Mochida Pharmaceutical Co. Ltd. 12,600 987
  Mitsui Engineering & Shipbuilding Co. Ltd. 710,000 987
  DMG Mori Co. Ltd. 92,900 985
* Orient Corp. 524,400 977
  NTT Urban Development Corp. 105,800 973
  Hitachi Capital Corp. 42,900 957
  Trusco Nakayama Corp. 18,500 956
  Autobacs Seven Co. Ltd. 66,800 950
  Ariake Japan Co. Ltd. 17,000 950
  North Pacific Bank Ltd. 253,600 946
  Nippo Corp. 49,000 945
  Sakata Seed Corp. 32,800 944
  Koei Tecmo Holdings Co. Ltd. 48,300 924
  Takasago Thermal Engineering Co. Ltd. 65,500 924
^ GungHo Online Entertainment Inc. 363,800 920
  Topre Corp. 39,600 917
  Kandenko Co. Ltd. 93,000 917
^ Yoshinoya Holdings Co. Ltd. 60,800 916
  Hitachi Kokusai Electric Inc. 45,800 915
  Hitachi Transport System Ltd. 43,900 905
  Nanto Bank Ltd. 23,768 904
  Fuyo General Lease Co. Ltd. 17,800 903
  Maruha Nichiro Corp. 32,300 896
  Duskin Co. Ltd. 46,600 895
  Nichias Corp. 100,000 890
  Inaba Denki Sangyo Co. Ltd. 24,500 889
  Fuji Oil Holdings Inc. 45,700 881
  Asatsu-DK Inc. 31,740 881
  San-A Co. Ltd. 16,100 876
  Keiyo Bank Ltd. 208,000 875
  Kumagai Gumi Co. Ltd. 329,000 874
  Ai Holdings Corp. 35,500 872
  Kissei Pharmaceutical Co. Ltd. 33,200 868
  Ryosan Co. Ltd. 28,100 865
  Toyo Ink SC Holdings Co. Ltd. 185,000 860
  Fujitec Co. Ltd. 75,100 859
  Tokai Rika Co. Ltd. 45,600 855
  Yaoko Co. Ltd. 20,300 852
  Okasan Securities Group Inc. 160,000 851
  Musashino Bank Ltd. 30,700 848
^ Nissha Printing Co. Ltd. 34,900 845
  Tomy Co. Ltd. 78,000 843
  Sumitomo Bakelite Co. Ltd. 155,000 842
  Daiseki Co. Ltd. 41,000 842
^ HIS Co. Ltd. 30,700 838
  Tokyo Dome Corp. 88,000 836
  Nippon Seiki Co. Ltd. 43,000 831
  Cosmo Energy Holdings Co. Ltd. 63,604 831
  KYB Corp. 181,180 829
  Takara Standard Co. Ltd. 44,500 827
  Ichigo Inc. 190,300 825
  Fuji Seal International Inc. 20,000 824
  Hokkoku Bank Ltd. 246,000 824
  Mandom Corp. 17,500 816
  Nihon Unisys Ltd. 66,900 815
^ Daio Paper Corp. 67,800 814
  Hitachi Zosen Corp. 160,700 809
^,* Aiful Corp. 265,800 808
  GMO Internet Inc. 60,500 808
  ASKUL Corp. 19,600 807
  PALTAC Corp. 32,700 802

 

38

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Tokyo TY Financial Group Inc. 25,070 802
  Toho Bank Ltd. 209,000 793
  Tokyu Construction Co. Ltd. 78,400 792
^,* euglena Co. Ltd. 58,200 791
  Matsui Securities Co. Ltd. 98,600 789
  Okamura Corp. 80,200 787
  Hokuetsu Kishu Paper Co. Ltd. 125,700 786
  Exedy Corp. 27,500 786
  FCC Co. Ltd. 35,400 781
^ Fukuyama Transporting Co. Ltd. 137,000 780
  Shima Seiki Manufacturing Ltd. 27,600 778
  Central Glass Co. Ltd. 190,000 777
  Meitec Corp. 22,800 777
  Nichi-iko Pharmaceutical Co. Ltd. 43,200 775
  Hyakujushi Bank Ltd. 225,000 766
^ Okamoto Industries Inc. 70,000 758
  Canon Marketing Japan Inc. 43,800 756
  Saibu Gas Co. Ltd. 322,000 755
  Taikisha Ltd. 29,800 753
  Kusuri No Aoki Co. Ltd. 14,700 750
  Joyful Honda Co. Ltd. 27,000 745
^ Fuji Kyuko Co. Ltd. 65,000 745
  Onward Holdings Co. Ltd. 111,000 743
  Unipres Corp. 38,400 741
  Kuroda Electric Co. Ltd. 37,900 737
  Yodogawa Steel Works Ltd. 27,000 737
^ Jin Co. Ltd. 14,100 732
  Japan Aviation Electronics Industry Ltd. 51,000 730
  ZERIA Pharmaceutical Co. Ltd. 43,300 726
  Nippon Flour Mills Co. Ltd. 49,000 725
  Yamanashi Chuo Bank Ltd. 148,000 724
  TOMONY Holdings Inc. 139,900 723
  DCM Holdings Co. Ltd. 82,200 720
  Paramount Bed Holdings Co. Ltd. 18,900 720
  Noritz Corp. 34,700 719
  MOS Food Services Inc. 21,300 716
  Anritsu Corp. 134,295 712
  GMO Payment Gateway Inc. 15,500 712
  Bank of Okinawa Ltd. 20,280 712
  TPR Co. Ltd. 24,600 711
  Keihin Corp. 43,500 711
  Hyakugo Bank Ltd. 193,000 711
  United Arrows Ltd. 25,900 707
  CKD Corp. 56,700 706
* Nippon Sheet Glass Co. Ltd. 86,900 706
  Nissan Shatai Co. Ltd. 68,200 704
  Totetsu Kogyo Co. Ltd. 24,800 703
  Accordia Golf Co. Ltd. 69,600 702
  Hogy Medical Co. Ltd. 10,600 698
  Okinawa Electric Power Co. Inc. 30,000 695
  Senko Co. Ltd. 100,400 694
  Siix Corp. 17,300 692
  Tokyo Steel Manufacturing Co. Ltd. 99,700 692
  Takeuchi Manufacturing Co. Ltd. 35,500 688
  Kanematsu Corp. 417,000 686
  J Trust Co. Ltd. 83,200 680
  Kyoritsu Maintenance Co. Ltd. 11,300 678
  UACJ Corp. 208,000 676
^ EDION Corp. 75,900 672
  Japan Petroleum Exploration Co. Ltd. 30,579 669
  Kameda Seika Co. Ltd. 12,600 660
  Kadokawa Dwango Corp. 44,652 659
  Daikyonishikawa Corp. 50,800 658
^ Nachi-Fujikoshi Corp. 173,000 656

 

39

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Saizeriya Co. Ltd. 24,800 653
Takuma Co. Ltd. 71,000 653
^ Japan Display Inc. 331,100 652
* Pioneer Corp. 265,200 650
Nippon Densetsu Kogyo Co. Ltd. 35,700 650
Bank of Iwate Ltd. 15,300 644
^ COLOPL Inc. 44,800 644
Descente Ltd. 46,100 639
cocokara fine Inc. 16,500 638
Komeri Co. Ltd. 26,100 637
SKY Perfect JSAT Holdings Inc. 128,400 636
Nomura Co. Ltd. 39,200 636
Nichiha Corp. 25,700 635
IBJ Leasing Co. Ltd. 30,200 632
Adastria Co. Ltd. 24,100 631
TOKAI Holdings Corp. 97,100 624
^ Yamagata Bank Ltd. 144,000 622
Nishimatsuya Chain Co. Ltd. 43,900 618
Aomori Bank Ltd. 181,000 612
Shinmaywa Industries Ltd. 79,000 612
Takara Bio Inc. 42,300 611
Starts Corp. Inc. 32,900 610
Transcosmos Inc. 24,100 610
Taiyo Holdings Co. Ltd. 16,200 607
Nagaileben Co. Ltd. 27,600 606
Gurunavi Inc. 22,000 602
Sumitomo Mitsui Construction Co. Ltd. 630,300 600
Showa Sangyo Co. Ltd. 112,000 599
^ Bank of Nagoya Ltd. 17,000 598
Takara Leben Co. Ltd. 87,800 596
Heiwado Co. Ltd. 28,600 595
Daikyo Inc. 277,000 594
Seikagaku Corp. 37,000 593
Meidensha Corp. 177,000 592
Hitachi Maxell Ltd. 32,300 589
Komori Corp. 46,300 588
^ Ichibanya Co. Ltd. 15,400 582
Nippon Soda Co. Ltd. 131,000 581
Ci:z Holdings Co. Ltd. 20,200 579
^ Zojirushi Corp. 42,000 579
Sumitomo Warehouse Co. Ltd. 108,000 577
Chudenko Corp. 27,700 576
Earth Chemical Co. Ltd. 12,400 576
Eizo Corp. 18,200 575
TOC Co. Ltd. 63,500 574
Kureha Corp. 15,000 574
Futaba Corp. 35,100 573
NSD Co. Ltd. 35,500 571
Nissin Kogyo Co. Ltd. 38,500 570
Makino Milling Machine Co. Ltd. 88,000 559
Chiyoda Co. Ltd. 23,500 558
Nissin Electric Co. Ltd. 41,700 556
Life Corp. 17,100 555
Fancl Corp. 36,600 553
NS Solutions Corp. 29,000 553
Daihen Corp. 95,000 551
Nippon Signal Company Ltd. 61,700 548
Star Micronics Co. Ltd. 38,400 547
Financial Products Group Co. Ltd. 62,500 546
Nichicon Corp. 63,400 543
Gunze Ltd. 161,000 540
Nikkiso Co. Ltd. 61,100 540
Inabata & Co. Ltd. 49,600 539
Furukawa Co. Ltd. 336,000 537

 

40

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Kanamoto Co. Ltd. 22,300 536
  Aida Engineering Ltd. 62,200 535
  Tokyo Broadcasting System Holdings Inc. 34,000 534
  Oita Bank Ltd. 141,000 534
  Sanyo Special Steel Co. Ltd. 104,000 533
  Seiren Co. Ltd. 45,500 532
  Toshiba Plant Systems & Services Corp. 33,000 532
  Fukui Bank Ltd. 201,000 532
  Akita Bank Ltd. 158,000 529
  Tokai Carbon Co. Ltd. 174,000 529
  Milbon Co. Ltd. 11,800 529
  Aichi Bank Ltd. 9,500 526
  Morita Holdings Corp. 34,700 523
  Aichi Steel Corp. 10,800 520
  BML Inc. 19,600 520
  Oiles Corp. 28,600 518
  Marusan Securities Co. Ltd. 62,000 515
  Aeon Delight Co. Ltd. 17,400 514
  Internet Initiative Japan Inc. 29,100 514
  Atom Corp. 77,647 513
  Asahi Holdings Inc. 28,500 513
  SMS Co. Ltd. 19,700 513
  Nitto Boseki Co. Ltd. 157,000 510
  Sakata INX Corp. 38,900 509
  Bunka Shutter Co. Ltd. 61,100 507
  United Super Markets Holdings Inc. 56,100 507
  Doutor Nichires Holdings Co. Ltd. 25,300 506
  Toei Co. Ltd. 63,000 506
  NET One Systems Co. Ltd. 69,600 506
  Obara Group Inc. 11,700 504
  Raito Kogyo Co. Ltd. 41,700 502
  Prima Meat Packers Ltd. 138,000 501
  Shizuoka Gas Co. Ltd. 63,800 501
  Gree Inc. 90,279 501
  Marudai Food Co. Ltd. 105,000 500
  Ryobi Ltd. 124,000 500
  Sanki Engineering Co. Ltd. 55,100 500
  Daibiru Corp. 57,500 500
  Token Corp. 6,900 499
  Kato Sangyo Co. Ltd. 20,700 499
  As One Corp. 11,100 498
  Nisshin Oillio Group Ltd. 109,000 496
  TSI Holdings Co. Ltd. 88,100 495
  Nippon Steel & Sumikin Bussan Corp. 13,500 495
  Tochigi Bank Ltd. 102,000 492
  Mitsuba Corp. 33,600 491
  VT Holdings Co. Ltd. 91,100 489
  Fuji Soft Inc. 18,400 489
  Mirait Holdings Corp. 55,000 488
  Kitz Corp. 84,800 488
^,* Mitsumi Electric Co. Ltd. 79,800 485
  Piolax Inc. 7,600 483
  Riso Kagaku Corp. 27,700 480
  Shinko Electric Industries Co. Ltd. 74,400 479
  Sekisui Jushi Corp. 29,100 479
  Doshisha Co. Ltd. 23,100 478
  PanaHome Corp. 64,000 476
  Pacific Industrial Co. Ltd. 38,700 476
* Toshiba TEC Corp. 106,000 472
  Iseki & Co. Ltd. 191,000 472
  Yamazen Corp. 59,200 472
  Axial Retailing Inc. 13,100 471
  Sanyo Chemical Industries Ltd. 10,400 470
  Fuso Chemical Co. Ltd. 22,000 469

 

41

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Kohnan Shoji Co. Ltd. 23,700 469
  Unizo Holdings Co. Ltd. 16,800 468
  Takasago International Corp. 17,400 466
  Nitta Corp. 18,000 466
  V Technology Co. Ltd. 3,900 464
  Heiwa Real Estate Co. Ltd. 32,600 464
  Kura Corp. 9,200 464
  Toridoll Holdings Corp. 20,000 463
  Bank of the Ryukyus Ltd. 35,200 463
  Toyo Engineering Corp. 135,000 462
  Alpine Electronics Inc. 34,600 462
  Kintetsu World Express Inc. 33,800 460
* Infomart Corp. 38,800 460
  Dydo Drinco Inc. 8,300 459
  Jaccs Co. Ltd. 117,000 459
  Musashi Seimitsu Industry Co. Ltd. 18,700 458
  Hokuetsu Bank Ltd. 19,400 458
  AOKI Holdings Inc. 37,700 456
  Dip Corp. 17,100 453
  Mani Inc. 19,400 451
  NEC Networks & System Integration Corp. 25,400 451
^ Plenus Co. Ltd. 21,900 451
  Sato Holdings Corp. 20,400 449
  Royal Holdings Co. Ltd. 25,900 448
  Max Co. Ltd. 37,000 446
  Toppan Forms Co. Ltd. 44,800 445
  Asahi Diamond Industrial Co. Ltd. 58,900 439
  Japan Wool Textile Co. Ltd. 60,000 438
  Yondoshi Holdings Inc. 17,500 437
  Toho Zinc Co. Ltd. 125,000 436
  Chofu Seisakusho Co. Ltd. 16,900 434
  Eighteenth Bank Ltd. 140,000 434
  Japan Securities Finance Co. Ltd. 97,600 434
  Fujicco Co. Ltd. 18,900 432
  Ringer Hut Co. Ltd. 16,900 430
  Nishio Rent All Co. Ltd. 14,200 429
  Round One Corp. 60,500 427
  Create SD Holdings Co. Ltd. 20,400 427
  Foster Electric Co. Ltd. 23,100 424
  Seiko Holdings Corp. 129,000 422
  Shikoku Bank Ltd. 178,000 420
^,* Pacific Metals Co. Ltd. 139,000 418
  Daiho Corp. 76,000 418
  Tsukishima Kikai Co. Ltd. 37,300 418
  Tachi-S Co. Ltd. 25,100 417
^ Next Co. Ltd. 49,600 416
^ Wacom Co. Ltd. 137,800 416
  Kisoji Co. Ltd. 19,200 414
^ Benefit One Inc. 14,300 414
  Dexerials Corp. 51,200 411
  Kotobuki Spirits Co. Ltd. 17,400 410
^,* W-Scope Corp. 22,900 410
  kabu.com Securities Co. Ltd. 130,100 410
  Mizuno Corp. 76,000 409
* Outsourcing Inc. 10,700 406
  Noevir Holdings Co. Ltd. 13,400 406
  Fuji Co. Ltd. 19,300 405
  Shibuya Corp. 19,400 403
  Yokohama Reito Co. Ltd. 39,700 402
  Press Kogyo Co. Ltd. 82,300 401
  Ohsho Food Service Corp. 10,400 400
  Hiday Hidaka Corp. 15,900 396
  Bando Chemical Industries Ltd. 41,000 395
  Eiken Chemical Co. Ltd. 14,400 393

 

42

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Chugoku Marine Paints Ltd. 54,000 393
Kyoei Steel Ltd. 20,600 392
^ Monex Group Inc. 171,100 392
Miyazaki Bank Ltd. 139,000 392
Hitachi Koki Co. Ltd. 46,100 390
TKC Corp. 13,200 390
Sanyo Electric Railway Co. Ltd. 79,000 390
Sintokogio Ltd. 44,500 388
Showa Corp. 59,300 388
DTS Corp. 17,500 388
^ Tekken Corp. 119,000 387
Kenko Mayonnaise Co. Ltd. 10,500 385
Mitsubishi Shokuhin Co. Ltd. 11,700 384
Nitto Kogyo Corp. 25,900 380
Daiwabo Holdings Co. Ltd. 157,000 379
Fukushima Industries Corp. 11,100 379
Relia Inc. 39,500 379
Elecom Co. Ltd. 18,500 378
Sankyo Tateyama Inc. 23,900 376
COOKPAD Inc. 39,600 376
^ Yonex Co. Ltd. 8,500 375
Namura Shipbuilding Co. Ltd. 61,200 373
Katakura Industries Co. Ltd. 30,700 373
Iino Kaiun Kaisha Ltd. 100,000 372
Mitsuboshi Belting Ltd. 43,000 371
St. Marc Holdings Co. Ltd. 13,200 370
G-Tekt Corp. 19,500 370
Avex Group Holdings Inc. 28,000 370
Sanken Electric Co. Ltd. 104,000 368
Goldwin Inc. 8,000 367
Ricoh Leasing Co. Ltd. 12,700 367
San-Ai Oil Co. Ltd. 52,000 367
Macnica Fuji Electronics Holdings Inc. 29,200 366
Tokai Corp. 10,700 364
Topy Industries Ltd. 15,600 362
Tv Tokyo Holdings Corp. 15,800 362
Konoike Transport Co. Ltd. 27,300 361
Create Restaurants Holdings Inc. 38,100 361
Kanto Denka Kogyo Co. Ltd. 43,000 361
^ Ehime Bank Ltd. 27,200 359
Minato Bank Ltd. 19,600 359
Daido Metal Co. Ltd. 33,200 358
Micronics Japan Co. Ltd. 30,800 356
Shikoku Chemicals Corp. 37,000 355
T Hasegawa Co. Ltd. 20,000 353
Itochu Enex Co. Ltd. 45,800 352
Open House Co. Ltd. 16,600 351
* Unitika Ltd. 519,000 350
Toa Corp. 16,600 349
Hokuto Corp. 17,900 348
Hibiya Engineering Ltd. 22,200 348
Kurabo Industries Ltd. 174,000 348
Bank of Saga Ltd. 133,000 347
Sanden Holdings Corp. 112,000 347
NichiiGakkan Co. Ltd. 41,500 345
^ Nippon Synthetic Chemical Industry Co. Ltd. 40,000 344
Belc Co. Ltd. 8,500 343
^ S Foods Inc. 12,800 343
Hosiden Corp. 46,100 342
* Miroku Jyoho Service Co. Ltd. 17,500 342
ASKA Pharmaceutical Co. Ltd. 19,800 342
JVC Kenwood Corp. 126,300 341
JCR Pharmaceuticals Co. Ltd. 13,600 341
Toshiba Machine Co. Ltd. 94,000 340

 

43

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Takamatsu Construction Group Co. Ltd. 14,300 339
Osaka Soda Co. Ltd. 79,000 338
Trancom Co. Ltd. 5,800 337
EPS Holdings Inc. 25,700 337
Sumitomo Real Estate Sales Co. Ltd. 14,900 337
Pressance Corp. 29,200 337
Osaki Electric Co. Ltd. 35,000 336
Okabe Co. Ltd. 39,100 334
OBIC Business Consultants Co. Ltd. 7,100 332
Fujibo Holdings Inc. 10,500 332
Megachips Corp. 16,500 331
Yuasa Trading Co. Ltd. 13,800 331
Sumitomo Riko Co. Ltd. 34,500 330
Dainichiseika Color & Chemicals Manufacturing Co. Ltd. 62,000 330
Kyokuto Kaihatsu Kogyo Co. Ltd. 27,800 328
Towa Bank Ltd. 310,000 328
Optex Co. Ltd. 12,800 326
Japan Pulp & Paper Co. Ltd. 97,000 325
Denki Kogyo Co. Ltd. 59,000 325
Mitsui Sugar Co. Ltd. 14,400 324
Yokogawa Bridge Holdings Corp. 29,400 323
Zenrin Co. Ltd. 18,400 321
TV Asahi Holdings Corp. 17,100 321
Starzen Co. Ltd. 6,000 318
Menicon Co. Ltd. 11,200 317
Clarion Co. Ltd. 96,000 315
Konishi Co. Ltd. 26,400 314
Xebio Holdings Co. Ltd. 20,200 314
Futaba Industrial Co. Ltd. 52,300 313
Shindengen Electric Manufacturing Co. Ltd. 72,000 311
Tsubaki Nakashima Co. Ltd. 19,500 310
Eagle Industry Co. Ltd. 21,700 310
Geo Holdings Corp. 24,400 310
^ IDOM Inc. 59,300 310
Nohmi Bosai Ltd. 20,700 309
Enplas Corp. 10,000 309
* Japan Material Co. Ltd. 8,700 308
YAMABIKO Corp. 31,100 308
Tsugami Corp. 56,000 307
^ Matsuya Co. Ltd. 38,400 307
Sumitomo Seika Chemicals Co. Ltd. 8,200 307
Towa Pharmaceutical Co. Ltd. 8,200 306
J-Oil Mills Inc. 8,600 306
Vital KSK Holdings Inc. 28,800 305
Wakita & Co. Ltd. 35,600 304
Tosho Co. Ltd. 7,000 303
Nippon Koei Co. Ltd. 64,000 300
Sodick Co. Ltd. 39,900 300
Key Coffee Inc. 15,100 299
Modec Inc. 17,700 299
^ Funai Soken Holdings Inc. 19,300 298
Jeol Ltd. 71,000 297
Warabeya Nichiyo Holdings Co. Ltd. 12,300 297
* Rokko Butter Co. Ltd. 11,000 296
Tamura Corp. 72,000 296
Belluna Co. Ltd. 43,900 293
Riken Corp. 8,000 293
Kyokuto Securities Co. Ltd. 20,200 292
Anicom Holdings Inc. 13,000 291
Fujimi Inc. 18,700 291
Joshin Denki Co. Ltd. 34,000 291
Pack Corp. 10,700 290
Justsystems Corp. 29,600 290
^ METAWATER Co. Ltd. 10,600 289

 

44

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Tsukui Corp. 44,000 289
Arcland Sakamoto Co. Ltd. 24,200 288
Maruwa Co. Ltd. 7,600 287
Wowow Inc. 10,000 286
Fujimori Kogyo Co. Ltd. 11,500 286
Bell System24 Holdings Inc. 30,400 285
Anest Iwata Corp. 28,300 285
Inageya Co. Ltd. 20,876 283
* Kintetsu Department Store Co. Ltd. 85,000 283
Fukuda Corp. 24,000 283
Yellow Hat Ltd. 13,200 282
Sakai Chemical Industry Co. Ltd. 79,000 282
Mitsui-Soko Holdings Co. Ltd. 93,000 281
Toyo Construction Co. Ltd. 67,000 279
Ines Corp. 25,100 279
Tokyotokeiba Co. Ltd. 142,000 279
^ Alpen Co. Ltd. 15,300 279
Noritake Co. Ltd. 12,200 278
Jimoto Holdings Inc. 165,300 278
Tocalo Co. Ltd. 12,400 278
Riken Vitamin Co. Ltd. 6,400 278
Stella Chemifa Corp. 7,900 278
Daisan Bank Ltd. 16,400 277
Goldcrest Co. Ltd. 15,200 276
Systena Corp. 15,700 274
Sanyo Denki Co. Ltd. 42,000 273
Nissin Corp. 82,000 272
Hamakyorex Co. Ltd. 14,600 272
Kansai Urban Banking Corp. 24,500 272
JSP Corp. 11,300 270
Daiken Corp. 13,000 270
Torii Pharmaceutical Co. Ltd. 11,700 270
^ Nippon Ceramic Co. Ltd. 14,600 269
Yorozu Corp. 17,100 269
Tokushu Tokai Paper Co. Ltd. 7,900 269
Neturen Co. Ltd. 33,100 268
Kasai Kogyo Co. Ltd. 23,500 266
Teikoku Sen-I Co. Ltd. 17,900 265
Cawachi Ltd. 10,300 265
Sagami Chain Co. Ltd. 22,000 264
Canon Electronics Inc. 17,000 264
Ihara Chemical Industry Co. Ltd. 30,900 264
T-Gaia Corp. 17,100 263
Okuwa Co. Ltd. 25,000 262
Nippon Chemi-Con Corp. 150,000 261
Taihei Dengyo Kaisha Ltd. 25,000 259
Nihon Chouzai Co. Ltd. 6,200 259
Sogo Medical Co. Ltd. 8,500 258
Shinko Plantech Co. Ltd. 34,800 258
Itoki Corp. 41,800 258
Tamron Co. Ltd. 14,700 257
FIDEA Holdings Co. Ltd. 143,100 257
Cosel Co. Ltd. 21,500 257
Melco Holdings Inc. 9,500 257
Kato Works Co. Ltd. 10,200 256
Ichiyoshi Securities Co. Ltd. 34,100 256
PAL GROUP Holdings Co. Ltd. 10,200 253
Maruzen Showa Unyu Co. Ltd. 62,000 252
Kappa Create Co. Ltd. 21,600 250
Rock Field Co. Ltd. 18,000 250
* Ishihara Sangyo Kaisha Ltd. 32,900 250
Yahagi Construction Co. Ltd. 27,100 249
Chukyo Bank Ltd. 11,200 248
* Nissei Build Kogyo Co. Ltd. 53,000 248

 

45

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Tsurumi Manufacturing Co. Ltd. 17,000 247
  Matsuya Foods Co. Ltd. 7,600 247
  Qol Co. Ltd. 15,600 246
  Aisan Industry Co. Ltd. 30,200 246
^ Michinoku Bank Ltd. 123,000 245
  Kyodo Printing Co. Ltd. 72,000 244
  Daiichi Jitsugyo Co. Ltd. 44,000 244
* Vector Inc. 20,600 243
  Ryoyo Electro Corp. 19,100 243
  Union Tool Co. 9,400 243
^ Nihon Nohyaku Co. Ltd. 44,300 242
  Broadleaf Co. Ltd. 21,500 242
^ F@N Communications Inc. 32,300 241
  BRONCO BILLY Co. Ltd. 8,100 240
  Koa Corp. 26,000 239
* Chiyoda Integre Co. Ltd. 11,500 238
  Nitto Kohki Co. Ltd. 10,300 238
  Arata Corp. 10,400 238
  Meisei Industrial Co. Ltd. 46,200 237
  Digital Arts Inc. 8,800 237
* CMK Corp. 44,300 234
  Tenma Corp. 13,500 234
^,* OSAKA Titanium Technologies Co. Ltd. 17,400 233
  Fujita Kanko Inc. 70,000 233
  OSJB Holdings Corp. 97,400 232
  UKC Holdings Corp. 13,800 231
  Nittetsu Mining Co. Ltd. 5,500 230
  Kyokuyo Co. Ltd. 8,700 229
^ Yushin Precision Equipment Co. Ltd. 9,800 228
  Kaga Electronics Co. Ltd. 15,600 228
  Shin-Etsu Polymer Co. Ltd. 34,000 227
^ Riken Technos Corp. 43,400 227
  Tanseisha Co. Ltd. 30,200 227
  Sinfonia Technology Co. Ltd. 123,000 226
  Daiwa Industries Ltd. 25,600 223
^ Maeda Kosen Co. Ltd. 20,100 223
^ Kumiai Chemical Industry Co. Ltd. 39,300 223
  SMK Corp. 58,000 222
  Idec Corp. 24,600 220
  Nippon Kanzai Co. Ltd. 15,100 220
  Yurtec Corp. 30,000 220
  Torishima Pump Manufacturing Co. Ltd. 20,300 219
  Toyo Corp. 22,700 218
  Toyo Kanetsu KK 96,000 217
  ESPEC Corp. 17,900 217
* Daito Pharmaceutical Co. Ltd. 9,800 216
  Achilles Corp. 14,900 214
  Kanematsu Electronics Ltd. 10,600 214
  Prestige International Inc. 28,400 214
  Nippon Road Co. Ltd. 52,000 213
  Tsukuba Bank Ltd. 71,400 213
^ Kurimoto Ltd. 11,400 213
  Dai Nippon Toryo Co. Ltd. 99,000 212
  Juki Corp. 28,200 211
  Japan Digital Laboratory Co. Ltd. 13,500 210
  Sanshin Electronics Co. Ltd. 23,700 210
  Nippon Thompson Co. Ltd. 53,000 210
  Shinko Shoji Co. Ltd. 18,500 209
  Shinnihon Corp. 21,600 208
  Osaka Steel Co. Ltd. 11,100 208
  Fudo Tetra Corp. 118,300 208
  Senshukai Co. Ltd. 30,600 207
  Oyo Corp. 17,900 207
  Kamei Corp. 21,700 207

 

46

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Mie Bank Ltd. 10,100 206
  Nagatanien Holdings Co. Ltd. 16,000 204
  Roland DG Corp. 8,600 203
^ Toho Titanium Co. Ltd. 30,400 203
^ Japan Cash Machine Co. Ltd. 14,300 203
  Chiba Kogyo Bank Ltd. 45,300 201
  Nichiden Corp. 7,000 200
  Komatsu Seiren Co. Ltd. 32,100 200
^ Istyle Inc. 25,300 199
  Nihon Trim Co. Ltd. 4,400 199
  Ministop Co. Ltd. 11,500 198
  Nippon Denko Co. Ltd. 106,700 198
  Nippon Yakin Kogyo Co. Ltd. 134,700 197
  Ateam Inc. 8,700 197
  Nippon Beet Sugar Manufacturing Co. Ltd. 10,100 197
  CONEXIO Corp. 14,500 197
  Aiphone Co. Ltd. 11,200 197
  Aichi Corp. 24,300 197
  Mitsubishi Steel Manufacturing Co. Ltd. 109,000 196
  Pronexus Inc. 18,500 195
^ Marvelous Inc. 27,400 195
  Arakawa Chemical Industries Ltd. 13,100 194
* Fujiya Co. Ltd. 100,000 194
* Wellnet Corp. 15,500 194
  Information Services International-Dentsu Ltd. 11,100 193
  K&O Energy Group Inc. 13,400 192
  Giken Ltd. 11,000 192
^ Nippon Carbon Co. Ltd. 99,000 192
  Tokyo Rope Manufacturing Co. Ltd. 11,600 191
  Nippon Parking Development Co. Ltd. 140,100 190
  Toyo Tanso Co. Ltd. 13,200 190
  Toa Corp. 20,800 190
  Jamco Corp. 9,200 190
^ U-Shin Ltd. 26,700 189
  Daikokutenbussan Co. Ltd. 4,000 188
  GCA Corp. 25,200 188
  Hosokawa Micron Corp. 30,000 187
  Nippon Valqua Industries Ltd. 13,800 187
  Arcland Service Holdings Co. Ltd. 6,300 187
  Kanagawa Chuo Kotsu Co. Ltd. 26,000 185
  Sun Frontier Fudousan Co. Ltd. 19,400 185
  Mitani Sekisan Co. Ltd. 7,400 185
  Mie Kotsu Group Holdings Inc. 50,000 184
  Mitsubishi Research Institute Inc. 5,800 184
  Sac's Bar Holdings Inc. 17,200 184
  Tokyo Energy & Systems Inc. 19,000 183
  Sakai Moving Service Co. Ltd. 8,400 182
  Sekisui Plastics Co. Ltd. 24,500 181
  Misawa Homes Co. Ltd. 24,000 181
  Denyo Co. Ltd. 14,500 180
  Takaoka Toko Co. Ltd. 9,800 179
  Keihanshin Building Co. Ltd. 34,200 178
  Studio Alice Co. Ltd. 8,800 178
  Mimasu Semiconductor Industry Co. Ltd. 13,900 177
^ Onoken Co. Ltd. 14,200 175
  Shimizu Bank Ltd. 5,800 175
^,* Mitsubishi Paper Mills Ltd. 26,600 175
  Tokyo Tekko Co. Ltd. 40,000 174
  Koatsu Gas Kogyo Co. Ltd. 26,000 174
  Furuno Electric Co. Ltd. 22,400 173
  WATAMI Co. Ltd. 15,900 172
  Uchida Yoko Co. Ltd. 41,000 171
  Fuji Pharma Co. Ltd. 6,900 171
  CHIMNEY Co. Ltd. 6,000 171

 

47

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Sanyo Shokai Ltd. 106,000 171
  Mars Engineering Corp. 8,600 171
^,* Laox Co. Ltd. 21,101 170
  Kita-Nippon Bank Ltd. 5,700 170
* JAC Recruitment Co. Ltd. 13,100 170
  Kobe Bussan Co. Ltd. 5,400 169
  Cleanup Corp. 19,800 169
  Meiko Network Japan Co. Ltd. 17,900 168
^ Honeys Co. Ltd. 14,300 168
  Icom Inc. 9,100 167
  Tonami Holdings Co. Ltd. 62,000 167
  Weathernews Inc. 5,300 165
  MTI Ltd. 26,500 165
^,* KLab Inc. 27,400 164
  Shibusawa Warehouse Co. Ltd. 56,000 163
^ Aeon Fantasy Co. Ltd. 5,200 161
  Hioki EE Corp. 8,300 161
  Godo Steel Ltd. 9,200 161
  Takiron Co. Ltd. 34,000 160
  Amuse Inc. 9,400 159
  Yusen Logistics Co. Ltd. 15,600 159
  Chori Co. Ltd. 10,000 159
  HI-LEX Corp. 5,800 159
  Toenec Corp. 33,000 158
  Yomiuri Land Co. Ltd. 36,000 155
  Ryoden Corp. 24,000 154
^ Keiyo Co. Ltd. 30,500 154
  Atsugi Co. Ltd. 139,000 152
  Tosei Corp. 20,200 151
^ Hodogaya Chemical Co. Ltd. 5,400 151
  Mitsui High-Tec Inc. 22,500 151
  Hokkaido Gas Co. Ltd. 59,000 151
^ Happinet Corp. 14,200 150
  Asahi Co. Ltd. 12,400 150
  Advan Co. Ltd. 16,200 150
^,* Nippon Sharyo Ltd. 59,000 149
  Mitsui Matsushima Co. Ltd. 12,600 149
  Halows Co. Ltd. 6,700 149
  Seika Corp. 50,000 149
  Ichikoh Industries Ltd. 48,000 148
* SWCC Showa Holdings Co. Ltd. 210,000 148
  SRA Holdings 6,200 147
  Noritsu Koki Co. Ltd. 19,300 146
  Mitsubishi Nichiyu Forklift Co. Ltd. 24,000 145
^ PC Depot Corp. 29,520 144
  Nihon Yamamura Glass Co. Ltd. 79,000 144
  Itochu-Shokuhin Co. Ltd. 3,600 144
  Toho Co. Ltd. 6,100 144
  Sanoh Industrial Co. Ltd. 20,800 143
  Fields Corp. 11,800 143
  Mito Securities Co. Ltd. 60,100 140
  Yushiro Chemical Industry Co. Ltd. 10,000 138
  Chuetsu Pulp & Paper Co. Ltd. 63,000 138
* Linical Co. Ltd. 9,700 136
  Japan Radio Co. Ltd. 10,600 136
* Hito Communications Inc. 9,300 136
  T RAD Co. Ltd. 62,000 136
  C Uyemura & Co. Ltd. 2,900 135
^,* Akebono Brake Industry Co. Ltd. 70,500 135
  Sumitomo Densetsu Co. Ltd. 12,100 134
  Toyo Kohan Co. Ltd. 44,800 134
^ Pasona Group Inc. 15,800 134
  Organo Corp. 31,000 134
  Nissei ASB Machine Co. Ltd. 7,400 134

 

48

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Parco Co. Ltd. 14,400 133
* Fuji Oil Co. Ltd. 41,600 133
  Zuiko Corp. 3,500 132
  France Bed Holdings Co. Ltd. 15,400 132
^ JP-Holdings Inc. 51,400 129
  Rhythm Watch Co. Ltd. 75,000 128
  Taiho Kogyo Co. Ltd. 8,900 128
  Fuso Pharmaceutical Industries Ltd. 4,900 128
  Nihon Dempa Kogyo Co. Ltd. 15,800 127
  Tatsuta Electric Wire and Cable Co. Ltd. 31,900 127
  Tosho Printing Co. Ltd. 28,000 127
  Teikoku Electric Manufacturing Co. Ltd. 16,600 126
^,* Takata Corp. 36,100 125
  Elematec Corp. 7,400 125
  Japan Drilling Co. Ltd. 5,500 123
  Sinanen Holdings Co. Ltd. 6,200 123
  Japan Transcity Corp. 33,000 123
  Zuken Inc. 11,900 122
  CMIC Holdings Co. Ltd. 8,200 122
  Nippon Coke & Engineering Co. Ltd. 137,400 121
  Kanaden Corp. 12,400 120
  Artnature Inc. 19,100 117
  NS United Kaiun Kaisha Ltd. 84,000 117
  Aderans Co. Ltd. 19,800 117
  Krosaki Harima Corp. 38,000 115
  Shinwa Co. Ltd. 7,600 115
  NEC Capital Solutions Ltd. 6,900 115
  Fujitsu Frontech Ltd. 9,600 115
  Toyo Securities Co. Ltd. 64,000 114
  Funai Electric Co. Ltd. 13,900 113
* KNT-CT Holdings Co. Ltd. 102,000 113
  Future Corp. 16,900 113
  Cybozu Inc. 27,300 112
  Hokkan Holdings Ltd. 31,000 110
  Hakuto Co. Ltd. 11,700 109
  Matsuda Sangyo Co. Ltd. 7,700 108
  Dunlop Sports Co. Ltd. 11,000 108
  Corona Corp. Class A 9,900 106
  Hisaka Works Ltd. 13,300 104
  Kyosan Electric Manufacturing Co. Ltd. 28,000 104
  Toli Corp. 29,000 103
  Daikoku Denki Co. Ltd. 6,400 103
  Mitsubishi Kakoki Kaisha Ltd. 52,000 102
  AOI Electronics Co. Ltd. 4,200 102
  Tomoku Co. Ltd. 35,000 102
^ Right On Co. Ltd. 10,300 101
  Srg Takamiya Co. Ltd. 18,000 101
  Toda Kogyo Corp. 35,000 100
^,* Shin Nippon Biomedical Laboratories Ltd. 17,300 100
  Kitagawa Iron Works Co. Ltd. 5,700 97
  Gakken Holdings Co. Ltd. 29,000 96
  CAC Holdings Corp. 11,400 96
^ Inaba Seisakusho Co. Ltd. 7,500 95
  NDS Co. Ltd. 3,700 93
  Fujikura Kasei Co. Ltd. 15,400 93
  Mitsui Home Co. Ltd. 21,000 93
  Gun-Ei Chemical Industry Co. Ltd. 3,200 92
^,* Aplus Financial Co. Ltd. 91,000 92
  Asunaro Aoki Construction Co. Ltd. 13,300 92
  Nippon Chemiphar Co. Ltd. 2,200 91
  Gecoss Corp. 9,900 91
  Kourakuen Holdings Corp. 5,900 88
  Maezawa Kyuso Industries Co. Ltd. 6,300 84
  Sumitomo Precision Products Co. Ltd. 27,000 83

 

49

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Tokyo Electron Device Ltd. 5,700 81
  Panasonic Industrial Devices SUNX Co. Ltd. 13,400 81
  Taisei Lamick Co. Ltd. 2,800 80
  Shimojima Co. Ltd. 7,900 79
  Tsutsumi Jewelry Co. Ltd. 5,000 79
^ Daisyo Corp. 5,400 79
  Sankyo Seiko Co. Ltd. 24,100 79
  Toyo Denki Seizo KK 28,000 79
^ Dai-ichi Seiko Co. Ltd. 7,000 77
  Chugai Ro Co. Ltd. 40,000 77
  Tabuchi Electric Co. Ltd. 24,200 77
  Toa Oil Co. Ltd. 53,000 76
  Okura Industrial Co. Ltd. 19,000 76
  Kobelco Eco-Solutions Co. Ltd. 19,000 74
  Chuo Spring Co. Ltd. 25,000 73
  Kinki Sharyo Co. Ltd. 3,200 73
  Nice Holdings Inc. 55,000 73
  Alpha Systems Inc. 4,300 72
  Best Denki Co. Ltd. 54,800 72
  Tokyo Rakutenchi Co. Ltd. 15,000 72
  ST Corp. 5,800 72
  Pocket Card Co. Ltd. 14,800 70
  Endo Lighting Corp. 8,600 67
  ASAHI YUKIZAI Corp. 34,000 66
* Yamada SxL Home Co. Ltd. 89,000 65
  Maezawa Kasei Industries Co. Ltd. 6,100 64
  Kitano Construction Corp. 24,000 64
* Nakayama Steel Works Ltd. 9,900 63
  Takihyo Co. Ltd. 14,000 58
^ Daidoh Ltd. 14,600 57
  Showa Aircraft Industry Co. Ltd. 6,000 55
  Paris Miki Holdings Inc. 12,800 54
  Airport Facilities Co. Ltd. 9,900 54
  Kojima Co. Ltd. 17,000 39
^,* FDK Corp. 14,000 12
      3,410,944
New Zealand (0.8%)    
  Fletcher Building Ltd. 662,601 4,909
  Spark New Zealand Ltd. 1,735,701 4,540
  Auckland International Airport Ltd. 846,913 3,989
  Fisher & Paykel Healthcare Corp. Ltd. 533,888 3,380
  Ryman Healthcare Ltd. 397,529 2,523
  Contact Energy Ltd. 678,995 2,309
  Meridian Energy Ltd. 1,190,037 2,187
  Z Energy Ltd. 351,814 1,966
  SKYCITY Entertainment Group Ltd. 615,697 1,716
  Mercury NZ Ltd. 661,521 1,444
  Trade Me Group Ltd. 380,452 1,322
  Kiwi Property Group Ltd. 1,178,147 1,235
  SKY Network Television Ltd. 371,816 1,228
* Xero Ltd. 86,511 1,098
  EBOS Group Ltd. 84,451 1,029
  Mainfreight Ltd. 75,196 998
  Chorus Ltd. 381,063 995
* a2 Milk Co. Ltd. 677,897 900
  Goodman Property Trust 972,432 865
  Infratil Ltd. 384,880 820
  Precinct Properties New Zealand Ltd. 845,173 753
  Summerset Group Holdings Ltd. 205,994 701
  Genesis Energy Ltd. 487,492 683
  Air New Zealand Ltd. 462,633 638
  Vector Ltd. 262,787 598
  Freightways Ltd. 129,875 593
  Argosy Property Ltd. 778,382 584

 

50

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Vital Healthcare Property Trust 348,233 508
  Metlifecare Ltd. 119,625 494
  Heartland Bank Ltd. 318,266 341
  Warehouse Group Ltd. 145,129 311
  Kathmandu Holdings Ltd. 153,523 221
  New Zealand Refining Co. Ltd. 102,092 164
  TOWER Ltd. 165,523 106
  New Zealand Oil & Gas Ltd. 245,090 93
      46,241
Singapore (3.1%)    
  Singapore Telecommunications Ltd. 6,954,409 19,381
  Oversea-Chinese Banking Corp. Ltd. 3,155,591 19,224
  DBS Group Holdings Ltd. 1,698,479 18,307
  United Overseas Bank Ltd. 1,142,767 15,417
  CapitaLand Ltd. 2,388,258 5,297
  Keppel Corp. Ltd. 1,357,458 5,133
  Wilmar International Ltd. 2,022,703 4,802
  Singapore Press Holdings Ltd. 1,538,617 4,112
  Singapore Exchange Ltd. 780,860 3,978
  CapitaLand Mall Trust 2,532,512 3,774
  Global Logistic Properties Ltd. 2,875,673 3,659
  Ascendas REIT 2,126,613 3,624
  ComfortDelGro Corp. Ltd. 1,969,180 3,590
  Singapore Airlines Ltd. 484,151 3,523
  City Developments Ltd. 571,313 3,479
  Singapore Technologies Engineering Ltd. 1,480,055 3,327
  Jardine Cycle & Carriage Ltd. 104,190 3,155
  Genting Singapore plc 5,749,197 3,077
  Suntec REIT 2,293,400 2,770
  CapitaLand Commercial Trust 1,932,300 2,187
  Hutchison Port Holdings Trust 4,907,539 2,180
  SATS Ltd. 605,900 2,108
  Mapletree Commercial Trust 1,758,781 1,933
  UOL Group Ltd. 455,817 1,854
  Golden Agri-Resources Ltd. 6,275,963 1,733
  Venture Corp. Ltd. 243,500 1,663
  Singapore Post Ltd. 1,370,600 1,575
  Sembcorp Industries Ltd. 861,320 1,560
  Mapletree Industrial Trust 1,176,100 1,455
  Keppel REIT 1,761,600 1,382
  Mapletree Greater China Commercial Trust 1,782,800 1,334
  StarHub Ltd. 548,867 1,332
  Yangzijiang Shipbuilding Holdings Ltd. 2,025,910 1,083
  Mapletree Logistics Trust 1,405,100 1,045
^,* Noble Group Ltd. 8,481,304 1,008
  Raffles Medical Group Ltd. 834,600 902
  United Engineers Ltd. 464,800 865
^ Olam International Ltd. 521,100 805
  Frasers Centrepoint Trust 512,000 766
  Starhill Global REIT 1,299,200 761
^ Sembcorp Marine Ltd. 807,666 749
  Keppel Infrastructure Trust 1,908,600 692
  Yanlord Land Group Ltd. 676,500 673
  Parkway Life REIT 359,463 662
  CDL Hospitality Trusts 633,400 611
  Ascott Residence Trust 744,700 608
^ First Resources Ltd. 462,700 605
  SIA Engineering Co. Ltd. 216,300 574
^,* Genting Hong Kong Ltd. 1,929,100 550
  Cambridge Industrial Trust 1,319,900 536
  CapitaLand Retail China Trust 495,200 533
  Asian Pay Television Trust 1,421,300 526
^ Cache Logistics Trust 877,000 524
  Wing Tai Holdings Ltd. 399,600 487

 

51

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  First REIT 506,600 486
  OUE Hospitality Trust 992,300 485
  Ascendas India Trust 624,600 480
  Frasers Commercial Trust 489,500 480
  Lippo Malls Indonesia Retail Trust 1,664,300 466
^ M1 Ltd. 317,300 466
^ Keppel DC REIT 501,500 449
^,* SIIC Environment Holdings Ltd. 982,500 449
  Ascendas Hospitality Trust 835,900 445
^ Croesus Retail Trust 710,300 439
  ARA Asset Management Ltd. 435,556 438
  Yoma Strategic Holdings Ltd. 1,027,500 435
^,* Ezion Holdings Ltd. 1,747,800 375
  Far East Hospitality Trust 843,100 360
  SPH REIT 509,100 357
  Soilbuild Business Space REIT 735,130 357
  Silverlake Axis Ltd. 769,700 354
  Accordia Golf Trust 722,800 341
  RHT Health Trust 539,800 334
^ Sarine Technologies Ltd. 285,300 334
^ OUE Ltd. 258,400 315
^ Sheng Siong Group Ltd. 417,300 313
  Super Group Ltd. 384,800 268
* GL Ltd. 430,000 247
  Sabana Shari'ah Compliant Industrial REIT 620,800 232
^,* COSCO Corp. Singapore Ltd. 1,089,601 199
^ China Everbright Water Ltd. 469,100 192
^ Midas Holdings Ltd. 1,176,200 182
^ Hyflux Ltd. 519,400 173
^ Bumitama Agri Ltd. 291,300 156
  Indofood Agri Resources Ltd. 443,700 153
  Boustead Singapore Ltd. 157,900 102
* Ying Li International Real Estate Ltd. 680,500 79
^,* Vard Holdings Ltd. 502,700 67
^,* Ezra Holdings Ltd. 1,786,900 55
* Halcyon Agri Corp. Ltd. 153,360 52
* Gallant Venture Ltd. 512,200 47
^,* China Fishery Group Ltd. 754,600 41
* Ezion Holdings Ltd Warrants Exp. 04/15/2020 276,736 13
* Keppel DC REIT Rights Exp. 11/07/2016 137,411 9
      178,715
South Korea (11.0%)    
  Samsung Electronics Co. Ltd. 96,318 137,766
  Samsung Electronics Co. Ltd. Preference Shares 16,427 18,887
  NAVER Corp. 24,975 18,685
  SK Hynix Inc. 499,235 17,856
  Hyundai Motor Co. 136,395 16,652
  Shinhan Financial Group Co. Ltd. 428,921 16,408
  Hyundai Mobis Co. Ltd. 61,536 14,677
  KB Financial Group Inc. 389,473 14,417
  POSCO 64,154 13,349
  Samsung C&T Corp. 84,769 11,949
  Korea Electric Power Corp. 241,140 10,432
  KT&G Corp. 104,648 10,321
  Amorepacific Corp. 29,830 9,346
  LG Chem Ltd. 41,394 8,891
  Kia Motors Corp. 243,586 8,649
  Hana Financial Group Inc. 278,897 7,977
  Samsung Fire & Marine Insurance Co. Ltd. 30,773 7,829
  SK Innovation Co. Ltd. 57,685 7,593
  Samsung Life Insurance Co. Ltd. 69,370 6,694
^,* Celltrion Inc. 67,926 6,293
  SK Holdings Co. Ltd. 31,583 6,161
  LG Household & Health Care Ltd. 8,278 5,922

 

52

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* Hyundai Heavy Industries Co. Ltd. 44,150 5,599
  LG Display Co. Ltd. 212,754 5,087
  LG Corp. 84,461 4,517
  LG Electronics Inc. 103,021 4,295
  Samsung SDI Co. Ltd. 51,905 4,272
  SK Telecom Co. Ltd. 21,318 4,179
  Samsung SDS Co. Ltd. 30,948 4,173
  Coway Co. Ltd. 50,919 3,983
  NCSoft Corp. 16,301 3,766
  Korea Zinc Co. Ltd. 9,438 3,748
  AMOREPACIFIC Group 26,720 3,449
  Hankook Tire Co. Ltd. 70,432 3,382
  Lotte Chemical Corp. 13,428 3,374
  Kangwon Land Inc. 100,652 3,336
  Korea Aerospace Industries Ltd. 56,674 3,201
  Woori Bank 275,619 3,004
  Hyundai Steel Co. 69,320 2,987
  Hyundai Motor Co. 2nd Preference Shares 33,825 2,969
  Industrial Bank of Korea 249,148 2,868
  E-MART Inc. 19,436 2,756
  Dongbu Insurance Co. Ltd. 43,334 2,688
  S-Oil Corp. 38,672 2,643
  Hyundai Glovis Co. Ltd. 17,067 2,583
  Hyosung Corp. 21,464 2,507
  Hyundai Engineering & Construction Co. Ltd. 68,790 2,485
  Hyundai Development Co-Engineering & Construction 58,106 2,457
  Orion Corp. 3,773 2,355
  GS Holdings Corp. 48,854 2,173
  BNK Financial Group Inc. 264,887 2,147
  Samsung Electro-Mechanics Co. Ltd. 50,490 2,073
  LG Uplus Corp. 199,453 2,056
  CJ CheilJedang Corp. 6,731 2,053
  Lotte Shopping Co. Ltd. 9,775 1,950
^ Kakao Corp. 28,726 1,915
^ Hanmi Pharm Co. Ltd. 5,891 1,860
  Hanwha Techwin Co. Ltd. 33,387 1,855
  Hanwha Chemical Corp. 77,282 1,820
  CJ Corp. 11,932 1,817
  Hyundai Motor Co. Preference Shares 21,593 1,803
  Daelim Industrial Co. Ltd. 24,958 1,779
  KCC Corp. 5,033 1,777
  Hyundai Marine & Fire Insurance Co. Ltd. 56,110 1,732
  Amorepacific Corp. Preference Shares 9,768 1,705
^ Hotel Shilla Co. Ltd. 29,512 1,476
  Mando Corp. 6,311 1,476
  Samsung Securities Co. Ltd. 48,749 1,466
  BGF retail Co. Ltd. 9,556 1,451
  Hanssem Co. Ltd. 9,361 1,450
  Hyundai Department Store Co. Ltd. 13,918 1,428
  Hanwha Corp. 43,773 1,426
  Hanon Systems 151,554 1,417
  KT Corp. 49,920 1,408
  S-1 Corp. 17,340 1,400
^,* Kumho Tire Co. Inc. 152,570 1,368
  Medy-Tox Inc. 3,726 1,322
  Doosan Heavy Industries & Construction Co. Ltd. 57,939 1,322
  Yuhan Corp. 7,202 1,320
^,* OCI Co. Ltd. 16,399 1,292
  Samsung Card Co. Ltd. 29,881 1,258
  Korea Investment Holdings Co. Ltd. 35,075 1,256
^,* Samsung Heavy Industries Co. Ltd. 144,843 1,231
* CJ Korea Express Corp. 6,924 1,216
  Mirae Asset Securities Co. Ltd. 61,234 1,208
  Hanwha Life Insurance Co. Ltd. 219,458 1,198

 

53

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
^,* Samsung Engineering Co. Ltd. 144,755 1,195
  DGB Financial Group Inc. 141,920 1,189
  Mirae Asset Daewoo Co. Ltd. 168,072 1,133
  LG Chem Ltd. Preference Shares 7,132 1,120
  Shinsegae Inc. 6,454 1,048
  Kumho Petrochemical Co. Ltd. 17,117 1,046
  CJ E&M Corp. 17,146 1,046
  NH Investment & Securities Co. Ltd. 116,179 1,022
^,* GS Engineering & Construction Corp. 43,417 1,013
^,* ViroMed Co. Ltd. 12,532 1,000
  Hyundai Wia Corp. 14,544 998
* Daewoo Engineering & Construction Co. Ltd. 180,731 997
  Kolon Industries Inc. 15,316 995
  Posco Daewoo Corp. 45,002 977
  Korea Gas Corp. 24,018 971
^,* Komipharm International Co. Ltd. 28,322 957
* Korean Air Lines Co. Ltd. 33,944 949
  KEPCO Plant Service & Engineering Co. Ltd. 19,133 917
  Lotte Confectionery Co. Ltd. 5,354 899
  LG Innotek Co. Ltd. 13,096 892
  Korea Kolmar Co. Ltd. 12,343 878
  Doosan Corp. 9,783 875
  KB Insurance Co. Ltd. 34,485 872
  SK Chemicals Co. Ltd. 16,693 871
^ Meritz Securities Co. Ltd. 288,414 855
  Cheil Worldwide Inc. 57,706 854
  Korean Reinsurance Co. 81,234 837
  LG Household & Health Care Ltd. Preference Shares 1,958 814
  SK Networks Co. Ltd. 142,616 811
  LS Corp. 16,482 788
^,* Doosan Infracore Co. Ltd. 129,731 783
^ Youngone Corp. 27,235 764
  Ottogi Corp. 1,309 752
^ Hanmi Science Co. ltd 11,213 744
^,* Com2uSCorp 8,909 738
  Meritz Fire & Marine Insurance Co. Ltd. 52,954 737
^ Lotte Chilsung Beverage Co. Ltd. 544 732
^ Fila Korea Ltd. 9,574 729
  NongShim Co. Ltd. 2,878 724
^ CJ CGV Co. Ltd. 11,971 708
  SK Materials Co. Ltd. 5,130 698
^ Innocean Worldwide Inc. 11,322 685
^ Hyundai Greenfood Co. Ltd. 46,244 677
  Dongsuh Cos. Inc. 28,324 671
^ KIWOOM Securities Co. Ltd. 11,541 669
^,* LIG Nex1 Co. Ltd. 9,977 644
* NHN Entertainment Corp. 14,082 617
^ Tongyang Inc. 216,659 608
^,* Yungjin Pharmaceutical Co. Ltd. 77,224 589
^ Green Cross Corp. 4,823 587
  GS Retail Co. Ltd. 13,508 575
^ Hansol Chemical Co. Ltd. 7,832 566
* Hugel Inc. 1,884 564
^ Samyang Holdings Corp. 5,120 558
^ Kolon Life Science Inc. 4,251 555
* LG Life Sciences Ltd. 10,069 546
* Hyundai Mipo Dockyard Co. Ltd. 8,878 543
^,* HLB Inc. 31,994 542
^ Cosmax Inc. 5,301 534
^ IS Dongseo Co. Ltd. 12,153 525
  LG International Corp. 21,588 525
^ Hite Jinro Co. Ltd. 26,920 517
  Poongsan Corp. 16,979 516
^,* Pan Ocean Co. Ltd. 163,210 514

 

54

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
^ Paradise Co. Ltd. 44,487 504
  Hyundai Home Shopping Network Corp. 5,034 499
^,* Advanced Process Systems Corp. 21,795 496
  Huchems Fine Chemical Corp. 23,812 492
  JB Financial Group Co. Ltd. 94,330 489
  Green Cross Holdings Corp. 24,522 475
^ JW Pharmaceutical Corp. 11,000 472
  Korea Petrochemical Ind Co. Ltd. 2,614 466
^,* Wonik Holdings Co. Ltd. 82,164 465
  LS Industrial Systems Co. Ltd. 13,302 455
^ Chong Kun Dang Pharmaceutical Corp. 5,573 450
^ Koh Young Technology Inc. 11,455 448
^,* Osstem Implant Co. Ltd. 9,405 447
  LG Hausys Ltd. 5,356 442
  Handsome Co. Ltd. 12,437 441
  SFA Engineering Corp. 8,620 435
  GS Home Shopping Inc. 2,831 435
* Dongbu HiTek Co. Ltd. 29,245 435
  Hankook Tire Worldwide Co. Ltd. 22,755 430
^ Hana Tour Service Inc. 7,619 429
  Daesang Corp. 18,123 426
  Halla Holdings Corp. 7,070 418
  Soulbrain Co. Ltd. 7,671 418
^ Bukwang Pharmaceutical Co. Ltd. 19,101 416
^,* Hyundai Elevator Co. Ltd. 8,461 413
^,* SM Entertainment Co. 17,136 408
^,* DIO Corp. 10,192 406
^ Hanjin Kal Corp. 27,412 404
^ Lotte Food Co. Ltd. 667 403
  SKC Co. Ltd. 16,997 401
  Samsung Fire & Marine Insurance Co. Ltd. Preference Shares 2,427 400
  Daou Technology Inc. 22,159 400
^ Eo Technics Co. Ltd. 7,251 399
^,* Chabiotech Co. Ltd. 32,644 393
  LOTTE Himart Co. Ltd. 10,196 393
^ Korea Real Estate Investment & Trust Co. Ltd. 151,848 390
^,* Ilyang Pharmaceutical Co. Ltd. 11,252 384
  LOTTE Fine Chemical Co. Ltd. 15,160 384
  Korea Electric Terminal Co. Ltd. 6,075 379
^,* Hanall Biopharma Co. Ltd. 36,876 379
^ Seoul Semiconductor Co. Ltd. 31,625 378
^,* Daewoo Shipbuilding & Marine Engineering Co. Ltd. 95,520 374
^ Nexen Tire Corp. 32,546 373
  Young Poong Corp. 426 369
* Dongkuk Steel Mill Co. Ltd. 51,535 368
^,* Medipost Co. Ltd. 7,412 366
^ Jeil Pharmaceutical Co. 6,129 363
  Hanwha General Insurance Co. Ltd. 54,548 362
^,* Seegene Inc. 13,696 362
^,* Taihan Electric Wire Co. Ltd. 217,722 359
  Taekwang Industrial Co. Ltd. 483 354
  CJ O Shopping Co. Ltd. 2,493 353
^,* GemVax & Kael Co. Ltd. 27,900 350
^ Amicogen Inc. 8,184 347
^ DuzonBizon Co. Ltd. 17,697 345
^ Dong-A ST Co. Ltd. 4,596 344
^,* Hyundai Rotem Co. Ltd. 20,921 342
^,* Vieworks Co. Ltd. 6,340 340
^,* Loen Entertainment Inc. 5,746 338
  LG Electronics Inc. Preference Shares 16,228 337
^ Grand Korea Leisure Co. Ltd. 17,707 336
  Daishin Securities Co. Ltd. 36,349 334
  LEENO Industrial Inc. 8,900 334
^,* CrystalGenomics Inc. 20,156 332

 

55

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
^ Dongwon Industries Co. Ltd. 1,228 330
* Asiana Airlines Inc. 81,449 329
^,* Genexine Co. Ltd. 10,214 329
^ Samyang Corp. 3,651 328
* Foosung Co. Ltd. 48,122 326
  Tongyang Life Insurance Co. Ltd. 31,110 326
^ Hansae Co. Ltd. 14,690 325
^,* iNtRON Biotechnology Inc. 11,932 322
  Dong-A Socio Holdings Co. Ltd. 2,527 320
^,* Caregen Co. Ltd. 3,866 319
  LF Corp. 16,620 315
^ Ahnlab Inc. 5,591 315
^ Meritz Financial Group Inc. 31,983 314
^ Samlip General Foods Co. Ltd. 2,049 305
  Partron Co. Ltd. 37,918 296
  KEPCO Engineering & Construction Co. Inc. 13,462 295
^ Toptec Co. Ltd. 17,172 288
^ SK Gas Ltd. 3,416 287
^,* Binex Co. Ltd. 21,825 287
^,* Jenax Inc. 12,793 283
^ Hanjin Transportation Co. Ltd. 10,922 281
* Ssangyong Cement Industrial Co. Ltd. 19,667 276
^ Mirae Asset Life Insurance Co. Ltd. 67,421 276
^ InBody Co. Ltd. 9,464 273
^,* G-SMATT GLOBAL Co. Ltd. 12,258 271
^,* Jusung Engineering Co. Ltd. 32,397 267
^,* NUTRIBIOTECH Co. Ltd. 4,678 266
^,* DoubleUGames Co. Ltd. 8,541 265
^ Muhak Co. Ltd. 13,199 262
* Ssangyong Motor Co. 40,269 259
^,* Emerson Pacific Inc. 7,836 257
^ JW Holdings Corp. 29,522 257
  AK Holdings Inc. 4,761 256
^,* ATGen Co. Ltd. 7,982 254
  NICE Holdings Co. Ltd. 17,208 253
* WONIK IPS Co. Ltd. 12,458 253
^,* Cellumed Co. Ltd. 152,054 253
^,* Posco ICT Co. Ltd. 50,296 251
  Namyang Dairy Products Co. Ltd. 425 250
^ Daewoong Pharmaceutical Co. Ltd. 4,186 249
  Youngone Holdings Co. Ltd. 4,909 247
  KISWIRE Ltd. 7,200 245
^ Sebang Global Battery Co. Ltd. 7,567 245
^,* Seobu T&D 14,052 244
^ YG Entertainment Inc. 9,383 240
^,* i-SENS Inc. 8,269 236
^,* Webzen Inc. 15,711 236
^ Dae Hwa Pharmaceutical Co. Ltd. 10,363 235
^ iMarketKorea Inc. 20,930 234
  Binggrae Co. Ltd. 4,279 233
  S&T Motiv Co. Ltd. 6,492 232
^ Hanil Cement Co. Ltd. 3,546 230
^,* Schnell Biopharmaceuticals Inc. 69,551 228
  Lutronic Corp. 6,830 227
  Samchully Co. Ltd. 2,633 224
  Songwon Industrial Co. Ltd. 14,653 224
* Hanwha Corp. Preference Shares 13,575 224
^ Hankook Shell Oil Co. Ltd. 578 223
^,* It's Skin Co. Ltd. 5,498 222
* SK Securities Co. Ltd. 245,171 222
  KT Skylife Co. Ltd. 13,988 218
^ Cell Biotech Co. Ltd. 5,481 217
^,* Naturalendo Tech Co. Ltd. 12,905 217
^ NS Shopping Co. Ltd. 1,499 216

 

56

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Silicon Works Co. Ltd. 9,198 215
^,* Yuanta Securities Korea Co. Ltd. 78,425 214
^ Dawonsys Co. Ltd. 17,532 214
* Kumho Industrial Co. Ltd. 25,549 213
^ Hancom Inc. 13,852 213
  NICE Information Service Co. Ltd. 31,728 212
  Kwang Dong Pharmaceutical Co. Ltd. 29,386 212
^,* Hansol Technics Co. Ltd. 16,017 211
^ Hyundai Livart Furniture Co. Ltd. 9,784 211
  Sungwoo Hitech Co. Ltd. 31,431 210
^ Modetour Network Inc. 9,061 210
  Seah Besteel Corp. 10,317 209
  Maeil Dairy Industry Co. Ltd. 6,926 205
^,* DongKook Pharmaceutical Co. Ltd. 4,442 203
^ POSCO Chemtech Co. Ltd. 19,572 203
* Samsung Heavy Industries Rights Exp. 11/08/2016 89,932 203
  Daekyo Co. Ltd. 27,547 201
^ Huons Global Co. Ltd. 5,340 201
  Hansol Paper Co. Ltd. 11,125 197
^,* CMG Pharmaceutical Co. Ltd. 74,002 197
* Taewoong Co. Ltd. 8,132 196
* Hanjin Heavy Industries & Construction Co. Ltd. 57,114 194
  Daeduck Electronics Co. 29,381 193
^ Kolao Holdings 25,107 193
  CJ CheilJedang Corp. Preference Shares 1,253 192
^,* Leaders Cosmetics Co. Ltd. 11,056 191
  Humax Co. Ltd. 14,878 190
  AtlasBX Co. Ltd. 4,004 189
^,* Pharmicell Co. Ltd. 47,087 189
  Kwangju Bank 21,375 189
^ Dongwon F&B Co. Ltd. 1,066 188
  Shinyoung Securities Co. Ltd. 4,264 185
^ SL Corp. 13,785 184
^ Able C&C Co. Ltd. 10,026 183
  Sindoh Co. Ltd. 3,962 182
^ Chongkundang Holdings Corp. 3,115 180
^ Lock&Lock Co. Ltd. 15,389 180
^,* Gamevil Inc. 3,698 179
  CJ Hellovision Co. Ltd. 25,075 179
^ Cuckoo Electronics Co. Ltd. 1,552 179
^ Byucksan Corp. 41,431 178
^,* Huons Co. Ltd. 3,370 173
  S&T Dynamics Co. Ltd. 21,412 173
^,* Korea Line Corp. 10,864 171
^,* ICD Co. Ltd. 12,547 169
^ GOLFZON Co. Ltd. 2,849 168
^,* Peptron Inc. 4,599 168
^ Crown Confectionery Co. Ltd. 6,080 166
* Woongjin Thinkbig Co. Ltd. 19,431 162
^ Seoyon E-Hwa Co. Ltd. 12,026 160
  E1 Corp. 2,974 158
* Hansol Holdings Co. Ltd. 28,037 157
  Daeduck GDS Co. Ltd. 15,142 157
^ Interpark Holdings Corp. 36,083 157
^,* COSON Co. Ltd. 13,322 156
^ Humedix Co. Ltd. 4,909 155
  SeAH Steel Corp. 2,547 155
* Taeyoung Engineering & Construction Co. Ltd. 36,177 154
^,* CUROCOM Co. Ltd. 69,635 153
  Kolon Corp. 3,425 152
^ Korea Kolmar Holdings Co. Ltd. 5,897 151
^ CJ Freshway Corp. 4,321 148
^,* CrucialTec Co. Ltd. 21,108 147
^,* Hanwha Investment & Securities Co. Ltd. 75,291 147

 

57

 

Vanguard® Pacific Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
^,* Agabang&Company 22,329 145
^ Cosmax BTI Inc 4,116 145
^,* Duk San Neolux Co. Ltd. 5,604 144
^ KISCO Corp. 4,359 143
  Youlchon Chemical Co. Ltd. 12,047 143
^ KH Vatec Co. Ltd. 12,932 142
  SBS Media Holdings Co. Ltd. 55,748 139
* Samsung Biologics Co. Ltd. 1,150 137
* Green Cross Cell Corp. 5,374 137
^,* WeMade Entertainment Co. Ltd. 7,992 136
  Kyobo Securities Co. Ltd. 16,417 133
^,* Lumens Co. Ltd. 37,737 132
^ Namhae Chemical Corp. 18,610 132
  Daishin Securities Co. Ltd. Preference Shares 19,354 132
  Hyundai Corp. 7,187 132
^ Sung Kwang Bend Co. Ltd. 15,908 131
  Dae Han Flour Mills Co. Ltd. 842 130
^ Daewoong Co. Ltd. 3,221 124
^,* Insun ENT Co. Ltd. 24,551 122
^ Coreana Cosmetics Co. Ltd. 22,740 119
* Eugene Investment & Securities Co. Ltd. 56,837 119
^ KONA I Co. Ltd. 11,398 119
^,* KTB Investment & Securities Co. Ltd. 44,088 110
  Sam Young Electronics Co. Ltd. 11,192 109
^,* Neowiz Games Corp. 11,282 106
* Interflex Co. Ltd. 7,133 102
^,* Samsung Pharmaceutical Co. Ltd. 28,070 101
  INTOPS Co. Ltd. 5,617 99
^,* SFA Semicon Co. Ltd. 49,016 95
^ NEPES Corp. 15,206 94
  Seoyon Co. Ltd. 9,429 91
^ GOLFZONYUWONHOLDINGS Co. Ltd. 13,382 91
  TK Corp. 12,269 91
^,* 3S Korea Co. Ltd. 38,610 90
  Eusu Holdings Co. Ltd. 15,078 82
^,* Duksan Hi-Metal Co. Ltd. 12,546 81
* Doosan Engine Co. Ltd. 23,830 73
* Dongbu Securities Co. Ltd. 24,758 72
  Hyundai C&F Inc. 5,099 72
  MegaStudy Co. Ltd. 2,433 69
  Hitejinro Holdings Co. Ltd. 6,100 64
  MegaStudyEdu Co. Ltd. 1,495 62
^ DY Corp. 7,582 41
* Hanjin Heavy Industries & Construction Holdings Co. Ltd. 4,775 22
  KT Corp. ADR 1,302 21
* Interflex Co. Ltd. Rights Exp. 11/24/2016 2,046 7
* Lutronic Corp. Pref Rights Exp. 12/02/2016 1,099 3
* Lutronic Corp. Rights Exp. 12/02/2016 231 1
 
      637,751
Total Common Stocks (Cost $6,702,027)   5,747,525

 

58

 

Vanguard® Pacific Stock Index Fund
Schedule of Investments
October 31, 2016

        Market
        Value
  Coupon   Shares ($000)
Temporary Cash Investments (2.2%)1        
Money Market Fund (2.1%)        
3,4 Vanguard Market Liquidity Fund 0.718%   1,248,857 124,898
 
      Face  
    Maturity Amount  
    Date ($000)  
U.S. Government and Agency Obligations (0.1%)        
5 United States Treasury Bill 0.311%-0.321% 12/1/16 2,700 2,700
United States Treasury Bill 0.340% 12/8/16 600 600
        3,300
Total Temporary Cash Investments (Cost $128,194)       128,198
Total Investments (101.8%) (Cost $6,830,221)       5,875,723
Other Assets and Liabilities—Net (-1.8%)4       (104,075)
Net Assets (100%)       5,771,648

^ Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $115,977,000.
* Non-income-producing security.
1 The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect to futures
investments, the fund's effective common stock and temporary cash investment positions represent 100.1% and 1.7%, respectively, of net
assets.
2 Security exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in transactions exempt from
registration, normally to qualified institutional buyers. At October 31, 2016, the aggregate value of these securities was $7,950,000,
representing 0.1% of net assets.
3 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day
yield.
4 Includes $124,959,000 of collateral received for securities on loan.
5 Securities with a value of $1,700,000 have been segregated as initial margin for open futures contracts.
ADR—American Depositary Receipt.
REIT—Real Estate Investment Trust.

59

 

© 2016 The Vanguard Group, Inc.
All rights reserved.
Vanguard Marketing Corporation, Distributor.

SNA720 122016


Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
 
Common Stocks (99.2%)1    
Argentina (0.0%)    
* First Data Corp. Class A 72,700 1,017
 
Australia (2.4%)    
Commonwealth Bank of Australia 350,257 19,499
Westpac Banking Corp. 682,303 15,778
Australia & New Zealand Banking Group Ltd. 597,486 12,616
BHP Billiton Ltd. 673,278 11,763
National Australia Bank Ltd. 541,482 11,494
CSL Ltd. 95,836 7,313
Wesfarmers Ltd. 234,020 7,287
Woolworths Ltd. 264,896 4,754
Macquarie Group Ltd. 64,191 3,880
Rio Tinto Ltd. 91,094 3,769
Scentre Group 1,065,100 3,409
Telstra Corp. Ltd. 895,053 3,385
Transurban Group 423,998 3,346
Woodside Petroleum Ltd. 152,963 3,274
Brambles Ltd. 327,213 2,865
Newcrest Mining Ltd. 158,788 2,780
Amcor Ltd. 245,345 2,738
Westfield Corp. 401,190 2,711
Suncorp Group Ltd. 267,043 2,424
South32 Ltd. 1,116,630 2,179
QBE Insurance Group Ltd. 286,360 2,170
AMP Ltd. 610,414 2,117
Insurance Australia Group Ltd. 503,114 2,103
AGL Energy Ltd. 142,905 2,082
Goodman Group 369,257 1,903
Stockland 503,157 1,690
Aristocrat Leisure Ltd. 134,863 1,570
Ramsay Health Care Ltd. 27,372 1,524
Vicinity Centres 695,482 1,517
Aurizon Holdings Ltd. 408,986 1,515
Origin Energy Ltd. 363,150 1,464
APA Group 240,272 1,452
ASX Ltd. 40,225 1,439
Fortescue Metals Group Ltd. 342,422 1,437
James Hardie Industries plc 95,433 1,420
Dexus Property Group 204,778 1,391
Sonic Healthcare Ltd. 86,018 1,338
GPT Group 373,698 1,321
Treasury Wine Estates Ltd. 156,826 1,279
Caltex Australia Ltd. 54,559 1,270
Mirvac Group 795,761 1,262
Oil Search Ltd. 248,801 1,247
LendLease Group 116,709 1,196
Cochlear Ltd. 12,057 1,171
Medibank Pvt Ltd. 584,055 1,144
Sydney Airport 234,563 1,115
Orica Ltd. 80,321 992
Challenger Ltd. 120,072 980
Santos Ltd. 358,688 960
DUET Group 500,235 906
Tatts Group Ltd. 292,288 901
Computershare Ltd. 103,253 827
Bendigo & Adelaide Bank Ltd. 97,541 824
Coca-Cola Amatil Ltd. 112,914 818
SEEK Ltd. 71,429 793
Incitec Pivot Ltd. 351,546 786
Boral Ltd. 156,423 747
BlueScope Steel Ltd. 120,876 717
Tabcorp Holdings Ltd. 187,869 690

 

1

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Crown Resorts Ltd. 80,841 668
Star Entertainment Grp Ltd. 171,369 648
Bank of Queensland Ltd. 79,978 635
Domino's Pizza Enterprises Ltd. 12,777 622
Alumina Ltd. 515,102 619
Healthscope Ltd. 364,183 611
Orora Ltd. 255,401 563
Vocus Communications Ltd. 125,166 543
ALS Ltd. 112,726 533
Ansell Ltd. 31,028 511
JB Hi-Fi Ltd. 23,575 508
Qantas Airways Ltd. 212,957 495
CIMIC Group Ltd. 19,655 441
Harvey Norman Holdings Ltd. 109,850 421
AusNet Services 365,960 417
IOOF Holdings Ltd. 66,792 416
Qube Holdings Ltd. 238,250 403
REA Group Ltd. 10,373 402
Northern Star Resources Ltd. 123,946 401
Downer EDI Ltd. 89,458 395
DuluxGroup Ltd. 79,739 390
Link Administration Holdings Ltd. 70,893 388
nib holdings Ltd. 105,782 387
Evolution Mining Ltd. 217,708 384
Iluka Resources Ltd. 86,756 380
TPG Telecom Ltd. 65,706 377
Adelaide Brighton Ltd. 90,107 366
Investa Office Fund 113,061 364
Magellan Financial Group Ltd. 22,224 359
carsales.com Ltd. 43,429 351
* Mayne Pharma Group Ltd. 279,002 347
Independence Group NL 106,625 347
OZ Minerals Ltd. 63,955 327
Perpetual Ltd. 9,284 319
Macquarie Atlas Roads Group 88,596 317
Flight Centre Travel Group Ltd. 12,231 314
* Metcash Ltd. 203,181 307
CSR Ltd. 109,660 305
BT Investment Management Ltd. 43,352 304
Fairfax Media Ltd. 483,838 303
Primary Health Care Ltd. 100,087 292
* WorleyParsons Ltd. 44,842 287
GrainCorp Ltd. Class A 44,150 282
Sims Metal Management Ltd. 36,004 274
Mineral Resources Ltd. 30,997 273
Bapcor Ltd. 69,451 271
Premier Investments Ltd. 23,993 258
IRESS Ltd. 29,801 257
* Whitehaven Coal Ltd. 109,265 251
ARB Corp. Ltd. 19,394 251
Charter Hall Group 69,676 249
Regis Resources Ltd. 98,394 248
Nufarm Ltd. 36,677 246
Navitas Ltd. 61,185 243
InvoCare Ltd. 24,361 242
Charter Hall Retail REIT 70,558 222
Cleanaway Waste Management Ltd. 251,594 222
^ Blackmores Ltd. 2,602 221
Super Retail Group Ltd. 29,644 220
Shopping Centres Australasia Property Group 128,582 214
Sigma Pharmaceuticals Ltd. 209,696 212
Sirtex Medical Ltd. 9,804 208
* St. Barbara Ltd. 101,121 206
Cromwell Property Group 294,630 204

 

2

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Pact Group Holdings Ltd. 40,730 203
  Aveo Group 83,081 203
  BWP Trust 89,415 202
2 MYOB Group Ltd. 71,583 201
  Breville Group Ltd. 27,898 196
  Spotless Group Holdings Ltd. 257,439 195
  G8 Education Ltd. 78,555 188
  Automotive Holdings Group Ltd. 60,314 185
  Platinum Asset Management Ltd. 46,689 177
  Costa Group Holdings Ltd. 80,223 174
  Myer Holdings Ltd. 192,568 172
  Webjet Ltd. 19,104 159
  Southern Cross Media Group Ltd. 144,229 157
* Aconex Ltd. 36,255 153
  Sandfire Resources NL 38,621 152
  Ardent Leisure Group 97,717 150
  Beach Energy Ltd. 265,042 144
* Nanosonics Ltd. 54,585 144
  GUD Holdings Ltd. 19,592 141
* Australian Agricultural Co. Ltd. 106,617 141
  GWA Group Ltd. 65,018 141
*,^ Syrah Resources Ltd. 51,297 140
  Steadfast Group Ltd. 85,557 139
  Seven Group Holdings Ltd. 19,431 134
  Abacus Property Group 62,402 133
  Monadelphous Group Ltd. 18,471 131
  Resolute Mining Ltd. 107,430 127
  McMillan Shakespeare Ltd. 15,440 127
  FlexiGroup Ltd. 73,158 125
  APN Outdoor Group Ltd. 34,532 125
* Orocobre Ltd. 41,367 120
  Corporate Travel Management Ltd. 8,315 120
  Bega Cheese Ltd. 31,922 120
* Saracen Mineral Holdings Ltd. 138,314 120
  Eclipx Group Ltd. 40,726 119
  Tassal Group Ltd. 40,658 119
  Village Roadshow Ltd. 30,616 118
  Retail Food Group Ltd. 22,951 118
  Brickworks Ltd. 11,518 118
  IDP Education Ltd. 34,158 118
* NEXTDC Ltd. 41,947 117
  Mantra Group Ltd. 46,106 115
  Credit Corp. Group Ltd. 8,434 114
^ Bellamy's Australia Ltd. 12,983 112
  Altium Ltd. 18,786 112
  360 Capital Industrial Fund 59,309 111
  iSentia Group Ltd. 40,814 109
  SAI Global Ltd. 29,194 104
* Infigen Energy 134,985 103
  Genworth Mortgage Insurance Australia Ltd. 43,533 101
^ IPH Ltd. 22,711 101
  Arena REIT 68,505 101
* Western Areas Ltd. 52,834 99
* Galaxy Resources Ltd. 369,407 99
  Seven West Media Ltd. 191,420 99
* Perseus Mining Ltd. 207,674 98
  Technology One Ltd. 22,813 97
* APN News & Media Ltd. 47,055 96
  Japara Healthcare Ltd. 64,092 92
* Pilbara Minerals Ltd. 220,998 87
  Growthpoint Properties Australia Ltd. 35,493 84
  CSG Ltd. 85,730 83
  oOh!media Ltd. 25,588 83
^ Regis Healthcare Ltd. 27,703 83

 

3

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
^ Cover-More Group Ltd. 76,291 83
* Highfield Resources Ltd. 94,587 82
  Collins Foods Ltd. 22,331 82
  National Storage REIT 73,989 81
  RCG Corp. Ltd. 73,467 81
  Ingenia Communities Group 38,871 80
* Beadell Resources Ltd. 223,979 80
  Gateway Lifestyle 44,687 79
  Folkestone Education Trust 41,409 78
  Nine Entertainment Co. Holdings Ltd. 118,560 77
* Gold Road Resources Ltd. 176,515 77
  Select Harvests Ltd. 16,297 76
  SmartGroup Corp. Ltd. 16,682 76
  SG Fleet Group Ltd. 27,592 75
  BWX Ltd. 20,537 75
* Bradken Ltd. 29,923 73
  MACA Ltd. 54,308 73
  Asaleo Care Ltd. 64,802 72
* Karoon Gas Australia Ltd. 40,339 70
  Astro Japan Property Group 13,425 69
^ TFS Corp. Ltd. 62,856 67
  Australian Pharmaceutical Industries Ltd. 45,992 66
  Hotel Property Investments 30,663 66
* Senex Energy Ltd. 319,614 61
*,^ Mesoblast Ltd. 65,159 61
  Greencross Ltd. 10,999 58
* Blue Sky Alternative Investments Ltd. 10,502 58
  GDI Property Group 75,397 56
* UGL Ltd. 22,674 55
  Programmed Maintenance Services Ltd. 48,054 52
^ Estia Health Ltd. 25,174 51
  OFX Group Ltd. 39,620 47
  Reject Shop Ltd. 6,933 39
* AWE Ltd. 93,461 38
  Virtus Health Ltd. 7,125 38
  Tox Free Solutions Ltd. 20,484 37
  RCR Tomlinson Ltd. 18,116 37
  WPP AUNZ Ltd. 58,559 36
  Cabcharge Australia Ltd. 13,013 36
*,^ Liquefied Natural Gas Ltd. 69,122 29
* Mount Gibson Iron Ltd. 105,993 26
  Cedar Woods Properties Ltd. 7,313 25
* Cardno Ltd. 35,086 25
  Thorn Group Ltd. 17,486 23
  NZME Ltd. 47,055 22
* Ten Network Holdings Ltd. 27,323 21
  Ainsworth Game Technology Ltd. 14,747 20
  ERM Power Ltd. 23,151 20
* Lynas Corp. Ltd. 437,604 19
  SMS Management & Technology Ltd. 14,483 17
*,^ Paladin Energy Ltd. 153,176 16
*,^ Slater & Gordon Ltd. 55,852 15
* Starpharma Holdings Ltd. 23,801 13
* Billabong International Ltd. 14,358 13
* MMA Offshore Ltd. 40,368 9
* Arrium Ltd. 450,831 8
* Capitol Health Ltd. 76,464 7
  Cash Converters International Ltd. 29,337 7
* Acrux Ltd. 27,063 7
  Decmil Group Ltd. 5,745 5
* Strandline Resources Ltd. 22,019
* DSHE Holdings Ltd. 14,824
* Jacana Minerals Ltd. 5,347
      211,577

 

4

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
Austria (0.1%)    
  Erste Group Bank AG 59,713 1,873
  OMV AG 30,168 941
  voestalpine AG 24,646 873
  ANDRITZ AG 15,063 788
  BUWOG AG 18,778 454
  IMMOFINANZ AG 198,741 428
* Raiffeisen Bank International AG 24,597 403
  Wienerberger AG 24,199 387
  CA Immobilien Anlagen AG 16,756 304
  Oesterreichische Post AG 7,276 251
  Lenzing AG 1,880 245
  Conwert Immobilien Invest SE 13,304 236
  Verbund AG 13,384 223
  Mayr Melnhof Karton AG 1,666 184
  Schoeller-Bleckmann Oilfield Equipment AG 2,289 162
  Telekom Austria AG Class A 27,541 158
  Vienna Insurance Group AG Wiener Versicherung Gruppe 7,914 156
  RHI AG 5,314 134
  Zumtobel Group AG 6,626 116
  UNIQA Insurance Group AG 17,732 114
  Kapsch TrafficCom AG 2,165 97
  EVN AG 7,792 91
  Strabag SE 2,677 90
  DO & CO AG 1,150 89
  S IMMO AG 7,798 84
* Flughafen Wien AG 3,428 83
  Semperit AG Holding 2,008 54
  Palfinger AG 1,090 33
      9,051
Belgium (0.4%)    
* Anheuser-Busch InBev SA/NV 165,954 19,047
* KBC Group NV 57,350 3,496
  UCB SA 25,901 1,753
  Solvay SA Class A 14,968 1,717
  Ageas 43,581 1,592
  Groupe Bruxelles Lambert SA 16,135 1,387
  Umicore SA 20,179 1,227
  Proximus SADP 29,243 837
  Colruyt SA 13,994 752
  Ackermans & van Haaren NV 5,274 732
  bpost SA 20,298 540
* Telenet Group Holding NV 9,828 526
  Cofinimmo SA 4,202 492
  Ontex Group NV 15,357 465
  Sofina SA 3,211 448
  Bekaert SA 6,885 306
  Melexis NV 4,369 286
  Elia System Operator SA/NV 5,524 286
  Warehouses De Pauw CVA 3,090 285
  Befimmo SA 4,397 256
  D'ieteren SA/NV 5,632 248
* Aedifica SA 2,582 214
  Gimv NV 3,672 198
  Cie d'Entreprises CFE 1,711 189
  Ion Beam Applications 3,801 180
  Euronav NV 22,833 179
* Tessenderlo Chemie NV (Voting Shares) 4,912 164
  Econocom Group SA/NV 10,761 160
* AGFA-Gevaert NV 35,336 147
  Barco NV 1,594 125
*,^ Nyrstar (Voting Shares) 22,019 113
* Orange Belgium SA 4,121 93
  Kinepolis Group NV 1,963 88

 

5

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* KBC Ancora 2,239 85
  EVS Broadcast Equipment SA 2,319 81
  Van de Velde NV 888 63
  Wereldhave Belgium NV 434 54
      38,811
Brazil (0.9%)    
  Itau Unibanco Holding SA Preference Shares 487,318 5,862
* Petroleo Brasileiro SA Preference Shares 701,592 3,888
  Banco Bradesco SA ADR 368,860 3,840
  Ambev SA ADR 540,848 3,191
* Petroleo Brasileiro SA 511,446 2,987
  Banco Bradesco SA Preference Shares 242,824 2,544
  BRF SA 148,024 2,476
  Ambev SA 418,917 2,471
  Itausa - Investimentos Itau SA Preference Shares 811,567 2,400
* Petroleo Brasileiro SA ADR 200,078 2,335
  Cielo SA 216,174 2,194
  BM&FBovespa SA - Bolsa de Valores Mercadorias e Futuros 364,950 2,149
  Itau Unibanco Holding SA ADR 174,675 2,084
  Ultrapar Participacoes SA 81,248 1,841
  Banco do Brasil SA 183,793 1,687
  Kroton Educacional SA 321,636 1,602
*,^ Vale SA-SP Class B ADR 194,064 1,343
  BB Seguridade Participacoes SA 123,939 1,248
* Vale SA Preference Shares 187,666 1,213
  Telefonica Brasil SA Preference Shares 82,664 1,196
* Vale SA Class B Pfd. ADR 183,839 1,184
  Raia Drogasil SA 52,300 1,161
  Lojas Renner SA 134,300 1,136
  CCR SA 175,900 956
  Lojas Americanas SA Preference Shares 144,825 939
  Banco Bradesco SA 90,697 902
  Banco Santander Brasil SA 95,900 790
  Cia de Saneamento Basico do Estado de Sao Paulo 74,600 788
  Equatorial Energia SA 40,500 722
  Hypermarcas SA 80,212 672
  CETIP SA - Mercados Organizados 46,054 647
  Embraer SA ADR 29,863 639
  WEG SA 109,022 601
  Cia Brasileira de Distribuicao Grupo Pao de Acucar Preference Shares 31,421 600
  Klabin SA 116,000 598
* Vale SA 83,100 575
  Engie Brasil Energia SA 43,100 548
* BR Malls Participacoes SA 128,830 516
* Rumo Logistica Operadora Multimodal SA 204,283 457
  CPFL Energia SA 59,729 453
  JBS SA 144,798 441
* Centrais Eletricas Brasileiras SA 57,200 425
  M Dias Branco SA 9,900 423
* Centrais Eletricas Brasileiras SA Preference Shares 46,500 398
  TIM Participacoes SA 140,600 390
  Gerdau SA Preference Shares 107,200 370
  Localiza Rent a Car SA 29,800 370
  BTG Pactual Group 71,092 362
  Fibria Celulose SA 44,900 359
  Natura Cosmeticos SA 36,800 354
  Cia Energetica de Minas Gerais Preference Shares 111,500 341
  Qualicorp SA 52,300 337
  Multiplan Empreendimentos Imobiliarios SA 16,500 332
  Sul America SA 53,809 325
  Cosan SA Industria e Comercio 23,900 321
  Estacio Participacoes SA 54,600 317
  EDP - Energias do Brasil SA 65,567 315
* Cia Siderurgica Nacional SA 86,800 292

 

6

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Gerdau SA ADR 82,126 282
Braskem SA Preference Shares 30,780 273
TOTVS SA 28,800 261
AES Tiete Energia SA 46,360 240
Sao Martinho SA 11,900 237
Cia Hering 38,400 233
Smiles SA 12,600 230
Fleury SA 16,400 217
Porto Seguro SA 22,872 217
Cia Energetica de Sao Paulo Preference Shares 46,585 216
* Petroleo Brasileiro SA ADR Type A 19,355 214
Suzano Papel e Celulose SA Preference Shares Class A 58,834 208
MRV Engenharia e Participacoes SA 52,900 205
Iguatemi Empresa de Shopping Centers SA 21,200 200
Banco do Estado do Rio Grande do Sul SA Preference Shares 46,698 199
Cia de Transmissao de Energia Eletrica Paulista Preference Shares 9,077 197
Bradespar SA Preference Shares 47,700 194
Odontoprev SA 51,300 193
* Cia Siderurgica Nacional SA ADR 55,570 187
Cyrela Brazil Realty SA Empreendimentos e Participacoes 55,598 187
* Minerva SA 57,400 182
CVC Brasil Operadora e Agencia de Viagens SA 21,400 164
Duratex SA 60,585 164
Embraer SA 30,300 163
* Metalurgica Gerdau SA Preference Shares Class A 107,700 160
Valid Solucoes e Servicos de Seguranca em Meios de Pagamento e Identificacao SA 16,853 158
* B2W Cia Digital 29,420 145
Transmissora Alianca de Energia Eletrica SA 21,427 139
Cia Paranaense de Energia Preference Shares 11,500 132
* Usinas Siderurgicas de Minas Gerais SA Preference Shares 92,471 131
Cia de Saneamento de Minas Gerais-COPASA 12,189 127
Multiplus SA 9,100 123
Linx SA 19,800 118
* Marcopolo SA Preference Shares 109,900 112
Cia Energetica de Minas Gerais 35,922 109
Alpargatas SA Preference Shares 28,989 96
Grendene SA 15,600 96
TIM Participacoes SA ADR 6,700 93
* EcoRodovias Infraestrutura e Logistica SA 29,800 88
Aliansce Shopping Centers SA 16,800 88
BR Properties SA 32,400 87
Alupar Investimento SA 13,346 78
Iochpe Maxion SA 14,900 76
Cia Paranaense de Energia 10,000 74
* Marfrig Global Foods SA 34,700 62
* FPC Par Corretora de Seguros SA 12,700 60
Lojas Americanas SA 11,864 58
Cia Energetica de Minas Gerais ADR 19,000 57
Via Varejo SA 17,900 51
Light SA 8,773 48
Dimed SA Distribuidora da Medicamentos 300 47
Arezzo Industria e Comercio SA 5,100 47
Cia de Gas de Sao Paulo COMGAS Preference Shares Class A 2,673 44
Cia Energetica do Ceara Preference Shares 2,819 42
Eletropaulo Metropolitana Eletricidade de Sao Paulo SA Preference Shares 12,108 39
Mahle-Metal Leve SA 5,200 36
JSL SA 9,200 34
* Santos Brasil Participacoes SA 35,000 33
Sonae Sierra Brasil SA 5,200 31
Gafisa SA 40,500 31
SLC Agricola SA 6,300 31
Ez Tec Empreendimentos e Participacoes SA 5,959 31
Tupy SA 7,400 31
* Gol Linhas Aereas Inteligentes SA Preference Shares 11,700 29

 

7

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
* Randon Participacoes SA Preference Shares 17,664 26
* Magnesita Refratarios SA 3,660 26
Guararapes Confeccoes SA 1,100 23
GAEC Educacao SA 4,964 21
Even Construtora e Incorporadora SA 15,000 21
QGEP Participacoes SA 11,900 21
* Eneva SA 4,400 20
Direcional Engenharia SA 9,000 16
2 Ser Educacional SA 2,300 15
* Marisa Lojas SA 4,950 12
* Aliansce Shopping Centers SA 1,569 8
* Cia de Gas de Sao Paulo - COMGAS 1
    78,251
Canada (3.2%)    
Royal Bank of Canada 306,426 19,144
Toronto-Dominion Bank 382,320 17,347
Bank of Nova Scotia 249,164 13,390
Suncor Energy Inc. 348,604 10,461
Canadian National Railway Co. 143,652 9,031
Enbridge Inc. 193,484 8,355
Bank of Montreal (Toronto Shares) 127,329 8,103
TransCanada Corp. 167,061 7,563
Canadian Natural Resources Ltd. 228,500 7,252
Brookfield Asset Management Inc. Class A (Toronto Shares) 186,657 6,536
Canadian Imperial Bank of Commerce 79,852 5,983
Manulife Financial Corp. 412,898 5,981
Canadian Pacific Railway Ltd. 31,464 4,498
Sun Life Financial Inc. 127,936 4,282
Alimentation Couche-Tard Inc. Class B 82,200 4,129
Barrick Gold Corp. (Toronto Shares) 231,792 4,078
Magna International Inc. 78,650 3,229
Rogers Communications Inc. Class B 75,600 3,041
Potash Corp. of Saskatchewan Inc. 175,464 2,853
Thomson Reuters Corp. 69,801 2,751
BCE Inc. 59,116 2,686
Agrium Inc. 28,821 2,646
Goldcorp Inc. 171,986 2,612
Cenovus Energy Inc. 177,274 2,557
* CGI Group Inc. Class A 53,288 2,531
^ Pembina Pipeline Corp. 82,100 2,522
National Bank of Canada 70,104 2,502
Franco-Nevada Corp. 37,831 2,476
Fairfax Financial Holdings Ltd. 4,800 2,458
Loblaw Cos. Ltd. 47,435 2,340
Silver Wheaton Corp. 94,288 2,272
Agnico Eagle Mines Ltd. 44,700 2,270
Restaurant Brands International Inc. 47,982 2,133
Teck Resources Ltd. Class B 98,124 2,119
Waste Connections Inc. 26,268 1,976
Fortis Inc. 59,244 1,950
Saputo Inc. 54,000 1,941
Encana Corp. 200,426 1,911
Intact Financial Corp. 27,800 1,890
Imperial Oil Ltd. 55,390 1,796
Shaw Communications Inc. Class B 88,120 1,746
Dollarama Inc. 21,700 1,622
Open Text Corp. 25,700 1,596
Great-West Lifeco Inc. 63,500 1,595
Constellation Software Inc. 3,400 1,593
Power Corp. of Canada 73,390 1,574
Metro Inc. 49,350 1,525
Inter Pipeline Ltd. 70,500 1,462
Canadian Tire Corp. Ltd. Class A 14,642 1,423
First Quantum Minerals Ltd. 145,723 1,384

 

8

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
TELUS Corp. 42,100 1,363
SNC-Lavalin Group Inc. 31,900 1,296
Gildan Activewear Inc. 49,600 1,274
Crescent Point Energy Corp. 106,800 1,272
^ RioCan REIT 65,100 1,266
^ ARC Resources Ltd. 74,300 1,261
CCL Industries Inc. Class B 6,900 1,227
* Seven Generations Energy Ltd. Class A 56,466 1,204
* Valeant Pharmaceuticals International Inc. 66,955 1,195
Power Financial Corp. 49,160 1,162
Keyera Corp. 38,596 1,158
Canadian Utilities Ltd. Class A 40,376 1,154
* Tourmaline Oil Corp. 43,300 1,135
Onex Corp. 16,900 1,093
H&R REIT 62,203 1,058
* Kinross Gold Corp. 270,849 1,052
^ PrairieSky Royalty Ltd. 43,382 943
George Weston Ltd. 10,600 864
* Fortis Inc. 26,177 860
^ CI Financial Corp. 46,100 848
^ AltaGas Ltd. 33,773 836
Vermilion Energy Inc. 21,300 835
Industrial Alliance Insurance & Financial Services Inc. 21,500 833
CAE Inc. 56,600 795
Tahoe Resources Inc. 64,981 779
Element Fleet Management Corp. 79,300 773
Peyto Exploration & Development Corp. 30,000 771
Waste Connections Inc. 10,159 762
* BlackBerry Ltd. 107,772 761
Yamana Gold Inc. 203,140 725
* Detour Gold Corp. 36,900 703
* Husky Energy Inc. 63,899 687
Methanex Corp. 18,900 687
Cameco Corp. 89,036 686
Finning International Inc. 35,200 655
WSP Global Inc. 20,203 654
2 Hydro One Ltd. 35,800 653
Ritchie Bros Auctioneers Inc. 18,500 640
^ Canadian Apartment Properties REIT 28,300 619
Atco Ltd. 17,100 599
Whitecap Resources Inc. 74,459 595
Veresen Inc. 65,577 594
Smart REIT 23,100 576
* B2Gold Corp. 191,893 555
TransForce Inc. 23,130 525
^ Enbridge Income Fund Holdings Inc. 20,600 523
* Turquoise Hill Resources Ltd. 167,109 518
Stantec Inc. 23,200 516
^ Canadian REIT 14,800 510
IGM Financial Inc. 18,900 507
* Lundin Mining Corp. 128,884 504
* Eldorado Gold Corp. 154,905 489
Pan American Silver Corp. 29,624 473
^ Parkland Fuel Corp. 20,240 473
Cineplex Inc. 12,300 468
Quebecor Inc. Class B 16,600 466
Chartwell Retirement Residences 41,600 463
Algonquin Power & Utilities Corp. 51,252 453
Allied Properties REIT 16,692 449
Alamos Gold Inc. 56,160 440
Empire Co. Ltd. 30,500 439
* IMAX Corp. 14,500 439
MacDonald Dettwiler & Associates Ltd. 7,500 429
Toromont Industries Ltd. 14,600 429

 

9

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
^ Cominar REIT 38,640 428
  West Fraser Timber Co. Ltd. 12,300 421
* Bombardier Inc. Class B 316,028 419
  Linamar Corp. 10,300 419
* New Gold Inc. 104,400 412
^ Canadian Western Bank 21,600 410
  OceanaGold Corp. 129,808 397
* IAMGOLD Corp. 97,994 392
  Cott Corp. 29,036 381
  Enerplus Corp. 54,870 369
  Maple Leaf Foods Inc. 16,100 367
^ Northland Power Inc. 20,352 364
* Raging River Exploration Inc. 45,300 363
  TMX Group Ltd. 7,864 363
* Parex Resources Inc. 30,643 353
  Gibson Energy Inc. 27,158 341
* Descartes Systems Group Inc. 16,100 336
^ Emera Inc. 9,600 335
  ShawCor Ltd. 13,100 328
* Celestica Inc. 27,401 324
*,^ Amaya Inc. 23,975 321
  First Capital Realty Inc. 19,500 311
^ Artis REIT 35,500 310
  FirstService Corp. 7,621 309
  Stella-Jones Inc. 8,700 309
  Granite REIT 9,700 305
  Capital Power Corp. 19,717 304
* Torex Gold Resources Inc. 16,258 302
* Pretium Resources Inc. 30,829 301
  Hudson's Bay Co. 24,400 300
^ Home Capital Group Inc. Class B 15,000 297
  Laurentian Bank of Canada 8,015 296
^ DH Corp. 22,409 290
^ Boardwalk REIT 7,900 290
* Birchcliff Energy Ltd. 45,120 287
  New Flyer Industries Inc. 10,200 285
  Precision Drilling Corp. 63,900 285
  TransAlta Corp. 63,460 280
^ Mullen Group Ltd. 19,931 276
  Colliers International Group Inc. 7,876 274
  Dream Office REIT 21,700 270
* Silver Standard Resources Inc. 24,294 267
*,^ First Majestic Silver Corp. 32,500 261
^ Enercare Inc. 17,800 257
^ Manitoba Telecom Services Inc. 9,000 252
  Innergex Renewable Energy Inc. 22,500 250
  Westshore Terminals Investment Corp. 12,900 249
* SEMAFO Inc. 63,200 248
* Advantage Oil & Gas Ltd. 36,600 247
  Osisko Gold Royalties Ltd. 23,247 245
* NovaGold Resources Inc. 48,100 241
* ProMetic Life Sciences Inc. 114,000 240
  Superior Plus Corp. 26,353 235
  Endeavour Mining Corp. 11,800 231
  HudBay Minerals Inc. 51,265 216
  Norbord Inc. 8,972 211
  Bank of Montreal (New York Shares) 3,309 210
  Transcontinental Inc. Class A 15,200 203
  Russel Metals Inc. 12,700 202
  Canadian Energy Services & Technology Corp. 50,700 200
^ Corus Entertainment Inc. Class B 23,929 198
  Jean Coutu Group PJC Inc. Class A 13,100 197
  Enerflex Ltd. 18,505 197
  Pengrowth Energy Corp. 127,200 196

 

10

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Winpak Ltd. 5,700 195
  TransAlta Renewables Inc. 17,400 192
^ Secure Energy Services Inc. 30,536 187
  TORC Oil & Gas Ltd. 32,814 186
  North West Co. Inc. 9,700 185
* Canfor Corp. 16,500 183
  Just Energy Group Inc. 34,800 183
  Centerra Gold Inc. 36,052 182
* Crew Energy Inc. 36,800 181
*,^ Baytex Energy Corp. 46,309 178
  Nevsun Resources Ltd. 60,900 177
* ECN Capital Corp. 79,300 173
  Barrick Gold Corp. (New York Shares) 9,826 173
^ Genworth MI Canada Inc. 7,900 172
  Aimia Inc. 31,700 171
*,^ Penn West Petroleum Ltd. 105,500 168
  Pason Systems Inc. 14,800 168
  Aecon Group Inc. 12,700 164
* NuVista Energy Ltd. 31,673 161
  Ensign Energy Services Inc. 26,400 159
  Enghouse Systems Ltd. 4,200 158
  Dorel Industries Inc. Class B 6,200 157
  Dominion Diamond Corp. 18,500 157
* Great Canadian Gaming Corp. 8,500 141
^ Northview Apartment REIT 9,263 138
^ Extendicare Inc. 19,100 131
  Cogeco Communications Inc. 2,800 131
* ATS Automation Tooling Systems Inc. 15,000 129
  Cascades Inc. 13,600 128
*,^ China Gold International Resources Corp. Ltd. 46,000 119
* Gran Tierra Energy Inc. (Toronto Shares) 40,100 117
* Bombardier Inc. Class A 74,500 112
  Morguard REIT 9,540 108
* Paramount Resources Ltd. Class A 9,000 102
  Bonterra Energy Corp. 5,400 102
*,^ MEG Energy Corp. 24,200 99
* Kelt Exploration Ltd. 21,851 97
  Martinrea International Inc. 15,500 91
^ First National Financial Corp. 4,600 84
^ AutoCanada Inc. 5,078 83
* Alacer Gold Corp. 36,900 75
* Sierra Wireless Inc. 4,900 67
* Gran Tierra Energy Inc. (American Shares) 22,700 66
*,^ Athabasca Oil Corp. 48,500 46
  Canaccord Genuity Group Inc. 13,000 41
* DREAM Unlimited Corp. Class A 7,200 37
  Sprott Inc. 18,900 31
^ Concordia International Corp. 8,686 30
* Pacific Exploration and Production Corp. 54,765 26
*,^ Avigilon Corp. 3,900 25
* Osisko Gold Royalties Warrants Exp. 02/26/2019 620 1
      283,430
Chile (0.1%)    
  SACI Falabella 109,383 859
  Empresas COPEC SA 78,519 789
  Cencosud SA 236,999 773
* Latam Airlines Group SA (Santiago Shares) 69,108 662
  Banco de Chile 4,912,587 585
  Empresas CMPC SA 248,694 539
  Banco de Credito e Inversiones 9,503 488
  Aguas Andinas SA Class A 693,062 457
  Enersis Americas SA ADR 46,383 402
  Empresa Nacional de Electricidad SA ADR 19,169 398
  Cia Cervecerias Unidas SA 32,696 351

 

11

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Endesa Americas SA 753,488 351
  Sociedad Quimica y Minera de Chile SA ADR 11,862 347
* Itau CorpBanca 35,582,534 323
  Banco Santander Chile 5,672,801 317
  Banco Santander Chile ADR 13,755 314
  Parque Arauco SA 120,781 299
  Colbun SA 1,345,610 293
* Empresa Nacional de Telecomunicaciones SA 26,758 287
  Enersis Americas SA 1,505,735 255
  Enersis Chile SA ADR 46,383 231
  Engie Energia Chile SA 127,686 227
  SONDA SA 103,961 215
  AES Gener SA 580,667 198
  Vina Concha y Toro SA 102,740 179
  Inversiones Aguas Metropolitanas SA 94,249 172
  Embotelladora Andina SA Preference Shares 40,520 162
  Enersis Chile SA 1,505,735 151
  Sociedad Quimica y Minera de Chile SA Preference Shares Class B 5,070 150
  Empresa Nacional de Electricidad SA 167,940 116
  Inversiones La Construccion SA 9,475 116
  CAP SA 14,259 100
  Ripley Corp. SA 145,581 91
  Forus SA 15,785 57
  Endesa Americas SA ADR 3,804 55
* Cia Sud Americana de Vapores SA 977,795 20
      11,329
China (2.2%)    
  Tencent Holdings Ltd. 1,108,056 29,366
  China Construction Bank Corp. 18,939,206 13,830
  China Mobile Ltd. 1,103,861 12,646
  Industrial & Commercial Bank of China Ltd. 14,935,245 8,965
  Bank of China Ltd. 15,637,800 7,008
  Ping An Insurance Group Co. of China Ltd. 1,028,880 5,416
  CNOOC Ltd. 3,334,280 4,195
  China Petroleum & Chemical Corp. 5,309,505 3,840
  China Life Insurance Co. Ltd. Class H 1,540,000 3,813
  PetroChina Co. Ltd. 4,076,000 2,789
  China Overseas Land & Investment Ltd. 794,480 2,439
  Agricultural Bank of China Ltd. 5,348,500 2,250
  China Pacific Insurance Group Co. Ltd. 543,200 1,958
  China Merchants Bank Co. Ltd. 782,272 1,902
  China Telecom Corp. Ltd. 3,346,034 1,725
  PICC Property & Casualty Co. Ltd. 978,887 1,580
  China Minsheng Banking Corp. Ltd. 1,367,760 1,556
  China Shenhua Energy Co. Ltd. 732,500 1,519
  CITIC Ltd. 1,031,000 1,479
  China Unicom Hong Kong Ltd. 1,213,574 1,425
  China Resources Land Ltd. 571,909 1,420
  Bank of Communications Co. Ltd. 1,671,058 1,270
  Haitong Securities Co. Ltd. 709,939 1,256
  Hengan International Group Co. Ltd. 156,730 1,245
  Sinopharm Group Co. Ltd. 221,200 1,074
  CITIC Securities Co. Ltd. 473,500 1,047
  Geely Automobile Holdings Ltd. 995,000 1,024
  China CITIC Bank Corp. Ltd. 1,536,010 991
  China Communications Construction Co. Ltd. 894,875 983
*,^ BYD Co. Ltd. 144,460 951
  Lenovo Group Ltd. 1,450,000 929
  CSPC Pharmaceutical Group Ltd. 862,000 893
  Guangdong Investment Ltd. 576,000 868
  CRRC Corp. Ltd. 879,800 797
  Country Garden Holdings Co. Ltd. 1,508,230 783
  Shenzhou International Group Holdings Ltd. 117,991 782
  Belle International Holdings Ltd. 1,286,000 777

 

12

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  China Cinda Asset Management Co. Ltd. 2,152,000 773
2 Huatai Securities Co. Ltd. 357,764 755
  New China Life Insurance Co. Ltd. 172,001 743
  ENN Energy Holdings Ltd. 157,518 741
* China Resources Beer Holdings Co. Ltd. 338,681 720
2 China Galaxy Securities Co. Ltd. 751,500 713
  China Vanke Co. Ltd. 267,904 699
  China Resources Power Holdings Co. Ltd. 411,400 697
  Brilliance China Automotive Holdings Ltd. 584,000 695
  GF Securities Co. Ltd. 307,000 682
  Fosun International Ltd. 464,464 673
  Anhui Conch Cement Co. Ltd. 240,000 663
  China Merchants Port Holdings Co. Ltd. 256,000 662
  Great Wall Motor Co. Ltd. 671,058 655
  China Everbright International Ltd. 545,000 651
  Sunny Optical Technology Group Co. Ltd. 133,000 649
  China Railway Group Ltd. 829,000 639
  China Conch Venture Holdings Ltd. 338,498 632
  Beijing Enterprises Water Group Ltd. 868,000 628
  Dongfeng Motor Group Co. Ltd. 594,000 619
  Future Land Holdings Co. Ltd. Class A 365,318 602
  Sino Biopharmaceutical Ltd. 858,000 600
  Fullshare Holdings Ltd. 1,067,500 595
  Beijing Enterprises Holdings Ltd. 118,000 590
2 CGN Power Co. Ltd. 1,974,832 577
* China Taiping Insurance Holdings Co. Ltd. 293,059 564
2 People's Insurance Co. Group of China Ltd. 1,384,000 550
  China Longyuan Power Group Corp. Ltd. 719,000 548
  Guangzhou Automobile Group Co. Ltd. 451,857 546
  China State Construction International Holdings Ltd. 372,000 543
  China Resources Gas Group Ltd. 168,000 527
  China Gas Holdings Ltd. 344,000 524
*,2 China Huarong Asset Management Co. Ltd. 1,349,000 516
  ANTA Sports Products Ltd. 178,000 513
  Zhuzhou CRRC Times Electric Co. Ltd. 104,709 506
* Alibaba Pictures Group Ltd. 2,550,000 502
  China Railway Construction Corp. Ltd. 394,126 493
  Huaneng Power International Inc. 800,000 492
* China Evergrande Group 732,000 482
  TravelSky Technology Ltd. 225,000 480
  China Medical System Holdings Ltd. 286,000 447
  Kunlun Energy Co. Ltd. 584,000 440
  Longfor Properties Co. Ltd. 320,000 425
  Kingboard Chemical Holdings Ltd. 141,500 418
  Far East Horizon Ltd. 452,000 412
  Haier Electronics Group Co. Ltd. 252,000 406
  Zijin Mining Group Co. Ltd. 1,245,301 396
  China Oilfield Services Ltd. 406,000 390
  Zhejiang Expressway Co. Ltd. 370,000 387
  GCL-Poly Energy Holdings Ltd. 2,872,800 387
  Sinopec Shanghai Petrochemical Co. Ltd. 740,000 377
  Shanghai Pharmaceuticals Holding Co. Ltd. 145,900 375
  COSCO SHIPPING Ports Ltd. 378,000 375
  Beijing Capital International Airport Co. Ltd. 354,000 370
  Kingsoft Corp. Ltd. 165,000 370
  Shenzhen International Holdings Ltd. 236,000 364
  Tsingtao Brewery Co. Ltd. 88,322 352
  AviChina Industry & Technology Co. Ltd. 508,000 345
  China National Building Material Co. Ltd. 752,000 343
  Shimao Property Holdings Ltd. 256,500 342
  China Everbright Ltd. 174,000 340
  Jiangsu Expressway Co. Ltd. 250,000 340
  Chongqing Rural Commercial Bank Co. Ltd. 566,000 339
  GOME Electrical Appliances Holding Ltd. 2,652,720 334

 

13

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  China Reinsurance Group Corp. 1,403,000 334
  China Everbright Bank Co. Ltd. 729,000 332
2 BAIC Motor Corp. Ltd. 316,400 332
  Yanzhou Coal Mining Co. Ltd. 446,000 330
* China Coal Energy Co. Ltd. 581,000 329
* Alibaba Health Information Technology Ltd. 622,000 325
  China Communications Services Corp. Ltd. 534,000 317
  China Jinmao Holdings Group Ltd. 1,140,000 314
  Shanghai Lujiazui Finance & Trade Zone Development Co. Ltd. Class B 200,586 312
  Luye Pharma Group Ltd. 458,000 308
^ China Huishan Dairy Holdings Co. Ltd. 822,401 305
*,^ Aluminum Corp. of China Ltd. 817,331 304
  Weichai Power Co. Ltd. 199,200 300
  Jiangxi Copper Co. Ltd. 247,000 292
  Huaneng Renewables Corp. Ltd. 858,000 287
  Chongqing Changan Automobile Co. Ltd. Class B 187,062 285
  Guangzhou R&F Properties Co. Ltd. 201,400 284
  Air China Ltd. 422,000 277
  China Power International Development Ltd. 761,000 277
  Shenzhen Investment Ltd. 627,953 274
2 Fuyao Glass Industry Group Co. Ltd. 94,000 273
*,2 China International Capital Corp. Ltd. 184,800 271
  Nine Dragons Paper Holdings Ltd. 329,000 267
* Shanghai Electric Group Co. Ltd. 574,000 265
  Shandong Weigao Group Medical Polymer Co. Ltd. 400,000 260
  Skyworth Digital Holdings Ltd. 402,000 259
  Sunac China Holdings Ltd. 375,000 256
  Shanghai Industrial Holdings Ltd. 82,000 251
  Shanghai Fosun Pharmaceutical Group Co. Ltd. 81,500 250
  Haitian International Holdings Ltd. 120,000 247
  Sino-Ocean Group Holding Ltd. 593,500 246
2 China Railway Signal & Communication Corp. Ltd. 301,500 244
  Tong Ren Tang Technologies Co. Ltd. 134,000 244
  Lee & Man Paper Manufacturing Ltd. 322,000 242
  Zhaojin Mining Industry Co. Ltd. 234,000 240
  SOHO China Ltd. 464,500 240
2 Legend Holdings Corp. 95,000 237
  Intime Retail Group Co. Ltd. 299,500 235
2 Sinopec Engineering Group Co. Ltd. 265,135 234
*,2 3SBio Inc. 228,000 228
  China High Speed Transmission Equipment Group Co. Ltd. 219,000 227
  China Traditional Chinese Medicine Holding Co. Ltd. 444,000 227
2 Dali Foods Group Co. Ltd. 425,000 221
  Sihuan Pharmaceutical Holdings Group Ltd. 910,000 218
^ China Hongqiao Group Ltd. 242,500 217
*,^ China Shanshui Cement Group Ltd. 267,000 217
2 Shengjing Bank Co. Ltd. 216,854 212
^ China Zhongwang Holdings Ltd. 442,800 204
* Li Ning Co. Ltd. 268,749 192
  Kingboard Laminates Holdings Ltd. 213,000 191
  Phoenix Healthcare Group Co. Ltd. 120,090 191
*,2 Cogobuy Group 121,000 188
* CAR Inc. 183,117 186
  Sinotrans Ltd. 382,000 180
* Sinotrans Shipping Ltd. 1,084,000 176
2 Universal Medical Financial & Technical Advisory Services Co. Ltd. 202,500 174
  BBMG Corp. 471,000 172
* China Agri-Industries Holdings Ltd. 431,800 169
2 Red Star Macalline Group Corp. Ltd. 156,796 169
  China Resources Cement Holdings Ltd. 412,000 166
  China Southern Airlines Co. Ltd. 296,000 166
* Maanshan Iron & Steel Co. Ltd. 720,000 164
  ZTE Corp. 117,614 162
  CIFI Holdings Group Co. Ltd. 548,000 161

 

14

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
2 Fu Shou Yuan International Group Ltd. 272,000 159
  Inner Mongolia Yitai Coal Co. Ltd. Class B 161,304 159
  Metallurgical Corp. of China Ltd. 489,000 159
  Agile Group Holdings Ltd. 285,500 158
  Yuexiu Property Co. Ltd. 1,063,207 156
  China Molybdenum Co. Ltd. 681,000 151
  Huishang Bank Corp. Ltd. 312,452 150
  China International Marine Containers Group Co. Ltd. 125,500 149
*,^ China COSCO Holdings Co. Ltd. 420,500 145
* Carnival Group International Holdings Ltd. 1,209,992 144
  COSCO International Holdings Ltd. 308,000 143
  Lao Feng Xiang Co. Ltd. Class B 41,600 142
  China Shipping Development Co. Ltd. 256,000 141
  KWG Property Holding Ltd. 244,000 141
  NetDragon Websoft Holdings Ltd. 43,500 140
  Wuxi Little Swan Co. Ltd. Class B 40,175 139
  China Dongxiang Group Co. Ltd. 701,000 136
  Golden Eagle Retail Group Ltd. 97,000 135
* Kingdee International Software Group Co. Ltd. 332,000 134
  Zhongsheng Group Holdings Ltd. 134,000 134
  Guangshen Railway Co. Ltd. 242,000 134
  Hopson Development Holdings Ltd. 144,000 130
  China National Accord Medicines Corp. Ltd. Class B 20,760 130
  Datang International Power Generation Co. Ltd. 478,000 129
* Greentown China Holdings Ltd. 157,879 129
* Xinhua Winshare Publishing and Media Co. Ltd. 126,000 128
  China Lesso Group Holdings Ltd. 175,000 128
^ Digital China Holdings Ltd. 152,000 127
  Beijing Jingneng Clean Energy Co. Ltd. 414,000 126
  Huadian Fuxin Energy Corp. Ltd. 538,000 125
*,^ China Shipping Container Lines Co. Ltd. 590,000 124
  Logan Property Holdings Co. Ltd. 306,000 123
* Chinasoft International Ltd. 260,000 122
  Powerlong Real Estate Holdings Ltd. 356,000 121
^ CT Environmental Group Ltd. 424,000 119
  China Eastern Airlines Corp. Ltd. 264,000 119
  Shenzhen Expressway Co. Ltd. 118,000 118
^ Xinjiang Goldwind Science & Technology Co. Ltd. 85,000 117
  Peak Sport Products Co. Ltd. 343,000 114
  Huadian Power International Corp. Ltd. 266,000 114
* Poly Property Group Co. Ltd. 360,000 114
  Shandong Airlines Co. Ltd. Class B 49,300 113
  Tibet Water Resources Ltd. 300,000 112
  Greatview Aseptic Packaging Co. Ltd. 219,000 111
* Angang Steel Co. Ltd. 216,000 111
  Shandong Chenming Paper Holdings Ltd. 127,500 110
^ Sinosoft Technology Group Ltd. 252,000 110
  CSG Holding Co. Ltd. Class B 129,105 108
  Guangdong Electric Power Development Co. Ltd. Class B 239,742 107
  Shanghai Jinjiang International Travel Co. Ltd. Class B 28,772 106
^ China South City Holdings Ltd. 480,000 106
* Enerchina Holdings Ltd. 1,503,000 104
  Central China Securities Co. Ltd. 201,988 104
* Hybrid Kinetic Group Ltd. 3,574,000 103
* Hangzhou Steam Turbine Co. Ltd. Class B 87,657 103
*,2 Qingdao Port International Co. Ltd. 169,000 103
*,2 Haichang Ocean Park Holdings Ltd. 484,000 103
  Shanghai Mechanical and Electrical Industry Co. Ltd. Class B 47,573 102
  BYD Electronic International Co. Ltd. 129,500 102
^ China Maple Leaf Educational Systems Ltd. 144,000 101
*,^ Leyou Technologies Holdings Ltd. 560,000 101
  Shanghai Fudan-Zhangjiang Bio-Pharmaceutical Co. Ltd. 107,000 101
  China National Materials Co. Ltd. 446,000 100
  China Water Affairs Group Ltd. 138,000 100

 

15

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Bank of Chongqing Co. Ltd. 122,000 98
  Dazhong Transportation Group Co. Ltd. Class B 137,250 96
  Yantai Changyu Pioneer Wine Co. Ltd. Class B 34,833 96
  Tianneng Power International Ltd. 106,000 96
* Coolpad Group Ltd. 547,400 95
  Sinopec Kantons Holdings Ltd. 202,000 95
* Xinjiang Xinxin Mining Industry Co. Ltd. 862,000 94
  Anhui Expressway Co. Ltd. 116,000 93
  Anhui Gujing Distillery Co. Ltd. Class B 23,900 93
  Yuzhou Properties Co. Ltd. 250,000 93
* China Water Industry Group Ltd. 544,000 93
* North Mining Shares Co. Ltd. 5,110,000 92
2 Hua Hong Semiconductor Ltd. 78,000 92
* Lifetech Scientific Corp. 379,998 90
  Livzon Pharmaceutical Group Inc. 14,690 86
  INESA Intelligent Tech Inc. Class B 103,700 83
  Weifu High-Technology Group Co. Ltd. Class B 34,600 82
  CSSC Offshore and Marine Engineering Group Co. Ltd. 54,000 81
  C C Land Holdings Ltd. 302,000 80
  Shanghai Jinqiao Export Processing Zone Development Co. Ltd. Class B 52,600 80
  BOE Technology Group Co. Ltd. Class B 288,800 79
  Yuexiu Transport Infrastructure Ltd. 114,000 78
  China Electronics Corp. Holdings Co. Ltd. 322,000 77
  Chaowei Power Holdings Ltd. 86,000 77
*,2 Ozner Water International Holding Ltd. 366,000 77
  Vinda International Holdings Ltd. 38,599 76
  Xtep International Holdings Ltd. 173,000 76
  PAX Global Technology Ltd. 118,000 74
2 Cosmo Lady China Holdings Co. Ltd. 179,998 73
  Poly Culture Group Corp. Ltd. 27,200 73
  Sinotruk Hong Kong Ltd. 130,500 72
* China Chengtong Development Group Ltd. 816,000 71
* Renhe Commercial Holdings Co. Ltd. 2,742,000 71
* Guangzhou Baiyunshan Pharmaceutical Holdings Co. Ltd. 30,000 71
* Chiho-Tiande Group Ltd. 92,000 71
*,2 Tian Ge Interactive Holdings Ltd. 105,000 71
* Greenland Hong Kong Holdings Ltd. 275,000 70
^ China All Access Holdings Ltd. 220,000 70
  Inner Mongolia Eerduosi Resourses Co. Ltd. Class B 67,770 70
  Dah Chong Hong Holdings Ltd. 166,000 69
  Shanghai Baosight Software Co. Ltd. Class B 40,000 69
  Foshan Huaxin Packaging Co. Ltd. Class B 56,900 69
  China Foods Ltd. 156,000 69
  Tianjin Port Development Holdings Ltd. 450,000 69
  Shanghai Shibei Hi-Tech Co. Ltd. Class B 62,788 69
  Guorui Properties Ltd. 205,000 68
  China SCE Property Holdings Ltd. 222,000 68
*,^ China Modern Dairy Holdings Ltd. 310,000 67
  Shanghai Huayi Group Corp. Ltd. Class B 63,200 67
  Sichuan Expressway Co. Ltd. 166,000 67
  Optics Valley Union Holding Co. Ltd. 624,000 67
* Huadian Energy Co. Ltd. Class B 131,400 66
* Sinopec Oilfield Service Corp. 316,000 65
* Shanghai Zhongyida Co. Ltd. Class B 118,300 65
* Shanghai Zhenhua Heavy Industries Co. Ltd. Class B 130,500 65
  Wasion Group Holdings Ltd. 108,000 63
  Shanghai Industrial Urban Development Group Ltd. 246,000 62
*,^ Munsun Capital Group Ltd. 1,926,000 62
  China BlueChemical Ltd. 318,000 61
2 Beijing Urban Construction Design & Development Group Co. Ltd. 88,000 61
* China Overseas Grand Oceans Group Ltd. 165,000 61
  Dawnrays Pharmaceutical Holdings Ltd. 100,000 60
  Weiqiao Textile Co. 88,000 59
  Bosideng International Holdings Ltd. 650,000 59

 

16

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Fiyta Holdings Ltd. Class B 57,840 59
  Dalian Port PDA Co. Ltd. 326,600 58
^ Zoomlion Heavy Industry Science and Technology Co. Ltd. 160,380 58
  Beijing Capital Land Ltd. 152,000 58
*,2 Tianhe Chemicals Group Ltd. 383,088 58
  Dongjiang Environmental Co. Ltd. 37,500 57
* O-Net Technologies Group Ltd. 104,000 57
  SSY Group Ltd. 164,336 55
* Skyway Securities Group Ltd. 2,520,000 55
  361 Degrees International Ltd. 146,000 55
  China ZhengTong Auto Services Holdings Ltd. 171,000 55
  China Overseas Property Holdings Ltd. 267,493 54
  Texhong Textile Group Ltd. 38,500 54
* West China Cement Ltd. 530,000 54
  Hisense Kelon Electrical Holdings Co. Ltd. Class A 64,000 54
  Hua Han Health Industry Holdings Ltd. 778,708 53
  Fufeng Group Ltd. 125,000 53
*,^ Biostime International Holdings Ltd. 21,000 52
* PW Medtech Group Ltd. 159,000 50
  Fantasia Holdings Group Co. Ltd. 375,000 49
* Hanergy Thin Film Power Group Ltd. 1,810,000 48
* Shanghai Chlor-Alkali Chemical Co. Ltd. Class B 61,900 48
* Kama Co. Ltd. Class B 46,500 47
  Zhonglu Co. Ltd. Class B 26,400 47
  Shanghai Jin Jiang International Hotels Group Co. Ltd. 162,000 47
  Huangshan Tourism Development Co. Ltd. Class B 34,350 47
  Harbin Electric Co. Ltd. 96,000 47
  China Fangda Group Co. Ltd. Class B 49,800 46
  Lonking Holdings Ltd. 279,000 46
  Luthai Textile Co. Ltd. Class B 35,800 45
* Sinolink Worldwide Holdings Ltd. 386,000 45
  Shanghai Waigaoqiao Free Trade Zone Group Co. Ltd. Class B 26,900 45
* Shang Gong Group Co. Ltd. Class B 42,600 44
  Xiamen International Port Co. Ltd. 204,000 44
* China Oil & Gas Group Ltd. 572,000 43
  Qingling Motors Co. Ltd. 140,000 43
  Tianjin Development Holdings Ltd. 90,000 43
  Xingda International Holdings Ltd. 103,000 43
* Glorious Property Holdings Ltd. 355,000 43
  Shanghai Haixin Group Co. Class B 48,700 42
  China Lilang Ltd. 73,000 41
  Shanghai Jinjiang International Industrial Investment Co. Ltd. Class B 27,700 41
  Hubei Sanonda Co. Ltd. Class B 38,600 41
  Phoenix Satellite Television Holdings Ltd. 200,000 40
  Tianjin Capital Environmental Protection Group Co. Ltd. 72,000 40
  Colour Life Services Group Co. Ltd. 55,000 40
  Beijing North Star Co. Ltd. 118,000 40
* AVIC International Holding HK Ltd. 604,000 39
* Lianhua Supermarket Holdings Co. Ltd. 94,000 38
* MIE Holdings Corp. 384,000 38
  Shanghai Highly Group Co. Ltd. Class B 47,700 38
  Shanghai Diesel Engine Co. Ltd. Class B 46,100 38
  China Power New Energy Development Co. Ltd. 62,000 38
* Shanghai Phoenix Enterprise Group Co. Ltd. Class B 40,300 37
* Shanghai Potevio Co. Ltd. Class B 25,700 37
*,^ National Agricultural Holdings Ltd. 246,000 36
* CITIC Resources Holdings Ltd. 278,000 35
  Dongfang Electric Corp. Ltd. 44,800 35
* Shanghai Greencourt Investment Group Co. Ltd. Class B 55,200 34
  China Shineway Pharmaceutical Group Ltd. 33,000 34
  Comba Telecom Systems Holdings Ltd. 190,039 34
* Hi Sun Technology China Ltd. 213,000 33
  Eastern Communications Co. Ltd. Class B 45,100 33
  Tiangong International Co. Ltd. 258,000 33

 

17

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* Shougang Concord International Enterprises Co. Ltd. 994,000 32
* China Fiber Optic Network System Group Ltd. 348,000 31
  Shanghai Jinjiang International Hotels Development Co. Ltd. Class B 14,700 31
* China Soft Power Technology Holdings Ltd. 1,302,000 31
  Welling Holding Ltd. 156,000 31
* China Yurun Food Group Ltd. 195,000 31
* Hengdeli Holdings Ltd. 284,000 31
* China Rare Earth Holdings Ltd. 421,113 30
* China Datang Corp. Renewable Power Co. Ltd. 330,000 30
  Jinzhou Port Co. Ltd. Class B 56,400 30
* TCL Multimedia Technology Holdings Ltd. 58,000 29
^ CIMC Enric Holdings Ltd. 70,000 29
  CPMC Holdings Ltd. 55,000 29
* China Huiyuan Juice Group Ltd. 77,500 29
* Baoxin Auto Group Ltd. 86,143 28
  China Suntien Green Energy Corp. Ltd. 209,000 28
  Ajisen China Holdings Ltd. 61,000 27
  Foshan Electrical and Lighting Co. Ltd. Class B 33,900 27
^ China Singyes Solar Technologies Holdings Ltd. 56,400 27
* Landing International Development Ltd. 1,115,000 27
  Concord New Energy Group Ltd. 520,000 26
  Huaxin Cement Co. Ltd. Class B 36,200 26
* EverChina International Holdings Co. Ltd. 475,000 25
  China Merchants Land Ltd. 168,000 24
* Chengde Nanjiang Co. Ltd. Class B 62,900 23
* Tech Pro Technology Development Ltd. 833,600 23
^ Sinofert Holdings Ltd. 174,000 23
  NVC Lighting Holding Ltd. 156,000 21
^ Hilong Holding Ltd. 87,000 21
*,^ Wisdom Sports Group 64,000 21
  Shenzhen Chiwan Wharf Holdings Ltd. Class B 12,900 21
* Shanghai Bailian Group Co. Ltd. Class B 15,500 20
^ Boer Power Holdings Ltd. 51,000 20
  First Tractor Co. Ltd. 36,000 20
  Yashili International Holdings Ltd. 94,000 19
* V1 Group Ltd. 370,000 18
* Universal Health International Group Holding Ltd. 383,000 17
  Hydoo International Holding Ltd. 172,000 17
* Anxin-China Holdings Ltd. 312,000 15
* China Dynamics Holdings Ltd. 420,000 15
  Jiangling Motors Corp. Ltd. Class B 6,100 15
* Sany Heavy Equipment International Holdings Co. Ltd. 95,000 15
* SRE Group Ltd. 490,000 14
  Shenguan Holdings Group Ltd. 176,000 14
2 Kangda International Environmental Co. Ltd. 59,998 14
* Dongyue Group Ltd. 71,000 13
  Real Nutriceutical Group Ltd. 143,000 12
* Qinqin Foodstuffs Group Cayman Co. Ltd. 33,285 11
* Daphne International Holdings Ltd. 78,000 10
* China Public Procurement Ltd. 904,000 8
* China Lumena New Materials Corp. 476,000 8
* Mingfa Group International Co. Ltd. 30,971 8
      192,759
Colombia (0.1%)    
  Bancolombia SA ADR 20,346 779
  Grupo de Inversiones Suramericana SA 40,212 519
  Grupo Argos SA 66,286 430
  Grupo de Inversiones Suramericana SA Preference Shares 26,676 337
  Grupo Aval Acciones y Valores Preference Shares 792,630 327
  Cementos Argos SA 74,738 296
* Ecopetrol SA ADR 31,110 270
  Interconexion Electrica SA ESP 73,305 243
  Banco Davivienda SA Preference Shares 23,252 237
  Almacenes Exito SA 44,355 221

 

18

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* Ecopetrol SA 423,943 185
  Cementos Argos SA Preference Shares 48,144 175
  Bancolombia SA Preference Shares 14,574 138
* Cemex Latam Holdings SA 32,512 121
  Avianca Holdings SA Preference Shares 47,127 38
      4,316
Czech Republic (0.0%)    
  CEZ AS 32,776 618
  Komercni banka as 16,469 603
*,2 Moneta Money Bank AS 78,656 275
  Philip Morris CR AS 205 101
  O2 Czech Republic AS 10,040 92
  Pegas Nonwovens SA 1,190 38
      1,727
Denmark (0.6%)    
  Novo Nordisk A/S Class B 382,808 13,638
  Danske Bank A/S 154,982 4,781
  Vestas Wind Systems A/S 45,428 3,639
  Pandora A/S 22,974 2,988
  Carlsberg A/S Class B 22,877 2,061
  AP Moller - Maersk A/S Class A 1,368 2,000
  DSV A/S 39,335 1,905
* Genmab A/S 11,525 1,898
  Novozymes A/S 43,876 1,628
  ISS A/S 37,852 1,486
  Coloplast A/S Class B 20,844 1,452
  AP Moller - Maersk A/S Class B 863 1,324
  Chr Hansen Holding A/S 18,574 1,112
* TDC A/S 166,630 919
  Jyske Bank A/S 14,756 669
*,2 DONG Energy A/S 15,995 634
  GN Store Nord A/S 31,155 631
  Sydbank A/S 14,431 451
  Tryg A/S 23,074 450
  William Demant Holding A/S 23,763 442
  Royal Unibrew A/S 8,803 412
* H Lundbeck A/S 12,426 400
* Topdanmark A/S 14,455 389
  SimCorp A/S 6,823 377
^ FLSmidth & Co. A/S 9,869 358
  Dfds A/S 7,170 346
  NKT Holding A/S 4,924 331
  Ambu A/S Class B 4,929 255
* Bavarian Nordic A/S 6,766 229
  Rockwool International A/S Class B 1,356 227
  Spar Nord Bank A/S 21,626 217
2 Scandinavian Tobacco Group A/S 11,655 202
  Matas A/S 7,874 153
  Schouw & Co. AB 2,252 143
  ALK-Abello A/S 1,004 136
  Alm Brand A/S 11,849 89
  Solar A/S Class B 1,427 78
* Bang & Olufsen A/S 4,004 44
* OW Bunker A/S 3,210
      48,494
Egypt (0.0%)    
  Commercial International Bank Egypt SAE 217,787 1,267
* Global Telecom Holding SAE GDR 125,930 258
  ElSewedy Electric Co. 29,618 209
* Egyptian Financial Group-Hermes Holding Co. 113,387 200
  Sidi Kerir Petrochemicals Co. 79,618 124
  Talaat Moustafa Group 193,125 123
* Medinet Nasr Housing 55,348 87

 

19

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
* Orascom Construction Ltd. 10,791 57
Telecom Egypt Co. 55,015 54
* Pioneers Holding for Financial Investments SAE 51,300 49
* Orascom Telecom Media And Technology Holding SAE GDR 126,005 48
* Orascom Construction Ltd. 3,826 39
* Maridive & Oil Services SAE 165,936 37
* Six of October Development & Investment 24,349 36
* South Valley Cement 74,684 32
Oriental Weavers 24,535 25
* Citadel Capital SAE 263,431 21
Heliopolis Housing 3,075 20
* Ezz Steel 24,554 19
Palm Hills Developments SAE 71,385 18
    2,723
Finland (0.4%)    
Nokia Oyj 1,193,815 5,330
Sampo Oyj Class A 98,006 4,490
Kone Oyj Class B 78,498 3,612
UPM-Kymmene Oyj 111,688 2,598
Fortum Oyj 92,493 1,542
Wartsila OYJ Abp 32,964 1,424
Neste Oyj 27,238 1,175
Stora Enso Oyj 120,404 1,138
Elisa Oyj 32,920 1,109
Nokian Renkaat Oyj 27,375 918
Orion Oyj Class B 20,669 880
Huhtamaki Oyj 21,732 877
Metso Oyj 29,380 770
Kesko Oyj Class B 14,093 700
Amer Sports Oyj 24,749 673
Konecranes Oyj 12,412 423
Tieto Oyj 15,241 418
Valmet Oyj 28,128 418
Cargotec Oyj Class B 9,102 373
* Outokumpu Oyj 47,770 333
Metsa Board Oyj 53,803 309
YIT Oyj 31,462 262
Sponda Oyj 44,471 211
Uponor Oyj 11,586 197
Caverion Corp. 25,972 187
Kemira Oyj 15,511 185
Citycon Oyj 77,979 183
* Outotec Oyj 39,740 173
Cramo Oyj 6,013 158
Sanoma Oyj 15,917 149
Oriola-KD Oyj 29,369 138
Raisio Oyj 30,159 126
Ramirent Oyj 11,293 83
* Finnair Oyj 12,392 55
F-Secure Oyj 12,677 45
* Stockmann OYJ Abp Class B 3,597 27
    31,689
France (2.9%)    
TOTAL SA 441,892 21,169
Sanofi 232,532 18,095
BNP Paribas SA 204,558 11,861
LVMH Moet Hennessy Louis Vuitton SE 52,193 9,502
AXA SA 403,486 9,104
Danone SA 118,274 8,203
Schneider Electric SE 113,473 7,631
Vinci SA 97,001 7,025
L'Oreal SA 38,705 6,934
Air Liquide SA 68,035 6,913
Airbus Group SE 114,303 6,787

 

20

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Orange SA 399,136 6,280
Societe Generale SA 153,440 5,985
Pernod Ricard SA 44,344 5,274
Essilor International SA 42,380 4,762
Vivendi SA 231,363 4,683
Cie de Saint-Gobain 99,383 4,413
Engie SA 300,806 4,338
Cie Generale des Etablissements Michelin 37,680 4,081
Safran SA 59,061 4,064
Kering 15,624 3,467
Renault SA 36,576 3,181
Legrand SA 55,714 3,148
Carrefour SA 118,782 3,113
Publicis Groupe SA 43,438 2,980
* Valeo SA 50,152 2,894
Capgemini SA 33,054 2,737
Credit Agricole SA 211,681 2,284
Veolia Environnement SA 99,821 2,181
L'Oreal SA Loyalty Line 12,108 2,169
Sodexo SA 18,600 2,160
Christian Dior SE 11,078 2,137
Thales SA 22,090 2,078
Hermes International 4,975 2,015
Atos SE 19,228 1,995
Dassault Systemes 24,898 1,971
Klepierre 43,287 1,769
SES SA Class A 72,395 1,666
Technip SA 24,791 1,645
Arkema SA 15,604 1,480
Accor SA 37,404 1,419
Air Liquide SA (Prime de fidelite) 13,881 1,410
Bouygues SA 40,592 1,323
STMicroelectronics NV 131,689 1,250
Teleperformance 11,761 1,243
* Peugeot SA 82,346 1,233
Gecina SA 8,210 1,197
Eiffage SA 15,454 1,144
SCOR SE 34,558 1,119
Suez 68,037 1,078
Bureau Veritas SA 54,156 1,023
Iliad SA 4,876 1,022
Edenred 43,645 1,010
Natixis SA 198,177 1,003
Zodiac Aerospace 41,204 1,001
Groupe Eurotunnel SE 99,415 930
* Alstom SA 33,498 900
Ingenico Group SA 11,353 898
Rexel SA 63,700 883
Eurofins Scientific SE 1,894 861
Societe BIC SA 5,859 812
Wendel SA 6,723 773
Orpea 9,148 761
Eutelsat Communications SA 36,234 759
SEB SA 5,063 745
Rubis SCA 7,784 710
Bollore SA 206,723 681
Aeroports de Paris 6,518 658
Fonciere Des Regions 7,305 638
Casino Guichard Perrachon SA 12,220 608
2 Elior Group 26,989 606
^ Electricite de France SA 53,156 596
Lagardere SCA 23,330 594
2 Euronext NV 14,797 593
CNP Assurances 34,175 592

 

21

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Faurecia 15,011 553
  Eurazeo SA 9,561 551
  SFR Group SA 19,900 536
  Imerys SA 7,698 536
  Ipsen SA 7,642 528
  ICADE 7,250 521
* Ubisoft Entertainment SA 15,177 516
2 Amundi SA 9,457 464
  JCDecaux SA 15,073 461
  Technicolor SA 78,508 459
* Nexans SA 7,979 454
  Nexity SA 8,554 429
  Remy Cointreau SA 5,230 424
  BioMerieux 2,904 423
  Altran Technologies SA 26,760 382
  Plastic Omnium SA 11,348 370
* Sartorius Stedim Biotech 5,406 365
  Alten SA 4,726 338
* Vallourec SA 60,028 295
* DBV Technologies SA 4,224 291
  Sopra Steria Group 2,748 280
  Credit Agricole SA Loyalty Line 25,664 277
  Euler Hermes Group 3,160 274
  Korian SA 8,909 273
  Havas SA 33,362 272
  Elis SA 16,345 272
  IPSOS 7,959 260
  SPIE SA 12,811 242
  Mercialys SA 11,167 231
*,2 Worldline SA 8,201 225
^ Television Francaise 1 23,400 216
  Metropole Television SA 12,110 211
  Vicat SA 3,033 191
*,^ Air France-KLM 30,729 187
* Groupe Fnac SA 2,622 179
  Tarkett SA 5,002 178
  Neopost SA 5,799 176
  Faiveley Transport SA 1,533 167
* Virbac SA 1,008 160
^ CGG SA 5,291 140
*,^ Etablissements Maurel et Prom 31,465 139
  Trigano SA 1,902 135
*,2 Europcar Groupe SA 13,941 130
  Coface SA 16,874 109
  Albioma SA 5,973 99
  SEB SA Loyalty Line 643 95
  Bonduelle SCA 3,988 94
  Gaztransport Et Technigaz SA 2,718 92
*,^ Genfit 4,892 92
  Boiron SA 1,048 89
  Beneteau SA 6,653 77
  Electricite de France SA Loyalty Line 6,661 75
  FFP 992 73
  Guerbet 1,179 70
* Fonciere de Paris SIIC 470 68
  Derichebourg SA 18,005 56
  Vilmorin & Cie SA 815 49
  Interparfums SA 1,661 48
  Assystem 1,557 47
* Eramet 929 44
^ Rallye SA 2,306 42
  Haulotte Group SA 2,872 40
^ Bourbon Corp. 2,900 38
  GL Events 1,837 33

 

22

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Jacquet Metal Service 1,267 21
*,^ Parrot SA 2,373 21
* Euro Disney SCA 15,974 20
  Mersen 914 18
      251,468
Germany (2.8%)    
  Siemens AG 158,722 18,034
  Bayer AG 171,903 17,068
  BASF SE 191,474 16,903
  SAP SE 187,119 16,485
  Allianz SE 94,255 14,714
  Daimler AG 197,927 14,121
  Deutsche Telekom AG 682,334 11,133
  adidas AG 41,663 6,845
  Linde AG 38,660 6,385
  Deutsche Post AG 198,030 6,141
  Bayerische Motoren Werke AG 67,105 5,855
  Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen 29,877 5,801
  Fresenius SE & Co. KGaA 76,788 5,674
  Volkswagen AG Preference Shares 40,497 5,584
  Continental AG 22,580 4,337
  Henkel AG & Co. KGaA Preference Shares 33,642 4,324
  Infineon Technologies AG 232,572 4,183
* Deutsche Bank AG 287,618 4,159
  Fresenius Medical Care AG & Co. KGaA 42,842 3,490
  Vonovia SE 97,011 3,420
  Henkel AG & Co. KGaA 28,013 3,087
* Deutsche Boerse AG 38,644 3,018
  HeidelbergCement AG 30,864 2,920
  E.ON SE 389,028 2,851
  Merck KGaA 26,760 2,754
  Deutsche Wohnen AG 69,500 2,271
  thyssenkrupp AG 91,059 2,113
  Beiersdorf AG 22,852 2,015
  ProSiebenSat.1 Media SE 44,389 1,913
  Porsche Automobil Holding SE Preference Shares 33,143 1,791
  Brenntag AG 33,242 1,777
  Symrise AG 25,761 1,769
* RWE AG 98,774 1,571
  Commerzbank AG 218,274 1,487
  GEA Group AG 37,487 1,452
  Hannover Rueck SE 12,666 1,413
  LANXESS AG 19,312 1,238
  Wirecard AG 24,882 1,181
* QIAGEN NV 47,963 1,173
  LEG Immobilien AG 13,141 1,108
  MTU Aero Engines AG 10,478 1,094
  United Internet AG 26,070 1,072
*,2 Innogy SE 26,775 1,063
  METRO AG 34,617 1,037
  Evonik Industries AG 32,344 1,013
  OSRAM Licht AG 17,494 994
  MAN SE 9,323 954
  Bayerische Motoren Werke AG Preference Shares 12,517 950
*,2 Zalando SE 21,460 944
  K&S AG 41,651 843
  KION Group AG 13,785 833
  HUGO BOSS AG 12,984 816
*,2 Covestro AG 13,167 780
  Freenet AG 23,737 681
* KUKA AG 5,810 659
  STADA Arzneimittel AG 13,118 658
  Rheinmetall AG 8,983 624
  FUCHS PETROLUB SE 15,731 622

 

23

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  RTL Group SA 7,886 618
  HOCHTIEF AG 4,523 618
  Volkswagen AG 4,066 608
  Deutsche Lufthansa AG 47,003 602
* Dialog Semiconductor plc 15,147 596
* Uniper SE 42,249 562
  Telefonica Deutschland Holding AG 144,482 560
  Fraport AG Frankfurt Airport Services Worldwide 9,119 541
  Sartorius AG Preference Shares 6,872 541
  Aurubis AG 9,477 494
  Gerresheimer AG 6,360 480
  Aareal Bank AG 12,683 459
  Axel Springer SE 8,874 445
  Rational AG 854 444
  Fielmann AG 5,877 408
  Suedzucker AG 15,792 405
^ Drillisch AG 8,836 404
  TAG Immobilien AG 29,004 387
  Software AG 10,632 386
  Hella KGaA Hueck & Co. 10,050 384
  Norma Group SE 8,214 378
  Deutsche EuroShop AG 8,453 365
* Nordex SE 12,822 338
  Jungheinrich AG Preference Shares 9,912 313
  alstria office REIT-AG 24,223 312
  Salzgitter AG 9,449 311
  TUI AG-DI 23,341 297
  Krones AG 2,900 296
* Schaeffler AG Preference Shares 18,887 286
  Bechtle AG 2,720 286
  GRENKE AG 1,580 275
  Indus Holding AG 4,580 270
  Wacker Chemie AG 2,942 262
  Leoni AG 6,888 261
  TLG Immobilien AG 12,090 253
  CompuGroup Medical SE 5,668 251
* MorphoSys AG 5,573 248
  Nemetschek SE 3,904 244
* Kloeckner & Co. SE 19,462 243
*,^ Bilfinger SE 6,899 243
  DMG Mori AG 5,149 236
  Duerr AG 3,125 233
  Sixt SE 3,725 226
  CTS Eventim AG & Co. KGaA 6,198 222
^ Stroeer SE & Co. KGaA 4,843 222
  Talanx AG 6,791 211
2 Deutsche Pfandbriefbank AG 20,422 210
  RHOEN-KLINIKUM AG 7,525 209
2 ADO Properties SA 5,463 200
  KWS Saat SE 581 190
* PATRIZIA Immobilien AG 9,065 188
  Pfeiffer Vacuum Technology AG 2,059 187
  Puma SE 708 176
* zooplus AG 1,212 173
  Takkt AG 7,223 171
  BRAAS Monier Building Group SA 5,799 167
  Jenoptik AG 9,224 159
*,^ SGL Carbon SE 12,610 157
*,2 Tele Columbus AG 19,783 156
  XING AG 672 137
*,^ Heidelberger Druckmaschinen AG 48,886 130
* Vossloh AG 2,023 123
  Bertrandt AG 1,140 121
  Draegerwerk AG & Co. KGaA Preference Shares 1,599 114

 

24

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
*,2 Hapag-Lloyd AG 5,172 103
  ElringKlinger AG 6,460 100
  Deutsche Beteiligungs AG 2,883 97
  RWE AG Preference Shares 8,374 97
  Fuchs Petrolub SE Preference Shares 1,999 89
^ BayWa AG 2,533 85
  Carl Zeiss Meditec AG 2,316 83
  Sixt SE Preference Shares 1,806 81
* Wincor Nixdorf AG 1,064 77
  comdirect bank AG 7,126 72
  Wacker Neuson SE 5,133 71
* Wuestenrot & Wuerttembergische AG 3,550 71
  Hornbach Baumarkt AG 2,055 65
* AIXTRON SE 12,390 61
  Deutz AG 11,888 59
* H&R GmbH & Co. KGaA 3,114 58
  Biotest AG Preference Shares 3,969 55
  Gerry Weber International AG 4,199 52
  DIC Asset AG 5,437 52
^ SMA Solar Technology AG 1,946 50
  Hamburger Hafen und Logistik AG 2,013 32
  Deutsche Boerse AG 170 13
      250,710
Greece (0.0%)    
  Alpha Bank AE 289,409 495
  OPAP SA 44,400 379
  JUMBO SA 19,978 284
  Hellenic Telecommunications Organization SA 26,010 238
  National Bank of Greece SA 1,104,110 226
  Titan Cement Co. SA 9,212 214
  Eurobank Ergasias SA 350,334 207
  Hellenic Telecommunications Organization SA ADR 45,296 206
  Motor Oil Hellas Corinth Refineries SA 14,637 175
  Piraeus Bank SA 1,037,374 171
* FF Group 6,714 161
  Metka Industrial - Construction SA 15,919 134
* Mytilineos Holdings SA 20,599 117
  Athens Water Supply & Sewage Co. SA 16,211 96
  Hellenic Exchanges SA 17,966 89
  Grivalia Properties REIC AE 7,948 61
  Aegean Airlines SA 7,411 48
* Public Power Corp. SA 13,196 43
* Hellenic Petroleum SA 7,187 33
* Ellaktor SA 8,992 12
      3,389
Hong Kong (1.3%)    
  AIA Group Ltd. 2,451,782 15,424
  CK Hutchison Holdings Ltd. 590,927 7,297
  Hong Kong Exchanges & Clearing Ltd. 253,483 6,701
  Sun Hung Kai Properties Ltd. 295,463 4,400
  Cheung Kong Property Holdings Ltd. 590,927 4,369
  Link REIT 470,860 3,350
  CLP Holdings Ltd. 321,645 3,269
  Hong Kong & China Gas Co. Ltd. 1,560,878 3,049
  Hang Seng Bank Ltd. 160,272 2,890
  BOC Hong Kong Holdings Ltd. 749,000 2,670
  Jardine Matheson Holdings Ltd. 43,025 2,621
  Power Assets Holdings Ltd. 278,500 2,614
  Sands China Ltd. 502,800 2,182
  Wharf Holdings Ltd. 256,600 1,924
  Galaxy Entertainment Group Ltd. 452,000 1,851
  Jardine Strategic Holdings Ltd. 48,295 1,695
  Hongkong Land Holdings Ltd. 251,100 1,681
  MTR Corp. Ltd. 288,500 1,597

 

25

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
AAC Technologies Holdings Inc. 149,000 1,420
New World Development Co. Ltd. 1,122,224 1,395
Henderson Land Development Co. Ltd. 231,809 1,371
2 WH Group Ltd. 1,551,701 1,257
Swire Pacific Ltd. Class A 111,142 1,155
Cheung Kong Infrastructure Holdings Ltd. 135,000 1,105
Sino Land Co. Ltd. 648,280 1,101
China Mengniu Dairy Co. Ltd. 580,000 1,096
Wheelock & Co. Ltd. 167,000 1,028
Techtronic Industries Co. Ltd. 266,500 1,001
^ Bank of East Asia Ltd. 243,072 977
Hang Lung Properties Ltd. 421,000 926
Samsonite International SA 272,396 856
Want Want China Holdings Ltd. 1,221,467 744
Hang Lung Group Ltd. 193,000 738
Swire Properties Ltd. 246,246 707
* Semiconductor Manufacturing International Corp. 5,646,000 684
Li & Fung Ltd. 1,256,000 617
Hysan Development Co. Ltd. 129,000 595
Yue Yuen Industrial Holdings Ltd. 150,500 573
PCCW Ltd. 872,000 519
NWS Holdings Ltd. 292,500 518
ASM Pacific Technology Ltd. 52,700 508
Wynn Macau Ltd. 321,200 492
First Pacific Co. Ltd. 575,200 436
Kerry Properties Ltd. 137,500 435
VTech Holdings Ltd. 34,400 422
Hopewell Holdings Ltd. 117,500 411
Minth Group Ltd. 112,000 396
Shangri-La Asia Ltd. 347,519 382
^ PRADA SPA 104,000 364
Tingyi Cayman Islands Holding Corp. 336,000 362
Xinyi Glass Holdings Ltd. 406,000 349
Fortune REIT 282,923 343
Sun Art Retail Group Ltd. 485,079 342
Vitasoy International Holdings Ltd. 162,000 338
* Esprit Holdings Ltd. 390,146 322
Kingston Financial Group Ltd. 760,000 315
Haitong International Securities Group Ltd. 464,038 297
Champion REIT 482,000 274
Great Eagle Holdings Ltd. 61,000 271
Cathay Pacific Airways Ltd. 201,000 265
SJM Holdings Ltd. 379,000 262
Cafe de Coral Holdings Ltd. 74,000 261
MGM China Holdings Ltd. 154,000 254
* China Minsheng Financial Holding Corp. Ltd. 2,560,000 254
Melco International Development Ltd. 179,000 233
^ Xinyi Solar Holdings Ltd. 622,000 230
HKBN Ltd. 193,689 228
Dah Sing Financial Holdings Ltd. 32,544 221
* Freeman FinTech Corp. Ltd. 3,160,000 216
Television Broadcasts Ltd. 59,100 214
NagaCorp Ltd. 342,000 211
Man Wah Holdings Ltd. 313,200 208
* China Baoli Technologies Holdings Ltd. 6,450,000 201
Tongda Group Holdings Ltd. 760,000 201
Nexteer Automotive Group Ltd. 148,000 195
L'Occitane International SA 93,500 193
^ China Goldjoy Group Ltd. 1,988,000 192
^ Towngas China Co. Ltd. 332,000 187
Giordano International Ltd. 354,000 187
Uni-President China Holdings Ltd. 272,800 184
Value Partners Group Ltd. 190,000 181
* HengTen Networks Group Ltd. 2,664,000 178

 

26

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Johnson Electric Holdings Ltd. 73,750 178
  Luk Fook Holdings International Ltd. 59,000 173
  BEP International Holdings Ltd. 2,630,000 173
  CP Pokphand Co. Ltd. 1,350,000 172
  Shui On Land Ltd. 690,000 171
  Kerry Logistics Network Ltd. 128,000 170
  IGG Inc. 232,000 169
  Shougang Fushan Resources Group Ltd. 760,000 164
  Kowloon Development Co. Ltd. 163,000 163
^ Brightoil Petroleum Holdings Ltd. 566,000 163
  Shun Tak Holdings Ltd. 472,000 159
  Guotai Junan International Holdings Ltd. 399,000 152
  Orient Overseas International Ltd. 40,500 151
* Huabao International Holdings Ltd. 399,000 149
  China Travel International Investment Hong Kong Ltd. 516,000 149
* China Innovative Finance Group Ltd. 1,320,000 147
  Pou Sheng International Holdings Ltd. 458,000 143
^ Chow Tai Fook Jewellery Group Ltd. 201,600 143
  SITC International Holdings Co. Ltd. 240,000 142
  FIH Mobile Ltd. 427,000 141
  Truly International Holdings Ltd. 360,000 141
  Sunlight REIT 215,000 133
  Canvest Environmental Protection Group Co. Ltd. 291,000 131
  K Wah International Holdings Ltd. 240,000 130
  Dah Sing Banking Group Ltd. 71,137 128
*,^,2 IMAX China Holding Inc. 27,100 128
*,^ China Ocean Industry Group Ltd. 4,325,000 127
  Chong Hing Bank Ltd. 64,000 126
* HC International Inc. 170,000 125
  Pacific Textiles Holdings Ltd. 97,000 122
  Prosperity REIT 279,000 120
  Yuexiu REIT 207,000 119
*,^ Superb Summit International Group Ltd. 620,000 117
  SEA Holdings Ltd. 45,509 116
^ SMI Holdings Group Ltd. 1,212,000 116
* Global Brands Group Holding Ltd. 990,000 112
* Vision Fame International Holding Ltd. 318,000 111
  Lifestyle International Holdings Ltd. 81,500 109
  China Harmony New Energy Auto Holding Ltd. 231,000 107
* China Oceanwide Holdings Ltd. 1,050,000 107
  Spring REIT 251,000 106
  CITIC Telecom International Holdings Ltd. 302,500 104
  Texwinca Holdings Ltd. 146,000 102
  Stella International Holdings Ltd. 59,000 102
*,^ KuangChi Science Ltd. 289,000 101
  Town Health International Medical Group Ltd. 618,000 99
^,2 Regina Miracle International Holdings Ltd. 94,000 96
  United Co. RUSAL plc 270,000 96
* Convoy Global Holdings Ltd. 3,102,000 96
  SmarTone Telecommunications Holdings Ltd. 63,000 95
  Hutchison Telecommunications Hong Kong Holdings Ltd. 290,000 93
*,^ Sino Oil And Gas Holdings Ltd. 3,795,000 93
  Far East Consortium International Ltd. 225,000 92
  Yingde Gases Group Co. Ltd. 224,000 90
* Huayi Tencent Entertainment Co. Ltd. 1,480,000 89
* FDG Electric Vehicles Ltd. 1,620,000 85
  Hopewell Highway Infrastructure Ltd. 156,300 84
*,^ China Strategic Holdings Ltd. 3,500,000 83
  Chow Sang Sang Holdings International Ltd. 46,000 81
* Nan Hai Corp. Ltd. 2,450,000 80
  G-Resources Group Ltd. 4,329,600 76
  Gemdale Properties & Investment Corp. Ltd. 1,144,000 75
* Mei Ah Entertainment Group Ltd. 960,000 73
* Beijing Enterprises Medical & Health Group Ltd. 1,242,000 72

 

27

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* Pacific Basin Shipping Ltd. 470,000 70
^ China LNG Group Ltd. 2,400,000 70
  Emperor Capital Group Ltd. 654,000 69
* China Medical & HealthCare Group Ltd. 1,149,488 66
* United Photovoltaics Group Ltd. 734,000 64
* Rentian Technology Holdings Ltd. 950,000 64
* Microport Scientific Corp. 83,852 62
*,^ Honghua Group Ltd. 587,000 60
* Singamas Container Holdings Ltd. 548,000 57
* China Beidahuang Industry Group Holdings Ltd. 952,000 55
  Dynam Japan Holdings Co. Ltd. 37,400 54
  SA Sa International Holdings Ltd. 115,995 53
  China Silver Group Ltd. 264,000 52
*,^ MMG Ltd. 196,000 52
* TOM Group Ltd. 209,971 51
  Goodbaby International Holdings Ltd. 104,464 50
  Varitronix International Ltd. 124,000 50
  China Aerospace International Holdings Ltd. 382,000 49
* United Laboratories International Holdings Ltd. 86,000 47
* Kong Sun Holdings Ltd. 925,000 46
* Summit Ascent Holdings Ltd. 145,948 45
  Lai Sun Development Co. Ltd. 2,169,000 44
  TPV Technology Ltd. 224,000 43
  NewOcean Energy Holdings Ltd. 162,000 42
* GCL New Energy Holdings Ltd. 696,000 42
  Shenwan Hongyuan HK Ltd. 75,000 41
* China Financial International Investments Ltd. 790,000 40
  Ju Teng International Holdings Ltd. 126,000 40
*,^ China LotSynergy Holdings Ltd. 940,000 38
  Lee's Pharmaceutical Holdings Ltd. 43,500 38
  TCC International Holdings Ltd. 147,000 37
* NetMind Financial Holdings Ltd. 4,128,000 37
  Sun Hung Kai & Co. Ltd. 58,000 36
2 CGN New Energy Holdings Co. Ltd. 250,000 36
* Midland Holdings Ltd. 96,000 34
  APT Satellite Holdings Ltd. 49,500 33
*,^ Macau Legend Development Ltd. 186,000 33
* 13 Holdings Ltd. 107,500 32
* New Sports Group Ltd. 2,440,000 31
  EVA Precision Industrial Holdings Ltd. 272,000 30
* Hong Kong Television Network Ltd. 164,000 30
  Liu Chong Hing Investment Ltd. 19,982 28
* Mason Financial Holdings Ltd. 1,220,000 28
* Good Resources Holdings Ltd. 479,978 25
*,^ Anton Oilfield Services Group 182,000 24
* Lifestyle China Group Ltd. 81,500 23
* Xinchen China Power Holdings Ltd. 128,000 22
* Silver Base Group Holdings Ltd. 294,000 21
* Suncorp Technologies Ltd. 1,910,000 19
* Sunshine Oilsands Ltd. 317,500 18
^ China Huarong Energy Co. Ltd. 232,299 16
* Sincere Watch Hong Kong Ltd. 560,000 15
* Emperor Watch & Jewellery Ltd. 360,000 14
  Parkson Retail Group Ltd. 117,500 12
* Trinity Ltd. 156,000 11
* China Healthcare Enterprise Group Ltd. 592,842 10
*,^ Haier Healthwise Holdings Ltd. 301,115 10
* Winshine Science Co. Ltd. 403,904 10
* Qianhai Health Holdings Ltd. 327,500 7
      111,978
Hungary (0.0%)    
  OTP Bank plc 40,824 1,144
  MOL Hungarian Oil & Gas plc 10,782 692
  Richter Gedeon Nyrt 28,755 617

 

28

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Magyar Telekom Telecommunications plc 62,225 103
    2,556
India (1.2%)    
Housing Development Finance Corp. Ltd. 326,152 6,805
Infosys Ltd. ADR 244,559 3,732
2 Reliance Industries Ltd. GDR 115,206 3,652
Tata Consultancy Services Ltd. 97,037 3,486
Sun Pharmaceutical Industries Ltd. 228,496 2,546
Infosys Ltd. 149,029 2,224
ITC Ltd. 604,000 2,200
HDFC Bank Ltd. ADR 30,043 2,126
Tata Motors Ltd. 235,710 1,898
Oil & Natural Gas Corp. Ltd. 442,306 1,897
Hindustan Unilever Ltd. 148,999 1,867
Axis Bank Ltd. 224,558 1,640
Reliance Industries Ltd. 98,766 1,560
Maruti Suzuki India Ltd. 17,516 1,543
Bharat Petroleum Corp. Ltd. 140,744 1,413
Coal India Ltd. 279,697 1,362
ICICI Bank Ltd. 317,485 1,320
HCL Technologies Ltd. 113,183 1,294
Bharti Airtel Ltd. 269,453 1,287
Mahindra & Mahindra Ltd. 61,630 1,211
Kotak Mahindra Bank Ltd. 96,104 1,180
Indian Oil Corp. Ltd. 239,078 1,160
State Bank of India GDR 27,461 1,045
Larsen & Toubro Ltd. 46,318 1,028
Lupin Ltd. 45,821 1,022
Hero MotoCorp Ltd. 19,946 1,001
Asian Paints Ltd. 60,519 970
NTPC Ltd. (Common) 410,457 936
Eicher Motors Ltd. 2,556 920
Zee Entertainment Enterprises Ltd. 112,866 880
Dr Reddy's Laboratories Ltd. 17,500 879
Indiabulls Housing Finance Ltd. 66,438 845
IndusInd Bank Ltd. 45,712 822
Yes Bank Ltd. 41,392 790
UltraTech Cement Ltd. 13,200 788
Adani Ports & Special Economic Zone Ltd. 168,835 777
* Vedanta Ltd. 246,912 752
ICICI Bank Ltd. ADR 82,619 685
Tech Mahindra Ltd. 104,454 682
Aurobindo Pharma Ltd. 55,318 673
Godrej Consumer Products Ltd. 27,016 651
Cipla Ltd. 75,216 648
UPL Ltd. 60,270 631
JSW Steel Ltd. 25,355 630
Bajaj Auto Ltd. 14,484 618
Ambuja Cements Ltd. 169,142 612
Power Grid Corp. of India Ltd. 231,783 611
Shriram Transport Finance Co. Ltd. 36,088 584
* Bajaj Finance Ltd. 36,351 584
Bharti Infratel Ltd. 109,064 565
Nestle India Ltd. 5,306 555
Bosch Ltd. 1,604 527
Wipro Ltd. 69,217 481
Dabur India Ltd. 109,968 480
Piramal Enterprises Ltd. 17,152 456
LIC Housing Finance Ltd. 50,770 443
Bajaj Finserv Ltd. 8,743 443
Hindustan Petroleum Corp. Ltd. 62,708 439
Shree Cement Ltd. 1,749 438
GAIL India Ltd. 67,442 438
Titan Co. Ltd. 77,768 435

 

29

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
* United Spirits Ltd. 12,220 412
Glenmark Pharmaceuticals Ltd. 28,885 404
Marico Ltd. 94,073 397
Hindalco Industries Ltd. 174,097 391
Idea Cellular Ltd. 322,545 368
IDFC Bank Ltd. 306,933 362
Motherson Sumi Systems Ltd. 72,483 360
Tata Steel Ltd. 58,957 359
Divi's Laboratories Ltd. 18,333 351
Havells India Ltd. 55,138 336
NMDC Ltd. 165,231 325
Ashok Leyland Ltd. 239,519 324
Cadila Healthcare Ltd. 50,843 322
Cairn India Ltd. 94,173 317
Wipro Ltd. ADR 32,783 317
Mahindra & Mahindra Financial Services Ltd. 57,113 310
Siemens Ltd. 17,429 309
* Bharat Financial Inclusion Ltd. 22,543 298
Britannia Industries Ltd. 5,998 298
Apollo Hospitals Enterprise Ltd. 14,411 289
Tata Power Co. Ltd. 243,302 285
Bharat Forge Ltd. 20,732 275
Pidilite Industries Ltd. 25,237 272
Page Industries Ltd. 1,090 269
Vakrangee Ltd. 69,361 262
Max Financial Services Ltd. 30,805 260
Info Edge India Ltd. 19,089 258
Bharat Heavy Electricals Ltd. 123,321 257
* Alkem Laboratories Ltd. 10,482 256
Oracle Financial Services Software Ltd. 5,219 250
Federal Bank Ltd. 202,272 249
Petronet LNG Ltd. 42,186 246
Reliance Infrastructure Ltd. 30,091 245
Power Finance Corp. Ltd. 130,806 243
Emami Ltd. 12,037 219
Rajesh Exports Ltd. 30,331 217
State Bank of India 55,530 215
* Bank of Baroda 91,356 214
NHPC Ltd. 531,677 213
ACC Ltd. 9,093 207
DLF Ltd. 88,704 200
Kansai Nerolac Paints Ltd. 35,036 199
Colgate-Palmolive India Ltd. 12,983 189
ABB India Ltd. 11,390 186
Rural Electrification Corp. Ltd. 90,759 183
GlaxoSmithKline Consumer Healthcare Ltd. 2,010 183
Hindustan Zinc Ltd. 47,157 179
Jubilant Life Sciences Ltd. 17,164 177
CRISIL Ltd. 5,359 176
Reliance Capital Ltd. 22,512 175
Torrent Pharmaceuticals Ltd. 8,262 175
Cummins India Ltd. 13,668 174
* Reliance Communications Ltd. 245,174 172
Berger Paints India Ltd. 44,111 170
Edelweiss Financial Services Ltd. 92,416 169
Mindtree Ltd. 25,780 168
Castrol India Ltd. 24,456 168
Indian Hotels Co. Ltd. 96,294 166
Bharat Electronics Ltd. 8,274 161
GlaxoSmithKline Pharmaceuticals Ltd. 3,693 161
Dewan Housing Finance Corp. Ltd. 32,669 161
Ramco Cements Ltd. 17,456 161
Abbott India Ltd. 2,099 157
Tube Investments of India Ltd. 16,493 154

 

30

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Blue Dart Express Ltd. 2,017 154
United Breweries Ltd. 11,552 150
MRF Ltd. 207 149
Strides Shasun Ltd. 9,442 148
Tata Motors Ltd. Class A 27,758 145
Biocon Ltd. 10,229 142
TVS Motor Co. Ltd. 23,262 141
Apollo Tyres Ltd. 46,583 141
* Punjab National Bank 64,733 140
PI Industries Ltd. 10,777 139
* Steel Authority of India Ltd. 176,832 138
Cholamandalam Investment and Finance Co. Ltd. 7,762 138
Bajaj Holdings & Investment Ltd. 4,212 137
Dalmia Bharat Ltd. 4,462 137
Natco Pharma Ltd. 15,642 137
HDFC Bank Ltd. 7,224 136
Aditya Birla Nuvo Ltd. 6,500 134
Sun TV Network Ltd. 16,205 133
Manappuram Finance Ltd. 86,495 133
Reliance Power Ltd. 185,943 131
Mphasis Ltd. 16,593 127
Oberoi Realty Ltd. 23,982 127
Amara Raja Batteries Ltd. 8,322 126
Voltas Ltd. 21,448 124
Arvind Ltd. 20,018 124
L&T Finance Holdings Ltd. 76,127 122
Exide Industries Ltd. 40,848 120
Oil India Ltd. 18,669 116
Pfizer Ltd. 4,184 114
Sanofi India Ltd. 1,742 114
Ceat Ltd. 6,232 113
AIA Engineering Ltd. 5,820 113
Supreme Industries Ltd. 8,322 112
Jubilant Foodworks Ltd. 7,394 111
Credit Analysis & Research Ltd. 5,001 110
Gujarat Pipavav Port Ltd. 44,750 109
* IDFC Ltd. 103,749 109
Sundaram Finance Ltd. 5,136 106
2 InterGlobe Aviation Ltd. 7,456 104
Ajanta Pharma Ltd. 3,380 103
Tata Communications Ltd. 10,833 103
* Suzlon Energy Ltd. 451,294 103
Balrampur Chini Mills Ltd. 58,956 102
Century Textiles & Industries Ltd. 7,450 101
KRBL Ltd. 28,058 100
McLeod Russel India Ltd. 39,170 100
Symphony Ltd. 5,172 99
Muthoot Finance Ltd. 18,312 98
* Fortis Healthcare Ltd. 36,791 98
* Kajaria Ceramics Ltd. 10,526 98
Godrej Industries Ltd. 14,509 95
eClerx Services Ltd. 4,065 92
* TV18 Broadcast Ltd. 137,341 92
* IDBI Bank Ltd. 82,282 91
Jain Irrigation Systems Ltd. 55,803 90
NCC Ltd. 63,849 90
Tata Global Beverages Ltd. 42,253 89
Alembic Pharmaceuticals Ltd. 8,754 89
CESC Ltd. 9,350 88
* Aditya Birla Fashion and Retail Ltd. 35,555 85
* Videocon Industries Ltd. 54,258 85
* PC Jeweller Ltd. 10,742 82
2 Syngene International Ltd. 9,331 82
* Crompton Greaves Ltd. 71,167 82

 

31

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
* Sun Pharma Advanced Research Co. Ltd. 14,830 78
* Whirlpool of India Ltd. 4,543 76
Welspun India Ltd. 88,190 75
Bayer CropScience Ltd. 1,170 75
Chambal Fertilizers and Chemicals Ltd. 78,021 74
* Dish TV India Ltd. 50,292 72
* Jindal Steel & Power Ltd. 63,005 71
* Canara Bank 15,022 71
* Gillette India Ltd. 1,099 70
* RattanIndia Power Ltd. 553,078 69
GRUH Finance Ltd. 13,350 67
* Wockhardt Ltd. 5,121 67
Engineers India Ltd. 16,342 66
Persistent Systems Ltd. 6,778 65
Thermax Ltd. 5,117 65
KPIT Technologies Ltd. 30,090 65
2 Dr Lal PathLabs Ltd. 3,618 64
JSW Energy Ltd. 65,068 64
Repco Home Finance Ltd. 5,587 63
* Mangalore Refinery & Petrochemicals Ltd. 45,416 61
Redington India Ltd. 38,482 61
Torrent Power Ltd. 23,118 60
VA Tech Wabag Ltd. 8,071 60
India Cements Ltd. 24,791 58
Hexaware Technologies Ltd. 18,647 57
Gujarat Gas Ltd. 6,502 56
* GMR Infrastructure Ltd. 269,033 55
WABCO India Ltd. 640 54
IRB Infrastructure Developers Ltd. 15,260 54
Sadbhav Engineering Ltd. 12,847 54
* Adani Power Ltd. 129,261 53
Indraprastha Gas Ltd. 4,094 53
* Mahindra CIE Automotive Ltd. 17,526 52
Karur Vysya Bank Ltd. 7,135 51
* Bank of India 29,471 51
National Aluminium Co. Ltd. 63,183 50
Sintex Industries Ltd. 37,552 50
Multi Commodity Exchange of India Ltd. 2,593 50
Union Bank of India 21,229 47
GE T&D India Ltd. 8,970 46
Cox & Kings Ltd. 13,948 46
Bajaj Corp. Ltd. 7,508 46
* Indiabulls Real Estate Ltd. 33,322 44
* Ipca Laboratories Ltd. 4,757 43
Gateway Distriparks Ltd. 11,596 43
Adani Enterprises Ltd. 42,545 43
Indian Bank 11,871 41
Gujarat State Petronet Ltd. 17,246 41
* Just Dial Ltd. 6,337 40
* Housing Development & Infrastructure Ltd. 31,911 40
Welspun Corp. Ltd. 36,272 39
Prestige Estates Projects Ltd. 12,821 37
Srei Infrastructure Finance Ltd. 33,628 37
Cyient Ltd. 4,859 36
* Bajaj Hindusthan Sugar Ltd. 139,539 35
Jammu & Kashmir Bank Ltd. 32,230 33
* Hindustan Construction Co. Ltd. 58,499 32
Gujarat Fluorochemicals Ltd. 4,074 31
* Corp Bank 49,046 31
IFCI Ltd. 75,943 30
Sobha Ltd. 7,055 30
* Polaris Consulting & Services Ltd. 12,204 29
South Indian Bank Ltd. 79,690 28
* Jaiprakash Associates Ltd. 159,746 27

 

32

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Great Eastern Shipping Co. Ltd. 4,216 24
Coromandel International Ltd. 4,820 21
* Vijaya Bank 31,062 21
* GE Power India Ltd. 2,496 19
Karnataka Bank Ltd. 10,313 19
Radico Khaitan Ltd. 8,653 18
* Central Bank of India 13,166 18
* Unitech Ltd. 198,930 18
PTC India Ltd. 16,013 18
* Rolta India Ltd. 18,714 18
* Allahabad Bank 11,991 14
* Syndicate Bank 11,844 13
* Amtek Auto Ltd. 19,970 13
* DEN Networks Ltd. 10,752 13
Oriental Bank of Commerce 6,239 12
* Indian Overseas Bank 27,269 11
* UCO Bank 17,873 9
* Karnataka Bank Ltd Rights Exp. 11/21/2016 5,156 4
* Arvind Infrastructure Ltd. 2,001 3
    101,051
Indonesia (0.3%)    
Telekomunikasi Indonesia Persero Tbk PT 10,431,040 3,368
Bank Central Asia Tbk PT 2,559,528 3,043
Astra International Tbk PT 4,171,530 2,632
Bank Rakyat Indonesia Persero Tbk PT 2,237,378 2,089
Bank Mandiri Persero Tbk PT 1,933,516 1,703
Unilever Indonesia Tbk PT 233,600 796
Bank Negara Indonesia Persero Tbk PT 1,482,930 633
Indofood Sukses Makmur Tbk PT 877,000 570
Kalbe Farma Tbk PT 3,834,800 511
United Tractors Tbk PT 304,160 503
Gudang Garam Tbk PT 96,600 503
Semen Indonesia Persero Tbk PT 592,600 447
Perusahaan Gas Negara Persero Tbk 2,205,100 432
Charoen Pokphand Indonesia Tbk PT 1,469,600 416
Adaro Energy Tbk PT 2,789,300 339
Bumi Serpong Damai Tbk PT 1,980,200 329
Indocement Tunggal Prakarsa Tbk PT 257,200 324
Indofood CBP Sukses Makmur Tbk PT 449,200 324
Ciputra Development Tbk PT 2,538,430 307
Summarecon Agung Tbk PT 2,178,900 275
Lippo Karawaci Tbk PT 3,841,600 266
Pakuwon Jati Tbk PT 4,746,600 262
Surya Citra Media Tbk PT 1,175,900 239
Tower Bersama Infrastructure Tbk PT 477,300 218
Bank Danamon Indonesia Tbk PT 668,700 198
AKR Corporindo Tbk PT 359,800 195
* Aneka Tambang Persero Tbk PT 2,541,300 174
Media Nusantara Citra Tbk PT 1,051,100 169
Waskita Karya Persero Tbk PT 838,374 168
Tambang Batubara Bukit Asam Persero Tbk PT 168,200 153
* XL Axiata Tbk PT 890,300 150
Jasa Marga Persero Tbk PT 426,500 148
Ramayana Lestari Sentosa Tbk PT 1,190,900 125
Bank Tabungan Negara Persero Tbk PT 743,100 109
Astra Agro Lestari Tbk PT 82,055 96
Ace Hardware Indonesia Tbk PT 1,449,000 95
Link Net Tbk PT 246,700 95
Wijaya Karya Beton Tbk PT 1,298,600 88
* Vale Indonesia Tbk PT 414,700 86
Wijaya Karya Persero Tbk PT 427,600 84
* Alam Sutera Realty Tbk PT 2,431,200 83
Global Mediacom Tbk PT 1,211,000 79
* Gajah Tunggal Tbk PT 720,000 69

 

33

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Adhi Karya Persero Tbk PT 348,200 60
Intiland Development Tbk PT 1,328,600 59
BISI International Tbk PT 370,700 57
Bank Pembangunan Daerah Jawa Barat Dan Banten Tbk PT 422,600 51
Matahari Putra Prima Tbk PT 345,600 48
Indo Tambangraya Megah Tbk PT 42,500 47
* Panin Financial Tbk PT 3,164,200 46
* Mitra Adiperkasa Tbk PT 82,600 35
Perusahaan Perkebunan London Sumatra Indonesia Tbk PT 293,100 34
* Agung Podomoro Land Tbk PT 1,547,500 34
Timah Persero Tbk PT 473,400 34
* Krakatau Steel Persero Tbk PT 661,000 33
* Lippo Cikarang Tbk PT 69,300 32
* Siloam International Hospitals Tbk PT 38,600 31
Surya Semesta Internusa Tbk PT 704,600 30
* Eagle High Plantations Tbk PT 2,054,500 30
Bekasi Fajar Industrial Estate Tbk PT 1,002,100 24
* Medco Energi Internasional Tbk PT 186,500 19
* Berlian Laju Tanker Tbk PT 968,000 15
    23,612
Ireland (0.1%)    
Kerry Group plc Class A 29,965 2,175
* Bank of Ireland 5,735,397 1,228
Smurfit Kappa Group plc 49,722 1,092
Kingspan Group plc 37,445 917
* ICON plc 11,200 899
Glanbia plc 36,367 592
* Ryanair Holdings plc ADR 7,668 576
* Prothena Corp. plc 7,800 373
* Ryanair Holdings plc 22,790 316
Green REIT plc 192,362 287
C&C Group plc 64,206 246
Hibernia REIT plc 127,366 179
Origin Enterprises plc 28,396 176
Irish Continental Group plc 34,980 163
* Permanent TSB Group Holdings plc 26,375 72
* Irish Bank Resolution Corp. Ltd. 14,385
    9,291
Israel (0.2%)    
Teva Pharmaceutical Industries Ltd. 182,459 7,621
Bank Hapoalim BM 219,501 1,266
* Bank Leumi Le-Israel BM 272,803 1,029
Bezeq The Israeli Telecommunication Corp. Ltd. 429,373 780
Nice Ltd. 11,645 773
Elbit Systems Ltd. 4,637 459
Frutarom Industries Ltd. 8,398 444
* Israel Discount Bank Ltd. Class A 215,335 395
Teva Pharmaceutical Industries Ltd. ADR 8,934 382
Azrieli Group Ltd. 8,696 370
* Mellanox Technologies Ltd. 8,039 349
Mizrahi Tefahot Bank Ltd. 26,275 342
Israel Chemicals Ltd. 93,855 334
* Tower Semiconductor Ltd. 15,489 239
Gazit-Globe Ltd. 23,638 213
Delek Group Ltd. 997 195
Strauss Group Ltd. 11,068 174
Alony Hetz Properties & Investments Ltd. 18,950 163
Paz Oil Co. Ltd. 968 151
* Airport City Ltd. 13,853 151
First International Bank Of Israel Ltd. 9,518 122
Melisron Ltd. 2,819 120
* Partner Communications Co. Ltd. 25,426 119
* Gilat Satellite Networks Ltd. 22,997 101
Reit 1 Ltd. 32,738 99

 

34

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Shufersal Ltd. 23,959 90
* Nova Measuring Instruments Ltd. 7,371 88
  Amot Investments Ltd. 18,840 79
* Delek Energy Systems Ltd. 145 75
* Mazor Robotics Ltd. 6,238 71
  B Communications Ltd. 3,139 69
  Rami Levy Chain Stores Hashikma Marketing 2006 Ltd. 1,678 67
  IDI Insurance Co. Ltd. 1,332 66
* Oil Refineries Ltd. 184,043 65
* Naphtha Israel Petroleum Corp. Ltd. 11,590 63
* Cellcom Israel Ltd. (Registered) 8,090 61
  Shikun & Binui Ltd. 35,075 61
* Israel Corp. Ltd. 396 59
* Jerusalem Oil Exploration 1,309 58
  Harel Insurance Investments & Financial Services Ltd. 14,790 57
* Phoenix Holdings Ltd. 16,138 46
* Clal Insurance Enterprises Holdings Ltd. 3,854 44
  Africa Israel Properties Ltd. 2,364 41
  Formula Systems 1985 Ltd. 1,026 40
* Jerusalem Economy Ltd. 17,201 39
* Compugen Ltd. 6,072 34
  Delta-Galil Industries Ltd. 1,206 34
* Migdal Insurance & Financial Holding Ltd. 47,854 32
  Bayside Land Corp. 79 31
  Big Shopping Centers Ltd. 452 30
* Kamada Ltd. 5,171 30
* Allot Communications Ltd. 4,912 26
* Silicom Ltd. 610 23
  Delek Automotive Systems Ltd. 2,063 18
* Evogene Ltd. 2,628 16
* Kenon Holdings Ltd. 1,533 15
      17,919
Italy (0.7%)    
  Eni SPA 514,884 7,472
  Enel SPA 1,590,162 6,837
  Intesa Sanpaolo SPA (Registered) 2,575,158 5,971
  Assicurazioni Generali SPA 267,169 3,451
  UniCredit SPA 1,084,131 2,690
  Snam SPA 505,971 2,666
  Atlantia SPA 100,659 2,465
* Telecom Italia SPA (Registered) 2,402,252 2,088
  Luxottica Group SPA 37,873 1,886
  CNH Industrial NV 190,745 1,481
  Ferrari NV 27,394 1,442
  Terna Rete Elettrica Nazionale SPA 290,545 1,422
  Fiat Chrysler Automobiles NV 181,528 1,331
  Prysmian SPA 44,872 1,116
* Leonardo-Finmeccanica SPA 83,757 1,020
  EXOR SPA 23,806 1,012
  Tenaris SA ADR 32,077 905
  Mediobanca SPA 119,523 876
2 Poste Italiane SPA 92,715 617
  Davide Campari-Milano SPA 59,282 597
  Telecom Italia SPA (Bearer) 753,887 535
  Parmalat SPA 188,847 499
* Saipem SPA 1,204,414 495
^ Unione di Banche Italiane SPA 176,205 486
  FinecoBank Banca Fineco SPA 82,591 483
  Banco Popolare SC 166,195 480
  Moncler SPA 28,113 468
  Banca Popolare dell'Emilia Romagna SC 98,117 461
  Recordati SPA 15,490 438
  Mediaset SPA 150,520 430
^ Banca Popolare di Milano Scarl 932,540 427

 

35

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  UnipolSai SPA 223,410 427
  Tenaris SA 29,761 421
  Brembo SPA 6,766 419
  A2A SPA 301,842 411
  Banca Mediolanum SPA 56,508 391
  Unipol Gruppo Finanziario SPA 119,962 367
* Yoox Net-A-Porter Group SPA 12,185 350
  DiaSorin SPA 5,622 345
  Hera SPA 134,364 343
  Azimut Holding SPA 20,959 336
  Cerved Information Solutions SPA 39,954 322
  Salvatore Ferragamo SPA 13,022 318
  Banca Popolare di Sondrio SCPA 93,741 313
  Intesa Sanpaolo SPA 133,993 290
  Banca Generali SPA 12,756 284
  De' Longhi SPA 12,121 284
  Interpump Group SPA 16,923 271
  Iren SPA 136,998 246
2 Infrastrutture Wireless Italiane SPA 49,871 236
2 Anima Holding SPA 47,145 230
  Buzzi Unicem SPA 11,773 229
* Ei Towers SPA 4,587 216
  Autogrill SPA 25,265 211
  Ansaldo STS SPA 18,202 209
  Societa Cattolica di Assicurazioni SCRL 34,500 209
  Societa Iniziative Autostradali e Servizi SPA 21,961 206
  Industria Macchine Automatiche SPA 3,087 191
  Banca IFIS SPA 6,213 180
  Tod's SPA 2,727 159
  ACEA SPA 11,236 146
  Beni Stabili SpA SIIQ 229,643 134
  MARR SPA 6,935 128
*,^ Banca Monte dei Paschi di Siena SPA 472,739 127
  Amplifon SPA 11,873 125
  ERG SPA 11,221 125
  Buzzi Unicem SPA 11,877 121
2 OVS SPA 21,970 120
  Reply SPA 863 108
  Italmobiliare SPA 2,286 108
  Brunello Cucinelli SPA 5,457 108
* Juventus Football Club SPA 297,668 96
  Datalogic SPA 4,466 94
^ Saras SPA 53,596 93
  Danieli & C Officine Meccaniche SPA RSP 6,539 88
  Credito Valtellinese SC 190,798 84
  Zignago Vetro SPA 13,478 82
  Salini Impregilo SPA 27,931 78
  Falck Renewables SPA 82,072 73
  Cairo Communication SPA 15,486 66
  Credito Emiliano SPA 9,851 56
  Cementir Holding SPA 10,694 52
2 RAI Way SPA 13,264 52
  Immobiliare Grande Distribuzione SIIQ SPA 55,106 42
*,^ Banca Carige SPA 121,503 41
  ASTM SPA 3,541 38
  CIR-Compagnie Industriali Riunite SPA 32,485 36
  Danieli & C Officine Meccaniche SPA 1,880 35
* Fincantieri SPA 74,730 34
* Safilo Group SPA 3,221 34
  Esprinet SPA 4,334 32
* Rizzoli Corriere Della Sera Mediagroup SPA 29,726 32
  Piaggio & C SPA 14,781 26
* Arnoldo Mondadori Editore SPA 24,213 24
  Geox SPA 10,796 23

 

36

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Cofide SPA 48,461 21
Astaldi SPA 4,791 19
* Gruppo Editoriale L'Espresso SPA 22,920 19
* EXOR SPA Rights Exp. 11/09/2016 23,806
    63,681
Japan (8.5%)    
Toyota Motor Corp. 573,994 33,296
Mitsubishi UFJ Financial Group Inc. 2,859,980 14,757
KDDI Corp. 388,400 11,805
SoftBank Group Corp. 180,605 11,375
Honda Motor Co. Ltd. 378,841 11,336
Japan Tobacco Inc. 249,740 9,495
Sumitomo Mitsui Financial Group Inc. 272,248 9,439
Mizuho Financial Group Inc. 5,247,607 8,836
Sony Corp. 263,000 8,289
FANUC Corp. 41,044 7,515
Takeda Pharmaceutical Co. Ltd. 162,533 7,269
Keyence Corp. 9,483 6,952
NTT DOCOMO Inc. 274,648 6,898
East Japan Railway Co. 78,165 6,881
Seven & i Holdings Co. Ltd. 163,500 6,824
Astellas Pharma Inc. 445,300 6,609
Shin-Etsu Chemical Co. Ltd. 86,254 6,540
Central Japan Railway Co. 37,857 6,437
Canon Inc. 219,000 6,291
Mitsubishi Corp. 289,000 6,290
Tokio Marine Holdings Inc. 146,813 5,791
Mitsubishi Electric Corp. 414,055 5,602
Murata Manufacturing Co. Ltd. 39,628 5,534
Nintendo Co. Ltd. 22,604 5,449
Kao Corp. 105,048 5,405
Daikin Industries Ltd. 55,779 5,345
Hitachi Ltd. 972,688 5,185
Fuji Heavy Industries Ltd. 130,700 5,107
Bridgestone Corp. 134,974 5,038
Mitsui & Co. Ltd. 357,800 4,957
Mitsubishi Estate Co. Ltd. 247,191 4,913
Nidec Corp. 50,706 4,906
Panasonic Corp. 445,504 4,596
Mitsui Fudosan Co. Ltd. 199,000 4,532
Denso Corp. 102,700 4,469
ORIX Corp. 281,160 4,455
Komatsu Ltd. 197,515 4,397
Nissan Motor Co. Ltd. 425,601 4,329
Otsuka Holdings Co. Ltd. 88,200 3,860
ITOCHU Corp. 302,600 3,821
Kubota Corp. 236,300 3,809
Nomura Holdings Inc. 732,800 3,671
Fast Retailing Co. Ltd. 10,700 3,605
Daiwa House Industry Co. Ltd. 130,100 3,571
SMC Corp. 12,300 3,565
Eisai Co. Ltd. 55,900 3,562
Dai-ichi Life Holdings Inc. 236,700 3,470
Hoya Corp. 83,000 3,463
Daiichi Sankyo Co. Ltd. 139,000 3,340
Nippon Steel & Sumitomo Metal Corp. 167,274 3,314
Kyocera Corp. 66,300 3,221
FUJIFILM Holdings Corp. 84,500 3,195
MS&AD Insurance Group Holdings Inc. 106,881 3,173
Kirin Holdings Co. Ltd. 178,700 3,072
Shionogi & Co. Ltd. 62,000 3,053
Suzuki Motor Corp. 85,281 3,041
Secom Co. Ltd. 41,200 2,972
Toray Industries Inc. 318,000 2,960

 

37

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Tokyo Electron Ltd. 32,400 2,923
* Toshiba Corp. 805,000 2,915
Mitsubishi Heavy Industries Ltd. 674,870 2,887
Asahi Group Holdings Ltd. 80,700 2,879
MEIJI Holdings Co. Ltd. 28,434 2,836
Shimano Inc. 16,500 2,821
Recruit Holdings Co. Ltd. 68,170 2,738
Sumitomo Mitsui Trust Holdings Inc. 80,346 2,711
Terumo Corp. 67,100 2,595
Daito Trust Construction Co. Ltd. 15,152 2,539
Sompo Holdings Inc. 77,175 2,497
Sumitomo Corp. 215,700 2,480
Ono Pharmaceutical Co. Ltd. 96,300 2,442
Olympus Corp. 68,000 2,424
Oriental Land Co. Ltd. 41,100 2,401
Sumitomo Realty & Development Co. Ltd. 90,846 2,388
Sumitomo Electric Industries Ltd. 160,900 2,377
West Japan Railway Co. 38,500 2,371
Ajinomoto Co. Inc. 106,000 2,357
Asahi Kasei Corp. 261,000 2,353
Dentsu Inc. 46,549 2,320
Nitto Denko Corp. 32,900 2,292
Nippon Telegraph & Telephone Corp. 50,400 2,235
Fujitsu Ltd. 372,906 2,212
Daiwa Securities Group Inc. 359,000 2,143
Chubu Electric Power Co. Inc. 143,715 2,116
Shiseido Co. Ltd. 81,900 2,113
Sysmex Corp. 29,834 2,068
Resona Holdings Inc. 465,106 2,062
Aeon Co. Ltd. 148,300 2,049
Tokyo Gas Co. Ltd. 450,000 2,042
Sekisui House Ltd. 123,200 2,036
JX Holdings Inc. 513,907 2,031
Mazda Motor Corp. 118,800 1,970
Rakuten Inc. 169,300 1,952
Unicharm Corp. 81,600 1,940
Nitori Holdings Co. Ltd. 15,800 1,887
Mitsubishi Chemical Holdings Corp. 280,384 1,841
Aisin Seiki Co. Ltd. 41,600 1,827
Inpex Corp. 193,600 1,806
Makita Corp. 26,000 1,798
Marubeni Corp. 338,128 1,777
Osaka Gas Co. Ltd. 419,000 1,743
Japan Exchange Group Inc. 116,500 1,730
Yamato Holdings Co. Ltd. 75,600 1,722
TDK Corp. 24,900 1,719
Taisei Corp. 223,498 1,675
Tokyu Corp. 217,000 1,625
Hankyu Hanshin Holdings Inc. 48,700 1,612
Kintetsu Group Holdings Co. Ltd. 395,000 1,594
Omron Corp. 41,200 1,581
Chugai Pharmaceutical Co. Ltd. 46,300 1,578
Toyota Industries Corp. 34,300 1,574
T&D Holdings Inc. 128,100 1,549
Sumitomo Chemical Co. Ltd. 327,492 1,549
JFE Holdings Inc. 107,800 1,545
* Kansai Electric Power Co. Inc. 157,800 1,509
NEC Corp. 553,000 1,479
Isuzu Motors Ltd. 117,320 1,451
Obayashi Corp. 144,100 1,388
Asahi Glass Co. Ltd. 198,000 1,385
NTT Data Corp. 26,700 1,378
Sumitomo Metal Mining Co. Ltd. 101,000 1,312
Kajima Corp. 194,000 1,308

 

38

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
* Tokyo Electric Power Co. Holdings Inc. 336,900 1,305
Nippon Paint Holdings Co. Ltd. 38,300 1,302
Odakyu Electric Railway Co. Ltd. 63,500 1,296
Yamaha Motor Co. Ltd. 57,900 1,286
Yamaha Corp. 35,800 1,279
Dai Nippon Printing Co. Ltd. 127,000 1,274
LIXIL Group Corp. 55,400 1,272
Bandai Namco Holdings Inc. 41,500 1,243
Tohoku Electric Power Co. Inc. 100,800 1,235
Koito Manufacturing Co. Ltd. 23,500 1,234
Sekisui Chemical Co. Ltd. 78,300 1,233
Santen Pharmaceutical Co. Ltd. 84,500 1,232
Japan Post Holdings Co. Ltd. 95,492 1,216
TOTO Ltd. 30,300 1,211
Kikkoman Corp. 37,750 1,201
Seiko Epson Corp. 58,900 1,194
Ricoh Co. Ltd. 146,300 1,192
Concordia Financial Group Ltd. 253,279 1,174
M3 Inc. 38,500 1,172
Suntory Beverage & Food Ltd. 26,600 1,163
Nikon Corp. 74,400 1,124
Kuraray Co. Ltd. 74,100 1,123
Keikyu Corp. 111,000 1,120
Toyota Tsusho Corp. 47,400 1,119
Ryohin Keikaku Co. Ltd. 5,107 1,091
FamilyMart UNY Holdings Co. Ltd. 17,271 1,083
NSK Ltd. 96,300 1,071
Shimizu Corp. 120,000 1,067
Lawson Inc. 13,900 1,056
Yahoo Japan Corp. 271,900 1,043
Japan Post Bank Co. Ltd. 87,135 1,027
Tobu Railway Co. Ltd. 208,000 1,021
MISUMI Group Inc. 55,700 1,016
Nagoya Railroad Co. Ltd. 192,000 1,013
NGK Insulators Ltd. 55,000 1,010
Hoshizaki Corp. 11,182 1,009
Toppan Printing Co. Ltd. 107,000 1,006
Keio Corp. 121,000 1,001
* Kyushu Railway Co. 33,524 988
NH Foods Ltd. 41,000 983
Yakult Honsha Co. Ltd. 21,000 979
Nissan Chemical Industries Ltd. 28,800 976
Rohm Co. Ltd. 18,400 967
Alps Electric Co. Ltd. 40,100 962
Mitsui Chemicals Inc. 194,000 955
Shizuoka Bank Ltd. 113,000 954
Don Quijote Holdings Co. Ltd. 24,700 939
Mitsubishi Tanabe Pharma Corp. 47,100 917
Yaskawa Electric Corp. 57,463 917
Tosoh Corp. 139,981 914
Toho Gas Co. Ltd. 98,000 909
Kyushu Electric Power Co. Inc. 99,900 908
Taisho Pharmaceutical Holdings Co. Ltd. 9,300 907
Trend Micro Inc. 25,600 901
Suruga Bank Ltd. 36,900 901
Kawasaki Heavy Industries Ltd. 306,000 894
Brother Industries Ltd. 48,600 892
Daicel Corp. 67,400 886
Amada Holdings Co. Ltd. 77,800 886
Nissin Foods Holdings Co. Ltd. 15,300 886
Electric Power Development Co. Ltd. 38,000 885
Tsuruha Holdings Inc. 7,600 877
Seibu Holdings Inc. 50,478 873
Hamamatsu Photonics KK 28,800 871

 

39

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Kansai Paint Co. Ltd. 40,000 860
Konica Minolta Inc. 95,200 853
Lion Corp. 52,000 850
Hirose Electric Co. Ltd. 6,430 848
Chiba Bank Ltd. 137,000 847
Stanley Electric Co. Ltd. 30,600 843
Hisamitsu Pharmaceutical Co. Inc. 15,600 832
Shimadzu Corp. 57,000 829
NGK Spark Plug Co. Ltd. 41,600 826
Nisshin Seifun Group Inc. 55,820 822
Aozora Bank Ltd. 246,901 816
* IHI Corp. 307,000 808
Yamada Denki Co. Ltd. 155,660 805
Asics Corp. 37,500 800
JGC Corp. 45,000 795
Konami Holdings Corp. 20,100 794
Kyowa Hakko Kirin Co. Ltd. 52,000 793
Nippon Express Co. Ltd. 159,000 785
Oji Holdings Corp. 184,000 778
Mitsubishi Materials Corp. 26,534 760
Alfresa Holdings Corp. 35,900 759
Toyo Suisan Kaisha Ltd. 18,600 754
Taiheiyo Cement Corp. 263,000 753
Isetan Mitsukoshi Holdings Ltd. 74,500 753
USS Co. Ltd. 44,400 751
Teijin Ltd. 38,800 750
Rinnai Corp. 7,800 749
Toho Co. Ltd. (Tokyo Shares 9602) 24,600 738
Nomura Research Institute Ltd. 20,930 726
Yokogawa Electric Corp. 51,600 725
Sojitz Corp. 275,448 723
Keihan Holdings Co. Ltd. 107,000 722
J Front Retailing Co. Ltd. 52,300 720
Nabtesco Corp. 24,000 717
Mebuki Financial Group Inc. 201,150 716
Chugoku Electric Power Co. Inc. 61,100 715
Hulic Co. Ltd. 74,800 712
Keisei Electric Railway Co. Ltd. 29,500 711
DeNA Co. Ltd. 22,100 711
JTEKT Corp. 47,900 709
Disco Corp. 5,800 701
Obic Co. Ltd. 13,400 696
Minebea Co. Ltd. 68,000 694
Mitsubishi Motors Corp. 124,900 693
Kobayashi Pharmaceutical Co. Ltd. 13,200 690
ANA Holdings Inc. 245,000 688
Nippon Yusen KK 334,000 684
Park24 Co. Ltd. 21,800 674
Casio Computer Co. Ltd. 47,600 663
Start Today Co. Ltd. 37,500 657
Sohgo Security Services Co. Ltd. 14,400 656
Hakuhodo DY Holdings Inc. 54,000 649
Kewpie Corp. 22,700 645
Sumitomo Heavy Industries Ltd. 122,000 642
Fukuoka Financial Group Inc. 148,000 640
Marui Group Co. Ltd. 45,500 638
Shimamura Co. Ltd. 4,900 627
Mitsubishi Gas Chemical Co. Inc. 40,500 623
Mabuchi Motor Co. Ltd. 10,700 622
Pigeon Corp. 21,800 613
Mitsui OSK Lines Ltd. 244,397 611
Iida Group Holdings Co. Ltd. 31,581 610
Sumitomo Dainippon Pharma Co. Ltd. 34,900 604
Sega Sammy Holdings Inc. 40,900 604

 

40

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Sumitomo Rubber Industries Ltd. 35,800 601
  Air Water Inc. 32,000 599
  Fuji Electric Co. Ltd. 119,000 594
  Ezaki Glico Co. Ltd. 10,400 591
  TonenGeneral Sekiyu KK 60,000 591
  Tokyu Fudosan Holdings Corp. 104,686 590
  Hino Motors Ltd. 54,000 589
  SCREEN Holdings Co. Ltd. 8,600 588
  Yamazaki Baking Co. Ltd. 26,000 583
  Toyo Seikan Group Holdings Ltd. 31,600 583
  Shinsei Bank Ltd. 359,000 580
  Miraca Holdings Inc. 12,000 579
  Calbee Inc. 15,900 577
  CyberAgent Inc. 19,800 575
  Haseko Corp. 59,100 575
  JSR Corp. 37,800 574
  Tokyo Tatemono Co. Ltd. 45,000 572
  Kose Corp. 6,200 566
  Nippon Shinyaku Co. Ltd. 11,000 558
  Ebara Corp. 18,800 558
  Bank of Kyoto Ltd. 76,000 557
  Hitachi High-Technologies Corp. 13,300 555
  Kurita Water Industries Ltd. 23,300 551
  Square Enix Holdings Co. Ltd. 16,600 549
  MediPal Holdings Corp. 32,100 548
  Suzuken Co. Ltd. 17,060 548
  Kaneka Corp. 66,000 546
  Kyushu Financial Group Inc. 81,970 545
  Credit Saison Co. Ltd. 31,500 545
  DIC Corp. 17,700 536
  Sundrug Co. Ltd. 6,800 535
  NOK Corp. 23,500 530
  Advantest Corp. 36,900 527
  Nankai Electric Railway Co. Ltd. 116,000 527
*,^ Sharp Corp. 303,302 526
  Nichirei Corp. 24,000 525
  Hitachi Metals Ltd. 41,700 521
  Yamaguchi Financial Group Inc. 47,000 518
* Kobe Steel Ltd. 62,100 512
  Temp Holdings Co. Ltd. 30,200 512
  Takashimaya Co. Ltd. 62,000 506
  Hiroshima Bank Ltd. 117,000 501
  Chugoku Bank Ltd. 37,300 500
  Azbil Corp. 16,800 498
  Hitachi Chemical Co. Ltd. 21,300 498
  Hikari Tsushin Inc. 5,400 496
  THK Co. Ltd. 23,400 494
  Otsuka Corp. 10,200 485
  SBI Holdings Inc. 40,840 485
  Nifco Inc. 8,401 484
  Nippon Shokubai Co. Ltd. 7,000 483
  Sony Financial Holdings Inc. 34,200 480
  Nippon Electric Glass Co. Ltd. 88,000 479
  Kakaku.com Inc. 28,168 473
  Idemitsu Kosan Co. Ltd. 20,500 471
  Hachijuni Bank Ltd. 86,000 469
  Kaken Pharmaceutical Co. Ltd. 7,300 460
^ Kawasaki Kisen Kaisha Ltd. 184,000 455
  Ube Industries Ltd. 220,000 454
  Nexon Co. Ltd. 26,600 453
  Hokuriku Electric Power Co. 39,500 449
  Sumitomo Forestry Co. Ltd. 32,200 449
  Hitachi Construction Machinery Co. Ltd. 21,400 448
  Mitsubishi UFJ Lease & Finance Co. Ltd. 92,400 447

 

41

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Gunma Bank Ltd. 93,000 444
^ Japan Airport Terminal Co. Ltd. 11,500 441
  Ito En Ltd. 12,100 441
  Zenkoku Hosho Co. Ltd. 10,100 434
  Asahi Intecc Co. Ltd. 10,000 433
  Sawai Pharmaceutical Co. Ltd. 6,700 433
  Showa Shell Sekiyu KK 46,000 429
  Kagome Co. Ltd. 16,300 427
*,^ PeptiDream Inc. 8,300 427
  Seven Bank Ltd. 138,400 425
  Sotetsu Holdings Inc. 87,000 425
  Matsumotokiyoshi Holdings Co. Ltd. 8,200 422
  Maruichi Steel Tube Ltd. 13,100 422
  Denka Co. Ltd. 93,000 422
  Nihon M&A Center Inc. 13,000 422
  Sanwa Holdings Corp. 42,100 419
  Sapporo Holdings Ltd. 14,800 418
  Daifuku Co. Ltd. 23,100 417
  Nishi-Nippon Railroad Co. Ltd. 88,000 417
  COMSYS Holdings Corp. 23,600 415
  Nippon Kayaku Co. Ltd. 36,000 415
  Nomura Real Estate Holdings Inc. 24,300 410
  Sumco Corp. 39,126 409
  Sugi Holdings Co. Ltd. 7,600 407
  Tsumura & Co. 14,300 406
  Calsonic Kansei Corp. 32,000 401
  Hokuhoku Financial Group Inc. 27,800 401
  Morinaga & Co. Ltd. 8,600 400
  AEON Financial Service Co. Ltd. 22,700 400
  Aeon Mall Co. Ltd. 26,772 398
  Nihon Kohden Corp. 16,200 395
  Glory Ltd. 11,900 393
  Mitsubishi Logistics Corp. 29,000 393
  Coca-Cola West Co. Ltd. 13,200 390
  Takara Holdings Inc. 41,100 389
  Horiba Ltd. 8,100 387
  Megmilk Snow Brand Co. Ltd. 11,100 386
  TIS Inc. 17,000 385
  Daiichikosho Co. Ltd. 8,800 383
  Yokohama Rubber Co. Ltd. 22,000 382
* Acom Co. Ltd. 82,800 381
  Oracle Corp. Japan 7,000 381
  Izumi Co. Ltd. 8,200 379
  Tokyo Century Corp. 10,700 377
  Kamigumi Co. Ltd. 44,000 376
  Toyo Tire & Rubber Co. Ltd. 24,100 374
  Furukawa Electric Co. Ltd. 12,600 371
  Nippon Paper Industries Co. Ltd. 19,800 371
  Cosmos Pharmaceutical Corp. 1,700 370
  Iyo Bank Ltd. 59,400 365
  Sankyo Co. Ltd. 10,300 363
  Benesse Holdings Inc. 13,800 362
  Welcia Holdings Co. Ltd. 5,300 361
  Zensho Holdings Co. Ltd. 19,300 360
  Ain Holdings Inc. 5,300 358
  Toyoda Gosei Co. Ltd. 15,500 355
  77 Bank Ltd. 78,000 352
  GS Yuasa Corp. 81,000 350
  Citizen Watch Co. Ltd. 62,100 349
  OSG Corp. 16,100 343
*,^ Tokuyama Corp. 80,000 342
  Seino Holdings Co. Ltd. 30,800 341
  Miura Co. Ltd. 19,700 340
  Pilot Corp. 7,600 340

 

42

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Morinaga Milk Industry Co. Ltd. 42,000 338
  Coca-Cola East Japan Co. Ltd. 15,300 337
  NOF Corp. 31,000 337
  Leopalace21 Corp. 51,600 335
  Ulvac Inc. 10,600 335
  Dowa Holdings Co. Ltd. 45,000 334
  ADEKA Corp. 22,100 334
  Pola Orbis Holdings Inc. 4,000 333
* Itoham Yonekyu Holdings Inc. 34,872 333
  Kinden Corp. 27,500 331
  Sumitomo Osaka Cement Co. Ltd. 79,000 327
  Taiyo Nippon Sanso Corp. 31,100 327
  Toyota Boshoku Corp. 12,900 325
  Nisshin Steel Co. Ltd. 24,300 323
  NHK Spring Co. Ltd. 34,000 322
  Penta-Ocean Construction Co. Ltd. 54,000 322
  Showa Denko KK 24,300 321
  House Foods Group Inc. 14,300 319
  Relo Group Inc. 1,900 315
  Rohto Pharmaceutical Co. Ltd. 17,900 314
  Tokyo Ohka Kogyo Co. Ltd. 8,800 312
  Fujikura Ltd. 53,000 311
  Ibiden Co. Ltd. 21,400 311
  Zeon Corp. 34,000 311
  Aoyama Trading Co. Ltd. 8,800 310
  Nipro Corp. 25,100 310
  Daido Steel Co. Ltd. 73,000 310
  Awa Bank Ltd. 47,000 309
  Heiwa Corp. 13,100 308
  Toyobo Co. Ltd. 188,000 308
*,^ LINE Corp. 7,494 307
  Shikoku Electric Power Co. Inc. 32,600 307
  SCSK Corp. 8,200 306
* Nishi-Nippon Financial Holdings Inc. 30,600 305
  NTN Corp. 80,000 303
  Shochiku Co. Ltd. 27,000 302
  Sankyu Inc. 51,000 300
  Kyowa Exeo Corp. 20,000 300
  Ushio Inc. 24,800 299
  MonotaRO Co. Ltd. 12,300 299
  Hokkaido Electric Power Co. Inc. 39,000 297
  Tadano Ltd. 26,000 292
  Capcom Co. Ltd. 11,300 292
  Wacoal Holdings Corp. 25,000 288
  Toagosei Co. Ltd. 25,900 288
  Daishi Bank Ltd. 67,000 288
  Mochida Pharmaceutical Co. Ltd. 3,671 288
  Hanwa Co. Ltd. 47,000 288
  Topcon Corp. 19,200 287
  Amano Corp. 15,400 287
  ABC-Mart Inc. 4,700 286
  TS Tech Co. Ltd. 10,600 284
  Japan Airlines Co. Ltd. 9,600 283
  Nihon Parkerizing Co. Ltd. 20,500 282
  Bic Camera Inc. 32,800 282
  K's Holdings Corp. 16,284 282
  Iwatani Corp. 47,000 281
  Sangetsu Corp. 14,500 280
  Japan Steel Works Ltd. 13,000 279
  Chiyoda Corp. 32,000 279
  Toda Corp. 51,000 276
  Nagase & Co. Ltd. 21,600 276
  Fujitsu General Ltd. 12,000 275
  TechnoPro Holdings Inc. 8,000 274

 

43

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Nippon Light Metal Holdings Co. Ltd. 119,800 273
DMG Mori Co. Ltd. 25,600 272
Hazama Ando Corp. 42,100 271
Shimachu Co. Ltd. 10,100 271
Okumura Corp. 47,000 271
Resorttrust Inc. 13,400 268
OKUMA Corp. 32,000 268
H2O Retailing Corp. 17,900 266
Okasan Securities Group Inc. 50,000 266
Kiyo Bank Ltd. 16,007 265
SHO-BOND Holdings Co. Ltd. 5,400 260
Aica Kogyo Co. Ltd. 9,100 260
Maeda Corp. 28,000 259
FP Corp. 4,800 259
Mitsui Mining & Smelting Co. Ltd. 116,000 258
Nichias Corp. 29,000 258
Japan Post Insurance Co. Ltd. 12,280 257
Shiga Bank Ltd. 49,000 254
Nishimatsu Construction Co. Ltd. 54,000 252
Nippon Gas Co. Ltd. 8,300 251
Nippo Corp. 13,000 251
Valor Holdings Co. Ltd. 8,800 250
Nisshinbo Holdings Inc. 25,000 249
Skylark Co. Ltd. 17,700 249
Ship Healthcare Holdings Inc. 8,500 249
Kyudenko Corp. 7,700 248
Yamato Kogyo Co. Ltd. 8,800 248
Juroku Bank Ltd. 82,000 247
Senshu Ikeda Holdings Inc. 54,200 247
Oki Electric Industry Co. Ltd. 18,900 247
Fuji Machine Manufacturing Co. Ltd. 19,300 246
Tsubakimoto Chain Co. 31,000 246
Nippon Suisan Kaisha Ltd. 50,900 245
KYORIN Holdings Inc. 10,900 244
Tokai Tokyo Financial Holdings Inc. 47,900 243
Nikkon Holdings Co. Ltd. 11,200 241
Itochu Techno-Solutions Corp. 9,700 239
Hitachi Transport System Ltd. 11,600 239
Rengo Co. Ltd. 38,000 238
Hokkoku Bank Ltd. 69,000 231
San-In Godo Bank Ltd. 32,000 230
^ Sanrio Co. Ltd. 12,292 230
Onward Holdings Co. Ltd. 34,000 228
Kandenko Co. Ltd. 23,000 227
Yoshinoya Holdings Co. Ltd. 15,000 226
Ogaki Kyoritsu Bank Ltd. 63,000 225
Autobacs Seven Co. Ltd. 15,800 225
Lintec Corp. 10,300 224
Takasago Thermal Engineering Co. Ltd. 15,900 224
Mitsui Engineering & Shipbuilding Co. Ltd. 160,000 222
* Orient Corp. 117,800 219
Mandom Corp. 4,700 219
Maruha Nichiro Corp. 7,900 219
Arcs Co. Ltd. 8,700 218
Ariake Japan Co. Ltd. 3,900 218
Kumagai Gumi Co. Ltd. 82,000 218
^ Fukuyama Transporting Co. Ltd. 38,000 216
Colowide Co. Ltd. 11,100 216
Tokyo Seimitsu Co. Ltd. 7,900 216
Ai Holdings Corp. 8,700 214
Taiyo Yuden Co. Ltd. 20,000 214
UACJ Corp. 65,000 211
Makino Milling Machine Co. Ltd. 33,000 210
Duskin Co. Ltd. 10,900 209

 

44

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Kenedix Inc. 49,600 209
  Topre Corp. 9,000 208
  MOS Food Services Inc. 6,200 208
  Hitachi Kokusai Electric Inc. 10,400 208
  San-A Co. Ltd. 3,800 207
  Trusco Nakayama Corp. 4,000 207
  Koei Tecmo Holdings Co. Ltd. 10,800 207
  Saibu Gas Co. Ltd. 88,000 206
  Keiyo Bank Ltd. 49,000 206
  Yaoko Co. Ltd. 4,900 206
  Kokuyo Co. Ltd. 15,400 204
  Maeda Road Construction Co. Ltd. 11,000 203
  NTT Urban Development Corp. 22,100 203
  Mitsubishi Pencil Co. Ltd. 4,000 200
  Hitachi Capital Corp. 8,900 199
  FCC Co. Ltd. 8,900 196
  North Pacific Bank Ltd. 52,400 195
  Takara Standard Co. Ltd. 10,500 195
  Musashino Bank Ltd. 7,000 193
^ GungHo Online Entertainment Inc. 74,800 189
^ Nissha Printing Co. Ltd. 7,800 189
  Gunze Ltd. 56,000 188
  Ryosan Co. Ltd. 6,100 188
  Fuyo General Lease Co. Ltd. 3,700 188
  Tokai Rika Co. Ltd. 10,000 188
  Ichigo Inc. 42,900 186
  Tomy Co. Ltd. 17,200 186
  ASKUL Corp. 4,500 185
  Inaba Denki Sangyo Co. Ltd. 5,100 185
  Toho Holdings Co. Ltd. 8,800 185
  Totetsu Kogyo Co. Ltd. 6,500 184
  Meitec Corp. 5,400 184
  GMO Payment Gateway Inc. 4,000 184
*,^ Aiful Corp. 60,300 183
  Fuji Oil Holdings Inc. 9,500 183
  Fujitec Co. Ltd. 16,000 183
  KYB Corp. 40,000 183
  Nanto Bank Ltd. 4,800 182
  Bank of Okinawa Ltd. 5,180 182
  Matsuya Foods Co. Ltd. 5,600 182
  Fuji Seal International Inc. 4,400 181
  GMO Internet Inc. 13,500 180
  Jafco Co. Ltd. 5,400 179
  Sakata Seed Corp. 6,200 178
  Hokuetsu Kishu Paper Co. Ltd. 28,500 178
  Noritz Corp. 8,600 178
  Takeuchi Manufacturing Co. Ltd. 9,200 178
  Nippon Flour Mills Co. Ltd. 12,000 177
  DCM Holdings Co. Ltd. 20,200 177
  Kyoritsu Maintenance Co. Ltd. 2,936 176
  Gurunavi Inc. 6,400 175
  Cosmo Energy Holdings Co. Ltd. 13,400 175
  Asatsu-DK Inc. 6,300 175
  Sanyo Special Steel Co. Ltd. 34,000 174
  Okamoto Industries Inc. 16,000 173
  Nichi-iko Pharmaceutical Co. Ltd. 9,650 173
*,^ euglena Co. Ltd. 12,700 173
  Central Glass Co. Ltd. 42,000 172
  Unipres Corp. 8,900 172
  Okamura Corp. 17,500 172
  Kissei Pharmaceutical Co. Ltd. 6,548 171
  Hitachi Zosen Corp. 34,000 171
  Tokyo Dome Corp. 18,000 171
  Toho Bank Ltd. 45,000 171

 

45

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Sumitomo Mitsui Construction Co. Ltd. 179,100 171
Okinawa Electric Power Co. Inc. 7,325 170
Transcosmos Inc. 6,700 170
Kuroda Electric Co. Ltd. 8,700 169
Tokyu Construction Co. Ltd. 16,700 169
Nippon Steel & Sumikin Bussan Corp. 4,600 169
Exedy Corp. 5,900 169
Sumitomo Bakelite Co. Ltd. 31,000 168
Nisshin Oillio Group Ltd. 37,000 168
Kanamoto Co. Ltd. 7,000 168
^ Daio Paper Corp. 14,000 168
Nihon Unisys Ltd. 13,700 167
Hyakujushi Bank Ltd. 49,000 167
Shima Seiki Manufacturing Ltd. 5,900 166
Daikyonishikawa Corp. 12,800 166
Daiseki Co. Ltd. 8,000 164
Yodogawa Steel Works Ltd. 6,000 164
Matsui Securities Co. Ltd. 20,400 163
^ COLOPL Inc. 11,300 162
PALTAC Corp. 6,600 162
TPR Co. Ltd. 5,600 162
Tokyo TY Financial Group Inc. 5,049 162
Gree Inc. 29,100 161
Japan Securities Finance Co. Ltd. 36,300 161
^ Jin Co. Ltd. 3,100 161
Adastria Co. Ltd. 6,140 161
Canon Marketing Japan Inc. 9,300 161
^ EDION Corp. 18,100 160
Senko Co. Ltd. 23,000 159
Aichi Steel Corp. 3,300 159
Fukui Bank Ltd. 60,000 159
Hyakugo Bank Ltd. 43,000 158
HIS Co. Ltd. 5,800 158
Hokuetsu Bank Ltd. 6,700 158
TOMONY Holdings Inc. 30,600 158
Hogy Medical Co. Ltd. 2,400 158
Japan Aviation Electronics Industry Ltd. 11,000 158
Yamanashi Chuo Bank Ltd. 32,000 157
Saizeriya Co. Ltd. 5,900 155
Bank of Nagoya Ltd. 4,400 155
Nissan Shatai Co. Ltd. 15,000 155
cocokara fine Inc. 4,000 155
Kato Sangyo Co. Ltd. 6,400 154
Toyo Ink SC Holdings Co. Ltd. 33,000 153
Earth Chemical Co. Ltd. 3,300 153
United Arrows Ltd. 5,500 150
PanaHome Corp. 20,000 149
Accordia Golf Co. Ltd. 14,700 148
Kohnan Shoji Co. Ltd. 7,500 148
Itochu-Shokuhin Co. Ltd. 3,700 148
Japan Pulp & Paper Co. Ltd. 44,000 147
NEC Capital Solutions Ltd. 8,800 147
Iino Kaiun Kaisha Ltd. 39,400 147
Komeri Co. Ltd. 6,000 147
Yuasa Trading Co. Ltd. 6,100 146
United Super Markets Holdings Inc. 16,160 146
ZERIA Pharmaceutical Co. Ltd. 8,700 146
Eighteenth Bank Ltd. 47,000 146
Nichiha Corp. 5,900 146
Nippon Signal Company Ltd. 16,400 146
Hiday Hidaka Corp. 5,832 145
Nachi-Fujikoshi Corp. 38,000 144
Hokuto Corp. 7,400 144
Kameda Seika Co. Ltd. 2,749 144

 

46

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Meidensha Corp. 43,000 144
G-Tekt Corp. 7,500 142
Tokyo Steel Manufacturing Co. Ltd. 20,500 142
Sekisui Jushi Corp. 8,600 142
Eagle Industry Co. Ltd. 9,900 141
Nishimatsuya Chain Co. Ltd. 10,000 141
CKD Corp. 11,300 141
Joyful Honda Co. Ltd. 5,094 141
Nagatanien Holdings Co. Ltd. 11,000 140
Siix Corp. 3,500 140
Ehime Bank Ltd. 10,600 140
Bank of Iwate Ltd. 3,300 139
Takuma Co. Ltd. 15,000 138
Zojirushi Corp. 10,000 138
Chiyoda Co. Ltd. 5,800 138
Token Corp. 1,900 137
Takara Bio Inc. 9,500 137
Futaba Corp. 8,400 137
Taikisha Ltd. 5,400 136
Tokushu Tokai Paper Co. Ltd. 4,000 136
Chofu Seisakusho Co. Ltd. 5,300 136
Morita Holdings Corp. 9,000 136
Nippon Seiki Co. Ltd. 7,000 135
Anritsu Corp. 25,500 135
Kanematsu Corp. 82,000 135
* Nippon Sheet Glass Co. Ltd. 16,574 135
Yamagata Bank Ltd. 31,000 134
Life Corp. 4,100 133
Relia Inc. 13,700 131
Taiyo Holdings Co. Ltd. 3,500 131
Maruzen Showa Unyu Co. Ltd. 32,000 130
Paramount Bed Holdings Co. Ltd. 3,400 129
Nippon Densetsu Kogyo Co. Ltd. 7,100 129
Kisoji Co. Ltd. 6,000 129
Sankyo Tateyama Inc. 8,200 129
Marudai Food Co. Ltd. 27,000 129
Showa Sangyo Co. Ltd. 24,000 128
NS United Kaiun Kaisha Ltd. 92,000 128
NS Solutions Corp. 6,700 128
Daikyo Inc. 59,000 127
Kureha Corp. 3,300 126
Fuji Kyuko Co. Ltd. 11,000 126
Daisan Bank Ltd. 7,400 125
Key Coffee Inc. 6,300 125
Osaki Electric Co. Ltd. 13,000 125
Katakura Industries Co. Ltd. 10,200 124
Towa Bank Ltd. 117,000 124
Nagaileben Co. Ltd. 5,600 123
TOC Co. Ltd. 13,600 123
Keihin Corp. 7,500 123
Japan Petroleum Exploration Co. Ltd. 5,600 123
Kusuri No Aoki Co. Ltd. 2,400 122
Hitachi Maxell Ltd. 6,700 122
Osaka Steel Co. Ltd. 6,500 122
Daihen Corp. 21,000 122
Tokai Carbon Co. Ltd. 40,000 122
Sato Holdings Corp. 5,500 121
Seiko Holdings Corp. 37,000 121
Toshiba Plant Systems & Services Corp. 7,500 121
Kasai Kogyo Co. Ltd. 10,600 120
Nissin Electric Co. Ltd. 9,000 120
Eizo Corp. 3,800 120
Takara Leben Co. Ltd. 17,600 119
Dip Corp. 4,500 119

 

47

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Dexerials Corp. 14,800 119
^ Japan Display Inc. 60,300 119
Sanyo Electric Railway Co. Ltd. 23,907 118
Sumitomo Warehouse Co. Ltd. 22,000 118
Matsuda Sangyo Co. Ltd. 8,300 116
Aichi Bank Ltd. 2,100 116
Topy Industries Ltd. 5,000 116
* Toshiba TEC Corp. 26,000 116
Royal Holdings Co. Ltd. 6,700 116
Chukyo Bank Ltd. 5,200 115
Aeon Delight Co. Ltd. 3,900 115
Senshukai Co. Ltd. 17,000 115
* Infomart Corp. 9,700 115
Nichiden Corp. 4,000 114
Akita Bank Ltd. 34,000 114
Oita Bank Ltd. 30,000 114
Fancl Corp. 7,500 113
VT Holdings Co. Ltd. 21,100 113
NET One Systems Co. Ltd. 15,600 113
Raito Kogyo Co. Ltd. 9,400 113
Tosho Co. Ltd. 2,600 113
SMS Co. Ltd. 4,300 112
Fuji Soft Inc. 4,200 112
Rock Field Co. Ltd. 8,000 111
Nitto Boseki Co. Ltd. 34,000 111
Kyoei Steel Ltd. 5,800 110
Kita-Nippon Bank Ltd. 3,700 110
Doutor Nichires Holdings Co. Ltd. 5,500 110
Seiren Co. Ltd. 9,400 110
TSI Holdings Co. Ltd. 19,400 109
Ryobi Ltd. 27,000 109
Iseki & Co. Ltd. 44,000 109
IBJ Leasing Co. Ltd. 5,200 109
Unizo Holdings Co. Ltd. 3,900 109
Kitz Corp. 18,900 109
Mizuno Corp. 20,000 108
NichiiGakkan Co. Ltd. 12,900 107
V Technology Co. Ltd. 900 107
Nomura Co. Ltd. 6,600 107
Nikkiso Co. Ltd. 12,100 107
Hosiden Corp. 14,400 107
Toridoll Holdings Corp. 4,600 107
AOKI Holdings Inc. 8,800 106
Mirait Holdings Corp. 12,000 106
Nippon Soda Co. Ltd. 24,000 106
Open House Co. Ltd. 5,000 106
Dydo Drinco Inc. 1,900 105
Nichicon Corp. 12,200 105
Toei Co. Ltd. 13,000 104
Nitto Kohki Co. Ltd. 4,500 104
J Trust Co. Ltd. 12,700 104
Tokyo Rope Manufacturing Co. Ltd. 6,300 104
Obara Group Inc. 2,400 103
Ci:z Holdings Co. Ltd. 3,600 103
Cawachi Ltd. 4,000 103
Sanken Electric Co. Ltd. 29,000 103
Yushin Precision Equipment Co. Ltd. 4,400 102
* Outsourcing Inc. 2,700 102
Heiwa Real Estate Co. Ltd. 7,200 102
T Hasegawa Co. Ltd. 5,800 102
Fuso Chemical Co. Ltd. 4,800 102
Daibiru Corp. 11,700 102
* Pioneer Corp. 41,100 101
^ Tekken Corp. 31,000 101

 

48

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Oiles Corp. 5,560 101
  Kanto Denka Kogyo Co. Ltd. 12,000 101
  Futaba Industrial Co. Ltd. 16,800 100
  Starts Corp. Inc. 5,400 100
  Descente Ltd. 7,200 100
  Hokkaido Gas Co. Ltd. 39,000 100
  Kintetsu World Express Inc. 7,300 99
^ TOKAI Holdings Corp. 15,400 99
  Milbon Co. Ltd. 2,200 99
  Pacific Industrial Co. Ltd. 8,000 98
  Kadokawa Dwango Corp. 6,636 98
  Nippon Ceramic Co. Ltd. 5,300 98
  Mani Inc. 4,200 98
  Toho Zinc Co. Ltd. 28,000 98
  Pack Corp. 3,600 98
  Doshisha Co. Ltd. 4,700 97
  Axial Retailing Inc. 2,699 97
  Noevir Holdings Co. Ltd. 3,200 97
  Kura Corp. 1,900 96
  Eiken Chemical Co. Ltd. 3,500 96
  Internet Initiative Japan Inc. 5,400 95
*,^ W-Scope Corp. 5,300 95
  SKY Perfect JSAT Holdings Inc. 19,100 95
  Aomori Bank Ltd. 28,000 95
  Tachi-S Co. Ltd. 5,700 95
  Prima Meat Packers Ltd. 26,000 94
  Sintokogio Ltd. 10,800 94
  Osaka Soda Co. Ltd. 22,000 94
  Neturen Co. Ltd. 11,600 94
  Round One Corp. 13,300 94
  Kobe Bussan Co. Ltd. 3,000 94
  Asahi Diamond Industrial Co. Ltd. 12,600 94
  Alpine Electronics Inc. 7,000 93
  Sankyo Seiko Co. Ltd. 28,400 93
^ Yonex Co. Ltd. 2,100 93
  Furukawa Co. Ltd. 58,000 93
  Kyokuyo Co. Ltd. 3,500 92
  Kotobuki Spirits Co. Ltd. 3,900 92
  Heiwado Co. Ltd. 4,400 92
  Fujicco Co. Ltd. 4,000 92
  Stella Chemifa Corp. 2,600 91
  ESPEC Corp. 7,500 91
  Ichibanya Co. Ltd. 2,400 91
^ Next Co. Ltd. 10,800 91
  NEC Networks & System Integration Corp. 5,100 91
  Nishio Rent All Co. Ltd. 3,000 91
  Monex Group Inc. 39,500 91
* Pacific Metals Co. Ltd. 30,000 90
  Aida Engineering Ltd. 10,500 90
  Komori Corp. 7,100 90
  Inageya Co. Ltd. 6,647 90
  Elecom Co. Ltd. 4,400 90
  As One Corp. 2,000 90
  Bank of Saga Ltd. 34,000 89
  TKC Corp. 3,000 89
  Kenko Mayonnaise Co. Ltd. 2,400 88
  ASKA Pharmaceutical Co. Ltd. 5,100 88
  Menicon Co. Ltd. 3,100 88
  Takaoka Toko Co. Ltd. 4,800 88
  Atom Corp. 13,249 88
^ METAWATER Co. Ltd. 3,200 87
  Godo Steel Ltd. 5,000 87
  Warabeya Nichiyo Holdings Co. Ltd. 3,600 87
  Shinko Plantech Co. Ltd. 11,700 87

 

49

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
NSD Co. Ltd. 5,390 87
Mitsubishi Steel Manufacturing Co. Ltd. 48,000 86
Press Kogyo Co. Ltd. 17,600 86
Qol Co. Ltd. 5,400 85
Ohsho Food Service Corp. 2,200 85
Wacom Co. Ltd. 28,000 84
Japan Digital Laboratory Co. Ltd. 5,400 84
* Fujiya Co. Ltd. 43,000 84
Seikagaku Corp. 5,200 83
Konishi Co. Ltd. 7,000 83
Tokyo Electron Device Ltd. 5,800 83
Tsugami Corp. 15,000 82
Ines Corp. 7,400 82
Funai Soken Holdings Inc. 5,300 82
Bando Chemical Industries Ltd. 8,500 82
Toyo Kanetsu KK 36,000 82
Nissin Kogyo Co. Ltd. 5,500 81
Financial Products Group Co. Ltd. 9,300 81
Toyo Kohan Co. Ltd. 27,100 81
Micronics Japan Co. Ltd. 7,000 81
FIDEA Holdings Co. Ltd. 44,900 81
Foster Electric Co. Ltd. 4,400 81
Zenrin Co. Ltd. 4,600 80
Hibiya Engineering Ltd. 5,100 80
Dainichiseika Color & Chemicals Manufacturing Co. Ltd. 15,000 80
Daiwabo Holdings Co. Ltd. 33,000 80
Create Restaurants Holdings Inc. 8,400 80
BML Inc. 3,000 80
Konoike Transport Co. Ltd. 6,000 79
Belluna Co. Ltd. 11,900 79
Nippon Valqua Industries Ltd. 5,800 79
Dunlop Sports Co. Ltd. 8,000 79
Tokyo Broadcasting System Holdings Inc. 5,000 79
Sakai Chemical Industry Co. Ltd. 22,000 78
Plenus Co. Ltd. 3,800 78
* Miroku Jyoho Service Co. Ltd. 4,000 78
kabu.com Securities Co. Ltd. 24,800 78
Ricoh Leasing Co. Ltd. 2,700 78
Kansai Urban Banking Corp. 7,000 78
* Unitika Ltd. 115,000 78
San-Ai Oil Co. Ltd. 11,000 78
Asahi Holdings Inc. 4,300 77
Shinmaywa Industries Ltd. 10,000 77
Sakata INX Corp. 5,900 77
Giken Ltd. 4,400 77
COOKPAD Inc. 8,100 77
Tosei Corp. 10,200 76
Riso Kagaku Corp. 4,400 76
Vital KSK Holdings Inc. 7,200 76
Sanshin Electronics Co. Ltd. 8,600 76
Honeys Co. Ltd. 6,460 76
Kurabo Industries Ltd. 38,000 76
Advan Co. Ltd. 8,200 76
Mitsubishi Shokuhin Co. Ltd. 2,300 75
Toyo Engineering Corp. 22,000 75
Jeol Ltd. 18,000 75
Benefit One Inc. 2,600 75
Macnica Fuji Electronics Holdings Inc. 6,000 75
Toyo Corp. 7,800 75
Daiken Corp. 3,600 75
Nohmi Bosai Ltd. 5,000 75
Jaccs Co. Ltd. 19,000 75
Anicom Holdings Inc. 3,300 74
Hioki EE Corp. 3,800 74

 

50

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Taihei Dengyo Kaisha Ltd. 7,000 73
Sanki Engineering Co. Ltd. 8,000 73
Max Co. Ltd. 6,000 72
Tsubaki Nakashima Co. Ltd. 4,500 72
Kamei Corp. 7,500 71
Fuji Co. Ltd. 3,400 71
Optex Co. Ltd. 2,800 71
Ringer Hut Co. Ltd. 2,800 71
Fukuda Corp. 6,000 71
Ichiyoshi Securities Co. Ltd. 9,400 70
Istyle Inc. 8,900 70
Piolax Inc. 1,100 70
Tamura Corp. 17,000 70
Trancom Co. Ltd. 1,200 70
Bank of the Ryukyus Ltd. 5,300 70
Fujibo Holdings Inc. 2,200 70
Tsukui Corp. 10,600 70
Pressance Corp. 6,000 69
Create SD Holdings Co. Ltd. 3,300 69
Tv Tokyo Holdings Corp. 3,000 69
Hitachi Koki Co. Ltd. 8,100 69
Shikoku Bank Ltd. 29,000 68
Fukushima Industries Corp. 2,000 68
Yamazen Corp. 8,500 68
T-Gaia Corp. 4,400 68
Tochigi Bank Ltd. 14,000 67
* Japan Material Co. Ltd. 1,900 67
Tocalo Co. Ltd. 3,000 67
Mitsuba Corp. 4,600 67
Shikoku Chemicals Corp. 7,000 67
EPS Holdings Inc. 5,100 67
Canon Electronics Inc. 4,300 67
Daidoh Ltd. 16,900 67
Shibuya Corp. 3,200 66
Namura Shipbuilding Co. Ltd. 10,900 66
Bunka Shutter Co. Ltd. 8,000 66
Toho Co. Ltd. (Tokyo Shares 8142) 2,800 66
Daiho Corp. 12,000 66
Shizuoka Gas Co. Ltd. 8,400 66
Japan Wool Textile Co. Ltd. 9,000 66
Toppan Forms Co. Ltd. 6,600 66
OBIC Business Consultants Co. Ltd. 1,400 66
Anest Iwata Corp. 6,500 65
Riken Vitamin Co. Ltd. 1,500 65
Yondoshi Holdings Inc. 2,600 65
Sakai Moving Service Co. Ltd. 3,000 65
* Rokko Butter Co. Ltd. 2,400 65
Aisan Industry Co. Ltd. 7,900 64
Goldwin Inc. 1,400 64
Star Micronics Co. Ltd. 4,500 64
JVC Kenwood Corp. 23,600 64
Musashi Seimitsu Industry Co. Ltd. 2,600 64
Sanyo Chemical Industries Ltd. 1,400 63
Nissin Corp. 19,000 63
Systena Corp. 3,600 63
Chudenko Corp. 3,000 62
Kourakuen Holdings Corp. 4,200 62
Inabata & Co. Ltd. 5,700 62
UKC Holdings Corp. 3,700 62
St. Marc Holdings Co. Ltd. 2,200 62
Toyo Construction Co. Ltd. 14,700 61
Shibusawa Warehouse Co. Ltd. 21,000 61
Nippon Koei Co. Ltd. 13,000 61
OSJB Holdings Corp. 25,600 61

 

51

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Mitsuboshi Belting Ltd. 7,000 60
  Taisei Lamick Co. Ltd. 2,100 60
*,^ Mitsumi Electric Co. Ltd. 9,900 60
  Sodick Co. Ltd. 8,000 60
  TV Asahi Holdings Corp. 3,200 60
  Marusan Securities Co. Ltd. 7,200 60
  Nitta Corp. 2,300 60
  Nippon Thompson Co. Ltd. 15,000 59
  Nippon Parking Development Co. Ltd. 43,500 59
  Fujimi Inc. 3,800 59
  Takasago International Corp. 2,200 59
  Koa Corp. 6,400 59
  Justsystems Corp. 6,000 59
  Yahagi Construction Co. Ltd. 6,400 59
  Mie Kotsu Group Holdings Inc. 15,900 59
  Sanyo Denki Co. Ltd. 9,000 58
  Chugoku Marine Paints Ltd. 8,000 58
  Tokai Corp. 1,700 58
  Tokyo Energy & Systems Inc. 6,000 58
  DTS Corp. 2,600 58
^ Keiyo Co. Ltd. 11,400 58
^ Right On Co. Ltd. 5,800 57
  J-Oil Mills Inc. 1,600 57
^ Pasona Group Inc. 6,700 57
  Maruwa Co. Ltd. 1,500 57
* Kintetsu Department Store Co. Ltd. 17,000 57
  Sumitomo Riko Co. Ltd. 5,900 57
  Miyazaki Bank Ltd. 20,000 56
  Shindengen Electric Manufacturing Co. Ltd. 13,000 56
* Nissei Build Kogyo Co. Ltd. 12,000 56
  Itochu Enex Co. Ltd. 7,300 56
  Tsukishima Kikai Co. Ltd. 5,000 56
  Clarion Co. Ltd. 17,000 56
  Sanden Holdings Corp. 18,000 56
  Mars Engineering Corp. 2,800 56
  Oyo Corp. 4,800 56
  JCR Pharmaceuticals Co. Ltd. 2,200 55
  Kato Works Co. Ltd. 2,200 55
  Fudo Tetra Corp. 31,300 55
  JSP Corp. 2,300 55
*,^ OSAKA Titanium Technologies Co. Ltd. 4,100 55
  Sogo Medical Co. Ltd. 1,800 55
  Ryoyo Electro Corp. 4,300 55
  Alpen Co. Ltd. 3,000 55
  Shinwa Co. Ltd. 3,600 55
  Nihon Chouzai Co. Ltd. 1,300 54
* Vector Inc. 4,600 54
  Chiba Kogyo Bank Ltd. 12,200 54
  Mitsui Sugar Co. Ltd. 2,400 54
^ Marvelous Inc. 7,600 54
  Daido Metal Co. Ltd. 5,000 54
  Cosel Co. Ltd. 4,500 54
  Digital Arts Inc. 2,000 54
* Chiyoda Integre Co. Ltd. 2,600 54
  Michinoku Bank Ltd. 27,000 54
  Yushiro Chemical Industry Co. Ltd. 3,858 53
  Minato Bank Ltd. 2,900 53
  Belc Co. Ltd. 1,300 53
  Mitani Sekisan Co. Ltd. 2,100 52
  Elematec Corp. 3,100 52
  Onoken Co. Ltd. 4,200 52
  Union Tool Co. 2,000 52
^ Nippon Synthetic Chemical Industry Co. Ltd. 6,000 52
  Wowow Inc. 1,800 51

 

52

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Sinfonia Technology Co. Ltd. 28,000 51
YAMABIKO Corp. 5,200 51
Yurtec Corp. 7,000 51
^ Japan Cash Machine Co. Ltd. 3,600 51
Hakuto Co. Ltd. 5,492 51
^ Kumiai Chemical Industry Co. Ltd. 9,000 51
Aiphone Co. Ltd. 2,900 51
Amuse Inc. 3,000 51
* CMK Corp. 9,600 51
Bell System24 Holdings Inc. 5,400 51
Toa Corp. (Tokyo Shares 1885) 2,400 51
Ihara Chemical Industry Co. Ltd. 5,900 50
BRONCO BILLY Co. Ltd. 1,700 50
Megachips Corp. 2,500 50
Shinnihon Corp. 5,200 50
Nittetsu Mining Co. Ltd. 1,200 50
Nitto Kogyo Corp. 3,400 50
Fujimori Kogyo Co. Ltd. 2,000 50
Kaga Electronics Co. Ltd. 3,400 50
Tokyotokeiba Co. Ltd. 25,000 49
Modec Inc. 2,900 49
Yorozu Corp. 3,100 49
Melco Holdings Inc. 1,800 49
^ Toho Titanium Co. Ltd. 7,300 49
Itoki Corp. 7,900 49
Tenma Corp. 2,800 48
Japan Transcity Corp. 13,000 48
Shimizu Bank Ltd. 1,600 48
Prestige International Inc. 6,400 48
Fujikura Kasei Co. Ltd. 8,000 48
* Mitsubishi Paper Mills Ltd. 7,300 48
Noritake Co. Ltd. 2,100 48
Kitagawa Iron Works Co. Ltd. 2,800 48
Maeda Kosen Co. Ltd. 4,300 48
Avex Group Holdings Inc. 3,600 48
Yokohama Reito Co. Ltd. 4,700 48
Shin-Etsu Polymer Co. Ltd. 7,100 47
Teikoku Sen-I Co. Ltd. 3,200 47
Tanseisha Co. Ltd. 6,300 47
Yomiuri Land Co. Ltd. 11,000 47
Goldcrest Co. Ltd. 2,600 47
Showa Corp. 7,200 47
Takiron Co. Ltd. 10,000 47
Dai Nippon Toryo Co. Ltd. 22,000 47
Koatsu Gas Kogyo Co. Ltd. 7,000 47
WATAMI Co. Ltd. 4,300 47
* Ishihara Sangyo Kaisha Ltd. 6,100 46
* Daito Pharmaceutical Co. Ltd. 2,100 46
Meisei Industrial Co. Ltd. 9,000 46
SMK Corp. 12,000 46
Torishima Pump Manufacturing Co. Ltd. 4,200 45
Nippon Road Co. Ltd. 11,000 45
Kyokuto Kaihatsu Kogyo Co. Ltd. 3,800 45
Sumitomo Seika Chemicals Co. Ltd. 1,200 45
CONEXIO Corp. 3,300 45
Kurimoto Ltd. 2,400 45
Toa Corp. (Tokyo Shares 6809) 4,900 45
PAL GROUP Holdings Co. Ltd. 1,800 45
Daiichi Jitsugyo Co. Ltd. 8,000 44
Kyodo Printing Co. Ltd. 13,000 44
Yokogawa Bridge Holdings Corp. 4,000 44
* Wellnet Corp. 3,500 44
Nippon Kanzai Co. Ltd. 3,000 44
HI-LEX Corp. 1,600 44

 

53

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Tsurumi Manufacturing Co. Ltd. 3,000 44
  Tsukuba Bank Ltd. 14,600 44
  Xebio Holdings Co. Ltd. 2,800 43
  Arata Corp. 1,900 43
  Jimoto Holdings Inc. 25,700 43
  Enplas Corp. 1,400 43
  Fujita Kanko Inc. 13,000 43
  Tonami Holdings Co. Ltd. 16,000 43
  ASAHI YUKIZAI Corp. 22,000 43
  Shinko Electric Industries Co. Ltd. 6,600 43
  Starzen Co. Ltd. 800 42
  Komatsu Seiren Co. Ltd. 6,800 42
  Daikokutenbussan Co. Ltd. 900 42
  Sanyo Shokai Ltd. 26,000 42
  F@N Communications Inc. 5,600 42
  Okabe Co. Ltd. 4,900 42
  Daiwa Industries Ltd. 4,800 42
  Zuiko Corp. 1,100 42
  Arcland Service Holdings Co. Ltd. 1,400 42
  Mitsubishi Kakoki Kaisha Ltd. 21,000 41
  Towa Pharmaceutical Co. Ltd. 1,100 41
* KNT-CT Holdings Co. Ltd. 37,000 41
  Matsuya Co. Ltd. 5,100 41
^ Nippon Carbon Co. Ltd. 21,000 41
  Tosho Printing Co. Ltd. 9,000 41
  Idec Corp. 4,500 40
  Riken Corp. 1,100 40
  Pronexus Inc. 3,800 40
  Mitsubishi Nichiyu Forklift Co. Ltd. 6,600 40
  Information Services International-Dentsu Ltd. 2,300 40
  Furuno Electric Co. Ltd. 5,100 39
  Kyokuto Securities Co. Ltd. 2,700 39
  Denki Kogyo Co. Ltd. 7,000 39
  Roland DG Corp. 1,600 38
  Sumitomo Densetsu Co. Ltd. 3,400 38
  S Foods Inc. 1,400 37
  Kitano Construction Corp. 14,000 37
  Tatsuta Electric Wire and Cable Co. Ltd. 9,200 37
* SWCC Showa Holdings Co. Ltd. 52,000 37
  Ateam Inc. 1,600 36
  Mitsui-Soko Holdings Co. Ltd. 12,000 36
  Sumitomo Real Estate Sales Co. Ltd. 1,600 36
  Nihon Trim Co. Ltd. 800 36
  Broadleaf Co. Ltd. 3,200 36
  Toyo Tanso Co. Ltd. 2,500 36
  Juki Corp. 4,800 36
  Torii Pharmaceutical Co. Ltd. 1,500 35
  Nippon Denko Co. Ltd. 18,500 34
  Sun Frontier Fudousan Co. Ltd. 3,600 34
  Geo Holdings Corp. 2,700 34
  Wakita & Co. Ltd. 4,000 34
  Hamakyorex Co. Ltd. 1,800 34
  Arcland Sakamoto Co. Ltd. 2,800 33
  Tamron Co. Ltd. 1,900 33
  Nippon Chemi-Con Corp. 19,000 33
^ PC Depot Corp. 6,720 33
  Nihon Nohyaku Co. Ltd. 6,000 33
  Toshiba Machine Co. Ltd. 9,000 33
  Kappa Create Co. Ltd. 2,800 32
  Sac's Bar Holdings Inc. 3,000 32
  IDOM Inc. 6,100 32
^ Happinet Corp. 3,000 32
  AOI Electronics Co. Ltd. 1,300 32
*,^ Laox Co. Ltd. 3,900 31

 

54

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Kobelco Eco-Solutions Co. Ltd. 8,000 31
  Nippon Chemiphar Co. Ltd. 752 31
* Nippon Sharyo Ltd. 12,000 30
  Gecoss Corp. 3,200 29
  Nippon Yakin Kogyo Co. Ltd. 19,500 29
  Takamatsu Construction Group Co. Ltd. 1,200 28
  C Uyemura & Co. Ltd. 600 28
  Mito Securities Co. Ltd. 12,000 28
  Yellow Hat Ltd. 1,300 28
  Showa Aircraft Industry Co. Ltd. 3,000 27
*,^ KLab Inc. 4,300 26
  Joshin Denki Co. Ltd. 3,000 26
  Mitsui High-Tec Inc. 3,500 23
  Jamco Corp. 1,100 23
  Chuetsu Pulp & Paper Co. Ltd. 10,000 22
  Future Corp. 3,200 21
  Chugai Ro Co. Ltd. 11,000 21
  Okuwa Co. Ltd. 2,000 21
*,^ Akebono Brake Industry Co. Ltd. 10,700 20
  Japan Drilling Co. Ltd. 900 20
  Nissei ASB Machine Co. Ltd. 1,000 18
  Zuken Inc. 1,600 16
  Funai Electric Co. Ltd. 2,000 16
  Tabuchi Electric Co. Ltd. 4,200 13
*,^ Takata Corp. 3,700 13
  Aderans Co. Ltd. 2,000 12
      751,758
Malaysia (0.4%)    
  Public Bank Bhd. (Local) 623,466 2,951
  Tenaga Nasional Bhd. 741,970 2,535
  Malayan Banking Bhd. 1,116,776 2,103
  CIMB Group Holdings Bhd. 1,174,852 1,407
  Sime Darby Bhd. 685,375 1,338
  Axiata Group Bhd. 924,251 1,084
  Petronas Chemicals Group Bhd. 600,489 1,002
  DiGi.Com Bhd. 775,500 930
  Petronas Gas Bhd. 166,800 873
  Genting Bhd. 464,500 868
  IHH Healthcare Bhd. 565,820 863
  IOI Corp. Bhd. 733,940 787
  Maxis Bhd. 528,400 751
  Genting Malaysia Bhd. 635,800 722
  Kuala Lumpur Kepong Bhd. 104,500 597
  MISC Bhd. 295,956 531
  Gamuda Bhd. 446,400 523
  IJM Corp. Bhd. 664,420 523
  PPB Group Bhd. 119,700 460
  AMMB Holdings Bhd. 441,700 442
  YTL Corp. Bhd. 1,138,466 432
  Hong Leong Bank Bhd. 125,800 399
* SapuraKencana Petroleum Bhd. 966,695 372
  Petronas Dagangan Bhd. 59,700 332
  British American Tobacco Malaysia Bhd. 27,500 325
  Telekom Malaysia Bhd. 205,300 320
  Dialog Group Bhd. 837,748 309
2 Astro Malaysia Holdings Bhd. 432,787 294
  RHB Bank Bhd. 236,950 273
  Malaysia Airports Holdings Bhd. 165,800 262
  IOI Properties Group Bhd. 447,897 261
  HAP Seng Consolidated Bhd. 137,400 255
  KPJ Healthcare Bhd. 216,100 216
  Top Glove Corp. Bhd. 181,800 214
  Alliance Financial Group Bhd. 217,900 207
  Berjaya Sports Toto Bhd. 272,531 207

 

55

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Felda Global Ventures Holdings Bhd. 430,800 206
Malakoff Corp. Bhd. 557,800 206
Bursa Malaysia Bhd. 99,300 205
Sunway REIT 466,000 205
My EG Services Bhd. 349,100 203
YTL Power International Bhd. 554,718 202
Westports Holdings Bhd. 188,600 198
UMW Holdings Bhd. 121,600 172
Hartalega Holdings Bhd. 147,000 172
AirAsia Bhd. 258,800 171
Hong Leong Financial Group Bhd. 45,442 170
TIME dotCom Bhd. 86,600 165
Lafarge Malaysia Bhd. 85,200 164
Genting Plantations Bhd. 58,800 154
Inari Amertron Bhd. 189,825 152
KLCCP Stapled Group 73,300 139
Sunway Bhd. 177,043 132
Kossan Rubber Industries 81,600 131
Bumi Armada Bhd. 764,850 128
Press Metal Bhd. 119,600 124
Mah Sing Group Bhd. 305,050 111
WCT Holdings Bhd. 264,420 107
Cahya Mata Sarawak Bhd. 115,100 105
QL Resources Bhd. 92,700 98
Media Prima Bhd. 339,000 97
Yinson Holdings Bhd. 121,600 91
Unisem M Bhd. 143,400 87
Pavilion REIT 203,500 85
Berjaya Corp. Bhd. 1,072,100 83
Malaysia Building Society Bhd. 380,100 83
MMC Corp. Bhd. 144,100 82
* UMW Oil & Gas Corp. Bhd. 374,900 76
Pos Malaysia Bhd. 77,300 74
Muhibbah Engineering M Bhd. 115,500 63
* Eco World Development Group Bhd. 194,600 63
Aeon Co. M Bhd. 93,100 63
UEM Sunrise Bhd. 200,900 54
Bermaz Auto Bhd. 97,020 53
VS Industry Bhd. 154,600 52
OSK Holdings Bhd. 139,400 50
* Syarikat Takaful Malaysia Bhd. 43,900 44
DRB-Hicom Bhd. 145,200 44
* KNM Group Bhd. 420,500 40
* Dayang Enterprise Holdings Bhd. 177,900 36
Puncak Niaga Holdings Bhd. 140,200 36
Malaysian Resources Corp. Bhd. 107,900 35
Eastern & Oriental Bhd. 92,004 34
Supermax Corp. Bhd. 58,600 30
Datasonic Group Bhd. 87,200 30
* Gamuda Bhd. Warrants Exp. 03/06/2021 73,000 23
* Mulpha International Bhd. 376,800 19
Coastal Contracts Bhd. 47,000 17
* Parkson Holdings Bhd. 81,552 15
* Mudajaya Group Bhd. 61,100 14
Gas Malaysia Bhd. 22,200 14
TA Enterprise Bhd. 118,100 14
* Malaysia Marine and Heavy Engineering Holdings Bhd. 25,400 6
* BIMB Holdings Bhd. Warrants Exp. 12/04/2023 63,800 5
* Puncak Niaga Holding Bhd. Warrants Exp. 07/20/2018 28,250 3
* WCT Holdings Bhd. Warrants Exp. 08/24/2020 52,360 2
Sunway Construction Group Bhd. 5,294 2
* OSK Holdings Bhd. Warrants Exp. 07/22/2020 34,850 2
* KPJ Healthcare Warrants Exp. 01/23/2019 12,000 2
* RHB Captial BHD 116,200 1

 

56

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
* KNM Group Bhd. Warrants Exp. 04/21/2020 40,650 1
* CB Industrial Product Holding Bhd Warrants Exp. 10/31/2019 15,733 1
* Mah Sing Group Bhd. Warrants Exp. 03/18/2018 23,257 1
* Eastern & Oriental Bhd Warrants Exp. 07/21/2019 16,400 1
* Mah Sing Group Warrants Exp. 01/15/2026 15,015
    31,416
Malta (0.0%)    
* BGP Holdings PLC 197,753
 
Mexico (0.5%)    
Fomento Economico Mexicano SAB de CV 450,748 4,324
America Movil SAB de CV 6,097,109 4,039
Grupo Aeroportuario del Pacifico SAB de CV ADR 31,500 3,044
Grupo Financiero Banorte SAB de CV 473,564 2,789
Grupo Televisa SAB 519,300 2,555
* Cemex SAB de CV 2,909,763 2,519
Wal-Mart de Mexico SAB de CV 1,170,600 2,477
Grupo Mexico SAB de CV Class B 816,147 2,011
Grupo Bimbo SAB de CV Class A 399,800 1,077
Fibra Uno Administracion SA de CV 559,640 1,068
Alfa SAB de CV Class A 570,600 865
Grupo Aeroportuario del Sureste SAB de CV Class B 45,131 718
Coca-Cola Femsa SAB de CV 91,000 684
Grupo Financiero Inbursa SAB de CV 420,700 683
Industrias Penoles SAB de CV 27,275 661
Grupo Financiero Santander Mexico SAB de CV Class B 313,465 567
Mexichem SAB de CV 224,384 537
Promotora y Operadora de Infraestructura SAB de CV 46,312 518
Gruma SAB de CV Class B 35,535 493
Grupo Carso SAB de CV 106,030 463
Gentera SAB de CV 231,900 458
Alsea SAB de CV 116,400 434
El Puerto de Liverpool SAB de CV 39,200 411
Arca Continental SAB de CV 59,600 371
Grupo Aeroportuario del Pacifico SAB de CV Class B 37,900 366
Kimberly-Clark de Mexico SAB de CV Class A 169,500 365
Infraestructura Energetica Nova SAB de CV 75,700 335
Banregio Grupo Financiero SAB de CV 46,100 302
Grupo Aeroportuario del Centro Norte SAB de CV Class B 46,600 271
PLA Administradora Industrial S de RL de CV 141,986 235
* Controladora Vuela Cia de Aviacion SAB de CV Class A 117,600 225
Macquarie Mexico Real Estate Management SA de CV 161,500 203
Megacable Holdings SAB de CV 52,162 190
* Genomma Lab Internacional SAB de CV Class B 153,563 184
* Industrias CH SAB de CV Class B 38,547 182
Bolsa Mexicana de Valores SAB de CV 112,700 180
* Grupo Aeromexico SAB de CV 87,849 173
Corp Inmobiliaria Vesta SAB de CV 107,000 162
* Telesites SAB de CV 278,439 161
* OHL Mexico SAB de CV 136,100 160
Grupo Elektra SAB DE CV 11,000 153
Grupo Lala SAB de CV 78,900 147
Grupo Financiero Interacciones SA de CV 26,377 129
2 Nemak SAB de CV 119,300 124
Industrias Bachoco SAB de CV Class B 27,100 120
Grupo Comercial Chedraui SA de CV 53,100 118
* Organizacion Soriana SAB de CV Class B 37,200 102
Grupo Herdez SAB de CV 41,400 100
TV Azteca SAB de CV 507,500 97
Alpek SAB de CV 59,100 88
Credito Real SAB de CV SOFOM ER 47,600 87
* Grupo GICSA SA de CV 122,600 83
Unifin Financiera SAB de CV SOFOM ENR 27,100 81
* La Comer SAB de CV 83,080 76

 

57

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* Minera Frisco SAB de CV 81,563 63
  Rassini SAB de CV 13,422 62
  Prologis Property Mexico SA de CV 34,600 58
* Axtel SAB de CV 212,700 53
* Grupo Simec SAB de CV Class B 13,000 46
  Concentradora Fibra Danhos SA de CV 24,000 44
* Hoteles City Express SAB de CV 40,800 42
*,2 Elementia SAB de CV 36,200 42
  Concentradora Fibra Hotelera Mexicana SA de CV 52,200 41
  Grupo Rotoplas SAB de CV 23,500 37
  Qualitas Controladora SAB de CV 19,419 36
  Consorcio ARA SAB de CV 56,800 21
      39,510
Netherlands (1.0%)    
^ Unilever NV 325,581 13,618
  ING Groep NV 808,589 10,614
  ASLM Holdings NV (Amsterdam Shares) 64,664 6,841
* Koninklijke Ahold Delhaize NV 262,899 5,997
  Koninklijke Philips NV 189,484 5,710
  Unibail-Rodamco SE 20,540 4,876
  Heineken NV 45,508 3,748
  RELX NV 188,064 3,171
  Akzo Nobel NV 48,431 3,129
* ArcelorMittal 389,858 2,634
  Koninklijke DSM NV 35,987 2,313
  Wolters Kluwer NV 59,538 2,302
  Koninklijke KPN NV 655,985 2,139
  NN Group NV 67,027 2,019
  Aegon NV 412,625 1,785
  Heineken Holding NV 21,775 1,675
* Altice NV Class A 81,450 1,502
  Randstad Holding NV 23,250 1,196
2 ABN AMRO Group NV 47,353 1,093
  Gemalto NV 17,537 953
  Koninklijke Vopak NV 13,974 705
  Aalberts Industries NV 20,090 635
  Delta Lloyd NV 98,499 595
  SBM Offshore NV 38,935 559
  Boskalis Westminster 17,119 552
  IMCD Group NV 11,601 502
* Galapagos NV 7,458 454
  APERAM SA 9,714 442
  ASM International NV 10,155 433
* PostNL NV 91,852 433
* Altice NV Class B 22,176 413
  TKH Group NV 10,533 405
  Wereldhave NV 8,273 370
  Eurocommercial Properties NV 8,295 353
  Corbion NV 13,458 310
  ASLM Holdings (New York Shares) 2,375 251
*,^ OCI NV 17,924 249
* TomTom NV 29,775 241
  Koninklijke BAM Groep NV 49,191 229
* Fugro NV 12,379 221
  Vastned Retail NV 5,721 220
  BE Semiconductor Industries NV 6,739 220
2 GrandVision NV 8,970 205
  Arcadis NV 15,229 200
  Wessanen 15,812 189
  NSI NV 48,092 189
2 Refresco Group NV 11,981 175
2 Flow Traders 5,636 174
  Accell Group 5,098 128
* Constellium NV Class A 22,400 118

 

58

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Brunel International NV 4,071 67
  BinckBank NV 6,465 38
      87,590
New Zealand (0.1%)    
  Fletcher Building Ltd. 149,164 1,105
  Spark New Zealand Ltd. 386,039 1,010
  Auckland International Airport Ltd. 188,277 887
  Fisher & Paykel Healthcare Corp. Ltd. 116,190 736
  Ryman Healthcare Ltd. 88,723 563
  Contact Energy Ltd. 158,887 540
  Meridian Energy Ltd. 247,597 455
  Z Energy Ltd. 74,039 414
  SKYCITY Entertainment Group Ltd. 135,440 378
  Mercury NZ Ltd. 171,365 374
  Trade Me Group Ltd. 88,361 307
  SKY Network Television Ltd. 91,193 301
  Kiwi Property Group Ltd. 260,678 273
  Mainfreight Ltd. 18,429 245
* Xero Ltd. 19,041 242
  Chorus Ltd. 87,985 230
  EBOS Group Ltd. 17,526 214
  Precinct Properties New Zealand Ltd. 225,936 201
* a2 Milk Co. Ltd. 146,289 194
  Goodman Property Trust 210,602 187
  Infratil Ltd. 83,585 178
  Genesis Energy Ltd. 126,986 178
  Air New Zealand Ltd. 106,432 147
  Summerset Group Holdings Ltd. 41,195 140
  Freightways Ltd. 27,905 127
  Argosy Property Ltd. 158,281 119
  Vector Ltd. 48,710 111
  Vital Healthcare Property Trust 70,646 103
  Metlifecare Ltd. 23,606 97
  Heartland Bank Ltd. 52,255 56
  Kathmandu Holdings Ltd. 32,196 46
  Warehouse Group Ltd. 18,061 39
  TOWER Ltd. 26,604 17
      10,214
Norway (0.3%)    
^ Statoil ASA 199,768 3,261
  DNB ASA 201,161 2,908
^ Telenor ASA 144,672 2,301
  Orkla ASA 163,623 1,545
  Marine Harvest ASA 78,703 1,428
  Yara International ASA 38,059 1,344
  Norsk Hydro ASA 283,557 1,268
  Schibsted ASA Class B 32,655 736
* Subsea 7 SA 58,259 652
  Gjensidige Forsikring ASA 32,415 581
* Storebrand ASA 97,695 502
  Golar LNG Ltd. 19,800 433
  TGS Nopec Geophysical Co. ASA 21,011 425
  Salmar ASA 11,404 370
* Aker BP ASA 21,347 342
  Tomra Systems ASA 30,168 328
2 XXL ASA 24,440 306
  Bakkafrost P/F 6,820 286
  Leroy Seafood Group ASA 4,755 251
  Aker ASA 6,302 233
  SpareBank 1 SMN 27,517 202
2 Entra ASA 18,694 200
  Veidekke ASA 13,234 198
  Atea ASA 21,815 195
*,^ Seadrill Ltd. 84,727 180

 

59

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Kongsberg Gruppen ASA 11,677 167
  SpareBank 1 SR-Bank ASA 27,343 163
  Austevoll Seafood ASA 15,248 138
*,2 Aker Solutions ASA 29,567 136
* Opera Software ASA 19,169 135
*,^ Nordic Semiconductor ASA 32,248 129
  Norwegian Property ASA 96,123 125
*,^ DNO ASA 145,158 124
^ Frontline Ltd. 14,000 100
  Schibsted ASA Class A 4,135 99
*,^ Petroleum Geo-Services ASA 36,131 97
  Ocean Yield ASA 10,516 88
2 BW LPG Ltd. 23,866 77
  Hoegh LNG Holdings Ltd. 6,871 72
  Stolt-Nielsen Ltd. 3,357 41
* Norwegian Air Shuttle ASA 1,163 39
*,^ REC Silicon ASA 292,534 37
  Wilh Wilhelmsen ASA 10,986 35
* Treasure ASA 10,986 24
* Akastor ASA 17,120 24
* Prosafe SE Class A 105,997 4
      22,329
Other (0.1%)3    
4 Vanguard FTSE Emerging Markets ETF 216,133 8,159
 
Pakistan (0.0%)    
  Lucky Cement Ltd. 34,400 220
  Hub Power Co. Ltd. 164,500 167
  Oil & Gas Development Co. Ltd. 122,500 164
  Engro Corp. Ltd. 54,700 146
  Fauji Fertilizer Co. Ltd. 120,900 120
  Pakistan State Oil Co. Ltd. 30,400 117
  United Bank Ltd. 58,100 112
  Pakistan Petroleum Ltd. 74,900 106
  DG Khan Cement Co. Ltd. 58,200 95
  Pakistan Oilfields Ltd. 22,800 86
  Kot Addu Power Co. Ltd. 114,000 80
* SUI Southern Gas Co. Ltd. 206,500 76
  National Bank of Pakistan 103,000 71
      1,560
Peru (0.0%)    
  Credicorp Ltd. (New York Shares) 7,917 1,177
* Cia de Minas Buenaventura SAA ADR 43,568 579
  Credicorp Ltd. 3,045 453
      2,209
Philippines (0.2%)    
  SM Investments Corp. 97,278 1,349
  SM Prime Holdings Inc. 1,943,950 1,079
  JG Summit Holdings Inc. 633,230 992
  Ayala Corp. 47,940 827
  Aboitiz Equity Ventures Inc. 443,620 714
  BDO Unibank Inc. 301,270 702
  Bank of the Philippine Islands 332,185 693
  Universal Robina Corp. 177,690 668
  Ayala Land Inc. 764,000 571
  Manila Electric Co. 76,280 435
  Jollibee Foods Corp. 87,190 428
  Metropolitan Bank & Trust Co. 247,144 415
* PLDT Inc. 11,470 362
  Aboitiz Power Corp. 362,120 343
  Metro Pacific Investments Corp. 2,286,600 341
  Security Bank Corp. 61,570 280
  GT Capital Holdings Inc. 9,568 259
  Robinsons Land Corp. 401,800 257

 

60

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Megaworld Corp. 2,702,900 224
Alliance Global Group Inc. 742,000 218
DMCI Holdings Inc. 819,000 211
Puregold Price Club Inc. 214,200 180
Semirara Mining & Power Corp. Class A 66,259 172
International Container Terminal Services Inc. 107,150 172
LT Group Inc. 573,500 171
Energy Development Corp. 1,362,900 166
Cosco Capital Inc. 887,400 156
First Gen Corp. 278,700 132
Vista Land & Lifescapes Inc. 1,181,800 128
Petron Corp. 586,300 125
* DoubleDragon Properties Corp. 105,300 121
Manila Water Co. Inc. 187,900 117
Filinvest Land Inc. 3,219,000 117
Globe Telecom Inc. 2,840 104
D&L Industries Inc. 422,700 96
Robinsons Retail Holdings Inc. 58,090 93
Cebu Air Inc. 36,440 79
First Philippine Holdings Corp. 55,160 79
Lopez Holdings Corp. 440,600 72
* Bloomberry Resorts Corp. 546,100 67
Nickel Asia Corp. 168,600 24
Belle Corp. 360,000 22
* Melco Crown Philippines Resorts Corp. 220,700 20
Emperador Inc. 110,300 17
    13,798
Poland (0.1%)    
Polski Koncern Naftowy ORLEN SA 68,640 1,360
Powszechna Kasa Oszczednosci Bank Polski SA 182,038 1,275
Bank Pekao SA 32,605 1,006
Powszechny Zaklad Ubezpieczen SA 121,006 840
KGHM Polska Miedz SA 32,877 597
Polskie Gornictwo Naftowe i Gazownictwo SA 367,912 471
Bank Zachodni WBK SA 5,557 449
LPP SA 261 392
PGE Polska Grupa Energetyczna SA 144,518 379
* Cyfrowy Polsat SA 44,317 274
CCC SA 5,210 264
* mBank SA 2,640 238
* Bank Millennium SA 157,377 232
Asseco Poland SA 16,833 225
* Alior Bank SA 18,503 223
Orange Polska SA 151,454 216
* Grupa Lotos SA 24,908 216
* Tauron Polska Energia SA 300,511 203
* Jastrzebska Spolka Weglowa SA 10,900 202
KRUK SA 3,111 181
Grupa Azoty SA 9,650 154
Eurocash SA 14,897 151
Energa SA 71,262 146
* Enea SA 55,620 142
Kernel Holding SA 8,244 132
* Synthos SA 108,677 132
Bank Handlowy w Warszawie SA 6,584 130
* CD Projekt SA 12,598 128
Budimex SA 2,399 125
Ciech SA 5,603 91
* Lubelski Wegiel Bogdanka SA 4,449 79
* Globe Trade Centre SA 28,976 59
* PKP Cargo SA 3,586 39
Warsaw Stock Exchange 1,878 19
* Getin Noble Bank SA 48,230 16
* Getin Holding SA 53,314 16

 

61

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
* Integer.pl SA 775 7
    10,809
Portugal (0.1%)    
Galp Energia SGPS SA 110,514 1,498
EDP - Energias de Portugal SA 402,771 1,331
Jeronimo Martins SGPS SA 51,182 879
NOS SGPS SA 46,695 310
EDP Renovaveis SA 39,168 296
Sonae SGPS SA 292,736 233
CTT-Correios de Portugal SA 31,206 207
REN - Redes Energeticas Nacionais SGPS SA 56,401 165
^ Banco Comercial Portugues SA 108,654 145
Navigator Co. SA 41,957 123
* Banco BPI SA 68,043 84
Semapa-Sociedade de Investimento e Gestao 3,913 50
Altri SGPS SA 13,342 47
Sonaecom SGPS SA 15,610 44
Mota-Engil SGPS SA 12,362 24
* Banco Espirito Santo SA 428,634 1
    5,437
Qatar (0.0%)    
Qatar National Bank SAQ 22,337 980
Industries Qatar QSC 16,015 448
Masraf Al Rayan QSC 39,068 371
Ooredoo QSC 11,577 308
* Qatar Insurance Co. SAQ 12,547 302
Qatar Gas Transport Co. Ltd. 28,586 177
Qatar Islamic Bank SAQ 6,279 176
Qatar Electricity & Water Co. QSC 2,891 167
Commercial Bank QSC 17,014 167
* Doha Bank QSC 13,347 133
* Vodafone Qatar QSC 34,870 100
United Development Co. QSC 18,214 100
* Aamal Co. 26,600 99
Barwa Real Estate Co. 9,990 88
* Ezdan Holding Group QSC 16,604 71
* Qatar International Islamic Bank QSC 4,036 70
* Qatar Navigation QSC 2,068 53
* Qatari Investors Group QSC 3,310 53
* Gulf International Services QSC 4,515 38
    3,901
Russia (0.4%)    
Lukoil PJSC ADR 95,389 4,640
Gazprom PJSC ADR 814,292 3,511
Sberbank of Russia PJSC ADR 364,993 3,457
NOVATEK OAO 238,656 2,488
Magnit PJSC GDR 58,383 2,315
Sberbank of Russia PJSC 759,171 1,767
Tatneft PJSC ADR 52,746 1,761
Magnitogorsk Iron & Steel OJSC 3,276,031 1,646
MMC Norilsk Nickel PJSC ADR 100,254 1,512
Gazprom PJSC 664,220 1,456
Surgutneftegas OJSC ADR 308,602 1,324
Rosneft PJSC GDR 237,522 1,292
Federal Grid Co. Unified Energy System JSC 384,733,105 1,038
AK Transneft OAO Preference Shares 330 790
Mobile TeleSystems PJSC 210,141 741
VTB Bank PJSC GDR 273,456 572
Alrosa PJSC 395,900 554
Moscow Exchange MICEX-RTS PJSC 282,025 520
Severstal PAO 35,267 493
Bashneft PJSC 7,592 398
VTB Bank PJSC 360,782,455 386

 

62

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Novolipetsk Steel PJSC 228,169 369
  Rostelecom PJSC 239,573 299
  RusHydro PJSC 21,176,242 266
  PhosAgro PJSC GDR 16,808 208
  Sistema PJSC FC GDR 24,816 185
  Inter RAO UES PJSC 3,379,172 181
* Aeroflot PJSC 85,900 176
* Uralkali PJSC 66,306 174
  MegaFon PJSC GDR 15,972 152
  LSR Group PJSC GDR 47,842 135
  E.ON Russia JSC 2,787,900 128
  Rosseti PJSC 7,066,655 109
* Mechel PJSC 38,802 91
* DIXY Group PJSC 14,610 75
  Acron JSC 1,471 70
  M.Video PJSC 12,342 66
  Mosenergo OAO 2,043,038 55
* Raspadskaya OAO 41,689 45
  Sistema PJSC FC 106,900 33
  TMK PJSC GDR 6,181 26
  Rosneft PJSC 3,288 18
      35,522
Singapore (0.4%)    
  Oversea-Chinese Banking Corp. Ltd. 699,938 4,264
  Singapore Telecommunications Ltd. 1,521,500 4,240
  DBS Group Holdings Ltd. 378,300 4,078
  United Overseas Bank Ltd. 254,700 3,436
  CapitaLand Ltd. 534,100 1,185
  Keppel Corp. Ltd. 300,113 1,135
  Wilmar International Ltd. 442,573 1,051
  Singapore Exchange Ltd. 185,710 946
  Singapore Press Holdings Ltd. 334,300 893
  CapitaLand Mall Trust 552,900 824
  Singapore Airlines Ltd. 111,820 814
  Ascendas REIT 473,373 807
  Global Logistic Properties Ltd. 615,200 783
  ComfortDelGro Corp. Ltd. 412,500 752
  Singapore Technologies Engineering Ltd. 326,200 733
  City Developments Ltd. 120,300 732
  Jardine Cycle & Carriage Ltd. 23,488 711
  Genting Singapore plc 1,265,500 677
  Suntec REIT 505,300 610
  CapitaLand Commercial Trust 419,210 474
  Hutchison Port Holdings Trust 1,054,900 469
  Mapletree Commercial Trust 411,998 453
  UOL Group Ltd. 107,655 438
  SATS Ltd. 125,600 437
  Golden Agri-Resources Ltd. 1,325,819 366
  Venture Corp. Ltd. 52,200 357
  Sembcorp Industries Ltd. 184,531 334
  Mapletree Industrial Trust 262,300 324
  Keppel REIT 413,288 324
^ Singapore Post Ltd. 281,000 323
  Mapletree Greater China Commercial Trust 392,900 294
  StarHub Ltd. 117,600 285
  Mapletree Logistics Trust 322,700 240
  Yangzijiang Shipbuilding Holdings Ltd. 428,336 229
*,^ Noble Group Ltd. 1,924,600 229
  Keppel Infrastructure Trust 550,300 200
  Raffles Medical Group Ltd. 168,000 182
  Ascott Residence Trust 214,892 175
  United Engineers Ltd. 94,200 175
^ Olam International Ltd. 109,900 170
^ First Resources Ltd. 128,000 167

 

63

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
^ Sembcorp Marine Ltd. 172,489 160
  Frasers Commercial Trust 151,518 149
  Asian Pay Television Trust 397,600 147
  Frasers Centrepoint Trust 98,300 147
  Parkway Life REIT 72,986 134
  Starhill Global REIT 228,300 134
  Yanlord Land Group Ltd. 133,100 132
  Cambridge Industrial Trust 316,400 128
  Cache Logistics Trust 211,600 126
  Lippo Malls Indonesia Retail Trust 442,600 124
  Ascendas Hospitality Trust 225,000 120
^ OUE Hospitality Trust 232,100 114
  CapitaLand Retail China Trust 103,600 112
  Ascendas India Trust 140,000 108
  SIA Engineering Co. Ltd. 40,300 107
  CDL Hospitality Trusts 110,600 107
^ Keppel DC REIT 116,700 104
2 ARA Asset Management Ltd. 99,920 100
  First REIT 101,800 98
*,^ Ezion Holdings Ltd. 445,506 95
* Genting Hong Kong Ltd. 322,798 92
  RHT Health Trust 147,100 91
  Croesus Retail Trust 142,900 88
  Soilbuild Business Space REIT 172,040 84
*,^ SIIC Environment Holdings Ltd. 180,320 82
  Silverlake Axis Ltd. 177,499 82
  Accordia Golf Trust 158,100 75
* Blue Sky Power Holdings Ltd. 872,000 73
  OUE Ltd. 57,600 70
  Sheng Siong Group Ltd. 87,100 65
  Wing Tai Holdings Ltd. 53,000 65
^ M1 Ltd. 44,000 65
  Yoma Strategic Holdings Ltd. 147,330 62
* China Animal Healthcare Ltd. 84,000 56
^ Sarine Technologies Ltd. 44,300 52
  Far East Hospitality Trust 118,400 51
* GL Ltd. 84,000 48
  SPH REIT 66,700 47
  Super Group Ltd. (Singapore Shares) 58,000 40
  Midas Holdings Ltd. 223,900 35
  Sabana Shari'ah Compliant Industrial REIT 63,000 24
  China Everbright Water Ltd. 47,300 19
^ Hyflux Ltd. 54,000 18
*,^ COSCO Corp. Singapore Ltd. 92,000 17
*,^ Ezra Holdings Ltd. 344,056 11
* Vard Holdings Ltd. 70,000 9
* Ezion Holdings Ltd Warrants Exp. 04/15/2020 102,200 5
* Keppel DC REIT Rights Exp. 11/07/2016 31,975 2
      39,190
South Africa (0.8%)    
  Naspers Ltd. 88,138 14,761
  Sasol Ltd. 114,286 3,156
  MTN Group Ltd. 363,883 3,143
* Steinhoff International Holdings NV 514,884 2,778
  Standard Bank Group Ltd. 246,515 2,617
  FirstRand Ltd. 640,274 2,296
  Remgro Ltd. 111,696 1,854
  Sanlam Ltd. 369,688 1,791
  Aspen Pharmacare Holdings Ltd. 75,292 1,640
  Shoprite Holdings Ltd. 92,955 1,372
  Bid Corp. Ltd. 71,255 1,251
* AngloGold Ashanti Ltd. 87,128 1,186
  Woolworths Holdings Ltd. 198,987 1,152
  Vodacom Group Ltd. 106,000 1,144

 

64

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Growthpoint Properties Ltd. 560,944 1,046
Barclays Africa Group Ltd. 89,332 1,037
Tiger Brands Ltd. 33,618 957
Bidvest Group Ltd. 71,432 887
Redefine Properties Ltd. 955,646 818
Netcare Ltd. 291,481 749
Nedbank Group Ltd. 42,915 702
Gold Fields Ltd. 168,734 696
* Sappi Ltd. 113,037 629
RMB Holdings Ltd. 138,002 608
Life Healthcare Group Holdings Ltd. 225,130 601
New Europe Property Investments plc 46,427 572
Mr Price Group Ltd. 49,770 567
SPAR Group Ltd. 38,449 545
Discovery Ltd. 63,525 543
Capitec Bank Holdings Ltd. 10,477 532
* Impala Platinum Holdings Ltd. 128,602 520
Mondi Ltd. 25,592 500
Clicks Group Ltd. 53,321 497
Truworths International Ltd. 92,471 491
Resilient REIT Ltd. 56,681 469
Hyprop Investments Ltd. 51,857 460
Brait SE 69,201 459
AVI Ltd. 62,391 438
Foschini Group Ltd. 42,215 434
Imperial Holdings Ltd. 34,192 432
Sibanye Gold Ltd. 154,558 430
Fortress Income Fund Ltd. Class B 159,510 379
Pick n Pay Stores Ltd. 74,768 366
Pioneer Foods Group Ltd. 29,748 358
Telkom SA SOC Ltd. 74,605 344
Investec Ltd. 53,513 330
MMI Holdings Ltd. 191,224 320
* EOH Holdings Ltd. 26,736 317
Coronation Fund Managers Ltd. 56,738 305
PSG Group Ltd. 18,229 285
* Anglo American Platinum Ltd. 11,847 280
Tsogo Sun Holdings Ltd. 121,136 275
Barloworld Ltd. 42,235 273
* Northam Platinum Ltd. 72,320 264
SA Corporate Real Estate Fund Nominees Pty Ltd. 642,314 263
Tongaat Hulett Ltd. 28,436 257
Fortress Income Fund Ltd. Class A 206,285 250
Harmony Gold Mining Co. Ltd. 77,382 240
JSE Ltd. 18,876 220
KAP Industrial Holdings Ltd. 362,105 208
* Super Group Ltd. (South Africa Shares) 68,300 202
Omnia Holdings Ltd. 16,576 201
Santam Ltd. 11,134 200
Liberty Holdings Ltd. 22,225 191
Massmart Holdings Ltd. 22,001 190
Famous Brands Ltd. 15,624 183
AECI Ltd. 22,863 173
Nampak Ltd. 122,529 171
* Attacq Ltd. 133,198 169
Exxaro Resources Ltd. 22,079 163
Vukile Property Fund Ltd. 119,155 163
Assore Ltd. 9,574 129
* Kumba Iron Ore Ltd. 12,476 127
DataTec Ltd. 37,357 124
Wilson Bayly Holmes-Ovcon Ltd. 10,537 119
African Rainbow Minerals Ltd. 16,169 117
Reunert Ltd. 24,815 113
Blue Label Telecoms Ltd. 74,154 112

 

65

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Sun International Ltd. 17,958 111
  Steinhoff International Holdings NV 19,964 106
  Cashbuild Ltd. 3,622 106
  PPC Ltd. 256,312 105
  Advtech Ltd. 80,517 104
  City Lodge Hotels Ltd. 9,147 99
  Zeder Investments Ltd. 192,785 95
  Emira Property Fund Ltd. 90,821 94
  Mpact Ltd. 37,715 92
* Curro Holdings Ltd. 24,411 90
  Alexander Forbes Group Holdings Ltd. 171,753 78
  Rebosis Property Fund Ltd. 89,547 76
  Distell Group Ltd. 6,056 74
* ArcelorMittal South Africa Ltd. 85,605 73
  DRDGOLD Ltd. 143,105 73
  Trencor Ltd. 32,873 70
  Astral Foods Ltd. 7,639 69
  Peregrine Holdings Ltd. 35,263 68
  Adcock Ingram Holdings Ltd. 18,878 66
* Ascendis Health Ltd. 32,511 66
  Invicta Holdings Ltd. 15,867 65
  Adcorp Holdings Ltd. 57,923 58
  Delta Property Fund Ltd. 90,270 51
  Lewis Group Ltd. 17,093 51
  Raubex Group Ltd. 24,403 46
  Grindrod Ltd. 54,052 45
  Hudaco Industries Ltd. 5,387 44
  Oceana Group Ltd. 5,057 43
  Clover Industries Ltd. 30,888 40
  Murray & Roberts Holdings Ltd. 56,830 39
* Consolidated Infrastructure Group Ltd. 22,026 38
* Aveng Ltd. 60,206 32
  Group Five Ltd. 15,342 26
  Metair Investments Ltd. 12,945 18
* Royal Bafokeng Platinum Ltd. 3,748 11
* Adbee Rf Ltd. 3,375 9
* Adcock Ingram Holdings Ltd. Warrants Exp. 07/26/2019 1,045
* African Bank Investments Ltd. 150,852
      67,472
South Korea (1.6%)    
  Samsung Electronics Co. Ltd. GDR 42,096 29,615
  NAVER Corp. 5,515 4,126
  SK Hynix Inc. 110,696 3,959
  Samsung Electronics Co. Ltd. Preference Shares 3,421 3,933
  Hyundai Motor Co. 29,650 3,620
  Hyundai Mobis Co. Ltd. 13,633 3,252
  KB Financial Group Inc. ADR 75,096 2,777
  Samsung C&T Corp. 19,137 2,697
  Korea Electric Power Corp. 53,383 2,309
  KT&G Corp. 22,189 2,189
  Amorepacific Corp. 6,724 2,107
  Shinhan Financial Group Co. Ltd. ADR 50,599 1,955
  LG Chem Ltd. 8,994 1,932
  Kia Motors Corp. 54,085 1,920
  Hana Financial Group Inc. 61,554 1,761
  SK Innovation Co. Ltd. 13,004 1,712
  Samsung Fire & Marine Insurance Co. Ltd. 6,636 1,688
  POSCO ADR 30,917 1,606
  Samsung Life Insurance Co. Ltd. 15,295 1,476
*,^ Celltrion Inc. 15,438 1,430
  POSCO 6,772 1,409
  SK Holdings Co. Ltd. 7,065 1,378
  LG Household & Health Care Ltd. 1,850 1,323
* Hyundai Heavy Industries Co. Ltd. 9,952 1,262

 

66

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  LG Display Co. Ltd. 46,608 1,114
  Shinhan Financial Group Co. Ltd. 28,483 1,090
  LG Electronics Inc. 24,312 1,014
  LG Corp. 18,363 982
  Samsung SDI Co. Ltd. 11,712 964
  Hyundai Motor Co. Preference Shares 11,234 938
  Samsung SDS Co. Ltd. 6,705 904
  Coway Co. Ltd. 11,056 865
  NCSoft Corp. 3,656 845
  Korea Zinc Co. Ltd. 2,017 801
  Kangwon Land Inc. 22,699 752
  Lotte Chemical Corp. 2,994 752
  AMOREPACIFIC Group 5,752 743
  Hankook Tire Co. Ltd. 15,254 733
  Korea Aerospace Industries Ltd. 12,838 725
  Woori Bank 65,574 715
  Hyundai Steel Co. 15,769 679
  SK Telecom Co. Ltd. ADR 30,122 658
  Industrial Bank of Korea 55,217 636
  Hyosung Corp. 5,215 609
  E-MART Inc. 4,188 594
  S-Oil Corp. 8,677 593
  Dongbu Insurance Co. Ltd. 9,504 590
  Hyundai Glovis Co. Ltd. 3,885 588
  Hyundai Development Co-Engineering & Construction 13,574 574
  Hyundai Engineering & Construction Co. Ltd. 15,212 549
  Orion Corp. 818 511
  LG Uplus Corp. 47,587 490
  BNK Financial Group Inc. 60,316 489
  KB Financial Group Inc. 13,061 483
  Samsung Electro-Mechanics Co. Ltd. 11,416 469
  GS Holdings Corp. 10,379 462
  Hyundai Marine & Fire Insurance Co. Ltd. 14,746 455
  Lotte Shopping Co. Ltd. 2,235 446
^ Hanmi Pharm Co. Ltd. 1,351 427
^ Kakao Corp. 6,311 421
  Daelim Industrial Co. Ltd. 5,772 411
  Hanwha Techwin Co. Ltd. 7,374 410
  CJ Corp. 2,682 408
  KCC Corp. 1,149 406
  KT Corp. 14,359 405
  Hanwha Chemical Corp. 17,155 404
  Amorepacific Corp. Preference Shares 2,239 391
^ Hanssem Co. Ltd. 2,371 367
  Hanwha Corp. 11,086 361
  CJ CheilJedang Corp. 1,179 360
  LG Chem Ltd. Preference Shares 2,235 351
^ Hotel Shilla Co. Ltd. 6,933 347
  Samsung Securities Co. Ltd. 11,149 335
  S-1 Corp. 4,143 335
  Hyundai Department Store Co. Ltd. 3,203 329
  BGF retail Co. Ltd. 2,148 326
  Mirae Asset Daewoo Co. Ltd. 48,149 325
  SK Telecom Co. Ltd. 1,618 317
  Yuhan Corp. 1,700 312
^ Mando Corp. 1,314 307
  Hanwha Life Insurance Co. Ltd. 55,767 304
  Medy-Tox Inc. 856 304
  Hanon Systems 32,454 303
*,^ OCI Co. Ltd. 3,844 303
  Doosan Heavy Industries & Construction Co. Ltd. 13,264 303
*,^ Kumho Tire Co. Inc. 33,480 300
  Samsung Card Co. Ltd. 6,838 288
  Korea Investment Holdings Co. Ltd. 7,929 284

 

67

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Mirae Asset Securities Co. Ltd. 14,323 282
  DGB Financial Group Inc. 31,795 266
* CJ Korea Express Corp. 1,510 265
*,^ Samsung Engineering Co. Ltd. 31,408 259
  CJ E&M Corp. 3,985 243
*,^ Samsung Heavy Industries Co. Ltd. 28,241 240
*,^ GS Engineering & Construction Corp. 10,113 236
  NH Investment & Securities Co. Ltd. 26,688 235
  Shinsegae Inc. 1,443 234
*,^ Komipharm International Co. Ltd. 6,925 234
  Hyundai Wia Corp. 3,336 229
^ Hyundai Greenfood Co. Ltd. 15,539 227
* ViroMed Co. Ltd. 2,842 227
  Kumho Petrochemical Co. Ltd. 3,686 225
  Posco Daewoo Corp. 10,261 223
^ Kolon Industries Inc. 3,387 220
*,^ Daewoo Engineering & Construction Co. Ltd. 39,765 219
  Korea Gas Corp. 5,413 219
* Korean Air Lines Co. Ltd. 7,650 214
  KEPCO Plant Service & Engineering Co. Ltd. 4,453 213
  LG Household & Health Care Ltd. Preference Shares 511 212
^ Korea Kolmar Co. Ltd. 2,860 204
^ Korean Reinsurance Co. 19,191 198
  Cheil Worldwide Inc. 13,305 197
  NongShim Co. Ltd. 772 194
  Samsung Electronics Co. Ltd. 135 193
  Lotte Confectionery Co. Ltd. 1,150 193
*,^ Com2uSCorp 2,321 192
  Doosan Corp. 2,111 189
  LG Innotek Co. Ltd. 2,680 183
  LS Corp. 3,811 182
*,^ LIG Nex1 Co. Ltd. 2,755 178
^ Youngone Corp. 6,334 178
^ Ottogi Corp. 307 176
  SK Networks Co. Ltd. 30,571 174
  Samsung Fire & Marine Insurance Co. Ltd. Preference Shares 1,043 172
^ SK Chemicals Co. Ltd. 3,279 171
  Meritz Fire & Marine Insurance Co. Ltd. 12,244 170
*,^ Doosan Infracore Co. Ltd. 28,117 170
  CJ CheilJedang Corp. Preference Shares 1,090 167
^ Lotte Chilsung Beverage Co. Ltd. 123 166
^ LG Hausys Ltd. 1,962 162
  GS Retail Co. Ltd. 3,759 160
* Hugel Inc. 528 158
  Innocean Worldwide Inc. 2,612 158
^ CJ CGV Co. Ltd. 2,668 158
^ Hanmi Science Co. ltd 2,314 154
  Fila Korea Ltd. 1,985 151
^ Meritz Securities Co. Ltd. 50,860 151
  Taekwang Industrial Co. Ltd. 199 146
  KB Insurance Co. Ltd. 5,630 142
^ Tongyang Inc. 50,362 141
  Daishin Securities Co. Ltd. 14,831 136
^ Kolon Life Science Inc. 1,039 136
*,^ Yungjin Pharmaceutical Co. Ltd. 17,777 136
^ Hansol Chemical Co. Ltd. 1,859 134
^ SK Materials Co. Ltd. 976 133
*,^ Osstem Implant Co. Ltd. 2,787 133
* LG Life Sciences Ltd. 2,403 130
^ Green Cross Corp. 1,066 130
*,^ HLB Inc. 7,620 129
  KIWOOM Securities Co. Ltd. 2,211 128
^ Cosmax Inc. 1,245 125
  Hite Jinro Co. Ltd. 6,473 124

 

68

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Daesang Corp. 5,170 122
  Poongsan Corp. 3,950 120
^ IS Dongseo Co. Ltd. 2,765 119
  Hyundai Home Shopping Network Corp. 1,182 117
^ Dongsuh Cos. Inc. 4,930 117
^ JW Pharmaceutical Corp. 2,720 117
  Samyang Holdings Corp. 1,069 117
*,^ NHN Entertainment Corp. 2,627 115
^ Ahnlab Inc. 2,032 114
  Korea Electric Terminal Co. Ltd. 1,823 114
^ Hanwha General Insurance Co. Ltd. 17,139 114
*,^ Advanced Process Systems Corp. 4,955 113
^ Bukwang Pharmaceutical Co. Ltd. 5,118 112
*,^ Loen Entertainment Inc. 1,895 111
* Hyundai Mipo Dockyard Co. Ltd. 1,814 111
*,^ Caregen Co. Ltd. 1,328 110
*,^ DIO Corp. 2,745 109
*,^ DoubleUGames Co. Ltd. 3,487 108
^ Paradise Co. Ltd. 9,485 108
  Hyundai Motor Co. 2nd Preference Shares 1,219 107
  LS Industrial Systems Co. Ltd. 3,095 106
^ LOTTE Fine Chemical Co. Ltd. 4,172 106
*,^ Ssangyong Cement Industrial Co. Ltd. 7,471 105
^ Eo Technics Co. Ltd. 1,839 101
* Hyundai Elevator Co. Ltd. 2,055 100
^ Green Cross Holdings Corp. 5,182 100
*,^ Pan Ocean Co. Ltd. 31,782 100
* Wonik Holdings Co. Ltd. 17,538 99
*,^ Foosung Co. Ltd. 14,322 97
  LG International Corp. 3,990 97
  Hankook Tire Worldwide Co. Ltd. 5,128 97
^ Hana Tour Service Inc. 1,714 96
*,^ Taihan Electric Wire Co. Ltd. 58,282 96
  SKC Co. Ltd. 4,069 96
^ Hanjin Kal Corp. 6,454 95
  Korea Petrochemical Ind Co. Ltd. 533 95
*,^ Emerson Pacific Inc. 2,866 94
^ NS Shopping Co. Ltd. 640 92
  Halla Holdings Corp. 1,555 92
^ Seoul Semiconductor Co. Ltd. 7,662 91
^ DuzonBizon Co. Ltd. 4,685 91
  Lutronic Corp. 2,719 91
  CJ Hellovision Co. Ltd. 12,615 90
  SFA Engineering Corp. 1,773 90
^ Amicogen Inc. 2,114 90
^ LOTTE Himart Co. Ltd. 2,295 88
*,^ It's Skin Co. Ltd. 2,175 88
  Youlchon Chemical Co. Ltd. 7,368 87
*,^ Jusung Engineering Co. Ltd. 10,459 86
*,^ Chabiotech Co. Ltd. 7,025 85
^ Daeduck Electronics Co. 12,627 83
  Modetour Network Inc. 3,549 82
  Jeil Pharmaceutical Co. 1,384 82
  Daekyo Co. Ltd. 11,162 81
^ Chong Kun Dang Pharmaceutical Corp. 1,005 81
*,^ Vieworks Co. Ltd. 1,505 81
*,^ iNtRON Biotechnology Inc. 2,985 81
  Handsome Co. Ltd. 2,264 80
  Koh Young Technology Inc. 2,048 80
* Dongbu HiTek Co. Ltd. 5,383 80
*,^ Hanall Biopharma Co. Ltd. 7,675 79
  Young Poong Corp. 91 79
^ Sam Young Electronics Co. Ltd. 8,042 78
  LEENO Industrial Inc. 2,065 77

 

69

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
*,^ CrystalGenomics Inc. 4,601 76
^ Cell Biotech Co. Ltd. 1,908 76
  Hankook Shell Oil Co. Ltd. 194 75
*,^ ATGen Co. Ltd. 2,320 74
^ NICE Information Service Co. Ltd. 10,929 73
^ Korea Real Estate Investment & Trust Co. Ltd. 28,386 73
  NICE Holdings Co. Ltd. 4,789 70
*,^ GemVax & Kael Co. Ltd. 5,608 70
* Ssangyong Motor Co. 10,890 70
^ Dawonsys Co. Ltd. 5,674 69
*,^ Jenax Inc. 3,125 69
*,^ NUTRIBIOTECH Co. Ltd. 1,213 69
  Seah Besteel Corp. 3,350 68
*,^ Ilyang Pharmaceutical Co. Ltd. 1,960 67
  S&T Motiv Co. Ltd. 1,871 67
  JB Financial Group Co. Ltd. 12,847 67
  Humax Co. Ltd. 5,217 66
* WONIK IPS Co. Ltd. 3,273 66
  Soulbrain Co. Ltd. 1,212 66
*,^ Pharmicell Co. Ltd. 16,212 65
^ Toptec Co. Ltd. 3,884 65
^ Hansae Co. Ltd. 2,942 65
*,^ Dongkuk Steel Mill Co. Ltd. 9,093 65
  Lotte Food Co. Ltd. 105 63
^ Namhae Chemical Corp. 8,782 62
^ InBody Co. Ltd. 2,162 62
^ iMarketKorea Inc. 5,560 62
*,^ i-SENS Inc. 2,173 62
^ Daewoong Pharmaceutical Co. Ltd. 1,015 60
* Woongjin Thinkbig Co. Ltd. 7,243 60
*,^ G-SMATT GLOBAL Co. Ltd. 2,714 60
  Daou Technology Inc. 3,300 60
*,^ Genexine Co. Ltd. 1,845 59
  Dong-A Socio Holdings Co. Ltd. 464 59
  Nexen Tire Corp. 5,080 58
  GS Home Shopping Inc. 379 58
*,^ Binex Co. Ltd. 4,421 58
*,^ Cellumed Co. Ltd. 34,880 58
*,^ SM Entertainment Co. 2,434 58
^ Byucksan Corp. 13,450 58
* Hanwha Corp. Preference Shares 3,438 57
*,^ Daewoo Shipbuilding & Marine Engineering Co. Ltd. 14,483 57
*,^ Hanwha Investment & Securities Co. Ltd. 28,944 56
* Asiana Airlines Inc. 13,664 55
^ Dae Hwa Pharmaceutical Co. Ltd. 2,420 55
*,^ Peptron Inc. 1,499 55
*,^ COSON Co. Ltd. 4,633 54
^ Hanjin Transportation Co. Ltd. 2,100 54
  Maeil Dairy Industry Co. Ltd. 1,807 53
  LF Corp. 2,820 53
  Mirae Asset Life Insurance Co. Ltd. 12,832 52
^ Samlip General Foods Co. Ltd. 352 52
^ Crown Confectionery Co. Ltd. 1,910 52
*,^ Schnell Biopharmaceuticals Inc. 15,801 52
^ Huchems Fine Chemical Corp. 2,510 52
^ Tongyang Life Insurance Co. Ltd. 4,930 52
  KT Skylife Co. Ltd. 3,297 51
^ AK Holdings Inc. 952 51
  KISWIRE Ltd. 1,499 51
  Songwon Industrial Co. Ltd. 3,277 50
*,^ CrucialTec Co. Ltd. 7,161 50
*,^ Leaders Cosmetics Co. Ltd. 2,889 50
  Kwang Dong Pharmaceutical Co. Ltd. 6,830 49
*,^ SK Securities Co. Ltd. 54,276 49

 

70

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
*,^ Seegene Inc. 1,857 49
  Sebang Global Battery Co. Ltd. 1,460 47
^ Grand Korea Leisure Co. Ltd. 2,480 47
*,^ CUROCOM Co. Ltd. 21,142 46
  Hansol Paper Co. Ltd. 2,597 46
*,^ Seobu T&D 2,639 46
*,^ Hyundai Rotem Co. Ltd. 2,780 45
*,^ Medipost Co. Ltd. 914 45
^ Silicon Works Co. Ltd. 1,927 45
*,^ CMG Pharmaceutical Co. Ltd. 16,869 45
  Dongwon Industries Co. Ltd. 165 44
*,^ DongKook Pharmaceutical Co. Ltd. 967 44
  CJ O Shopping Co. Ltd. 311 44
^ Samyang Corp. 480 43
* Taewoong Co. Ltd. 1,783 43
  Dong-A ST Co. Ltd. 569 43
^ Cosmax BTI Inc 1,211 43
^ POSCO Chemtech Co. Ltd. 4,011 42
^ Kolao Holdings 5,310 41
  KEPCO Engineering & Construction Co. Inc. 1,816 40
* Samsung Heavy Industries Rights Exp. 11/08/2016 17,534 40
*,^ Naturalendo Tech Co. Ltd. 2,354 40
*,^ Gamevil Inc. 801 39
^ Muhak Co. Ltd. 1,944 39
*,^ Webzen Inc. 2,559 38
* Huons Co. Ltd. 744 38
  Shinyoung Securities Co. Ltd. 878 38
  Samchully Co. Ltd. 442 38
  Youngone Holdings Co. Ltd. 745 37
*,^ Korea Line Corp. 2,370 37
* Eugene Investment & Securities Co. Ltd. 17,472 37
*,^ Yuanta Securities Korea Co. Ltd. 13,343 36
  Namyang Dairy Products Co. Ltd. 61 36
* Kumho Industrial Co. Ltd. 4,287 36
  AtlasBX Co. Ltd. 747 35
  Kolon Corp. 792 35
  Partron Co. Ltd. 4,491 35
*,^ Posco ICT Co. Ltd. 6,926 35
  Dongwon F&B Co. Ltd. 196 35
^ Hyundai Livart Furniture Co. Ltd. 1,592 34
^ Hancom Inc. 2,196 34
^ Eusu Holdings Co. Ltd. 6,136 34
^ GOLFZON Co. Ltd. 566 33
  Kyobo Securities Co. Ltd. 4,032 33
* Green Cross Cell Corp. 1,282 33
^ Humedix Co. Ltd. 1,006 32
^ SL Corp. 2,368 32
  KISCO Corp. 937 31
^ Meritz Financial Group Inc. 3,105 31
^ Hanil Cement Co. Ltd. 449 29
^ KH Vatec Co. Ltd. 2,613 29
* Neowiz Games Corp. 3,030 29
  Sungwoo Hitech Co. Ltd. 3,981 27
^ JW Holdings Corp. 3,064 27
  Huons Global Co. Ltd. 695 26
^ YG Entertainment Inc. 1,017 26
*,^ Hansol Technics Co. Ltd. 1,961 26
  Cuckoo Electronics Co. Ltd. 223 26
  Kwangju Bank 2,894 26
^ SK Gas Ltd. 300 25
  Seoyon E-Hwa Co. Ltd. 1,885 25
*,^ Agabang&Company 3,825 25
  Binggrae Co. Ltd. 454 25
*,^ WeMade Entertainment Co. Ltd. 1,456 25

 

71

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Able C&C Co. Ltd. 1,324 24
^ Korea Kolmar Holdings Co. Ltd. 919 24
^ KONA I Co. Ltd. 2,190 23
^ Chongkundang Holdings Corp. 389 23
*,^ SFA Semicon Co. Ltd. 11,646 22
* Hanjin Heavy Industries & Construction Co. Ltd. 6,504 22
* Hansol Holdings Co. Ltd. 3,626 20
^ Interpark Holdings Corp. 4,596 20
^ GOLFZONYUWONHOLDINGS Co. Ltd. 2,759 19
*,^ Lumens Co. Ltd. 5,290 19
* Shenglong PV-Tech Investment Co. Ltd. 1,034,191 18
^ Sung Kwang Bend Co. Ltd. 2,178 18
  Hyundai Corp. 941 17
  SBS Media Holdings Co. Ltd. 6,724 17
  MegaStudy Co. Ltd. 425 12
  MegaStudyEdu Co. Ltd. 246 10
  Hyundai C&F Inc. 648 9
  Seoyon Co. Ltd. 864 8
* Lutronic Corp. Pref Rights Exp. 12/02/2016 437 1
* Lutronic Corp. Rights Exp. 12/02/2016 92 1
* CNK International Co. Ltd. 78
      140,268
Spain (1.0%)    
  Banco Santander SA 2,439,170 11,952
  Banco Bilbao Vizcaya Argentaria SA 1,349,257 9,713
  Telefonica SA 897,946 9,124
  Iberdrola SA 1,172,664 7,981
  Industria de Diseno Textil SA 219,701 7,666
  Amadeus IT Group SA 86,592 4,075
* Repsol SA 229,919 3,210
  Banco Santander SA ADR 514,394 2,490
  Grifols SA 101,049 1,994
* Ferrovial SA 100,807 1,958
2 Aena SA 13,344 1,955
^ Abertis Infraestructuras SA 131,399 1,948
* Red Electrica Corp. SA 90,568 1,887
  CaixaBank SA 566,727 1,710
  Endesa SA 70,116 1,488
  Enagas SA 47,613 1,365
* Banco de Sabadell SA 1,014,884 1,355
  Gas Natural SDG SA 65,909 1,297
* ACS Actividades de Construccion y Servicios SA 36,209 1,108
  Bankinter SA 143,810 1,099
  Gamesa Corp. Tecnologica SA 46,647 1,077
  Bankia SA 977,630 859
  Merlin Properties Socimi SA 68,172 765
* Banco Popular Espanol SA 656,382 718
  Mapfre SA 232,492 690
  Distribuidora Internacional de Alimentacion SA 124,025 662
  Banco Santander SA ADR Depositary Receipt 133,014 563
  Viscofan SA 10,241 482
^ Bolsas y Mercados Espanoles SHMSF SA 15,847 479
2 Cellnex Telecom SA 28,969 475
  Mediaset Espana Comunicacion SA 37,324 417
  Acciona SA 5,282 401
  Inmobiliaria Colonial SA 53,742 379
* Acerinox SA 29,997 369
  Ebro Foods SA 16,223 350
  Grupo Catalana Occidente SA 10,331 325
  Zardoya Otis SA 36,206 305
* Indra Sistemas SA 24,221 300
  Prosegur Cia de Seguridad SA 40,429 293
  Melia Hotels International SA 22,599 279
  Tecnicas Reunidas SA 7,101 266

 

72

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Applus Services SA 26,219 252
  Faes Farma SA 62,163 228
  Almirall SA 14,904 214
  Grifols SA Preference Shares 14,352 206
*,2 Euskaltel SA 19,980 201
  Hispania Activos Inmobiliarios SOCIMI SA 15,938 196
  Vidrala SA 3,179 182
  Axiare Patrimonio SOCIMI SA 11,868 169
  Cia de Distribucion Integral Logista Holdings SA 7,483 166
  Construcciones y Auxiliar de Ferrocarriles SA 439 165
  CIE Automotive SA 7,461 154
* NH Hotel Group SA 34,084 150
^ Obrascon Huarte Lain SA 33,048 132
* Sacyr SA 56,966 130
  Corp Financiera Alba SA 2,693 118
* Pharma Mar SA 40,605 110
* Fomento de Construcciones y Contratas SA 11,961 104
  Atresmedia Corp. de Medios de Comunicacion SA 8,613 88
  Papeles y Cartones de Europa SA 11,391 59
* Codere SA 89,077 54
* Promotora de Informaciones SA 7,163 50
* Ferrovial SA Rights Exp. 11/14/2016 100,807 43
  Ence Energia y Celulosa SA 19,358 42
* Liberbank SA 40,147 40
* Papeles y Cartones de Europa SA Rights Exp. 11/14/2016 11,391 2
* Deoleo SA 6,145 1
* Let's GOWEX SA 3,921
      89,085
Sweden (1.0%)    
  Nordea Bank AB 665,556 6,994
  Hennes & Mauritz AB Class B 198,899 5,594
  Swedbank AB Class A 219,694 5,141
  Svenska Handelsbanken AB Class A 312,812 4,265
^ Atlas Copco AB Class B 137,910 3,602
  Assa Abloy AB Class B 195,022 3,544
  Svenska Cellulosa AB SCA Class B 124,099 3,515
  Volvo AB Class B 322,012 3,454
  Investor AB Class B 93,698 3,327
  Telefonaktiebolaget LM Ericsson Class B 623,976 3,027
  Skandinaviska Enskilda Banken AB Class A 299,245 3,018
  Sandvik AB 228,826 2,600
^ Atlas Copco AB Class A 79,377 2,325
  Telia Co. AB 559,084 2,233
  Hexagon AB Class B 52,504 1,837
  Skanska AB Class B 76,297 1,657
  SKF AB 82,509 1,398
  Boliden AB 59,408 1,377
  Swedish Match AB 39,087 1,360
  Electrolux AB Class B 48,220 1,141
* Kinnevik AB 44,120 1,115
  Securitas AB Class B 64,626 997
  Alfa Laval AB 66,138 949
  Industrivarden AB Class A 46,903 890
  Trelleborg AB Class B 48,796 852
  Castellum AB 56,694 768
* Lundin Petroleum AB 39,375 708
^ ICA Gruppen AB 21,542 669
  Elekta AB Class B 75,082 651
  Getinge AB 38,383 629
  Husqvarna AB 79,101 595
  Industrivarden AB 31,144 555
^ Fingerprint Cards AB Class B 56,047 543
  BillerudKorsnas AB 32,326 531
  Tele2 AB 60,961 503

 

73

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* SSAB AB Class B 175,656 466
  Fabege AB 27,387 463
* NCC AB Class B 17,740 451
* Fastighets AB Balder Class B 19,679 447
  Hexpol AB 51,278 421
  Loomis AB Class B 14,456 411
* Nibe Industrier AB Class B 52,813 393
  Indutrade AB 20,778 387
  Holmen AB 10,633 364
* Swedish Orphan Biovitrum AB 35,191 360
  AAK AB 5,323 352
  L E Lundbergforetagen AB Class B 5,211 337
  Hufvudstaden AB Class A 21,137 327
*,2 Dometic Group AB 45,706 323
  Axfood AB 20,384 319
2 Thule Group AB 20,219 312
  Wallenstam AB 40,275 310
  Saab AB Class B 8,678 307
  NetEnt AB 37,596 296
  Modern Times Group MTG AB Class B 10,790 290
  Com Hem Holding AB 31,785 286
  Sweco AB Class B 13,997 281
  Peab AB 32,769 278
  JM AB 9,565 275
  Wihlborgs Fastigheter AB 13,705 266
  Kungsleden AB 40,334 254
  Investment AB Latour Class B 6,796 251
  Intrum Justitia AB 7,843 242
* Betsson AB 24,491 236
*,2 Attendo AB 27,393 233
  Lifco AB Class B 9,221 233
  Pandox AB 14,129 224
  Avanza Bank Holding AB 5,824 220
* Bonava AB 17,740 219
  Bilia AB 8,861 211
  AF AB 10,241 187
* Oriflame Holding AG 5,024 185
2 Bravida Holding AB 28,959 178
  Klovern AB 153,834 162
  Nobia AB 18,331 160
* Cloetta AB Class B 42,825 152
  Haldex AB 11,512 148
  Hemfosa Fastigheter AB 15,054 142
  Lindab International AB 16,386 140
  Vitrolife AB 2,686 139
  Atrium Ljungberg AB 8,932 139
* Investment AB Oresund 7,614 122
  Melker Schorling AB 2,096 121
  Bure Equity AB 10,810 118
  Hemfosa Fastigheter AB Preference Shares 6,636 118
  Concentric AB 8,391 100
  Nordnet AB 22,596 93
*,^ SAS AB 53,966 91
  Ratos AB 22,034 91
  Ratos AB Preference Shares 405 84
* Collector AB 6,764 84
  Rezidor Hotel Group AB 19,442 79
  SkiStar AB 4,733 73
  Klovern AB Preference Shares 2,036 70
  Mekonomen AB 2,334 42
  Clas Ohlson AB 2,654 38
  SAS AB Preference Shares 581 36
  Sagax AB Preference Shares 5,206 19

 

74

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
* Tele2 AB Rights Exp. 11/16/2016 60,961 18
    86,538
Switzerland (2.7%)    
Nestle SA 647,708 46,968
Novartis AG 492,855 34,977
Roche Holding AG 147,532 33,885
UBS Group AG 729,525 10,314
ABB Ltd. 400,410 8,261
Zurich Insurance Group AG 31,157 8,156
Syngenta AG 19,191 7,680
Cie Financiere Richemont SA 107,235 6,894
Swiss Re AG 68,548 6,362
Credit Suisse Group AG 436,766 6,094
Givaudan SA 1,908 3,690
LafargeHolcim Ltd. 67,111 3,580
Geberit AG 7,647 3,233
Actelion Ltd. 18,967 2,741
^ Swatch Group AG (Bearer) 7,908 2,378
Swisscom AG 4,790 2,190
SGS SA 1,080 2,186
Sika AG 445 2,139
Lonza Group AG 10,956 2,067
Adecco Group AG 34,177 2,029
Partners Group Holding AG 3,859 1,954
Julius Baer Group Ltd. 45,302 1,834
LafargeHolcim Ltd. 34,256 1,830
Swiss Life Holding AG 6,739 1,783
Kuehne & Nagel International AG 10,542 1,429
Sonova Holding AG 10,640 1,427
Baloise Holding AG 10,389 1,278
* Dufry AG 10,417 1,267
Chocoladefabriken Lindt & Sprungli AG Registered Shares 20 1,241
Schindler Holding AG 6,609 1,228
^ Chocoladefabriken Lindt & Sprungli AG Participation Certificates 224 1,163
Schindler Holding AG (Registered) 6,235 1,154
Swiss Prime Site AG 13,121 1,088
Roche Holding AG (Bearer) 4,320 1,004
Clariant AG 59,650 988
Galenica AG 880 882
Straumann Holding AG 2,240 840
Temenos Group AG 12,419 802
PSP Swiss Property AG 8,652 774
EMS-Chemie Holding AG 1,513 759
Georg Fischer AG 851 754
Aryzta AG 16,968 746
Logitech International SA 29,100 704
* Transocean Ltd. (New York Shares) 71,669 689
Helvetia Holding AG 1,203 626
* Flughafen Zuerich AG 3,061 563
^ BB Biotech AG 11,440 541
Barry Callebaut AG 429 534
2 Sunrise Communications Group AG 7,178 490
dorma&kaba Holding AG 646 449
Cembra Money Bank AG 5,794 443
DKSH Holding AG 6,000 416
* CS Real Estate Fund LivingPlus 2,821 392
Panalpina Welttransport Holding AG 2,973 386
Tecan Group AG 2,313 381
Banque Cantonale Vaudoise 593 373
ams AG 13,096 367
Pargesa Holding SA 5,426 364
Valiant Holding AG 3,655 346
OC Oerlikon Corp. AG 35,487 334
Bucher Industries AG 1,488 331

 

75

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Sulzer AG 3,315 326
  SFS Group AG 4,231 319
  GAM Holding AG 32,408 314
  Allreal Holding AG 2,075 305
  Belimo Holding AG 99 302
  Forbo Holding AG 218 278
  Emmi AG 462 273
  u-blox Holding AG 1,434 271
  Mobimo Holding AG 1,069 257
  Autoneum Holding AG 940 249
  Implenia AG 3,487 234
  St. Galler Kantonalbank AG 608 228
* Gategroup Holding AG 4,133 217
  Vontobel Holding AG 4,312 211
  Schweiter Technologies AG 192 207
  Huber & Suhner AG 3,050 178
  VZ Holding AG 578 171
  Rieter Holding AG 883 168
  Siegfried Holding AG 782 161
  Valora Holding AG 544 158
  Burckhardt Compression Holding AG 542 157
  COSMO Pharmaceuticals NV 1,041 151
  Swatch Group AG (Registered) 2,553 147
  Ascom Holding AG 8,010 137
  APG SGA SA 321 134
*,^ AFG Arbonia-Forster Holding AG 7,828 117
* Bell AG 270 115
  Intershop Holding AG 226 115
*,^ Basilea Pharmaceutica AG 1,676 113
  Daetwyler Holding AG 806 110
  LEM Holding SA 98 109
  Kudelski SA 6,259 108
  Ypsomed Holding AG 507 97
  Conzzeta AG 136 94
  Leonteq AG 1,507 87
  BKW AG 1,670 78
  EFG International AG 12,367 67
  Vetropack Holding AG 40 66
  Swissquote Group Holding SA 2,287 65
  Plazza AG 223 53
* Schmolz & Bickenbach AG 75,992 50
* Zehnder Group- RG 1,190 49
  Bachem Holding AG 523 47
*,^ Meyer Burger Technology AG 12,887 42
* Alpiq Holding AG 434 40
* Transocean Ltd. (Switzerland Shares) 1,000 10
* Orascom Development Holding AG 1,294 8
      237,971
Taiwan (1.5%)    
  Taiwan Semiconductor Manufacturing Co. Ltd. ADR 643,152 20,002
  Taiwan Semiconductor Manufacturing Co. Ltd. 1,726,000 10,358
  Hon Hai Precision Industry Co. Ltd. 3,106,151 8,390
  Chunghwa Telecom Co. Ltd. ADR 99,103 3,384
  Formosa Plastics Corp. 1,026,873 2,775
  Formosa Chemicals & Fibre Corp. 927,283 2,753
  Nan Ya Plastics Corp. 1,203,423 2,499
  Largan Precision Co. Ltd. 21,020 2,480
  Delta Electronics Inc. 460,471 2,424
  MediaTek Inc. 301,086 2,282
  Fubon Financial Holding Co. Ltd. 1,526,880 2,160
  Cathay Financial Holding Co. Ltd. 1,665,549 2,156
  CTBC Financial Holding Co. Ltd. 3,821,715 2,055
  Uni-President Enterprises Corp. 1,018,992 1,969
  China Steel Corp. 2,624,390 1,896

 

76

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Mega Financial Holding Co. Ltd. 2,274,769 1,555
Advanced Semiconductor Engineering Inc. ADR 235,724 1,379
Asustek Computer Inc. 146,169 1,280
Taiwan Mobile Co. Ltd. 351,800 1,231
Catcher Technology Co. Ltd. 151,310 1,184
First Financial Holding Co. Ltd. 2,140,019 1,121
Pegatron Corp. 412,954 1,112
Quanta Computer Inc. 546,450 1,105
Hotai Motor Co. Ltd. 85,000 987
E.Sun Financial Holding Co. Ltd. 1,725,186 980
Formosa Petrochemical Corp. 292,140 975
Yuanta Financial Holding Co. Ltd. 2,498,965 933
President Chain Store Corp. 118,137 883
Hua Nan Financial Holdings Co. Ltd. 1,584,076 804
Taiwan Cement Corp. 671,210 804
Cheng Shin Rubber Industry Co. Ltd. 393,379 800
Taishin Financial Holding Co. Ltd. 2,126,180 777
Far EasTone Telecommunications Co. Ltd. 326,000 770
Pou Chen Corp. 569,524 768
Taiwan Cooperative Financial Holding Co. Ltd. 1,692,668 742
China Development Financial Holding Corp. 2,961,580 741
China Life Insurance Co. Ltd. 803,002 740
Chang Hwa Commercial Bank Ltd. 1,345,963 688
Foxconn Technology Co. Ltd. 233,514 677
Far Eastern New Century Corp. 863,279 668
Lite-On Technology Corp. 456,988 655
Innolux Corp. 1,934,885 651
SinoPac Financial Holdings Co. Ltd. 2,129,631 614
Compal Electronics Inc. 1,024,323 609
Advantech Co. Ltd. 67,518 549
AU Optronics Corp. ADR 137,718 521
United Microelectronics Corp. 1,373,180 511
Hermes Microvision Inc. 11,493 507
Inventec Corp. 636,554 497
Eclat Textile Co. Ltd. 43,163 489
* Inotera Memories Inc. 498,000 466
Wistron Corp. 595,461 449
* HTC Corp. 151,491 442
Micro-Star International Co. Ltd. 151,000 434
Asia Cement Corp. 494,264 431
United Microelectronics Corp. ADR 224,078 426
Powertech Technology Inc. 148,000 422
Novatek Microelectronics Corp. 112,025 419
Giant Manufacturing Co. Ltd. 57,881 409
Chailease Holding Co. Ltd. 236,892 409
WPG Holdings Ltd. 340,000 398
* Shin Kong Financial Holding Co. Ltd. 1,808,612 392
Vanguard International Semiconductor Corp. 188,000 383
Siliconware Precision Industries Co. Ltd. 237,655 359
Siliconware Precision Industries Co. Ltd. ADR 45,120 338
Teco Electric and Machinery Co. Ltd. 374,000 332
Nien Made Enterprise Co. Ltd. 27,000 313
Synnex Technology International Corp. 285,498 304
Realtek Semiconductor Corp. 89,420 303
Chicony Electronics Co. Ltd. 116,875 299
Highwealth Construction Corp. 199,540 296
Feng TAY Enterprise Co. Ltd. 70,235 293
Kenda Rubber Industrial Co. Ltd. 180,413 276
Tong Yang Industry Co. Ltd. 115,000 268
Standard Foods Corp. 107,116 265
* Ruentex Development Co. Ltd. 229,156 264
Taiwan Business Bank 1,044,501 264
CTCI Corp. 179,000 263
Walsin Lihwa Corp. 733,000 256

 

77

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
* TaiMed Biologics Inc. 39,000 245
Win Semiconductors Corp. 87,151 242
Acer Inc. 524,551 240
Airtac International Group 30,050 239
Ruentex Industries Ltd. 146,268 235
Tripod Technology Corp. 99,000 234
LCY Chemical Corp. 190,000 232
St. Shine Optical Co. Ltd. 11,000 231
Poya International Co. Ltd. 15,237 221
Hiwin Technologies Corp. 49,942 220
King Yuan Electronics Co. Ltd. 246,000 216
Yulon Motor Co. Ltd. 244,000 213
TTY Biopharm Co. Ltd. 56,541 213
China Airlines Ltd. 686,000 208
Elite Material Co. Ltd. 74,000 206
Phison Electronics Corp. 29,000 205
Merida Industry Co. Ltd. 44,400 205
Eva Airways Corp. 410,674 198
AU Optronics Corp. 520,000 197
Nanya Technology Corp. 151,324 196
Taiwan Fertilizer Co. Ltd. 145,000 194
Yageo Corp. 96,346 194
Hota Industrial Manufacturing Co. Ltd. 46,000 192
Parade Technologies Ltd. 17,000 191
Formosa Taffeta Co. Ltd. 208,000 189
Eternal Materials Co. Ltd. 178,914 189
Zhen Ding Technology Holding Ltd. 82,700 188
Simplo Technology Co. Ltd. 59,400 183
Ennoconn Corp. 11,556 183
Advanced Semiconductor Engineering Inc. 155,000 182
Accton Technology Corp. 112,000 179
Chroma ATE Inc. 70,000 177
Grape King Bio Ltd. 21,000 176
Tung Thih Electronic Co. Ltd. 12,000 175
Winbond Electronics Corp. 557,000 175
Waterland Financial Holdings Co. Ltd. 684,911 173
Taiwan Paiho Ltd. 50,000 170
Clevo Co. 182,628 167
Gigabyte Technology Co. Ltd. 124,000 163
Compeq Manufacturing Co. Ltd. 306,000 161
TSRC Corp. 155,925 161
Wisdom Marine Lines Co. Ltd. 177,377 161
Silergy Corp. 11,000 160
E Ink Holdings Inc. 185,000 157
Getac Technology Corp. 120,000 156
PChome Online Inc. 14,268 155
Chunghwa Telecom Co. Ltd. 45,000 154
Wistron NeWeb Corp. 54,651 152
Transcend Information Inc. 55,000 152
* Taiwan Glass Industry Corp. 357,842 149
eMemory Technology Inc. 14,000 148
Voltronic Power Technology Corp. 9,615 144
Advanced Ceramic X Corp. 18,000 144
Kinsus Interconnect Technology Corp. 62,000 143
Greatek Electronics Inc. 112,000 141
Chipbond Technology Corp. 102,000 141
Depo Auto Parts Ind Co. Ltd. 45,000 141
Radiant Opto-Electronics Corp. 83,314 140
Land Mark Optoelectronics Corp. 15,600 140
Cub Elecparts Inc. 14,898 137
Makalot Industrial Co. Ltd. 34,712 137
Walsin Technology Corp. 111,975 136
* Evergreen Marine Corp. Taiwan Ltd. 362,940 136
United Integrated Services Co. Ltd. 89,000 133

 

78

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Nan Kang Rubber Tire Co. Ltd. 144,493 133
* Chunghwa Precision Test Tech Co. Ltd. 4,000 133
Taiwan Secom Co. Ltd. 45,675 131
FLEXium Interconnect Inc. 45,703 130
King's Town Bank Co. Ltd. 157,000 128
Feng Hsin Steel Co. Ltd. 96,000 127
* HannStar Display Corp. 508,265 127
General Interface Solution Holding Ltd. 46,000 123
King Slide Works Co. Ltd. 10,000 122
* Epistar Corp. 180,044 122
Everlight Electronics Co. Ltd. 81,000 122
AmTRAN Technology Co. Ltd. 154,000 122
Lealea Enterprise Co. Ltd. 470,000 120
Mitac Holdings Corp. 122,667 116
Sinbon Electronics Co. Ltd. 51,499 116
Xxentria Technology Materials Corp. 44,000 115
Huaku Development Co. Ltd. 65,000 114
Chin-Poon Industrial Co. Ltd. 59,000 113
Coretronic Corp. 107,400 111
Unimicron Technology Corp. 269,000 111
Gourmet Master Co. Ltd. 12,350 111
* Tatung Co. Ltd. 421,000 111
Qisda Corp. 262,000 110
Syncmold Enterprise Corp. 65,000 109
China Steel Chemical Corp. 31,000 106
* Asia Pacific Telecom Co. Ltd. 331,152 106
* Yieh Phui Enterprise Co. Ltd. 274,000 106
* Pharmally International Holding Co. Ltd. 7,000 105
Merry Electronics Co. Ltd. 26,850 104
Tong Hsing Electronic Industries Ltd. 30,000 103
Sercomm Corp. 44,000 103
* China Petrochemical Development Corp. 361,350 103
Hu Lane Associate Inc. 23,000 101
China Motor Corp. 129,000 101
Bizlink Holding Inc. 19,933 101
Far Eastern Department Stores Ltd. 190,115 101
Dynapack International Technology Corp. 77,000 101
Sitronix Technology Corp. 27,000 100
China Metal Products 101,000 99
Taichung Commercial Bank Co. Ltd. 345,154 98
PharmaEngine Inc. 14,199 97
Formosa International Hotels Corp. 17,058 96
Kinpo Electronics 254,000 95
Holtek Semiconductor Inc. 60,000 95
* Egis Technology Inc. 13,000 94
Elan Microelectronics Corp. 82,000 93
Pihsiang Machinery Manufacturing Co. Ltd. 38,000 89
Chaun-Choung Technology Corp. 20,000 88
Oriental Union Chemical Corp. 141,000 88
* Ta Ya Electric Wire & Cable 528,000 88
Far Eastern International Bank 307,559 87
Visual Photonics Epitaxy Co. Ltd. 65,250 87
* Wei Chuan Foods Corp. 152,000 86
Cheng Uei Precision Industry Co. Ltd. 70,000 86
Tainan Spinning Co. Ltd. 220,543 85
YFY Inc. 287,000 85
Ginko International Co. Ltd. 9,000 84
Elite Advanced Laser Corp. 23,040 84
Yungtay Engineering Co. Ltd. 59,000 83
Taiwan Shin Kong Security Co. Ltd. 65,650 83
Bank of Kaohsiung Co. Ltd. 294,085 82
Grand Pacific Petrochemical 146,000 81
Gigasolar Materials Corp. 6,400 81
Primax Electronics Ltd. 51,000 81

 

79

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
* TPK Holding Co. Ltd. 49,958 80
Sporton International Inc. 16,472 79
WT Microelectronics Co. Ltd. 55,549 79
Senao International Co. Ltd. 49,000 78
TXC Corp. 55,000 77
* Mercuries Life Insurance Co. Ltd. 154,105 74
Tyntek Corp. 194,000 74
Pan-International Industrial Corp. 80,000 73
Li Cheng Enterprise Co. Ltd. 18,600 72
Sino-American Silicon Products Inc. 67,000 72
Advanced Wireless Semiconductor Co. 46,000 72
President Securities Corp. 204,178 71
Tung Ho Steel Enterprise Corp. 110,000 70
Wan Hai Lines Ltd. 141,000 69
* CMC Magnetics Corp. 575,021 68
China Synthetic Rubber Corp. 86,110 68
Great Wall Enterprise Co. Ltd. 74,100 67
International Games System Co. Ltd. 12,000 67
Asia Vital Components Co. Ltd. 90,000 67
Huang Hsiang Construction Corp. 55,000 67
Nan Ya Printed Circuit Board Corp. 89,000 67
Cheng Loong Corp. 185,000 67
* Iron Force Industrial Co. Ltd. 11,000 67
Pan Jit International Inc. 142,000 67
Cathay Real Estate Development Co. Ltd. 130,200 67
Long Bon International Co. Ltd. 127,000 66
Sigurd Microelectronics Corp. 87,000 65
Unitech Printed Circuit Board Corp. 206,000 65
Lung Yen Life Service Corp. 38,000 65
Test Research Inc. 51,000 65
* Orient Semiconductor Electronics Ltd. 176,000 64
Topco Scientific Co. Ltd. 24,203 62
Everlight Chemical Industrial Corp. 97,240 62
Systex Corp. 36,000 61
China Bills Finance Corp. 150,000 60
Jih Sun Financial Holdings Co. Ltd. 286,252 60
Kinik Co. 36,000 59
Long Chen Paper Co. Ltd. 125,000 59
D-Link Corp. 184,212 59
Yeong Guan Energy Technology Group Co. Ltd. 15,000 59
Sunplus Technology Co. Ltd. 171,000 59
Taiwan Hon Chuan Enterprise Co. Ltd. 35,772 59
Pixart Imaging Inc. 27,000 58
Capital Securities Corp. 232,000 58
Firich Enterprises Co. Ltd. 27,983 58
Shinkong Synthetic Fibers Corp. 217,000 58
Namchow Chemical Industrial Co. Ltd. 27,000 57
Shin Zu Shing Co. Ltd. 19,000 57
Lien Hwa Industrial Corp. 84,213 57
Globalwafers Co. Ltd. 23,000 57
OptoTech Corp. 134,000 56
Posiflex Technology Inc. 9,547 56
Chimei Materials Technology Corp. 143,000 56
Sampo Corp. 90,000 56
USI Corp. 114,000 56
China General Plastics Corp. 69,000 55
* ALI Corp. 105,000 55
TYC Brother Industrial Co. Ltd. 53,000 55
* Neo Solar Power Corp. 104,573 53
Cleanaway Co. Ltd. 10,000 53
* Swancor Holding Co. Ltd. 22,000 52
Sanyang Motor Co. Ltd. 80,000 51
Taiwan Styrene Monomer 93,450 49
Kuoyang Construction Co. Ltd. 125,000 49

 

80

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Zinwell Corp. 43,000 49
* Etron Technology Inc. 127,000 49
YC INOX Co. Ltd. 67,000 49
Ardentec Corp. 64,903 48
Evergreen International Storage & Transport Corp. 118,000 48
TA Chen Stainless Pipe 90,065 47
Jess-Link Products Co. Ltd. 57,000 47
* Center Laboratories Inc. 22,894 47
Adlink Technology Inc. 24,168 47
Green Seal Holding Ltd. 8,800 47
* Sunny Friend Environmental Technology Co. Ltd. 13,000 46
Taiwan Semiconductor Co. Ltd. 41,000 46
WUS Printed Circuit Co. Ltd. 82,000 46
Flytech Technology Co. Ltd. 13,853 46
* Microbio Co. Ltd. 61,000 45
Taiwan PCB Techvest Co. Ltd. 46,000 45
Altek Corp. 61,600 44
Prince Housing & Development Corp. 139,050 44
YungShin Global Holding Corp. 29,400 44
Basso Industry Corp. 16,200 44
Zeng Hsing Industrial Co. Ltd. 9,000 43
Chung Hwa Pulp Corp. 152,421 43
UPC Technology Corp. 123,000 43
Taiwan Cogeneration Corp. 58,000 42
A-DATA Technology Co. Ltd. 26,190 41
* Unizyx Holding Corp. 91,000 41
China Man-Made Fiber Corp. 166,950 40
Sonix Technology Co. Ltd. 39,000 40
San Shing Fastech Corp. 22,770 40
Gloria Material Technology Corp. 74,000 40
* Solar Applied Materials Technology Co. 140,000 39
Taiflex Scientific Co. Ltd. 40,800 39
Casetek Holdings Ltd. 12,000 39
Toung Loong Textile Manufacturing 14,000 38
Nan Liu Enterprise Co. Ltd. 9,000 38
Chong Hong Construction Co. Ltd. 23,152 38
Farglory Land Development Co. Ltd. 33,000 38
Aten International Co. Ltd. 15,000 38
Weltrend Semiconductor 52,000 37
* Taigen Biopharmaceuticals Holdings Ltd. 38,872 37
* Asia Optical Co. Inc. 40,000 37
Ton Yi Industrial Corp. 86,000 37
Chlitina Holding Ltd. 8,400 37
IEI Integration Corp. 24,380 36
ScinoPharm Taiwan Ltd. 28,121 36
ITEQ Corp. 33,000 36
Lotes Co. Ltd. 14,000 36
* Gintech Energy Corp. 49,555 35
* Motech Industries Inc. 36,000 35
* Yang Ming Marine Transport Corp. 156,000 35
* Ritek Corp. 200,147 35
Taiyen Biotech Co. Ltd. 36,000 34
ITE Technology Inc. 37,000 34
CHC Healthcare Group 24,268 34
U-Ming Marine Transport Corp. 48,000 33
Goldsun Building Materials Co. Ltd. 144,000 33
Mercuries & Associates Holding Ltd. 53,550 33
Federal Corp. 76,612 33
Universal Cement Corp. 41,868 33
Soft-World International Corp. 16,000 32
AcBel Polytech Inc. 43,000 32
Wowprime Corp. 8,665 32
Alpha Networks Inc. 55,000 32
Elitegroup Computer Systems Co. Ltd. 73,000 31

 

81

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
* Medigen Biotechnology Corp. 14,000 31
Hung Sheng Construction Ltd. 57,000 31
Johnson Health Tech Co. Ltd. 21,105 31
Lextar Electronics Corp. 74,000 31
Brogent Technologies Inc. 4,389 30
Career Technology MFG. Co. Ltd. 46,000 29
FocalTech Systems Co. Ltd. 26,923 29
Elite Semiconductor Memory Technology Inc. 27,000 29
Rechi Precision Co. Ltd. 25,000 28
Taiwan FamilyMart Co. Ltd. 4,000 28
Darwin Precisions Corp. 73,000 28
* Ho Tung Chemical Corp. 114,639 28
* Shining Building Business Co. Ltd. 88,660 28
* E-Ton Solar Tech Co. Ltd. 90,000 28
Taiwan Fire & Marine Insurance Co. Ltd. 47,000 28
MIN AIK Technology Co. Ltd. 23,000 27
Lite-On Semiconductor Corp. 38,000 27
CyberTAN Technology Inc. 44,000 26
Taiwan TEA Corp. 59,000 26
Faraday Technology Corp. 25,800 26
Hung Poo Real Estate Development Corp. 31,000 25
Microlife Corp. 11,000 25
Taiwan Acceptance Corp. 11,000 25
Taiwan Land Development Corp. 80,731 25
ACES Electronic Co. Ltd. 33,000 25
Jentech Precision Industrial Co. Ltd. 16,000 25
Topkey Corp. 8,000 25
* Radium Life Tech Co. Ltd. 87,393 25
Formosan Rubber Group Inc. 53,101 25
* Gigastorage Corp. 34,000 24
Wah Lee Industrial Corp. 17,000 24
Masterlink Securities Corp. 95,012 24
* AGV Products Corp. 97,439 23
Test Rite International Co. Ltd. 37,000 23
* TWi Pharmaceuticals Inc. 7,000 23
Advanced International Multitech Co. Ltd. 35,000 22
Kindom Construction Corp. 45,000 22
Vivotek Inc. 8,863 22
Taiwan Surface Mounting Technology Corp. 26,250 22
* Ichia Technologies Inc. 49,000 22
Chung-Hsin Electric & Machinery Manufacturing Corp. 37,000 21
Kuo Toong International Co. Ltd. 37,643 21
* Taiwan Liposome Co. Ltd. 5,000 20
Tong-Tai Machine & Tool Co. Ltd. 28,560 20
* Lotus Pharmaceutical Co. Ltd. 11,000 20
Global Mixed Mode Technology Inc. 9,000 20
Sinyi Realty Inc. 21,630 20
Ambassador Hotel 25,000 20
Concord Securities Co. Ltd. 96,000 19
* Unity Opto Technology Co. Ltd. 38,000 18
Rich Development Co. Ltd. 63,000 17
* Li Peng Enterprise Co. Ltd. 75,600 17
BES Engineering Corp. 99,000 17
* G Tech Optoelectronics Corp. 24,043 16
GeoVision Inc. 9,776 15
* Genius Electronic Optical Co. Ltd. 8,714 14
* Gold Circuit Electronics Ltd. 41,000 14
KEE TAI Properties Co. Ltd. 41,000 13
Yulon Nissan Motor Co. Ltd. 2,000 13
XPEC Entertainment Inc. 21,467 8
ENG Electric Co. Ltd. 3,307 2
Forest Water Environment Engineering Co. Ltd. 261
    133,164

 

82

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
Thailand (0.4%)    
* PTT PCL 202,200 1,991
^ Siam Cement PCL NVDR 120,200 1,716
  CP ALL PCL (Foreign) 811,900 1,407
^ Kasikornbank PCL (Foreign) 269,183 1,321
* Bangkok Dusit Medical Services PCL (Local) 1,650,800 1,075
  Advanced Info Service PCL (Foreign) 242,100 1,061
  PTT PCL (Foreign) 98,600 971
* Airports of Thailand PCL 86,725 944
  Siam Commercial Bank PCL (Foreign) 227,900 933
  Siam Cement PCL (Foreign) 57,900 833
^ Siam Commercial Bank PCL 187,400 767
^ Kasikornbank PCL 142,100 698
^ PTT Exploration & Production PCL (Foreign) 241,281 571
* CP ALL PCL (Local) 289,400 502
  Central Pattana PCL 312,900 497
* Charoen Pokphand Foods PCL 536,300 482
* Minor International PCL 417,260 458
  PTT Global Chemical PCL (Foreign) 239,715 409
  Bangkok Bank PCL (Foreign) 89,698 409
* Banpu PCL (Local) 732,000 383
^ Intouch Holdings NVDR 237,596 360
* Bangkok Expressway & Metro PCL 1,682,509 358
  Krung Thai Bank PCL (Foreign) 687,175 337
* Central Pattana PCL 208,100 331
  Charoen Pokphand Foods PCL (Foreign) 367,500 331
  Minor International PCL (Foreign) 297,823 327
  Thai Oil PCL (Foreign) 159,800 319
* Siam Commercial Bank PCL (Local) 77,800 319
* PTT Global Chemical PCL (Local) 183,600 314
^ Krung Thai Bank PCL 633,000 311
* Digital Telecommunications Infrastructure Fund 688,200 295
* Indorama Ventures PCL (Local) 332,500 277
* KCE Electronics PCL 83,000 266
* True Corp. PCL 1,370,453 264
^ Thai Union Frozen Products PCL (Foreign) 404,880 251
* Intouch Holdings PCL 160,600 243
* OBI Pharma Inc. 23,000 240
* BTS Group Holdings PCL 954,800 233
* Ratchaburi Electricity Generating Holding PCL (Local) 161,300 230
* BTS Rail Mass Transit Growth Infrastructure Fund 661,200 230
* Bumrungrad Hospital PCL 42,500 222
^ TMB Bank PCL 3,532,900 212
^ Land & Houses PCL 790,900 207
^ Electricity Generating PCL (Foreign) 37,200 207
^ IRPC PCL (Foreign) 1,491,200 204
* Berli Jucker PCL 134,600 203
  Berli Jucker PCL 134,484 203
* Group Lease PCL 149,700 196
^ Home Product Center PCL 677,598 195
* Jasmine Broadband Internet Infrastructure Fund 559,400 193
* Bangchak Petroleum PCL 217,100 187
* Robinson Department Store PCL 112,700 186
* Central Plaza Hotel PCL 162,200 176
* Superblock PCL 3,838,700 174
*,2 Star Petroleum Refining PCL 484,700 174
* Sino-Thai Engineering & Construction PCL 237,700 173
* PTG Energy PCL 210,400 173
* PTT Exploration and Production PCL (Local) 72,800 172
* Home Product Center PCL 568,200 164
^ Bumrungrad Hospital PCL (Foreign) 30,900 161
  Jasmine International PCL 664,200 158
* CH Karnchang PCL 187,300 158
^ True Corp. PCL 775,201 149

 

83

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
^ BTS Group Holdings PCL ADR 604,800 148
* Supalai PCL 211,200 147
  Pruksa Real Estate PCL 210,700 139
* Land & Houses PCL 508,200 133
^ BEC World PCL (Foreign) 225,100 132
* Siam City Cement PCL (Local) 15,684 129
^ Total Access Communication PCL (Foreign) 145,300 129
^ Delta Electronics Thailand PCL 56,600 127
  Kiatnakin Bank PCL 74,800 125
* Bangkok Land PCL 2,749,700 124
  Thoresen Thai Agencies PCL (Foreign) 476,652 124
* Tisco Financial Group PCL 83,500 123
* TPI Polene PCL 1,930,500 121
* Gunkul Engineering PCL 846,500 120
* Glow Energy PCL 54,500 120
* Esso Thailand PCL 408,900 118
* Delta Electronics Thailand PCL 51,800 116
  Bangkok Dusit Medical Services PCL (Foreign) 176,000 115
* Thai Union Group PCL 183,500 114
* Italian-Thai Development PCL 784,500 111
* Thai Oil PCL 54,500 109
* VGI Global Media PCL 652,900 106
* Krungthai Card PCL 24,700 106
* Siam Global House PCL 238,859 105
  momo.com Inc. 16,000 104
* Electricity Generating PCL 18,300 102
* Thai Airways International PCL 126,300 101
  Thanachart Capital PCL 88,900 100
* Major Cineplex Group PCL 120,200 99
* AP Thailand PCL 476,600 97
* Quality Houses PCL 1,338,683 96
* Dynasty Ceramic PCL 696,900 89
* Srisawad Power 1979 PCL 77,367 88
* Sansiri PCL (Local) 1,855,200 88
* IRPC PCL 629,800 86
* Carabao Group PCL 43,100 85
* Thai Vegetable Oil PCL 88,000 84
^ Bangkok Life Assurance PCL 59,100 84
*,^ Thai Airways International PCL (Foreign) 104,374 83
  Bangkok Expressway & Metro PCL 373,046 79
* Kiatnakin Bank PCL 47,400 79
* Global Power Synergy Co. Ltd. 77,600 79
* U City PCL 90,412,494 77
* Unique Engineering & Construction PCL 155,600 76
  TTW PCL 246,200 74
* Tipco Asphalt PCL 140,500 73
  Bangkok Life Assurance PCL 50,940 72
  Glow Energy PCL (Foreign) 32,700 72
* Bangkok Airways PCL 99,400 71
^ Banpu PCL 132,528 69
* Chularat Hospital PCL 837,980 67
* Muangthai Leasing PCL 124,100 67
* Vibhavadi Medical Center PCL 778,900 66
* Thaicom PCL 103,800 62
* TMB Bank PCL 1,018,600 61
* Tisco Financial Group PCL 40,100 59
* Hana Microelectronics PCL 64,600 59
* Bangkok Chain Hospital PCL 154,400 58
* Thanachart Capital PCL 50,100 56
* TICON Industrial Connection PCL 132,600 56
* CK Power PCL 529,000 54
* Amata Corp. PCL 158,800 53
* Samart Corp. PCL 128,900 52
* GFPT PCL 112,200 49

 

84

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Bangkok Bank PCL 10,200 46
^ Thanachart Capital PCL 38,600 44
* Inter Far East Energy Corp. 351,100 43
^ Hana Microelectronics PCL (Foreign) 46,600 43
* WHA Corp. PCL 420,000 40
* SPCG PCL 65,000 38
* IMPACT Growth REIT 81,000 36
  LPN Development PCL 102,800 33
* Sri Trang Agro-Industry PCL 78,200 30
* Cal-Comp Electronics Thailand PCL 387,330 28
* Univentures PCL 143,400 24
* Total Access Communication PCL (Local) 25,400 23
* Precious Shipping PCL 125,400 22
*,^ WHA Corp. PCL 210,509 20
^ CK Power PCL 179,860 18
*,^ Precious Shipping PCL (Foreign) 62,700 11
* Group Lease PCL Warrants Exp. 07/31/2018 15,877 7
* Thoresen Thai Agencies PCL (Local) 13,200 3
* CK Power PCL Foreign Line Warrants Exp. 05/28/2020 179,860 3
* Indorama Ventures PCL Warrants Exp. 08/24/2017 33,250 2
* Thoresen Thai Agencies PCL Warrants Exp. 02/28/2019 53,346 2
* Indorama Ventures Warrants Exp. 08/24/2018 25,576 2
* WHA Corp. PCL Warrants Exp. 12/31/2019 5,106 1
* TPI Polene PCL Rights 11,916 1
* VGI Global Media PCL Warrants 08/01/2018 71,450 1
* Srisawad Power 1979 PCL Warrants Exp. 05/29/2020 2,960 1
  BCPG PCL 1,225
* Italian-Thai Development PCL Warrants Exp. 05/13/2019 56,840
* Samart Corp. PCL Warrants Exp. 02/11/2018 39,440
* Precious Shipping PCL Warrants 6,270
      34,000
Turkey (0.1%)    
  Turkiye Garanti Bankasi AS 432,590 1,177
  Akbank TAS 429,236 1,149
  BIM Birlesik Magazalar AS 47,224 770
  Turkiye Is Bankasi 358,415 582
  KOC Holding AS 131,948 550
* Turkcell Iletisim Hizmetleri AS 157,420 508
  Tupras Turkiye Petrol Rafinerileri AS 24,875 507
  Haci Omer Sabanci Holding AS (Bearer) 159,095 481
  Turkiye Halk Bankasi AS 138,129 420
  Emlak Konut Gayrimenkul Yatirim Ortakligi AS 397,961 407
  Eregli Demir ve Celik Fabrikalari TAS 274,084 373
  Turkiye Vakiflar Bankasi TAO 204,427 303
  Anadolu Efes Biracilik Ve Malt Sanayii AS 41,074 251
  Arcelik AS 35,788 236
  Enka Insaat ve Sanayi AS 142,649 218
  Ulker Biskuvi Sanayi AS 33,433 208
  Turk Telekomunikasyon AS 106,702 197
* Turk Hava Yollari AO 112,114 197
* Yapi ve Kredi Bankasi AS 163,123 195
  Ford Otomotiv Sanayi AS 17,563 179
  Tofas Turk Otomobil Fabrikasi AS 22,955 173
  Petkim Petrokimya Holding AS 120,882 164
  Coca-Cola Icecek AS 13,694 155
  Turkiye Sise ve Cam Fabrikalari AS 147,252 155
  Aselsan Elektronik Sanayi Ve Ticaret AS 49,526 151
  Is Gayrimenkul Yatirim Ortakligi AS 267,825 136
  TAV Havalimanlari Holding AS 32,203 132
  Soda Sanayii AS 88,901 124
* Aksa Enerji Uretim AS Class B 123,798 113
  Tekfen Holding AS 35,895 91
* Aksigorta AS 132,563 87
* Sekerbank TAS 205,730 78

 

85

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Bizim Toptan Satis Magazalari AS 17,130 72
* Zorlu Enerji Elektrik Uretim AS 123,101 65
Kardemir Karabuk Demir Celik Sanayi ve Ticaret AS 125,938 51
Turkiye Sinai Kalkinma Bankasi AS 112,275 50
Otokar Otomotiv Ve Savunma Sanayi A.S. 1,491 49
* Koza Altin Isletmeleri AS 8,052 46
* Koza Anadolu Metal Madencilik Isletmeleri AS 59,315 44
* Dogan Sirketler Grubu Holding AS 168,390 43
Aygaz AS 12,065 43
* Vestel Elektronik Sanayi ve Ticaret AS 20,037 43
Cimsa Cimento Sanayi VE Ticaret AS 8,065 40
Turk Traktor ve Ziraat Makineleri AS 1,534 40
* Migros Ticaret AS 6,467 37
Aksa Akrilik Kimya Sanayii AS 11,842 33
Yazicilar Holding AS Class A 5,506 24
Dogus Otomotiv Servis ve Ticaret AS 7,386 24
* Pegasus Hava Tasimaciligi AS 4,428 19
Trakya Cam Sanayii AS 21,506 18
* Vakif Gayrimenkul Yatirim Ortakligi AS 19,855 15
Albaraka Turk Katilim Bankasi AS 32,421 13
* Asya Katilim Bankasi AS 147,465
    11,236
United Arab Emirates (0.1%)    
Emirates Telecommunications Group Co. PJSC 343,010 1,760
Emaar Properties PJSC 734,579 1,391
First Gulf Bank PJSC 220,715 690
DP World Ltd. 37,047 665
Abu Dhabi Commercial Bank PJSC 364,999 609
Aldar Properties PJSC 727,850 521
Dubai Islamic Bank PJSC 301,078 429
* DXB Entertainments PJSC 666,893 284
Emaar Malls PJSC 391,593 274
DAMAC Properties Dubai Co. PJSC 381,514 228
Dubai Investments PJSC 414,619 226
Union National Bank PJSC 210,163 224
Air Arabia PJSC 453,800 160
* Arabtec Holding PJSC 386,155 139
Dubai Financial Market PJSC 426,230 133
Al Waha Capital PJSC 234,724 120
Aramex PJSC 106,323 102
Amanat Holdings PJSC 389,761 93
* Dana Gas PJSC 547,053 79
National Central Cooling Co. PJSC 134,628 66
* Drake & Scull International PJSC 459,669 57
* Deyaar Development PJSC 361,379 52
* Eshraq Properties Co. PJSC 184,450 40
* Amlak Finance PJSC 109,697 37
RAK Properties PJSC 168,932 28
* Union Properties PJSC 142,827 28
    8,435
United Kingdom (5.9%)    
HSBC Holdings plc 4,129,228 31,098
BP plc 3,909,466 23,112
British American Tobacco plc 391,977 22,465
Royal Dutch Shell plc Class A 898,651 22,383
Royal Dutch Shell plc Class B 780,870 20,141
GlaxoSmithKline plc 1,014,043 20,032
Vodafone Group plc 5,516,911 15,151
AstraZeneca plc 262,594 14,704
Diageo plc 529,349 14,090
Reckitt Benckiser Group plc 133,359 11,930
Unilever plc 253,837 10,598
Shire plc 186,799 10,547
National Grid plc 796,941 10,366

 

86

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Imperial Brands plc 202,707 9,805
Lloyds Banking Group plc 13,395,681 9,355
Rio Tinto plc 253,443 8,814
Prudential plc 538,492 8,788
Barclays plc 3,546,806 8,217
BT Group plc 1,750,186 8,033
* Glencore plc 2,442,255 7,476
BHP Billiton plc 443,179 6,664
Compass Group plc 348,865 6,313
WPP plc 272,463 5,916
CRH plc 172,380 5,578
* Standard Chartered plc 562,569 4,892
Aviva plc 845,296 4,581
* Tesco plc 1,701,935 4,384
BAE Systems plc 657,457 4,356
SSE plc 215,508 4,190
RELX NV 228,165 4,073
Experian plc 202,680 3,896
* Anglo American plc 273,839 3,801
Legal & General Group plc 1,241,079 3,175
Rolls-Royce Holdings plc 345,710 3,069
Centrica plc 1,134,043 2,970
Wolseley plc 52,149 2,705
Smith & Nephew plc 186,233 2,692
Old Mutual plc 974,194 2,396
London Stock Exchange Group plc 67,006 2,302
Sky plc 222,724 2,227
Associated British Foods plc 72,710 2,187
Kingfisher plc 475,588 2,101
Sage Group plc 228,717 2,018
Land Securities Group plc 163,343 1,995
Bunzl plc 71,186 1,911
Carnival plc 38,747 1,869
Paddy Power Betfair plc 17,261 1,788
Next plc 30,302 1,783
Standard Life plc 420,474 1,735
Burberry Group plc 95,781 1,727
Johnson Matthey plc 41,116 1,714
Randgold Resources Ltd. 18,953 1,683
3i Group plc 204,614 1,677
Whitbread plc 37,793 1,670
Ashtead Group plc 106,623 1,661
United Utilities Group plc 143,538 1,650
Pearson plc 172,140 1,593
* Royal Bank of Scotland Group plc 688,079 1,590
InterContinental Hotels Group plc 40,406 1,567
ITV plc 747,020 1,557
Mondi plc 77,818 1,519
British Land Co. plc 206,030 1,475
DCC plc 17,827 1,450
Severn Trent plc 50,835 1,447
RSA Insurance Group plc 214,289 1,447
Smiths Group plc 82,900 1,437
Intertek Group plc 34,115 1,423
Marks & Spencer Group plc 338,972 1,410
GKN plc 361,255 1,409
Informa plc 166,545 1,370
Persimmon plc 65,599 1,358
Wm Morrison Supermarkets plc 467,490 1,294
St. James's Place plc 110,114 1,272
2 Worldpay Group plc 358,937 1,247
Micro Focus International plc 47,062 1,232
Direct Line Insurance Group plc 291,253 1,232
Taylor Wimpey plc 692,848 1,200

 

87

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  International Consolidated Airlines Group SA (London Shares) 225,461 1,196
  Croda International plc 27,514 1,177
  Rentokil Initial plc 413,282 1,153
  Barratt Developments plc 207,592 1,151
  Royal Mail plc 191,483 1,149
  Provident Financial plc 31,396 1,132
  J Sainsbury plc 357,289 1,095
  Hammerson plc 161,605 1,087
  Halma plc 81,680 1,046
  Capita plc 140,647 1,007
  Admiral Group plc 42,389 993
  Tate & Lyle plc 102,159 974
  DS Smith plc 198,215 967
  TUI AG 75,309 955
2 Auto Trader Group plc 205,940 944
  Mediclinic International plc 84,923 942
  Segro plc 175,168 938
  Weir Group plc 44,375 922
  Coca-Cola HBC AG 41,317 892
  Rightmove plc 19,468 889
  Spirax-Sarco Engineering plc 16,060 866
  Travis Perkins plc 53,164 865
  Meggitt plc 161,661 860
  Pennon Group plc 84,216 860
  G4S plc 318,776 856
  Investec plc 137,539 854
2 Merlin Entertainments plc 148,269 836
  Aberdeen Asset Management plc 213,038 833
  Melrose Industries plc 400,729 827
  Inmarsat plc 95,331 818
  Dixons Carphone plc 211,537 813
* Just Eat plc 117,535 807
  Schroders plc 23,227 799
  Berkeley Group Holdings plc 27,368 789
  RPC Group plc 66,759 774
  IG Group Holdings plc 76,613 774
  Bellway plc 26,449 765
  Booker Group plc 345,233 757
  Hiscox Ltd. 59,489 743
  Fresnillo plc 36,429 733
  IMI plc 60,036 729
  Hargreaves Lansdown plc 51,371 728
  John Wood Group plc 77,417 728
  UBM plc 82,099 721
  Inchcape plc 90,390 719
  Intu Properties plc 203,283 685
  BBA Aviation plc 214,525 678
  Polymetal International plc 61,838 674
  ICAP plc 113,475 673
  Shaftesbury plc 58,179 653
  Cobham plc 370,185 646
  William Hill plc 178,300 645
  Henderson Group plc 226,364 640
  Hikma Pharmaceuticals plc 29,762 638
* BTG plc 76,868 619
* CYBG plc 187,100 618
  Babcock International Group plc 51,150 618
  Spectris plc 24,121 604
*,^ Tullow Oil plc 185,423 599
  Indivior plc 154,057 592
  Greene King plc 64,531 577
  Derwent London plc 19,519 577
  Howden Joinery Group plc 123,575 566
  Petrofac Ltd. 54,577 538

 

88

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
* Paysafe Group plc 101,680 537
* Metro Bank plc 15,867 537
Great Portland Estates plc 73,056 530
easyJet plc 46,052 528
Capital & Counties Properties plc 148,928 525
Close Brothers Group plc 31,457 510
Aggreko plc 51,025 499
Playtech plc 43,324 491
Daily Mail & General Trust plc 53,295 489
Beazley plc 109,815 489
Hays plc 291,704 487
Jupiter Fund Management plc 92,201 486
Man Group plc 313,664 478
* GVC Holdings plc 55,926 476
Antofagasta plc 71,557 476
Phoenix Group Holdings 51,796 463
Centamin plc 238,257 461
* Intermediate Capital Group plc 61,183 453
Balfour Beatty plc 136,460 452
Electrocomponents plc 97,528 444
Rotork plc 177,812 444
Domino's Pizza Group plc 104,924 436
Amec Foster Wheeler plc 79,238 432
Berendsen plc 35,736 422
Regus plc 137,072 417
HomeServe plc 55,447 414
B&M European Value Retail SA 143,561 412
SSP Group plc 98,334 409
UDG Healthcare plc 50,283 402
WH Smith plc 22,013 396
AA plc 124,516 389
WS Atkins plc 21,067 389
Ultra Electronics Holdings plc 17,092 388
Tritax Big Box REIT plc 231,619 385
* Serco Group plc 228,867 383
Britvic plc 55,808 379
National Express Group plc 83,942 377
Moneysupermarket.com Group plc 111,951 358
Victrex plc 16,375 351
* Firstgroup plc 259,520 348
Greencore Group plc 85,749 346
Drax Group plc 88,955 345
Kier Group plc 20,525 341
QinetiQ Group plc 120,994 341
Lancashire Holdings Ltd. 39,009 333
Ashmore Group plc 76,171 327
Essentra plc 51,843 323
JD Sports Fashion plc 17,266 321
Dignity plc 9,696 314
UNITE Group plc 45,901 311
Dechra Pharmaceuticals plc 18,825 310
AVEVA Group plc 13,228 298
Pagegroup plc 66,953 296
Bodycote plc 40,530 294
Synthomer plc 66,722 292
Cineworld Group plc 44,123 291
* Cairn Energy plc 116,954 291
* Ocado Group plc 86,295 290
2 John Laing Group plc 87,456 289
^ Ladbrokes plc 176,641 288
Diploma plc 24,800 284
Bovis Homes Group plc 30,538 283
2 Spire Healthcare Group plc 61,577 280
^ TalkTalk Telecom Group plc 112,065 279

 

89

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Kennedy Wilson Europe Real Estate plc 22,020 273
  Renishaw plc 8,656 273
  Carillion plc 88,745 272
  Genus plc 11,766 270
* Thomas Cook Group plc 315,209 268
  Elementis plc 91,803 268
* SVG Capital plc 30,901 266
  Galliford Try plc 17,522 263
  Grafton Group plc 43,156 262
  Big Yellow Group plc 30,420 257
  Crest Nicholson Holdings plc 51,250 255
  Vesuvius plc 56,567 253
  Greggs plc 21,531 252
  PZ Cussons plc 60,862 249
  Marston's plc 151,725 248
  Assura plc 339,243 244
  Savills plc 28,052 238
  Fidessa Group plc 7,895 237
* Vectura Group plc 142,776 236
  Go-Ahead Group plc 9,218 234
  Grainger plc 86,141 233
  LondonMetric Property plc 121,469 222
  BGEO Group plc 6,126 221
  Stagecoach Group plc 90,542 219
  Paragon Group of Cos. plc 53,651 218
  Tullett Prebon plc 49,542 215
  Redrow plc 46,046 214
  Dunelm Group plc 22,807 211
  Morgan Advanced Materials plc 63,382 211
* Evraz plc 82,987 208
  Hansteen Holdings plc 152,312 201
  NMC Health plc 11,230 201
  Mitie Group plc 77,374 199
  Dairy Crest Group plc 26,556 198
  Northgate plc 38,520 198
  esure Group plc 59,156 197
  Virgin Money Holdings UK plc 48,775 196
  Pets at Home Group plc 74,763 195
  Senior plc 91,403 195
  Telecom Plus plc 13,313 193
* KAZ Minerals plc 54,865 192
  Workspace Group plc 24,773 191
  Safestore Holdings plc 43,113 189
  Entertainment One Ltd. 66,383 189
2 Hastings Group Holdings plc 69,143 185
*,^ Sports Direct International plc 54,487 184
  Acacia Mining plc 29,009 184
* Imagination Technologies Group plc 64,842 179
  SuperGroup plc 10,668 176
  Halfords Group plc 42,204 175
  KCOM Group plc 120,418 174
  J D Wetherspoon plc 16,288 173
  Debenhams plc 263,423 173
* Petra Diamonds Ltd. 92,525 172
  Ted Baker plc 5,585 169
  Redefine International PLC 333,213 169
  International Personal Finance plc 46,925 169
  Card Factory plc 54,269 169
  Restaurant Group plc 36,332 167
2 Sophos Group plc 57,862 164
  Mitchells & Butlers plc 47,962 163
  Brewin Dolphin Holdings plc 50,121 159
  F&C Commercial Property Trust Ltd. 103,724 159
2 Zoopla Property Group plc 42,590 159

 

90

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Hunting plc 25,771 158
  Vedanta Resources plc 18,036 158
  De La Rue plc 22,159 155
  SIG plc 110,058 149
  Computacenter plc 16,743 149
  OM Asset Management plc 10,100 142
*,2 Wizz Air Holdings plc 7,662 142
  Lonmin plc 60,005 140
  Keller Group plc 16,785 140
2 McCarthy & Stone plc 66,703 137
* Allied Minds plc 32,860 136
  Hochschild Mining plc 41,288 135
2 Ibstock plc 64,942 132
  NCC Group plc 55,229 128
  Polypipe Group plc 41,455 128
  Picton Property Income Ltd. 146,811 127
  Devro plc 44,654 124
  Chesnara plc 31,183 122
  UK Commercial Property Trust Ltd. 118,056 113
  Interserve plc 26,828 111
* Chemring Group plc 58,521 104
  Laird plc 56,735 101
  N Brown Group plc 41,889 98
  St. Modwen Properties plc 28,439 95
  RPS Group plc 46,163 95
  Lookers plc 73,386 93
*,2 Countryside Properties plc 32,200 92
* Ophir Energy plc 108,688 92
  Shanks Group plc 82,917 91
  Fenner plc 33,918 91
  888 Holdings plc 33,538 89
* Enterprise Inns plc 77,242 87
  ITE Group plc 49,024 87
* Nostrum Oil & Gas plc 19,562 84
* Phoenix Group Holdings Rights Exp. 11/08/2016 30,214 82
  Helical plc 25,204 82
  Rank Group plc 34,276 81
  Oxford Instruments plc 9,640 80
  Xaar plc 14,941 77
*,2 Shawbrook Group plc 25,907 71
* Aldermore Group plc 32,589 69
2 CMC Markets plc 28,615 66
  OneSavings Bank plc 17,280 61
  Schroder REIT Ltd. 87,915 61
  Countrywide plc 27,491 60
* Premier Oil plc 73,323 59
  Foxtons Group plc 44,447 58
* Premier Foods plc 98,103 55
  Daejan Holdings plc 813 54
  Soco International plc 29,740 50
* AO World plc 25,742 50
* Mothercare plc 31,304 41
  Cape plc 13,478 34
* Lamprell plc 34,894 31
*,^ Genel Energy plc 25,864 26
* Shanks Group plc Rights 31,093 12
*,^ Afren plc 141,140 3
      522,129
United States (52.1%)    
Basic Materials (1.3%)    
  EI du Pont de Nemours & Co. 181,522 12,487
  Dow Chemical Co. 231,946 12,481
  Praxair Inc. 59,361 6,949
  Ecolab Inc. 54,417 6,213

 

91

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Air Products & Chemicals Inc. 44,929 5,994
LyondellBasell Industries NV Class A 73,072 5,813
PPG Industries Inc. 55,546 5,173
Newmont Mining Corp. 112,234 4,157
International Paper Co. 86,520 3,896
Nucor Corp. 67,485 3,297
* Freeport-McMoRan Inc. 282,491 3,158
* Arconic Inc. 92,593 2,659
Eastman Chemical Co. 31,047 2,233
International Flavors & Fragrances Inc. 16,909 2,211
Celanese Corp. Class A 28,741 2,096
Albemarle Corp. 23,935 2,000
Mosaic Co. 73,850 1,738
* Ashland Global Holdings Inc. 13,143 1,468
Steel Dynamics Inc. 49,200 1,351
RPM International Inc. 27,300 1,298
Avery Dennison Corp. 18,430 1,286
* Axalta Coating Systems Ltd. 50,403 1,266
CF Industries Holdings Inc. 49,995 1,200
FMC Corp. 25,278 1,185
WR Grace & Co. 14,900 998
Reliance Steel & Aluminum Co. 14,300 984
Southern Copper Corp. 32,801 931
Royal Gold Inc. 13,100 902
NewMarket Corp. 2,100 842
CONSOL Energy Inc. 46,977 796
Olin Corp. 33,710 739
Sensient Technologies Corp. 9,500 708
Scotts Miracle-Gro Co. Class A 7,891 695
United States Steel Corp. 35,295 683
Cabot Corp. 12,500 652
US Silica Holdings Inc. 14,000 647
Chemours Co. 38,964 640
Huntsman Corp. 34,000 576
Worthington Industries Inc. 11,400 536
* Versum Materials Inc. 22,464 510
Trinseo SA 9,718 510
Hecla Mining Co. 84,112 504
Compass Minerals International Inc. 7,000 503
PolyOne Corp. 17,200 503
HB Fuller Co. 11,800 496
Balchem Corp. 6,500 493
Minerals Technologies Inc. 7,200 484
* Chemtura Corp. 13,746 451
Domtar Corp. 12,300 442
* Univar Inc. 19,100 425
Westlake Chemical Corp. 7,900 409
* GCP Applied Technologies Inc. 15,400 398
* Stillwater Mining Co. 29,200 389
* Coeur Mining Inc. 34,700 388
* Ingevity Corp. 8,639 358
* Platform Specialty Products Corp. 45,687 333
Commercial Metals Co. 20,900 328
Allegheny Technologies Inc. 22,343 305
KapStone Paper and Packaging Corp. 16,800 305
Kaiser Aluminum Corp. 4,100 297
* AK Steel Holding Corp. 51,800 269
Carpenter Technology Corp. 8,500 269
Innospec Inc. 4,200 253
* Cambrex Corp. 5,900 238
Stepan Co. 3,200 227
* Ferro Corp. 17,500 227
* Clearwater Paper Corp. 4,200 223
PH Glatfelter Co. 9,500 211

 

92

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* Kraton Corp. 7,700 197
  Innophos Holdings Inc. 4,000 183
  Calgon Carbon Corp. 11,300 178
  A Schulman Inc. 6,200 178
  Rayonier Advanced Materials Inc. 12,300 159
* Century Aluminum Co. 18,700 137
* Koppers Holdings Inc. 3,800 124
  Deltic Timber Corp. 1,900 107
* AdvanSix Inc. 6,299 100
  Ferroglobe plc 10,400 96
* Resolute Forest Products Inc. 19,700 94
  Haynes International Inc. 2,600 84
* Veritiv Corp. 1,032 56
  Tredegar Corp. 2,700 50
      115,429
Consumer Goods (5.4%)    
  Procter & Gamble Co. 535,583 46,489
  Coca-Cola Co. 862,528 36,571
  PepsiCo Inc. 300,707 32,236
  Philip Morris International Inc. 326,429 31,481
  Altria Group Inc. 409,284 27,062
  Mondelez International Inc. Class A 323,175 14,523
  Colgate-Palmolive Co. 187,079 13,350
  NIKE Inc. Class B 229,550 11,519
  Kraft Heinz Co. 123,673 11,001
  General Motors Co. 305,647 9,658
  Ford Motor Co. 821,020 9,639
  Reynolds American Inc. 171,897 9,468
  Monsanto Co. 92,062 9,277
  Kimberly-Clark Corp. 75,424 8,629
  General Mills Inc. 124,076 7,690
  Activision Blizzard Inc. 144,877 6,254
  Constellation Brands Inc. Class A 35,147 5,874
  Archer-Daniels-Midland Co. 123,072 5,362
  Newell Brands Inc. 100,607 4,831
* Electronic Arts Inc. 60,286 4,734
*,^ Tesla Motors Inc. 23,418 4,630
  Tyson Foods Inc. Class A 61,692 4,371
  ConAgra Foods Inc. 90,456 4,358
* Monster Beverage Corp. 29,453 4,251
  Estee Lauder Cos. Inc. Class A 44,600 3,886
  VF Corp. 69,057 3,744
  Delphi Automotive plc 57,179 3,721
  Kellogg Co. 49,412 3,712
  Stanley Black & Decker Inc. 31,440 3,579
  Molson Coors Brewing Co. Class B 34,332 3,564
  Dr Pepper Snapple Group Inc. 39,373 3,457
  Clorox Co. 27,304 3,277
  Hershey Co. 31,864 3,265
  JM Smucker Co. 23,550 3,092
  Mead Johnson Nutrition Co. 38,592 2,886
  Genuine Parts Co. 31,734 2,875
  Church & Dwight Co. Inc. 54,168 2,614
  Whirlpool Corp. 16,159 2,421
* Mohawk Industries Inc. 13,125 2,419
  McCormick & Co. Inc. 24,442 2,343
  Coty Inc. Class A 100,432 2,309
  Brown-Forman Corp. Class B 49,328 2,277
  Mattel Inc. 71,904 2,267
  Harley-Davidson Inc. 37,608 2,144
  Hormel Foods Corp. 55,250 2,127
  DR Horton Inc. 71,991 2,076

 

93

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Campbell Soup Co. 38,163 2,074
  Coach Inc. 57,610 2,068
* WhiteWave Foods Co. Class A 37,322 2,034
  Hasbro Inc. 23,929 1,996
  Hanesbrands Inc. 74,700 1,920
* LKQ Corp. 57,788 1,865
  Lear Corp. 15,171 1,863
  Coca-Cola European Partners plc 47,940 1,843
  Bunge Ltd. 29,656 1,839
  Ingredion Inc. 13,900 1,823
  Snap-on Inc. 11,800 1,818
  PVH Corp. 16,388 1,753
* Michael Kors Holdings Ltd. 34,300 1,742
  Autoliv Inc. 17,798 1,723
  BorgWarner Inc. 46,323 1,660
  Goodyear Tire & Rubber Co. 55,809 1,620
  Lennar Corp. Class A 37,443 1,561
  Leucadia National Corp. 68,420 1,277
  Leggett & Platt Inc. 27,112 1,244
  Pinnacle Foods Inc. 24,168 1,243
*,^ Under Armour Inc. Class A 39,400 1,225
* lululemon athletica Inc. 20,898 1,196
* Herbalife Ltd. 19,400 1,177
* NVR Inc. 771 1,174
  Ralph Lauren Corp. Class A 11,959 1,173
* WABCO Holdings Inc. 11,900 1,172
  Harman International Industries Inc. 14,512 1,157
* Middleby Corp. 10,300 1,155
  PulteGroup Inc. 59,696 1,110
* TreeHouse Foods Inc. 11,931 1,044
  Gentex Corp. 60,678 1,026
* Post Holdings Inc. 13,172 1,004
  Polaris Industries Inc. 12,600 965
* Under Armour Inc. 37,061 958
* Edgewell Personal Care Co. 12,560 947
* Adient plc 19,660 895
* Toll Brothers Inc. 31,372 861
  Brunswick Corp. 18,800 818
* Take-Two Interactive Software Inc. 17,200 764
  Spectrum Brands Holdings Inc. 5,623 760
  Pool Corp. 8,200 759
  Thor Industries Inc. 9,400 746
  Carter's Inc. 8,600 743
* Hain Celestial Group Inc. 20,400 742
* Tempur Sealy International Inc. 12,511 676
* Tenneco Inc. 11,900 655
  Avon Products Inc. 95,425 625
  Nu Skin Enterprises Inc. Class A 10,100 623
  Energizer Holdings Inc. 13,060 607
  Snyder's-Lance Inc. 17,013 605
  B&G Foods Inc. 14,100 598
* Skechers U.S.A. Inc. Class A 28,300 595
  Flowers Foods Inc. 37,640 584
  Lancaster Colony Corp. 4,300 562
  CalAtlantic Group Inc. 16,888 546
  Visteon Corp. 7,700 544
  Tupperware Brands Corp. 9,000 536
* Vista Outdoor Inc. 13,262 513
* Blue Buffalo Pet Products Inc. 20,116 505
* Darling Ingredients Inc. 35,700 486
  Dana Inc. 30,300 469
  Fresh Del Monte Produce Inc. 7,695 464
  Drew Industries Inc. 5,100 457
*,^ Fitbit Inc. Class A 34,400 456

 

94

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Wolverine World Wide Inc. 21,300 455
* Helen of Troy Ltd. 5,300 432
* Zynga Inc. Class A 152,551 429
* Kate Spade & Co. 25,400 425
  Cooper Tire & Rubber Co. 11,400 419
* Steven Madden Ltd. 12,450 416
* Manitowoc Foodservice Inc. 26,300 397
  Vector Group Ltd. 18,868 395
  HNI Corp. 9,300 378
  Sanderson Farms Inc. 4,200 378
* TRI Pointe Group Inc. 33,600 364
  Herman Miller Inc. 12,600 350
* Deckers Outdoor Corp. 6,600 344
  Dean Foods Co. 17,950 328
* Dorman Products Inc. 4,900 315
  J&J Snack Foods Corp. 2,500 305
  Cosan Ltd. 32,600 290
  Pilgrim's Pride Corp. 12,900 282
  Columbia Sportswear Co. 4,800 272
  WD-40 Co. 2,500 267
* Meritage Homes Corp. 8,600 266
* Boston Beer Co. Inc. Class A 1,700 264
* American Axle & Manufacturing Holdings Inc. 14,400 258
  Steelcase Inc. Class A 19,200 256
* Fossil Group Inc. 9,100 248
  La-Z-Boy Inc. 10,500 246
  Universal Corp. 4,500 244
  Schweitzer-Mauduit International Inc. 6,300 233
  KB Home 15,600 227
  Oxford Industries Inc. 3,500 220
* Cooper-Standard Holding Inc. 2,400 219
*,^ GoPro Inc. Class A 17,103 219
  Interface Inc. Class A 13,600 216
^ Cal-Maine Foods Inc. 5,500 213
* Gentherm Inc. 7,500 211
* ACCO Brands Corp. 17,742 197
* G-III Apparel Group Ltd. 7,400 193
  Andersons Inc. 5,050 192
* Caesarstone Ltd. 5,400 191
  Knoll Inc. 8,700 188
  Callaway Golf Co. 16,997 174
  MDC Holdings Inc. 7,300 173
  Briggs & Stratton Corp. 8,700 162
* Select Comfort Corp. 8,400 161
  Winnebago Industries Inc. 5,600 158
* Adecoagro SA 14,300 157
* Wayfair Inc. 4,600 153
* National Beverage Corp. 3,000 142
* USANA Health Sciences Inc. 1,100 141
  Coca-Cola Bottling Co. Consolidated 1,000 141
  Tootsie Roll Industries Inc. 3,972 141
  Superior Industries International Inc. 5,500 135
  Ethan Allen Interiors Inc. 4,100 126
* Crocs Inc. 12,400 95
  National Presto Industries Inc. 1,000 87
* Modine Manufacturing Co. 5,400 59
* Federal-Mogul Holdings Corp. 4,100 38
* Vera Bradley Inc. 1,800 24
      470,965
Consumer Services (6.8%)    
* Amazon.com Inc. 80,219 63,359
  Home Depot Inc. 259,260 31,632
  Walt Disney Co. 336,447 31,185
  Comcast Corp. Class A 501,715 31,016

 

95

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Wal-Mart Stores Inc. 326,172 22,839
McDonald's Corp. 177,276 19,956
CVS Health Corp. 224,425 18,874
Starbucks Corp. 291,264 15,457
* Priceline Group Inc. 10,373 15,292
Walgreens Boots Alliance Inc. 182,522 15,100
Time Warner Inc. 162,663 14,475
Costco Wholesale Corp. 91,002 13,456
Lowe's Cos. Inc. 186,321 12,418
* Charter Communications Inc. Class A 43,560 10,885
* Netflix Inc. 85,149 10,633
TJX Cos. Inc. 138,682 10,228
Target Corp. 120,451 8,279
5 Yum! Brands Inc. 80,408 6,892
* eBay Inc. 212,560 6,060
McKesson Corp. 47,030 5,981
Kroger Co. 189,292 5,864
Twenty-First Century Fox Inc. Class A 219,238 5,759
* O'Reilly Automotive Inc. 19,901 5,263
Ross Stores Inc. 83,520 5,223
Sysco Corp. 107,029 5,150
Marriott International Inc. Class A 71,773 4,931
Las Vegas Sands Corp. 83,957 4,859
CBS Corp. Class B 84,686 4,795
Cardinal Health Inc. 66,765 4,586
* AutoZone Inc. 6,108 4,533
Carnival Corp. 80,640 3,959
Omnicom Group Inc. 49,246 3,931
* Liberty Global plc 122,567 3,898
Dollar General Corp. 54,681 3,778
* Dollar Tree Inc. 46,202 3,491
L Brands Inc. 45,150 3,259
Expedia Inc. 24,874 3,214
Nielsen Holdings plc 71,304 3,210
* Ulta Salon Cosmetics & Fragrance Inc. 12,400 3,017
Viacom Inc. Class B 72,104 2,708
AmerisourceBergen Corp. Class A 38,454 2,704
* DISH Network Corp. Class A 44,610 2,612
* MGM Resorts International 95,710 2,505
Twenty-First Century Fox Inc. 93,613 2,470
Royal Caribbean Cruises Ltd. 32,107 2,468
Hilton Worldwide Holdings Inc. 108,069 2,442
Macy's Inc. 63,976 2,334
Advance Auto Parts Inc. 15,600 2,185
* Chipotle Mexican Grill Inc. Class A 5,919 2,135
Best Buy Co. Inc. 54,772 2,131
* Sirius XM Holdings Inc. 510,940 2,131
* CarMax Inc. 41,092 2,052
* Liberty Global plc Class A 60,694 1,979
Foot Locker Inc. 28,833 1,925
Interpublic Group of Cos. Inc. 85,807 1,921
Tiffany & Co. 24,255 1,781
Whole Foods Market Inc. 62,928 1,780
Aramark 47,788 1,779
Darden Restaurants Inc. 27,432 1,777
* Liberty Interactive Corp. QVC Group Class A 95,047 1,757
Delta Air Lines Inc. 40,365 1,686
Wynn Resorts Ltd. 17,593 1,663
Kohl's Corp. 36,904 1,615
Nordstrom Inc. 30,135 1,567
Domino's Pizza Inc. 9,200 1,557
Wyndham Worldwide Corp. 22,898 1,508
* Discovery Communications Inc. 59,447 1,493
* TripAdvisor Inc. 22,068 1,423

 

96

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Signet Jewelers Ltd. 16,700 1,357
* Norwegian Cruise Line Holdings Ltd. 34,487 1,341
Southwest Airlines Co. 33,436 1,339
Vail Resorts Inc. 8,389 1,338
Tractor Supply Co. 21,300 1,334
Gap Inc. 48,209 1,330
Bed Bath & Beyond Inc. 32,800 1,326
* Liberty Media Corp-Liberty SiriusXM 38,274 1,270
FactSet Research Systems Inc. 7,900 1,222
KAR Auction Services Inc. 28,304 1,205
* Rite Aid Corp. 167,800 1,126
* Copart Inc. 21,100 1,107
American Airlines Group Inc. 27,266 1,107
* Burlington Stores Inc. 14,662 1,099
H&R Block Inc. 47,442 1,090
Six Flags Entertainment Corp. 19,500 1,085
Service Corp. International 41,000 1,050
Staples Inc. 138,901 1,028
* ServiceMaster Global Holdings Inc. 28,598 1,024
* Live Nation Entertainment Inc. 36,800 1,018
* United Continental Holdings Inc. 17,400 978
Scripps Networks Interactive Inc. Class A 15,065 970
Dun & Bradstreet Corp. 7,730 965
Casey's General Stores Inc. 8,300 938
MercadoLibre Inc. 5,500 924
Sabre Corp. 35,754 924
* Panera Bread Co. Class A 4,800 916
* VCA Inc. 14,600 897
TEGNA Inc. 45,477 892
Cinemark Holdings Inc. 22,200 884
News Corp. Class A 69,770 846
Dick's Sporting Goods Inc. 15,100 840
Dunkin' Brands Group Inc. 15,418 746
CST Brands Inc. 15,423 741
* Sally Beauty Holdings Inc. 28,400 737
* Sprouts Farmers Market Inc. 31,694 702
* Madison Square Garden Co. Class A 4,233 701
Rollins Inc. 22,650 698
Williams-Sonoma Inc. 14,100 652
Cracker Barrel Old Country Store Inc. 4,700 649
International Game Technology plc 22,478 646
* Liberty Media Corp-Liberty SiriusXM 19,287 642
Tribune Media Co. Class A 19,200 626
American Eagle Outfitters Inc. 36,143 616
* Avis Budget Group Inc. 19,000 615
* Hertz Global Holdings Inc. 18,081 599
* Urban Outfitters Inc. 17,917 599
AMERCO 1,846 595
* AMC Networks Inc. Class A 12,134 594
Brinker International Inc. 12,000 591
* AutoNation Inc. 13,466 591
Jack in the Box Inc. 6,300 590
* Bright Horizons Family Solutions Inc. 8,754 586
* Buffalo Wild Wings Inc. 4,000 583
Cable One Inc. 992 572
Dolby Laboratories Inc. Class A 11,700 557
* GrubHub Inc. 14,600 556
* Discovery Communications Inc. Class A 21,241 555
* Murphy USA Inc. 7,830 539
* Cabela's Inc. 8,700 536
* Starz 16,987 534
* Beacon Roofing Supply Inc. 12,498 525
* JC Penney Co. Inc. 60,834 523
* Liberty Global PLC LiLAC Class A 18,690 517

 

97

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
GameStop Corp. Class A 20,916 503
* Michaels Cos. Inc. 21,267 494
Alaska Air Group Inc. 6,700 484
* Liberty Global PLC LiLAC 17,419 481
* Yelp Inc. Class A 14,577 476
Graham Holdings Co. Class B 999 475
Wendy's Co. 42,028 456
* Pandora Media Inc. 40,000 453
John Wiley & Sons Inc. Class A 8,700 449
Cheesecake Factory Inc. 8,400 447
Texas Roadhouse Inc. Class A 10,800 438
Big Lots Inc. 10,000 434
News Corp. Class B 33,640 417
Papa John's International Inc. 5,500 415
Lions Gate Entertainment Corp. 20,185 411
Hillenbrand Inc. 13,500 410
PriceSmart Inc. 4,500 409
Penske Automotive Group Inc. 9,100 407
* United Natural Foods Inc. 9,633 402
Chemed Corp. 2,800 396
Bloomin' Brands Inc. 22,435 388
* Grand Canyon Education Inc. 8,700 380
Lithia Motors Inc. Class A 4,400 377
Churchill Downs Inc. 2,700 367
* ILG Inc. 22,338 366
Travelport Worldwide Ltd. 25,600 361
Sinclair Broadcast Group Inc. Class A 14,400 361
* WebMD Health Corp. 7,300 359
Meredith Corp. 7,900 358
* Five Below Inc. 9,500 357
* Media General Inc. 21,051 355
Matthews International Corp. Class A 5,919 355
* Groupon Inc. Class A 88,100 352
Sotheby's 9,700 348
New York Times Co. Class A 31,500 343
* Acxiom Corp. 14,400 339
Regal Entertainment Group Class A 15,700 338
* Shutterfly Inc. 6,800 333
Aaron's Inc. 13,400 331
Office Depot Inc. 104,867 330
Monro Muffler Brake Inc. 6,000 330
Nexstar Broadcasting Group Inc. Class A 6,600 322
Core-Mark Holding Co. Inc. 9,000 318
* JetBlue Airways Corp. 17,812 311
* Liberty TripAdvisor Holdings Inc. Class A 13,867 308
* Houghton Mifflin Harcourt Co. 24,100 305
Group 1 Automotive Inc. 4,900 295
Chico's FAS Inc. 25,100 293
DSW Inc. Class A 14,020 291
HSN Inc. 7,600 287
* comScore Inc. 9,866 284
* Stamps.com Inc. 2,900 283
* Hyatt Hotels Corp. Class A 5,549 282
* Boyd Gaming Corp. 15,700 280
Morningstar Inc. 3,900 275
Time Inc. 21,002 273
Choice Hotels International Inc. 5,600 271
Dillard's Inc. Class A 4,400 270
DineEquity Inc. 3,400 269
Extended Stay America Inc. 18,221 261
DeVry Education Group Inc. 11,336 257
* Dave & Buster's Entertainment Inc. 6,200 256
* Belmond Ltd. Class A 19,600 254
Scholastic Corp. 6,500 249

 

98

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
* Express Inc. 20,600 248
Sonic Corp. 10,700 245
* MSG Networks Inc. 12,700 243
Marriott Vacations Worldwide Corp. 3,763 239
* Arcos Dorados Holdings Inc. Class A 38,800 239
* Asbury Automotive Group Inc. 4,600 234
Caleres Inc. 9,200 230
Bob Evans Farms Inc. 5,500 227
* Genesco Inc. 4,200 226
Weis Markets Inc. 3,900 217
Abercrombie & Fitch Co. 14,680 214
SpartanNash Co. 7,500 210
Children's Place Inc. 2,700 205
SeaWorld Entertainment Inc. 14,500 203
* SUPERVALU Inc. 47,097 202
* Liberty Media Corp-Liberty Media 7,368 202
Finish Line Inc. Class A 10,200 201
Buckle Inc. 9,500 198
* Spirit Airlines Inc. 4,100 197
* Diplomat Pharmacy Inc. 8,136 189
* Popeyes Louisiana Kitchen Inc. 3,500 187
GNC Holdings Inc. Class A 13,900 187
Gannett Co. Inc. 23,988 186
Copa Holdings SA Class A 2,000 184
Capella Education Co. 2,500 183
Sonic Automotive Inc. Class A 10,200 183
* Ascena Retail Group Inc. 36,762 180
* Hibbett Sports Inc. 4,600 179
* Francesca's Holdings Corp. 11,100 178
National CineMedia Inc. 12,700 176
Cato Corp. Class A 5,900 175
Tailored Brands Inc. 11,000 174
* Herc Holdings Inc. 5,760 173
* Performance Food Group Co. 7,200 173
* Penn National Gaming Inc. 13,100 169
Guess? Inc. 12,400 167
* EW Scripps Co. Class A 12,500 166
* Restoration Hardware Holdings Inc. 5,700 165
* Strayer Education Inc. 2,800 164
* Apollo Education Group Inc. 18,675 164
* Liberty Media Corp-Liberty Media Class A 5,771 161
* Fiesta Restaurant Group Inc. 5,900 156
* Scientific Games Corp. Class A 12,481 155
* BJ's Restaurants Inc. 4,200 152
* Barnes & Noble Education Inc. 15,824 147
* Vitamin Shoppe Inc. 5,800 145
ClubCorp Holdings Inc. 12,500 144
* Virgin America Inc. 2,600 141
* La Quinta Holdings Inc. 14,106 141
International Speedway Corp. Class A 4,200 138
Allegiant Travel Co. Class A 1,000 138
Barnes & Noble Inc. 13,300 137
* SolarCity Corp. 6,900 135
* Pinnacle Entertainment Inc. 10,200 121
* Regis Corp. 9,500 120
* Rush Enterprises Inc. Class A 4,400 115
* Red Robin Gourmet Burgers Inc. 2,500 115
Rent-A-Center Inc. 11,100 112
* FTD Cos. Inc. 5,200 105
* Hawaiian Holdings Inc. 2,300 104
* Biglari Holdings Inc. 225 99
New Media Investment Group Inc. 6,698 96
* Liberty Media Corp-Liberty Braves 5,418 90
* Caesars Entertainment Corp. 11,200 80

 

99

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* Bankrate Inc. 8,600 67
  Pier 1 Imports Inc. 15,000 65
*,^ Sears Holdings Corp. 5,794 64
* Lumber Liquidators Holdings Inc. 4,000 62
* TrueCar Inc. 6,400 62
*,^ Weight Watchers International Inc. 5,700 59
  Fred's Inc. Class A 5,400 49
* RetailMeNot Inc. 4,700 43
* Lands' End Inc. 2,691 42
* Liberty Media Corp-Liberty Braves 2,308 39
  Speedway Motorsports Inc. 1,200 23
      593,391
Financials (10.0%)    
  JPMorgan Chase & Co. 755,941 52,356
  Wells Fargo & Co. 1,058,311 48,693
* Berkshire Hathaway Inc. Class B 247,977 35,783
  Bank of America Corp. 2,152,467 35,516
  Visa Inc. Class A 394,782 32,573
  Citigroup Inc. 607,047 29,836
  Mastercard Inc. Class A 203,250 21,752
* Berkshire Hathaway Inc. Class A 97 20,923
  US Bancorp 359,403 16,087
  Goldman Sachs Group Inc. 80,633 14,372
  American International Group Inc. 223,051 13,762
  Chubb Ltd. 96,178 12,215
  Simon Property Group Inc. 64,928 12,074
  American Express Co. 164,864 10,950
  American Tower Corporation 85,630 10,035
  Morgan Stanley 297,516 9,988
  PNC Financial Services Group Inc. 102,109 9,762
  Bank of New York Mellon Corp. 225,224 9,745
  BlackRock Inc. 25,654 8,754
  MetLife Inc. 184,714 8,674
  Prudential Financial Inc. 91,703 7,775
  Charles Schwab Corp. 232,986 7,386
  Capital One Financial Corp. 97,041 7,185
  Marsh & McLennan Cos. Inc. 106,025 6,721
  S&P Global Inc. 55,027 6,705
  Intercontinental Exchange Inc. 24,748 6,692
  CME Group Inc. 66,609 6,668
  BB&T Corp. 169,458 6,643
  Travelers Cos. Inc. 59,569 6,444
  Public Storage 29,983 6,408
  Crown Castle International Corp. 70,288 6,395
  Aon plc 53,557 5,936
  State Street Corp. 81,583 5,728
  Prologis Inc. 109,253 5,699
  Aflac Inc. 80,069 5,514
  Equinix Inc. 14,703 5,253
  Allstate Corp. 77,275 5,247
  Welltower Inc. 74,268 5,090
  Synchrony Financial 174,301 4,983
  Ventas Inc. 72,961 4,943
  AvalonBay Communities Inc. 28,565 4,890
  Discover Financial Services 84,657 4,769
  SunTrust Banks Inc. 103,826 4,696
  Weyerhaeuser Co. 156,457 4,683
  Equity Residential 75,497 4,662
  Moody's Corp. 40,003 4,021
  Boston Properties Inc. 32,001 3,855
  M&T Bank Corp. 31,129 3,820
  Willis Towers Watson plc 28,591 3,600
  Hartford Financial Services Group Inc. 80,984 3,572
  Progressive Corp. 111,517 3,514

 

100

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Northern Trust Corp. 47,421 3,434
Fifth Third Bancorp 155,000 3,373
HCP Inc. 97,127 3,327
Principal Financial Group Inc. 60,325 3,294
KeyCorp 230,110 3,249
Realty Income Corp. 53,475 3,168
* IHS Markit Ltd. 85,887 3,160
T. Rowe Price Group Inc. 49,308 3,156
Digital Realty Trust Inc. 32,811 3,066
Equifax Inc. 24,497 3,037
Vornado Realty Trust 32,649 3,029
Ameriprise Financial Inc. 33,688 2,978
Essex Property Trust Inc. 13,718 2,937
Citizens Financial Group Inc. 110,489 2,910
Regions Financial Corp. 269,366 2,885
Franklin Resources Inc. 79,796 2,686
General Growth Properties Inc. 104,343 2,603
Huntington Bancshares Inc. 230,151 2,440
Host Hotels & Resorts Inc. 155,604 2,409
Loews Corp. 55,787 2,400
Invesco Ltd. 85,448 2,400
Lincoln National Corp. 48,582 2,385
Kimco Realty Corp. 88,726 2,361
First Republic Bank 31,597 2,352
* Markel Corp. 2,645 2,321
Annaly Capital Management Inc. 211,085 2,187
Federal Realty Investment Trust 14,850 2,157
Macerich Co. 29,946 2,120
SL Green Realty Corp. 21,159 2,078
FNF Group 57,302 2,058
Western Union Co. 101,734 2,042
XL Group Ltd. 58,720 2,038
Cincinnati Financial Corp. 28,671 2,029
UDR Inc. 56,687 1,982
VEREIT Inc. 204,778 1,925
* Arch Capital Group Ltd. 24,210 1,888
Duke Realty Corp. 71,252 1,863
Ally Financial Inc. 102,243 1,848
* Liberty Broadband Corp. 27,544 1,836
Everest Re Group Ltd. 8,946 1,821
Extra Space Storage Inc. 24,500 1,792
Arthur J Gallagher & Co. 37,042 1,787
Alexandria Real Estate Equities Inc. 16,471 1,776
Unum Group 49,603 1,756
Nasdaq Inc. 27,100 1,734
Comerica Inc. 33,234 1,731
Iron Mountain Inc. 50,674 1,709
* Alleghany Corp. 3,247 1,676
Brixmor Property Group Inc. 63,957 1,626
MSCI Inc. Class A 20,100 1,612
* E*TRADE Financial Corp. 56,800 1,599
Regency Centers Corp. 22,086 1,592
CIT Group Inc. 42,733 1,552
* CBRE Group Inc. Class A 60,198 1,551
* Affiliated Managers Group Inc. 11,483 1,523
TD Ameritrade Holding Corp. 43,631 1,493
Torchmark Corp. 23,425 1,485
Mid-America Apartment Communities Inc. 15,944 1,479
Camden Property Trust 18,148 1,478
New York Community Bancorp Inc. 101,898 1,463
Apartment Investment & Management Co. 33,057 1,457
Raymond James Financial Inc. 23,900 1,437
Reinsurance Group of America Inc. Class A 13,300 1,435
American Campus Communities Inc. 27,500 1,433

 

101

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
National Retail Properties Inc. 31,105 1,419
AGNC Investment Corp. 70,094 1,406
Zions Bancorporation 43,496 1,401
* Signature Bank 11,400 1,374
Kilroy Realty Corp. 19,118 1,373
* SVB Financial Group 11,060 1,352
Voya Financial Inc. 43,181 1,319
Liberty Property Trust 31,198 1,261
Equity LifeStyle Properties Inc. 16,400 1,244
Endurance Specialty Holdings Ltd. 12,938 1,190
WR Berkley Corp. 20,776 1,186
East West Bancorp Inc. 29,800 1,177
American Financial Group Inc. 15,700 1,170
Omega Healthcare Investors Inc. 36,559 1,164
SEI Investments Co. 25,817 1,144
Spirit Realty Capital Inc. 95,599 1,139
* Liberty Ventures Class A 28,453 1,135
WP Carey Inc. 18,443 1,120
Lamar Advertising Co. Class A 17,527 1,112
Starwood Property Trust Inc. 49,605 1,103
CBOE Holdings Inc. 17,100 1,081
Douglas Emmett Inc. 29,400 1,073
Senior Housing Properties Trust 50,303 1,070
Forest City Realty Trust Inc. Class A 49,546 1,070
People's United Financial Inc. 65,124 1,058
MarketAxess Holdings Inc. 6,900 1,040
Highwoods Properties Inc. 20,900 1,037
Gaming and Leisure Properties Inc. 31,559 1,036
Assurant Inc. 12,638 1,018
Axis Capital Holdings Ltd. 17,862 1,018
RenaissanceRe Holdings Ltd. 8,131 1,011
PacWest Bancorp 23,269 1,010
DDR Corp. 65,500 1,001
CubeSmart 38,300 998
Sun Communities Inc. 12,500 962
EPR Properties 13,200 960
Commerce Bancshares Inc. 18,942 944
Hospitality Properties Trust 34,268 938
Communications Sales & Leasing Inc. 32,668 929
Taubman Centers Inc. 12,713 921
Jones Lang LaSalle Inc. 9,400 910
First American Financial Corp. 23,000 898
* Howard Hughes Corp. 8,100 890
Brown & Brown Inc. 24,028 886
Navient Corp. 68,767 879
Healthcare Trust of America Inc. Class A 28,646 877
Assured Guaranty Ltd. 29,300 876
Cullen/Frost Bankers Inc. 11,500 874
DCT Industrial Trust Inc. 18,525 866
Medical Properties Trust Inc. 61,950 864
Eaton Vance Corp. 24,500 859
Weingarten Realty Investors 23,500 851
STORE Capital Corp. 30,781 840
Synovus Financial Corp. 25,185 833
Old Republic International Corp. 49,267 831
White Mountains Insurance Group Ltd. 1,000 830
American Homes 4 Rent Class A 39,220 828
Gramercy Property Trust 88,190 813
Lazard Ltd. Class A 22,000 802
Life Storage Inc. 9,907 799
* Equity Commonwealth 26,400 798
Post Properties Inc. 11,860 780
Webster Financial Corp. 19,300 780
Investors Bancorp Inc. 63,531 779

 

102

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Retail Properties of America Inc. 49,800 775
Healthcare Realty Trust Inc. 24,300 775
Allied World Assurance Co. Holdings AG 18,000 774
Prosperity Bancshares Inc. 13,800 765
Bank of the Ozarks Inc. 20,637 763
Hudson Pacific Properties Inc. 22,631 761
PrivateBancorp Inc. 16,800 760
First Horizon National Corp. 48,981 755
New Residential Investment Corp. 52,159 728
CyrusOne Inc. 16,287 727
Popular Inc. 19,998 726
Tanger Factory Outlet Centers Inc. 20,500 713
Realogy Holdings Corp. 30,990 709
Umpqua Holdings Corp. 46,233 706
* Western Alliance Bancorp 18,900 706
Rayonier Inc. 25,900 695
Validus Holdings Ltd. 13,465 688
Hanover Insurance Group Inc. 8,800 670
ProAssurance Corp. 12,516 667
Education Realty Trust Inc. 15,417 657
DuPont Fabros Technology Inc. 16,000 653
* SLM Corp. 92,267 650
Acadia Realty Trust 19,200 647
Bank of Hawaii Corp. 8,600 646
First Industrial Realty Trust Inc. 24,351 643
Chemical Financial Corp. 14,798 636
Outfront Media Inc. 28,915 622
National Health Investors Inc. 8,200 621
Radian Group Inc. 45,300 616
Associated Banc-Corp 30,100 611
Two Harbors Investment Corp. 73,200 610
Corporate Office Properties Trust 22,810 609
Piedmont Office Realty Trust Inc. Class A 29,600 606
Apple Hospitality REIT Inc. 33,300 600
Aspen Insurance Holdings Ltd. 12,400 598
Legg Mason Inc. 20,607 592
Chimera Investment Corp. 37,320 585
United Bankshares Inc. 15,402 581
Hancock Holding Co. 17,300 580
* Enstar Group Ltd. 3,432 579
Wintrust Financial Corp. 10,700 577
BankUnited Inc. 19,801 577
Blackstone Mortgage Trust Inc. Class A 18,901 571
* Texas Capital Bancshares Inc. 9,600 569
Brandywine Realty Trust 36,464 565
Valley National Bancorp 56,984 562
EastGroup Properties Inc. 8,200 557
Home BancShares Inc. 25,840 556
Columbia Property Trust Inc. 26,000 548
* MGIC Investment Corp. 67,000 547
Cousins Properties Inc. 70,322 546
LaSalle Hotel Properties 23,000 546
Equity One Inc. 19,160 546
NorthStar Asset Management Group Inc. 39,748 545
IBERIABANK Corp. 8,290 544
Physicians Realty Trust 27,396 542
Sunstone Hotel Investors Inc. 43,089 541
Washington REIT 18,200 535
MFA Financial Inc. 72,900 533
FNB Corp. 40,675 532
CoreSite Realty Corp. 7,200 531
UMB Financial Corp. 8,500 527
TCF Financial Corp. 36,788 526
RLJ Lodging Trust 26,600 525

 

103

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Primerica Inc. 9,500 520
Mack-Cali Realty Corp. 20,200 519
NorthStar Realty Finance Corp. 35,445 515
Federated Investors Inc. Class B 18,679 504
CNO Financial Group Inc. 33,200 501
Lexington Realty Trust 49,300 500
Empire State Realty Trust Inc. 25,511 499
Washington Federal Inc. 18,300 499
* Liberty Broadband Corp. Class A 7,646 497
Fulton Financial Corp. 33,300 496
* Stifel Financial Corp. 12,600 493
Ryman Hospitality Properties Inc. 9,737 491
Sterling Bancorp 26,900 484
LTC Properties Inc. 9,600 481
Urban Edge Properties 18,574 479
Paramount Group Inc. 30,700 477
Retail Opportunity Investments Corp. 23,400 471
Janus Capital Group Inc. 36,642 470
Interactive Brokers Group Inc. 14,100 468
Kite Realty Group Trust 18,600 464
First Financial Bankshares Inc. 12,800 463
* FirstCash Inc. 9,696 458
PS Business Parks Inc. 4,100 450
* Genworth Financial Inc. Class A 108,274 448
Pinnacle Financial Partners Inc. 8,667 447
* Zillow Group Inc. 13,313 444
Care Capital Properties Inc. 16,715 444
Glacier Bancorp Inc. 15,700 444
* Hilltop Holdings Inc. 17,832 440
Cathay General Bancorp 14,600 437
QTS Realty Trust Inc. Class A 9,500 437
LPL Financial Holdings Inc. 14,100 437
MB Financial Inc. 11,900 433
Colony Capital Inc. Class A 22,764 433
Hope Bancorp Inc. 26,754 432
RLI Corp. 7,600 424
Columbia Banking System Inc. 12,700 419
Evercore Partners Inc. Class A 7,800 419
Washington Prime Group Inc. 39,071 410
* Zillow Group Inc. Class A 12,363 408
* Blackhawk Network Holdings Inc. 11,808 407
Selective Insurance Group Inc. 11,000 406
DiamondRock Hospitality Co. 43,400 397
Kennedy-Wilson Holdings Inc. 19,200 395
CBL & Associates Properties Inc. 36,800 394
BGC Partners Inc. Class A 45,084 387
Community Bank System Inc. 8,100 382
Invesco Mortgage Capital Inc. 25,500 381
BancorpSouth Inc. 16,100 378
Old National Bancorp 25,646 377
AmTrust Financial Services Inc. 14,020 370
Mercury General Corp. 6,755 368
GEO Group Inc. 15,332 367
Great Western Bancorp Inc. 11,300 364
Alexander & Baldwin Inc. 8,700 364
Pebblebrook Hotel Trust 14,960 363
Capitol Federal Financial Inc. 24,500 359
LegacyTexas Financial Group Inc. 10,400 356
Ramco-Gershenson Properties Trust 20,500 355
Argo Group International Holdings Ltd. 6,355 353
* HRG Group Inc. 23,225 349
First Citizens BancShares Inc. Class A 1,200 349
Select Income REIT 14,089 349
South State Corp. 4,700 345

 

104

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
EverBank Financial Corp. 17,833 344
Trustmark Corp. 12,400 343
Xenia Hotels & Resorts Inc. 21,800 340
BOK Financial Corp. 4,700 334
International Bancshares Corp. 10,800 333
* PRA Group Inc. 10,400 332
* Credit Acceptance Corp. 1,783 328
Sabra Health Care REIT Inc. 14,039 327
Monogram Residential Trust Inc. 30,800 325
* Eagle Bancorp Inc. 6,500 319
CYS Investments Inc. 37,000 319
American Equity Investment Life Holding Co. 17,784 319
American Assets Trust Inc. 8,000 318
Northwest Bancshares Inc. 20,100 316
American National Insurance Co. 2,700 316
STAG Industrial Inc. 13,708 316
* OneMain Holdings Inc. Class A 11,152 316
Financial Engines Inc. 11,400 315
Government Properties Income Trust 16,319 312
TFS Financial Corp. 17,500 312
Corrections Corp. of America 21,507 311
Provident Financial Services Inc. 13,600 309
Potlatch Corp. 8,000 307
Banner Corp. 6,700 302
* Essent Group Ltd. 11,300 299
Colony Starwood Homes 10,228 297
New York REIT Inc. 31,300 295
Horace Mann Educators Corp. 8,200 295
* Santander Consumer USA Holdings Inc. 24,100 294
First Midwest Bancorp Inc. 14,900 288
Towne Bank 11,600 288
Westamerica Bancorporation 5,800 287
NBT Bancorp Inc. 8,500 287
* HealthEquity Inc. 8,600 286
CVB Financial Corp. 16,800 282
WesBanco Inc. 8,513 280
Rexford Industrial Realty Inc. 13,300 280
Kemper Corp. 7,400 278
Capstead Mortgage Corp. 29,100 277
Renasant Corp. 8,089 273
Astoria Financial Corp. 18,500 271
Beneficial Bancorp Inc. 18,649 270
Independent Bank Corp. 4,900 270
Chesapeake Lodging Trust 12,400 269
Redwood Trust Inc. 19,080 268
First Financial Bancorp 12,300 264
Brookline Bancorp Inc. 20,247 259
Tompkins Financial Corp. 3,263 259
Safety Insurance Group Inc. 3,784 256
Pennsylvania REIT 13,014 254
NRG Yield Inc. 16,296 251
Waddell & Reed Financial Inc. Class A 15,900 250
ServisFirst Bancshares Inc. 4,600 249
Boston Private Financial Holdings Inc. 18,700 246
Park National Corp. 2,500 242
Navigators Group Inc. 2,600 242
Simmons First National Corp. Class A 4,900 242
* FNFV Group 19,971 241
PennyMac Mortgage Investment Trust 15,600 237
* MBIA Inc. 30,300 233
National General Holdings Corp. 11,300 232
* BofI Holding Inc. 12,100 225
Franklin Street Properties Corp. 19,400 224
Employers Holdings Inc. 7,100 223

 

105

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Community Trust Bancorp Inc. 6,030 220
Saul Centers Inc. 3,632 220
Universal Health Realty Income Trust 3,717 218
HFF Inc. Class A 8,100 216
Artisan Partners Asset Management Inc. Class A 8,100 211
New Senior Investment Group Inc. 20,051 209
Infinity Property & Casualty Corp. 2,500 205
TrustCo Bank Corp. NY 29,100 204
FelCor Lodging Trust Inc. 31,486 201
Four Corners Property Trust Inc. 9,914 199
S&T Bancorp Inc. 6,300 198
* Green Dot Corp. Class A 8,826 196
* Black Knight Financial Services Inc. Class A 4,900 193
CNA Financial Corp. 5,100 186
Stock Yards Bancorp Inc. 5,237 179
* St. Joe Co. 10,033 178
Maiden Holdings Ltd. 12,600 172
Investors Real Estate Trust 27,900 169
Oritani Financial Corp. 10,400 163
First Commonwealth Financial Corp. 15,900 162
Greenhill & Co. Inc. 6,800 159
* iStar Inc. 14,300 159
* Parkway Inc. 8,790 158
United Fire Group Inc. 4,000 158
Ashford Hospitality Trust Inc. 26,806 156
Alexander's Inc. 400 154
* Third Point Reinsurance Ltd. 13,000 153
Cohen & Steers Inc. 4,000 149
* Piper Jaffray Cos. 2,600 147
WisdomTree Investments Inc. 16,700 143
Dime Community Bancshares Inc. 8,800 143
* First BanCorp 27,000 138
Hersha Hospitality Trust Class A 7,475 133
Urstadt Biddle Properties Inc. Class A 6,057 130
ARMOUR Residential REIT Inc. 5,712 129
* KCG Holdings Inc. Class A 9,969 127
FBL Financial Group Inc. Class A 2,000 127
1st Source Corp. 3,630 125
City Holding Co. 2,400 125
Nelnet Inc. Class A 3,200 125
Cedar Realty Trust Inc. 18,376 124
Sandy Spring Bancorp Inc. 3,700 117
Getty Realty Corp. 5,011 114
Investment Technology Group Inc. 7,400 113
Altisource Residential Corp. 10,800 109
BancFirst Corp. 1,500 108
* Greenlight Capital Re Ltd. Class A 4,900 97
NorthStar Realty Europe Corp. 9,815 97
Virtus Investment Partners Inc. 900 97
Flushing Financial Corp. 4,500 96
* Forestar Group Inc. 8,500 93
* Nationstar Mortgage Holdings Inc. 6,104 92
Washington Trust Bancorp Inc. 2,000 92
Anworth Mortgage Asset Corp. 18,500 91
* Encore Capital Group Inc. 4,200 83
* Marcus & Millichap Inc. 3,300 77
State Auto Financial Corp. 3,300 76
NRG Yield Inc. Class A 5,100 75
InfraREIT Inc. 3,500 58
First Financial Corp. 1,448 58
* Tejon Ranch Co. 2,500 56
National Interstate Corp. 1,706 55
* LendingClub Corp. 10,200 50
RMR Group Inc. Class A 1,463 50

 

106

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
* Altisource Portfolio Solutions SA 1,500 39
Republic Bancorp Inc. Class A 1,200 38
    882,553
Health Care (6.5%)    
Johnson & Johnson 574,601 66,648
Pfizer Inc. 1,270,446 40,286
Merck & Co. Inc. 581,600 34,152
UnitedHealth Group Inc. 200,119 28,283
Medtronic plc 290,873 23,857
Amgen Inc. 157,502 22,233
Gilead Sciences Inc. 279,907 20,610
AbbVie Inc. 338,734 18,895
Bristol-Myers Squibb Co. 349,514 17,794
* Allergan plc 83,080 17,359
* Celgene Corp. 165,368 16,897
Eli Lilly & Co. 206,017 15,212
* Biogen Inc. 45,950 12,874
Thermo Fisher Scientific Inc. 83,185 12,231
Abbott Laboratories 308,487 12,105
* Express Scripts Holding Co. 129,975 8,760
Aetna Inc. 73,722 7,914
Becton Dickinson and Co. 44,550 7,480
Stryker Corp. 58,623 6,762
Anthem Inc. 55,305 6,739
Cigna Corp. 53,900 6,405
* Boston Scientific Corp. 283,572 6,239
* Alexion Pharmaceuticals Inc. 46,929 6,124
* Regeneron Pharmaceuticals Inc. 17,000 5,865
Baxter International Inc. 113,534 5,403
* Intuitive Surgical Inc. 8,017 5,388
Humana Inc. 31,094 5,334
Zoetis Inc. 104,408 4,991
* HCA Holdings Inc. 61,301 4,691
St. Jude Medical Inc. 59,402 4,624
Zimmer Biomet Holdings Inc. 41,482 4,372
* Edwards Lifesciences Corp. 44,300 4,218
* Illumina Inc. 30,641 4,171
* Vertex Pharmaceuticals Inc. 51,746 3,925
* Mylan NV 95,046 3,469
CR Bard Inc. 15,629 3,386
* Incyte Corp. 35,117 3,054
Dentsply Sirona Inc. 49,306 2,839
* BioMarin Pharmaceutical Inc. 34,889 2,809
* Laboratory Corp. of America Holdings 21,492 2,694
* Henry Schein Inc. 17,391 2,595
* DaVita Inc. 43,186 2,532
Quest Diagnostics Inc. 29,974 2,441
Perrigo Co. plc 27,763 2,310
Universal Health Services Inc. Class B 18,928 2,285
* Waters Corp. 16,125 2,244
* Centene Corp. 34,686 2,167
* Quintiles IMS Holdings Inc. 29,764 2,135
* Hologic Inc. 59,200 2,132
* IDEXX Laboratories Inc. 18,900 2,025
ResMed Inc. 29,800 1,781
* Varian Medical Systems Inc. 19,590 1,777
Cooper Cos. Inc. 9,895 1,742
* Alkermes plc 28,600 1,442
* Mallinckrodt plc 22,522 1,335
Teleflex Inc. 9,300 1,331
* Jazz Pharmaceuticals plc 11,300 1,237
* MEDNAX Inc. 19,800 1,213
STERIS plc 18,006 1,203
West Pharmaceutical Services Inc. 15,200 1,156

 

107

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
* United Therapeutics Corp. 9,600 1,153
* DexCom Inc. 14,600 1,142
* Seattle Genetics Inc. 21,900 1,132
* Align Technology Inc. 12,700 1,091
* WellCare Health Plans Inc. 9,000 1,022
* Endo International plc 45,689 857
* ABIOMED Inc. 8,000 840
* TESARO Inc. 6,855 829
* Cepheid 15,500 820
* Neurocrine Biosciences Inc. 18,100 792
* Envision Healthcare Holdings Inc. 39,634 784
HealthSouth Corp. 19,520 784
Bio-Techne Corp. 7,500 780
Patterson Cos. Inc. 17,713 757
* Charles River Laboratories International Inc. 9,800 744
Hill-Rom Holdings Inc. 13,300 737
* Alere Inc. 15,300 684
* Team Health Holdings Inc. 15,600 668
* Ionis Pharmaceuticals Inc. 25,700 668
* Amsurg Corp. 11,031 659
* PAREXEL International Corp. 11,200 652
* NuVasive Inc. 10,600 633
* OPKO Health Inc. 65,800 620
* Bio-Rad Laboratories Inc. Class A 3,900 616
* Catalent Inc. 26,022 594
Healthcare Services Group Inc. 15,300 566
* Alnylam Pharmaceuticals Inc. 15,500 552
* Horizon Pharma plc 32,224 539
* China Biologic Products Inc. 4,500 531
* Acadia Healthcare Co. Inc. 14,769 531
* Brookdale Senior Living Inc. 36,473 526
* Exelixis Inc. 46,800 496
* Masimo Corp. 9,000 495
* VWR Corp. 17,961 494
* ACADIA Pharmaceuticals Inc. 21,100 492
* LifePoint Health Inc. 8,200 491
* Integra LifeSciences Holdings Corp. 6,157 490
* Molina Healthcare Inc. 8,800 479
* INC Research Holdings Inc. Class A 10,437 477
* Prestige Brands Holdings Inc. 10,500 475
* Akorn Inc. 19,800 474
* LivaNova plc 8,297 470
* Wright Medical Group NV 21,232 465
* Medicines Co. 14,000 461
* Ultragenyx Pharmaceutical Inc. 7,600 448
Cantel Medical Corp. 6,100 434
* Insulet Corp. 11,700 434
Bruker Corp. 21,100 432
* ICU Medical Inc. 3,000 418
* Nevro Corp. 4,500 414
* Sarepta Therapeutics Inc. 10,301 404
* Ligand Pharmaceuticals Inc. 4,200 402
* Neogen Corp. 7,600 400
* Tenet Healthcare Corp. 20,250 399
* HMS Holdings Corp. 18,900 398
* Kite Pharma Inc. 8,800 390
Owens & Minor Inc. 12,000 389
* Bluebird Bio Inc. 7,799 372
* Intercept Pharmaceuticals Inc. 3,000 371
* Haemonetics Corp. 11,000 367
* Exact Sciences Corp. 23,200 361
* Juno Therapeutics Inc. 14,700 357
* ARIAD Pharmaceuticals Inc. 40,441 353
* Nektar Therapeutics Class A 28,400 352

 

108

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* Ironwood Pharmaceuticals Inc. Class A 27,300 349
* PRA Health Sciences Inc. 6,400 341
* Halyard Health Inc. 10,205 330
* Radius Health Inc. 7,500 322
* Globus Medical Inc. 14,500 321
* Impax Laboratories Inc. 15,200 306
* Intrexon Corp. 11,700 305
* NxStage Medical Inc. 13,400 305
*,^ Taro Pharmaceutical Industries Ltd. 3,000 305
* Sage Therapeutics Inc. 6,817 297
* Amedisys Inc. 6,600 286
* Magellan Health Inc. 5,500 283
* Select Medical Holdings Corp. 21,700 282
* Natus Medical Inc. 6,900 272
* Omnicell Inc. 8,300 271
* Surgical Care Affiliates Inc. 6,000 257
* Depomed Inc. 11,400 255
  Analogic Corp. 3,000 246
* FibroGen Inc. 14,700 243
* Pacira Pharmaceuticals Inc. 7,400 235
  Abaxis Inc. 4,900 234
* Theravance Biopharma Inc. 9,257 233
  CONMED Corp. 5,800 232
* Myriad Genetics Inc. 11,600 229
* Merit Medical Systems Inc. 9,800 215
* Clovis Oncology Inc. 7,353 214
* Halozyme Therapeutics Inc. 24,700 213
* Lexicon Pharmaceuticals Inc. 13,949 207
* Innoviva Inc. 19,900 205
* Amicus Therapeutics Inc. 28,700 198
* Emergent BioSolutions Inc. 7,400 198
* Spectranetics Corp. 9,000 195
* PharMerica Corp. 8,200 195
* Momenta Pharmaceuticals Inc. 17,412 194
* Puma Biotechnology Inc. 5,000 191
* Ophthotech Corp. 5,300 190
  Ensign Group Inc. 10,200 188
* Spark Therapeutics Inc. 4,000 188
  Kindred Healthcare Inc. 18,600 183
* Repligen Corp. 6,400 183
* Cempra Inc. 9,800 178
* Acceleron Pharma Inc. 6,300 177
* Alder Biopharmaceuticals Inc. 7,188 174
* Genomic Health Inc. 5,800 173
  Meridian Bioscience Inc. 10,300 169
* Portola Pharmaceuticals Inc. 9,100 165
* Luminex Corp. 7,800 162
* TherapeuticsMD Inc. 28,000 161
* Healthways Inc. 6,400 159
* Achillion Pharmaceuticals Inc. 24,500 154
* AMAG Pharmaceuticals Inc. 5,915 152
* Insmed Inc. 11,500 149
* Air Methods Corp. 5,600 148
* Acorda Therapeutics Inc. 8,200 145
* Agios Pharmaceuticals Inc. 2,900 139
* Orthofix International NV 3,700 136
* Community Health Systems Inc. 24,102 127
* Keryx Biopharmaceuticals Inc. 25,900 117
* Lannett Co. Inc. 5,200 114
* Merrimack Pharmaceuticals Inc. 20,800 109
* Eagle Pharmaceuticals Inc. 1,900 106
* ZIOPHARM Oncology Inc. 18,200 103
* Quidel Corp. 5,200 100
  PDL BioPharma Inc. 29,600 95

 

109

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* Novavax Inc. 54,951 84
* Intra-Cellular Therapies Inc. Class A 6,400 79
* Aduro Biotech Inc. 6,200 67
* Accuray Inc. 12,800 63
*,^ Insys Therapeutics Inc. 5,400 58
* Arena Pharmaceuticals Inc. 39,300 58
* CorVel Corp. 1,600 55
* Celldex Therapeutics Inc. 15,700 49
  Invacare Corp. 5,100 47
* Universal American Corp. 5,500 41
* LHC Group Inc. 1,100 38
* Quorum Health Corp. 6,025 24
* MannKind Corp. 46,800 20
* Aptevo Therapeutics Inc. 3,700 8
      575,631
Industrials (6.6%)    
  General Electric Co. 1,868,563 54,375
  3M Co. 125,282 20,709
  Honeywell International Inc. 157,477 17,272
  Boeing Co. 117,907 16,794
  United Technologies Corp. 160,573 16,411
  United Parcel Service Inc. Class B 143,775 15,493
  Union Pacific Corp. 175,164 15,446
  Lockheed Martin Corp. 61,623 15,183
  Accenture plc Class A 129,345 15,035
  Caterpillar Inc. 121,976 10,180
* PayPal Holdings Inc. 227,360 9,472
  Danaher Corp. 119,816 9,412
  FedEx Corp. 52,315 9,120
  General Dynamics Corp. 59,878 9,026
  Raytheon Co. 61,577 8,412
  Northrop Grumman Corp. 36,647 8,392
  Automatic Data Processing Inc. 95,386 8,304
* Johnson Controls International plc 196,604 7,927
  Illinois Tool Works Inc. 66,647 7,569
  Emerson Electric Co. 134,607 6,822
  Eaton Corp. plc 95,835 6,111
  Waste Management Inc. 92,945 6,103
  CSX Corp. 197,351 6,021
  Norfolk Southern Corp. 61,289 5,700
  Deere & Co. 62,319 5,503
  Fidelity National Information Services Inc. 67,878 5,018
  TE Connectivity Ltd. 74,820 4,704
* LinkedIn Corp. Class A 24,780 4,698
* Fiserv Inc. 45,812 4,512
  Cummins Inc. 35,253 4,506
  Amphenol Corp. Class A 63,834 4,209
  PACCAR Inc. 73,967 4,062
  Sherwin-Williams Co. 15,740 3,854
  Paychex Inc. 68,025 3,755
  Roper Technologies Inc. 20,929 3,627
  Ingersoll-Rand plc 53,477 3,598
  Parker-Hannifin Corp. 28,911 3,549
  Rockwell Automation Inc. 27,152 3,251
  Fortive Corp. 62,441 3,188
  Republic Services Inc. Class A 59,178 3,115
  Vulcan Materials Co. 27,478 3,111
  Agilent Technologies Inc. 68,475 2,983
* FleetCor Technologies Inc. 16,121 2,826
  Ball Corp. 36,179 2,788
  TransDigm Group Inc. 10,000 2,725
* Verisk Analytics Inc. Class A 32,900 2,683
  Alliance Data Systems Corp. 12,356 2,526
  Martin Marietta Materials Inc. 13,500 2,503

 

110

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
WestRock Co. 53,138 2,454
Global Payments Inc. 32,287 2,341
Rockwell Collins Inc. 27,458 2,315
Textron Inc. 57,070 2,287
WW Grainger Inc. 10,892 2,267
L-3 Communications Holdings Inc. 16,395 2,245
Dover Corp. 33,146 2,217
Fastenal Co. 56,580 2,205
AMETEK Inc. 49,493 2,183
Masco Corp. 70,587 2,180
Pentair plc 38,094 2,100
CH Robinson Worldwide Inc. 30,736 2,094
Xerox Corp. 213,182 2,083
Kansas City Southern 22,985 2,017
Acuity Brands Inc. 8,900 1,990
Expeditors International of Washington Inc. 38,395 1,976
Cintas Corp. 18,410 1,964
Sealed Air Corp. 41,135 1,877
* Mettler-Toledo International Inc. 4,624 1,868
* Vantiv Inc. Class A 31,810 1,856
Xylem Inc. 37,135 1,795
Fortune Brands Home & Security Inc. 32,250 1,762
Valspar Corp. 17,342 1,727
* Flex Ltd. 117,125 1,662
Total System Services Inc. 33,135 1,653
Packaging Corp. of America 19,503 1,609
Broadridge Financial Solutions Inc. 24,795 1,603
Huntington Ingalls Industries Inc. 9,929 1,602
* Crown Holdings Inc. 29,341 1,592
Fluor Corp. 29,505 1,534
JB Hunt Transport Services Inc. 18,781 1,533
* AerCap Holdings NV 36,516 1,501
* Trimble Inc. 53,100 1,468
* Spirit AeroSystems Holdings Inc. Class A 27,558 1,388
IDEX Corp. 16,000 1,383
* Jacobs Engineering Group Inc. 26,671 1,376
* HD Supply Holdings Inc. 41,300 1,363
* Stericycle Inc. 16,631 1,332
Carlisle Cos. Inc. 12,600 1,321
* Old Dominion Freight Line Inc. 17,650 1,318
Macquarie Infrastructure Corp. 16,000 1,309
B/E Aerospace Inc. 21,600 1,286
Allegion plc 20,091 1,283
* Sensata Technologies Holding NV 35,685 1,275
AO Smith Corp. 27,800 1,256
* CoStar Group Inc. 6,700 1,254
* United Rentals Inc. 16,500 1,248
PerkinElmer Inc. 24,075 1,225
* Keysight Technologies Inc. 37,049 1,215
Flowserve Corp. 27,766 1,176
Wabtec Corp. 15,200 1,175
* Arrow Electronics Inc. 19,182 1,172
MDU Resources Group Inc. 43,476 1,140
Hubbell Inc. Class B 10,855 1,135
Avnet Inc. 27,043 1,134
ManpowerGroup Inc. 14,454 1,110
Lennox International Inc. 7,600 1,109
Owens Corning 22,000 1,073
Nordson Corp. 10,600 1,061
Toro Co. 22,000 1,053
Jack Henry & Associates Inc. 12,700 1,029
Allison Transmission Holdings Inc. 34,923 1,023
Robert Half International Inc. 26,980 1,010
* WEX Inc. 9,104 993

 

111

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Sonoco Products Co. 19,500 981
Donaldson Co. Inc. 26,500 968
Bemis Co. Inc. 19,860 968
Orbital ATK Inc. 12,873 957
FLIR Systems Inc. 29,000 955
* Berry Plastics Group Inc. 21,082 922
* Quanta Services Inc. 32,000 920
Hexcel Corp. 19,600 892
AGCO Corp. 17,200 879
* Euronet Worldwide Inc. 11,000 875
Graco Inc. 11,600 869
AptarGroup Inc. 12,000 857
BWX Technologies Inc. 21,750 853
Cognex Corp. 16,100 831
Curtiss-Wright Corp. 9,200 825
Graphic Packaging Holding Co. 65,380 817
* Teledyne Technologies Inc. 7,560 814
* AECOM 29,100 810
Jabil Circuit Inc. 37,219 794
* CoreLogic Inc. 18,445 785
* Genesee & Wyoming Inc. Class A 11,500 781
Booz Allen Hamilton Holding Corp. Class A 25,274 770
Oshkosh Corp. 14,368 769
Ryder System Inc. 10,887 755
Watsco Inc. 5,500 755
* XPO Logistics Inc. 22,893 754
Eagle Materials Inc. 9,300 753
* Colfax Corp. 23,540 748
* Zebra Technologies Corp. 11,200 737
Crane Co. 10,800 735
Woodward Inc. 12,100 714
* Genpact Ltd. 31,000 713
^ MSC Industrial Direct Co. Inc. Class A 9,600 699
Lincoln Electric Holdings Inc. 10,400 685
EMCOR Group Inc. 11,300 683
Chicago Bridge & Iron Co. NV 21,210 679
ITT Inc. 19,067 672
* Owens-Illinois Inc. 33,650 649
* Kirby Corp. 11,000 648
* IPG Photonics Corp. 6,500 631
Air Lease Corp. Class A 20,700 626
Joy Global Inc. 22,035 613
Deluxe Corp. 9,900 606
Littelfuse Inc. 4,300 600
MAXIMUS Inc. 11,400 593
Landstar System Inc. 8,300 591
Valmont Industries Inc. 4,600 589
National Instruments Corp. 20,700 581
EnerSys 8,800 573
Belden Inc. 8,800 570
Trinity Industries Inc. 26,100 557
CLARCOR Inc. 8,900 554
* WESCO International Inc. 10,174 551
Terex Corp. 22,502 537
Convergys Corp. 18,400 537
* Shopify Inc. Class A 12,800 531
John Bean Technologies Corp. 6,600 527
* Cimpress NV 6,300 524
* Coherent Inc. 5,000 521
* Louisiana-Pacific Corp. 28,200 517
World Fuel Services Corp. 12,600 507
* Generac Holdings Inc. 13,200 503
Regal Beloit Corp. 8,400 496
* Clean Harbors Inc. 10,300 487

 

112

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Kennametal Inc. 16,500 467
Timken Co. 14,100 466
* Itron Inc. 8,600 464
* USG Corp. 18,100 456
* Esterline Technologies Corp. 6,200 455
HEICO Corp. Class A 7,500 450
KBR Inc. 29,900 443
ABM Industries Inc. 11,300 442
Tetra Tech Inc. 11,400 438
* Ambarella Inc. 7,100 436
Brink's Co. 10,900 431
* Universal Display Corp. 8,300 429
* Sanmina Corp. 15,500 429
Vishay Intertechnology Inc. 29,900 422
* Rexnord Corp. 20,789 414
Silgan Holdings Inc. 7,884 402
* RBC Bearings Inc. 5,600 400
Mueller Water Products Inc. Class A 32,300 398
* KLX Inc. 11,400 392
UniFirst Corp. 3,200 392
* Armstrong World Industries Inc. 10,379 389
* MasTec Inc. 13,600 388
G&K Services Inc. Class A 4,100 388
MSA Safety Inc. 6,600 385
* Anixter International Inc. 5,800 381
Barnes Group Inc. 9,500 378
* WageWorks Inc. 6,400 377
* Swift Transportation Co. 16,600 372
* DigitalGlobe Inc. 14,754 370
* Cardtronics plc Class A 7,400 370
Granite Construction Inc. 7,500 369
* FTI Consulting Inc. 9,100 355
* Moog Inc. Class A 6,100 354
Covanta Holding Corp. 23,000 345
Universal Forest Products Inc. 4,000 344
* II-VI Inc. 11,800 328
HEICO Corp. 4,843 327
* On Assignment Inc. 9,500 327
* LifeLock Inc. 20,300 327
* Advisory Board Co. 8,200 326
Exponent Inc. 5,700 326
Knight Transportation Inc. 11,000 322
CEB Inc. 6,600 321
* Smith & Wesson Holding Corp. 11,800 312
* Trex Co. Inc. 5,700 307
GATX Corp. 7,000 306
Applied Industrial Technologies Inc. 6,000 305
Brady Corp. Class A 9,200 305
* AMN Healthcare Services Inc. 9,100 298
* Plexus Corp. 6,500 298
* Masonite International Corp. 5,200 296
Watts Water Technologies Inc. Class A 4,900 294
Mueller Industries Inc. 9,700 294
Franklin Electric Co. Inc. 8,000 292
Simpson Manufacturing Co. Inc. 6,600 282
AZZ Inc. 5,300 282
* Knowles Corp. 18,773 280
* Huron Consulting Group Inc. 5,000 280
Kaman Corp. 6,400 279
* Fabrinet 7,300 277
* Hub Group Inc. Class A 7,600 277
* Gibraltar Industries Inc. 7,000 272
* TopBuild Corp. 8,998 271
Forward Air Corp. 6,400 264

 

113

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
ESCO Technologies Inc. 5,900 263
* Navistar International Corp. 11,700 261
* OSI Systems Inc. 3,700 259
* RR Donnelley & Sons Co. 14,586 259
* Benchmark Electronics Inc. 10,100 254
* NeuStar Inc. Class A 11,300 254
Greif Inc. Class A 5,400 253
* Headwaters Inc. 15,400 253
Triumph Group Inc. 10,500 249
Aircastle Ltd. 12,100 249
* TASER International Inc. 11,100 248
Otter Tail Corp. 6,900 248
Sturm Ruger & Co. Inc. 4,000 246
EnPro Industries Inc. 4,500 244
Methode Electronics Inc. 7,800 243
* Rofin-Sinar Technologies Inc. 7,400 241
Mobile Mini Inc. 9,500 241
Actuant Corp. Class A 10,700 239
* SPX FLOW Inc. 9,499 238
AAON Inc. 7,950 238
Badger Meter Inc. 7,400 238
AAR Corp. 7,300 235
* ExlService Holdings Inc. 5,200 229
Tennant Co. 3,600 227
Comfort Systems USA Inc. 7,800 225
* Sykes Enterprises Inc. 8,200 219
* Proto Labs Inc. 4,900 219
* MACOM Technology Solutions Holdings Inc. 5,900 217
* Aerojet Rocketdyne Holdings Inc. 12,300 216
Werner Enterprises Inc. 9,000 216
Insperity Inc. 2,800 211
* American Woodmark Corp. 2,800 209
Korn/Ferry International 10,200 208
* Rogers Corp. 3,800 207
* Integer Holdings Corp. 9,300 205
Raven Industries Inc. 9,500 204
Apogee Enterprises Inc. 5,000 204
* PHH Corp. 13,900 202
Heartland Express Inc. 10,900 201
ManTech International Corp. Class A 5,100 198
* Paylocity Holding Corp. 4,500 196
* Imperva Inc. 5,300 196
Schnitzer Steel Industries Inc. 8,000 193
* Navigant Consulting Inc. 8,200 192
* Meritor Inc. 18,600 191
Standex International Corp. 2,500 191
Lindsay Corp. 2,400 188
* CBIZ Inc. 17,000 188
* Saia Inc. 5,200 185
US Ecology Inc. 4,300 182
* Team Inc. 5,900 181
Hollysys Automation Technologies Ltd. 9,100 181
Cubic Corp. 4,200 179
CIRCOR International Inc. 3,300 177
Astec Industries Inc. 3,200 177
Viad Corp. 4,200 174
Greenbrier Cos. Inc. 5,500 173
McGrath RentCorp 5,600 169
* SPX Corp. 8,799 167
* Babcock & Wilcox Enterprises Inc. 10,525 166
* Wesco Aircraft Holdings Inc. 12,800 164
Advanced Drainage Systems Inc. 8,600 164
Albany International Corp. 4,000 163
Federal Signal Corp. 13,200 162

 

114

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* TTM Technologies Inc. 12,200 160
  EVERTEC Inc. 10,400 158
  MTS Systems Corp. 3,300 157
* TriMas Corp. 8,700 156
* Veeco Instruments Inc. 6,900 150
  Matson Inc. 3,700 148
  Encore Wire Corp. 4,300 147
  Materion Corp. 4,832 146
* Tutor Perini Corp. 7,600 145
  Seaspan Corp. Class A 11,600 143
  Manitowoc Co. Inc. 35,400 143
  Scorpio Tankers Inc. 37,300 143
  AVX Corp. 10,000 140
* TrueBlue Inc. 8,000 140
* TriNet Group Inc. 7,400 139
  Harsco Corp. 13,900 136
* LSC Communications Inc. 5,470 133
  Kelly Services Inc. Class A 6,900 129
  GasLog Ltd. 8,400 129
  Essendant Inc. 8,400 129
* Boise Cascade Co. 6,600 127
  Primoris Services Corp. 6,300 126
  Ship Finance International Ltd. 9,813 124
  Quanex Building Products Corp. 7,600 124
  General Cable Corp. 8,800 123
* TimkenSteel Corp. 12,000 123
  CTS Corp. 6,700 122
^ Nordic American Tankers Ltd. 14,498 118
* FARO Technologies Inc. 3,500 117
* Donnelley Financial Solutions Inc. 5,470 117
  Hyster-Yale Materials Handling Inc. 1,900 111
* Engility Holdings Inc. 3,673 106
  Triton International Ltd. 8,400 101
* Aegion Corp. Class A 5,300 98
  Resources Connection Inc. 6,500 97
  TeleTech Holdings Inc. 3,400 96
* Armstrong Flooring Inc. 5,144 83
  H&E Equipment Services Inc. 5,800 81
* Aerovironment Inc. 3,200 77
  Griffon Corp. 4,200 70
* Atlas Air Worldwide Holdings Inc. 1,500 63
  Teekay Corp. 7,500 49
  Myers Industries Inc. 3,500 42
  American Railcar Industries Inc. 1,000 37
  Textainer Group Holdings Ltd. 2,600 20
      580,219
Oil & Gas (3.5%)    
  Exxon Mobil Corp. 869,839 72,475
  Chevron Corp. 397,052 41,591
  Schlumberger Ltd. 290,931 22,760
  Occidental Petroleum Corp. 160,019 11,667
  ConocoPhillips 257,649 11,195
  EOG Resources Inc. 114,974 10,396
  Phillips 66 110,554 8,971
  Halliburton Co. 178,481 8,210
  Kinder Morgan Inc. 397,522 8,121
  Anadarko Petroleum Corp. 116,902 6,949
  Pioneer Natural Resources Co. 35,451 6,346
  Spectra Energy Corp. 146,279 6,116
  Valero Energy Corp. 96,661 5,726
  Baker Hughes Inc. 89,755 4,972
  Marathon Petroleum Corp. 110,970 4,837
  Apache Corp. 78,890 4,692
  Williams Cos. Inc. 156,599 4,573

 

115

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Devon Energy Corp. 109,569 4,152
* Concho Resources Inc. 29,253 3,713
Noble Energy Inc. 91,099 3,140
Hess Corp. 59,751 2,866
Cimarex Energy Co. 20,141 2,601
National Oilwell Varco Inc. 80,129 2,572
EQT Corp. 36,755 2,426
Marathon Oil Corp. 180,848 2,384
Tesoro Corp. 24,270 2,062
Cabot Oil & Gas Corp. 96,870 2,023
* Cheniere Energy Inc. 49,977 1,884
* Newfield Exploration Co. 42,201 1,713
* Diamondback Energy Inc. 16,600 1,515
* FMC Technologies Inc. 46,811 1,511
Range Resources Corp. 43,596 1,473
Targa Resources Corp. 32,608 1,431
Helmerich & Payne Inc. 21,600 1,363
OGE Energy Corp. 42,100 1,307
* Antero Resources Corp. 41,800 1,106
* Parsley Energy Inc. Class A 33,432 1,100
* Southwestern Energy Co. 104,918 1,090
Energen Corp. 20,509 1,028
HollyFrontier Corp. 37,970 947
* Weatherford International plc 195,603 943
* Continental Resources Inc. 19,112 935
* Chesapeake Energy Corp. 165,563 912
Core Laboratories NV 9,200 892
Murphy Oil Corp. 33,223 859
QEP Resources Inc. 49,864 801
* WPX Energy Inc. 73,232 795
* RSP Permian Inc. 20,989 758
* PDC Energy Inc. 11,781 723
Patterson-UTI Energy Inc. 30,859 694
Nabors Industries Ltd. 58,208 693
* Rice Energy Inc. 30,050 664
* Gulfport Energy Corp. 25,538 616
* First Solar Inc. 15,170 614
SM Energy Co. 16,914 569
Western Refining Inc. 17,674 510
* Oasis Petroleum Inc. 47,553 499
Ensco plc Class A 61,383 480
* Whiting Petroleum Corp. 57,655 475
* NOW Inc. 21,596 466
* InterOil Corp. 9,100 452
SemGroup Corp. Class A 13,853 447
PBF Energy Inc. Class A 20,102 438
Oceaneering International Inc. 18,400 438
* Callon Petroleum Co. 32,986 428
* Dril-Quip Inc. 8,800 418
Superior Energy Services Inc. 29,435 417
* Carrizo Oil & Gas Inc. 11,579 392
* Laredo Petroleum Inc. 32,000 381
* Oil States International Inc. 12,700 371
* Matador Resources Co. 16,500 360
Rowan Cos. plc Class A 24,688 328
Pattern Energy Group Inc. Class A 14,552 325
* MRC Global Inc. 21,900 323
Noble Corp. plc 61,511 304
* McDermott International Inc. 50,377 259
Diamond Offshore Drilling Inc. 13,618 225
* Forum Energy Technologies Inc. 12,000 216
* Unit Corp. 12,300 211
Delek US Holdings Inc. 12,080 204
* Denbury Resources Inc. 84,826 203

 

116

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Green Plains Inc. 7,400 192
* Helix Energy Solutions Group Inc. 21,700 189
* RPC Inc. 10,600 183
* Chart Industries Inc. 6,400 178
* Exterran Corp. 11,100 175
* SEACOR Holdings Inc. 3,100 153
* Kosmos Energy Ltd. 29,279 153
  Archrock Inc. 12,800 148
*,^ Canadian Solar Inc. 9,400 136
* TETRA Technologies Inc. 23,000 125
* Newpark Resources Inc. 16,900 106
* Flotek Industries Inc. 7,600 90
* Matrix Service Co. 5,000 88
  Atwood Oceanics Inc. 10,300 79
* SunPower Corp. Class A 9,800 71
^ Frank's International NV 6,200 70
  California Resources Corp. 6,268 64
* Cobalt International Energy Inc. 65,692 62
  CVR Energy Inc. 4,200 56
  Bristow Group Inc. 4,700 47
* EP Energy Corp. Class A 5,200 19
      308,426
Other (0.0%)3    
* Dyax Corp CVR Exp. 12/31/2019 28,600 32
* Leap Wireless International Inc CVR 5,200 13
      45
Technology (9.1%)    
  Apple Inc. 1,128,548 128,135
  Microsoft Corp. 1,579,912 94,668
* Facebook Inc. Class A 458,824 60,101
* Alphabet Inc. Class A 60,981 49,388
* Alphabet Inc. Class C 61,314 48,103
  Intel Corp. 988,497 34,469
  Cisco Systems Inc. 1,046,637 32,111
  International Business Machines Corp. 200,082 30,751
  Oracle Corp. 666,992 25,626
  QUALCOMM Inc. 306,992 21,096
  Texas Instruments Inc. 207,359 14,691
  Broadcom Ltd. 81,416 13,864
* Adobe Systems Inc. 104,793 11,266
* salesforce.com Inc. 128,787 9,680
  Hewlett Packard Enterprise Co. 350,185 7,869
* Yahoo! Inc. 184,079 7,648
  NVIDIA Corp. 106,833 7,602
  Applied Materials Inc. 226,882 6,598
* Cognizant Technology Solutions Corp. Class A 127,712 6,558
* NXP Semiconductors NV 56,971 5,697
  Intuit Inc. 49,380 5,370
  HP Inc. 361,185 5,234
  Corning Inc. 216,212 4,910
  Analog Devices Inc. 65,621 4,206
* Micron Technology Inc. 217,122 3,726
* Cerner Corp. 62,006 3,632
* Autodesk Inc. 46,765 3,380
  Lam Research Corp. 33,711 3,265
  Western Digital Corp. 55,505 3,244
  Symantec Corp. 128,205 3,209
  Skyworks Solutions Inc. 39,100 3,008
  Linear Technology Corp. 49,751 2,988
* ServiceNow Inc. 32,500 2,857
* Palo Alto Networks Inc. 18,200 2,800
  Microchip Technology Inc. 45,708 2,768
* Red Hat Inc. 35,686 2,764
  Xilinx Inc. 54,097 2,752

 

117

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* Citrix Systems Inc. 32,111 2,723
  Motorola Solutions Inc. 34,545 2,507
  KLA-Tencor Corp. 32,392 2,433
* Akamai Technologies Inc. 35,002 2,432
  Maxim Integrated Products Inc. 60,336 2,391
  Harris Corp. 26,163 2,334
  Juniper Networks Inc. 83,334 2,195
* Workday Inc. Class A 25,172 2,182
* Check Point Software Technologies Ltd. 25,691 2,172
* Dell Technologies Inc - VMware Inc 43,167 2,119
  NetApp Inc. 59,320 2,013
  Seagate Technology plc 58,583 2,010
  CA Inc. 65,050 2,000
* VeriSign Inc. 22,666 1,904
* F5 Networks Inc. 13,691 1,892
* Synopsys Inc. 31,819 1,887
  Amdocs Ltd. 31,838 1,861
* Twitter Inc. 98,200 1,763
  CDK Global Inc. 30,848 1,685
* Splunk Inc. 27,298 1,643
  Computer Sciences Corp. 29,890 1,627
* ANSYS Inc. 17,555 1,604
* Cadence Design Systems Inc. 60,265 1,542
* Qorvo Inc. 27,427 1,526
* Mobileye NV 38,305 1,424
  CDW Corp. 31,034 1,394
* Gartner Inc. 15,700 1,351
* Ultimate Software Group Inc. 6,100 1,287
^ Leidos Holdings Inc. 29,091 1,209
  SS&C Technologies Holdings Inc. 37,736 1,205
* Tyler Technologies Inc. 7,300 1,171
  Marvell Technology Group Ltd. 89,179 1,162
* Advanced Micro Devices Inc. 160,406 1,160
*,^ VMware Inc. Class A 14,676 1,154
* PTC Inc. 24,300 1,153
  Ingram Micro Inc. 30,800 1,146
* CommScope Holding Co. Inc. 36,092 1,103
  Brocade Communications Systems Inc. 100,559 1,066
  Garmin Ltd. 21,936 1,061
* ARRIS International plc 37,983 1,055
  Teradyne Inc. 45,000 1,048
* Yandex NV Class A 52,562 1,035
* Microsemi Corp. 23,806 1,003
* ON Semiconductor Corp. 85,167 994
* Fortinet Inc. 29,300 939
* NCR Corp. 26,615 933
  IAC/InterActiveCorp 14,319 923
  CSRA Inc. 34,425 864
* SINA Corp. 11,921 860
* Aspen Technology Inc. 16,900 832
* NetSuite Inc. 8,519 793
* Veeva Systems Inc. Class A 20,400 793
* athenahealth Inc. 7,600 785
* Cavium Inc. 13,881 784
* Teradata Corp. 27,736 748
* Manhattan Associates Inc. 14,700 744
* ViaSat Inc. 10,300 728
* Ellie Mae Inc. 6,800 720
  j2 Global Inc. 10,000 711
* Cirrus Logic Inc. 13,100 707
* Rackspace Hosting Inc. 21,900 699
  Fair Isaac Corp. 5,700 688
  Pitney Bowes Inc. 38,347 684
  Cypress Semiconductor Corp. 68,532 683

 

118

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
* Proofpoint Inc. 8,700 682
Mentor Graphics Corp. 23,500 679
* Arista Networks Inc. 8,000 678
* Nuance Communications Inc. 48,200 676
* Guidewire Software Inc. 11,500 661
* EPAM Systems Inc. 10,200 657
Blackbaud Inc. 10,000 614
SYNNEX Corp. 5,900 605
Monolithic Power Systems Inc. 7,500 591
* Tableau Software Inc. Class A 12,102 581
* Allscripts Healthcare Solutions Inc. 47,800 574
DST Systems Inc. 5,891 566
* Integrated Device Technology Inc. 27,000 559
* Tech Data Corp. 7,000 539
Science Applications International Corp. 7,753 534
* Finisar Corp. 19,500 534
* Ciena Corp. 27,500 533
* NetScout Systems Inc. 19,338 531
* Paycom Software Inc. 10,252 530
Lexmark International Inc. Class A 13,000 516
Intersil Corp. Class A 23,100 510
MKS Instruments Inc. 10,100 510
* Dycom Industries Inc. 6,600 508
* Fleetmatics Group plc 8,400 503
* CommVault Systems Inc. 9,370 501
* Medidata Solutions Inc. 10,100 485
InterDigital Inc. 6,800 480
* Cree Inc. 21,515 480
* Silicon Laboratories Inc. 8,000 480
* TiVo Corp. 23,362 464
* CACI International Inc. Class A 4,700 460
* Verint Systems Inc. 12,700 457
* ACI Worldwide Inc. 25,200 457
LogMeIn Inc. 4,700 446
Diebold Inc. 19,435 424
* Entegris Inc. 26,000 413
* Cornerstone OnDemand Inc. 10,000 413
* Electronics For Imaging Inc. 9,500 404
* Synaptics Inc. 7,500 391
* Lumentum Holdings Inc. 11,440 384
* Atlassian Corp. plc Class A 14,300 384
* Gigamon Inc. 6,900 382
Tessera Technologies Inc. 10,100 375
* FireEye Inc. 32,200 374
* GoDaddy Inc. Class A 10,132 363
* InterXion Holding NV 9,700 361
* Semtech Corp. 14,900 361
* Advanced Energy Industries Inc. 7,500 358
* VeriFone Systems Inc. 22,700 351
* MicroStrategy Inc. Class A 1,800 351
Cogent Communications Holdings Inc. 9,300 343
NIC Inc. 14,900 342
Power Integrations Inc. 5,300 342
Plantronics Inc. 6,600 341
* NETGEAR Inc. 6,700 338
* Infoblox Inc. 12,500 331
* Viavi Solutions Inc. 44,700 318
* EchoStar Corp. Class A 6,800 318
* 3D Systems Corp. 22,900 318
* Envestnet Inc. 8,900 315
* Inphi Corp. 8,400 312
* Zendesk Inc. 11,400 300
* Sohu.com Inc. 8,000 299
* Premier Inc. Class A 9,175 292

 

119

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Ebix Inc. 5,200 291
* Ubiquiti Networks Inc. 5,400 283
* Synchronoss Technologies Inc. 7,600 279
* Amkor Technology Inc. 30,000 278
Cabot Microelectronics Corp. 5,000 276
* RealPage Inc. 10,100 275
* BroadSoft Inc. 6,400 266
CSG Systems International Inc. 6,900 262
* 2U Inc. 7,300 254
* Kulicke & Soffa Industries Inc. 19,200 254
* Rambus Inc. 20,800 254
West Corp. 12,418 245
* Progress Software Corp. 9,100 245
Pegasystems Inc. 7,900 244
* Qualys Inc. 6,500 242
* RingCentral Inc. Class A 11,600 240
* ScanSource Inc. 6,700 234
* CyberArk Software Ltd. 5,000 234
* Interactive Intelligence Group Inc. 3,700 224
* Insight Enterprises Inc. 7,500 216
* New Relic Inc. 5,900 215
* Globant SA 4,800 209
* Infinera Corp. 26,700 208
Quality Systems Inc. 15,900 205
* Luxoft Holding Inc. Class A 3,800 201
* HubSpot Inc. 3,800 199
* Web.com Group Inc. 12,300 198
Brooks Automation Inc. 15,000 195
* Cvent Inc. 6,100 190
* Bottomline Technologies de Inc. 7,900 179
* Stratasys Ltd. 9,300 178
* Super Micro Computer Inc. 7,500 178
Monotype Imaging Holdings Inc. 9,100 174
* Cray Inc. 8,000 166
* Perficient Inc. 8,500 158
Forrester Research Inc. 4,000 149
ADTRAN Inc. 8,200 149
* InvenSense Inc. 18,700 143
* Gogo Inc. 13,800 140
Syntel Inc. 6,800 137
* Shutterstock Inc. 2,300 136
* Blucora Inc. 9,100 121
* Ixia 10,100 121
* Barracuda Networks Inc. 5,000 117
* Diodes Inc. 5,500 114
* Lattice Semiconductor Corp. 18,600 113
* Ultratech Inc. 5,300 113
* Loral Space & Communications Inc. 2,900 113
* Applied Micro Circuits Corp. 13,900 103
* Virtusa Corp. 5,000 95
* CommerceHub Inc. 5,110 77
* Nimble Storage Inc. 10,000 76
* Endurance International Group Holdings Inc. 8,900 65
Computer Programs & Systems Inc. 2,500 65
* CommerceHub Inc. Class A 2,555 38
    802,591
Telecommunications (1.2%)    
AT&T Inc. 1,292,788 47,562
Verizon Communications Inc. 853,052 41,032
* Level 3 Communications Inc. 62,390 3,503
CenturyLink Inc. 112,878 3,000
* SBA Communications Corp. Class A 24,734 2,802
* T-Mobile US Inc. 55,188 2,745
* Sprint Corp. 177,621 1,094

 

120

 

Vanguard® Total World Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Frontier Communications Corp. 248,002 997
* Zayo Group Holdings Inc. 20,100 647
Telephone & Data Systems Inc. 23,173 599
* Vonage Holdings Corp. 40,000 274
* 8x8 Inc. 18,900 269
Shenandoah Telecommunications Co. 9,750 257
Consolidated Communications Holdings Inc. 10,500 251
* United States Cellular Corp. 6,300 221
Windstream Holdings Inc. 24,332 191
Cincinnati Bell Inc. 8,780 173
ATN International Inc. 2,400 162
* General Communication Inc. Class A 5,400 86
EarthLink Holdings Corp. 14,900 85
    105,950
Utilities (1.7%)    
NextEra Energy Inc. 94,862 12,142
Duke Energy Corp. 142,832 11,429
Southern Co. 201,804 10,407
Dominion Resources Inc. 128,194 9,640
American Electric Power Co. Inc. 102,767 6,663
PG&E Corp. 105,184 6,534
Exelon Corp. 185,778 6,329
Sempra Energy 52,173 5,588
Edison International 68,077 5,002
PPL Corp. 140,973 4,841
Consolidated Edison Inc. 63,288 4,781
Public Service Enterprise Group Inc. 106,019 4,461
Xcel Energy Inc. 105,459 4,382
WEC Energy Group Inc. 66,138 3,950
DTE Energy Co. 37,091 3,561
Eversource Energy 62,482 3,440
FirstEnergy Corp. 88,461 3,033
Entergy Corp. 37,761 2,782
American Water Works Co. Inc. 36,656 2,714
Ameren Corp. 50,767 2,536
CMS Energy Corp. 58,848 2,480
ONEOK Inc. 44,306 2,146
CenterPoint Energy Inc. 89,531 2,041
SCANA Corp. 26,827 1,968
Alliant Energy Corp. 47,754 1,817
Pinnacle West Capital Corp. 23,340 1,777
Westar Energy Inc. Class A 29,900 1,714
UGI Corp. 36,550 1,692
AES Corp. 139,931 1,647
Atmos Energy Corp. 21,900 1,629
NiSource Inc. 66,116 1,538
Great Plains Energy Inc. 41,290 1,174
Aqua America Inc. 29,625 910
Vectren Corp. 17,596 885
National Fuel Gas Co. 16,100 843
IDACORP Inc. 10,400 815
Portland General Electric Co. 17,925 782
* Calpine Corp. 62,584 745
NRG Energy Inc. 66,832 710
Southwest Gas Corp. 9,600 696
ONE Gas Inc. 11,076 679
WGL Holdings Inc. 10,700 675
Hawaiian Electric Industries Inc. 22,700 670
Black Hills Corp. 10,300 637
NorthWestern Corp. 10,800 622
New Jersey Resources Corp. 17,400 591
ALLETE Inc. 9,200 564
Spire Inc. 8,900 559
Avista Corp. 12,600 522

 

121

 

Vanguard® Total World Stock Index Fund
Schedule of Investments
October 31, 2016

          Market
          Value
        Shares ($000)
  PNM Resources Inc.     15,700 516
  MGE Energy Inc.     8,445 494
  Empire District Electric Co.     14,100 483
  Avangrid Inc.     12,100 477
  South Jersey Industries Inc.     15,800 469
  El Paso Electric Co.     8,300 383
  Northwest Natural Gas Co.     6,200 365
  American States Water Co.     7,900 316
  California Water Service Group     9,500 295
  Ormat Technologies Inc. (New York Shares)     5,400 260
* Dynegy Inc.     22,379 238
  TerraForm Power Inc. Class A     15,300 190
* Talen Energy Corp.     13,236 184
  SJW Corp.     3,080 156
  Atlantica Yield plc     8,501 153
  Ormat Technologies Inc. (Tel Aviv Shares)     2,610 125
          152,847
 
          4,588,047
 
Total Common Stocks (Cost $7,907,078)       8,732,576
 
 
    Coupon      
 
Temporary Cash Investments (1.5%)1        
Money Market Fund (1.4%)        
6,7 Vanguard Market Liquidity Fund 0.718%   1,262,576 126,270
 
 
        Face  
      Maturity Amount  
      Date ($000)  
U.S. Government and Agency Obligations (0.1%)        
8,9 Federal Home Loan Bank Discount Notes 0.431% 1/25/17 1,200 1,199
9 United States Treasury Bill 0.275%-0.340% 12/8/16 500 500
9 United States Treasury Bill 0.270% 12/29/16 400 400
9 United States Treasury Bill 0.314% 1/5/17 100 100
9 United States Treasury Bill 0.322% 1/19/17 5,000 4,997
 
          7,196
 
Total Temporary Cash Investments (Cost $133,458)       133,466
 
Total Investments (100.7%) (Cost $8,040,536)       8,866,042
Other Assets and Liabilities—Net (-0.7%)7       (58,105)
 
Net Assets (100%)       8,807,937

* Non-income-producing security.
^ Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $70,070,000.
1 The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect to futures
investments, the fund's effective common stock and temporary cash investment positions represent 100.0% and 0.7%, respectively, of net
assets.
2 Security exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in transactions exempt from
registration, normally to qualified institutional buyers. At October 31, 2016, the aggregate value of these securities was $32,844,000,
representing 0.4% of net assets.
3 “Other” represents securities that are not classified by the fund’s benchmark index.
4 Considered an affiliated company of the fund as the issuer is another member of The Vanguard Group.
5 Yum China Holdings Inc. shares were sold on October 25, 2016, on a when-issued basis and were settled after receipt of shares from the Yum!
Brands Inc. spin-off transaction on November 1, 2016. The market value of Yum! Brands Inc. is adjusted by $45,000 to account for this sale.
6 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day
yield.
7 Includes $76,749,000 of collateral received for securities on loan.

122

 

Vanguard® Total World Stock Index Fund
Schedule of Investments
October 31, 2016

 

8 The issuer operates under a congressional charter; its securities are generally neither guaranteed by the U.S. Treasury
faith and credit of the U.S. government.
9 Securities with a value of $3,598,000 have been segregated as initial margin for open futures contracts.
ADR—American Depositary Receipt.
CVR—Contingent Value Rights.
GDR—Global Depositary Receipt.
NVDR—Non-Voting Depository Receipt.
REIT—Real Estate Investment Trust.

 

© 2016 The Vanguard Group, Inc.
All rights reserved.
Vanguard Marketing Corporation, Distributor.

SNA6280 122016


Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
 
Common Stocks (99.2%)1    
Australia (5.2%)    
Commonwealth Bank of Australia 2,360,406 131,407
Westpac Banking Corp. 4,617,441 106,779
Australia & New Zealand Banking Group Ltd. 4,039,059 85,287
National Australia Bank Ltd. 3,676,363 78,040
BHP Billiton Ltd. 4,460,174 77,923
CSL Ltd. 636,142 48,542
Wesfarmers Ltd. 1,554,934 48,419
Woolworths Ltd. 1,761,330 31,609
Macquarie Group Ltd. 428,620 25,910
Rio Tinto Ltd. 590,657 24,438
Scentre Group 7,114,713 22,771
Telstra Corp. Ltd. 5,999,827 22,691
Transurban Group 2,844,116 22,442
Woodside Petroleum Ltd. 1,020,766 21,851
Brambles Ltd. 2,190,479 19,178
Newcrest Mining Ltd. 1,058,597 18,536
Westfield Corp. 2,681,817 18,124
Amcor Ltd. 1,607,322 17,941
Suncorp Group Ltd. 1,786,185 16,212
South32 Ltd. 7,413,788 14,468
QBE Insurance Group Ltd. 1,906,847 14,447
Insurance Australia Group Ltd. 3,385,325 14,153
AMP Ltd. 4,068,513 14,109
AGL Energy Ltd. 938,245 13,668
Goodman Group 2,478,263 12,774
Stockland 3,333,005 11,194
Aristocrat Leisure Ltd. 877,432 10,216
Aurizon Holdings Ltd. 2,732,702 10,125
Vicinity Centres 4,584,738 9,998
Ramsay Health Care Ltd. 179,363 9,988
Origin Energy Ltd. 2,429,886 9,794
ASX Ltd. 265,515 9,498
APA Group 1,554,891 9,397
Fortescue Metals Group Ltd. 2,228,414 9,352
James Hardie Industries plc 618,364 9,204
Dexus Property Group 1,344,085 9,131
Sonic Healthcare Ltd. 571,732 8,892
GPT Group 2,508,282 8,868
Caltex Australia Ltd. 361,999 8,426
Treasury Wine Estates Ltd. 1,022,638 8,337
Oil Search Ltd. 1,624,238 8,142
Mirvac Group 5,130,374 8,139
LendLease Group 762,707 7,813
Cochlear Ltd. 79,296 7,705
Medibank Pvt Ltd. 3,827,897 7,499
Sydney Airport 1,542,026 7,331
Challenger Ltd. 793,574 6,478
Orica Ltd. 519,697 6,421
Tatts Group Ltd. 2,016,853 6,217
Santos Ltd. 2,289,441 6,126
DUET Group 3,355,366 6,075
Coca-Cola Amatil Ltd. 751,885 5,447
Computershare Ltd. 677,205 5,425
Bendigo & Adelaide Bank Ltd. 636,860 5,378
SEEK Ltd. 481,210 5,345
Incitec Pivot Ltd. 2,327,845 5,206
Boral Ltd. 1,031,305 4,927
BlueScope Steel Ltd. 786,562 4,666
Crown Resorts Ltd. 527,262 4,359
Star Entertainment Grp Ltd. 1,143,019 4,325
Tabcorp Holdings Ltd. 1,157,844 4,254

 

1

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Bank of Queensland Ltd. 529,291 4,200
Domino's Pizza Enterprises Ltd. 85,959 4,188
Alumina Ltd. 3,470,363 4,171
Healthscope Ltd. 2,416,184 4,053
Orora Ltd. 1,662,431 3,663
Vocus Communications Ltd. 813,910 3,529
Ansell Ltd. 208,122 3,429
ALS Ltd. 694,651 3,282
Qantas Airways Ltd. 1,393,429 3,238
CIMIC Group Ltd. 133,558 2,997
Harvey Norman Holdings Ltd. 745,380 2,854
REA Group Ltd. 73,433 2,848
AusNet Services 2,462,692 2,805
Downer EDI Ltd. 597,921 2,643
TPG Telecom Ltd. 456,210 2,616
DuluxGroup Ltd. 532,911 2,606
IOOF Holdings Ltd. 414,285 2,579
Iluka Resources Ltd. 584,774 2,564
Adelaide Brighton Ltd. 624,163 2,536
Magellan Financial Group Ltd. 148,399 2,397
Macquarie Atlas Roads Group 632,785 2,267
OZ Minerals Ltd. 411,861 2,104
Perpetual Ltd. 60,271 2,070
Fairfax Media Ltd. 3,213,723 2,013
* Metcash Ltd. 1,332,722 2,011
Flight Centre Travel Group Ltd. 76,990 1,978
CSR Ltd. 710,452 1,973
* Whitehaven Coal Ltd. 848,988 1,952
* WorleyParsons Ltd. 304,697 1,947
Sims Metal Management Ltd. 226,422 1,722
Shopping Centres Australasia Property Group 1,027,272 1,707
Nufarm Ltd. 240,231 1,613
^ Platinum Asset Management Ltd. 330,406 1,251
Seven West Media Ltd. 1,194,380 615
    1,279,838
Austria (0.1%)    
Erste Group Bank AG 399,218 12,519
OMV AG 200,353 6,253
voestalpine AG 158,434 5,613
ANDRITZ AG 98,823 5,167
* Raiffeisen Bank International AG 164,298 2,691
Telekom Austria AG Class A 191,586 1,100
Vienna Insurance Group AG Wiener Versicherung Gruppe 54,529 1,075
    34,418
Belgium (0.9%)    
* Anheuser-Busch InBev SA/NV 1,108,561 127,230
* KBC Group NV 383,230 23,362
UCB SA 167,151 11,312
Solvay SA Class A 98,230 11,268
Ageas 277,481 10,137
Groupe Bruxelles Lambert SA 107,488 9,241
Umicore SA 127,773 7,766
Proximus SADP 195,280 5,589
Colruyt SA 92,819 4,989
Ackermans & van Haaren NV 34,316 4,763
bpost SA 139,093 3,701
* Telenet Group Holding NV 66,909 3,582
Sofina SA 21,324 2,979
    225,919
Brazil (2.0%)    
Itau Unibanco Holding SA ADR 3,899,054 46,516
Banco Bradesco SA ADR 3,854,765 40,128
* Petroleo Brasileiro SA ADR Type A 2,780,688 30,754

 

2

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* Petroleo Brasileiro SA ADR 2,154,126 25,139
  Ambev SA ADR 3,864,982 22,803
  BRF SA 969,362 16,217
  Itausa - Investimentos Itau SA Preference Shares 5,338,358 15,788
  Ambev SA 2,639,540 15,571
  Cielo SA 1,448,764 14,705
  BM&FBovespa SA - Bolsa de Valores Mercadorias e Futuros 2,398,729 14,128
  Ultrapar Participacoes SA 534,137 12,103
* Vale SA Class B ADR (XNYS) 1,709,694 11,010
  Banco do Brasil SA 1,191,886 10,937
  Kroton Educacional SA 2,117,592 10,548
*,^ Vale SA Class B ADR (XFRA) 1,397,013 9,667
  Banco Bradesco SA 921,851 9,164
  BB Seguridade Participacoes SA 834,728 8,405
  Raia Drogasil SA 343,070 7,616
  Lojas Renner SA 886,110 7,495
  CCR SA 1,208,353 6,568
* Vale SA Preference Shares 992,936 6,417
  Lojas Americanas SA Preference Shares 840,998 5,454
  Telefonica Brasil SA Preference Shares 369,635 5,348
  Banco Santander Brasil SA 638,800 5,263
  Cia de Saneamento Basico do Estado de Sao Paulo 475,417 5,019
* Petroleo Brasileiro SA 851,132 4,970
  Equatorial Energia SA 276,026 4,924
  Hypermarcas SA 524,533 4,397
  Embraer SA ADR 202,891 4,340
  CETIP SA - Mercados Organizados 305,821 4,299
  WEG SA 757,724 4,178
  Itau Unibanco Holding SA Preference Shares 330,855 3,980
  Klabin SA 752,284 3,877
  Engie Brasil Energia SA 291,508 3,703
  CPFL Energia SA 435,492 3,304
* BR Malls Participacoes SA 788,326 3,156
* Rumo Logistica Operadora Multimodal SA 1,335,300 2,987
  JBS SA 977,874 2,975
* Vale SA 427,000 2,954
* Centrais Eletricas Brasileiras SA 393,199 2,919
  Gerdau SA ADR 793,746 2,722
  M Dias Branco SA 63,662 2,719
  Itau Unibanco Holding SA 259,954 2,715
* Centrais Eletricas Brasileiras SA Preference Shares 306,476 2,626
  Cia Brasileira de Distribuicao ADR 131,532 2,506
  Localiza Rent a Car SA 198,713 2,467
  Fibria Celulose SA 306,400 2,452
  Telefonica Brasil SA ADR 169,906 2,447
* Petroleo Brasileiro SA Preference Shares 433,739 2,404
*,^ Cia Siderurgica Nacional SA ADR 699,597 2,358
  BTG Pactual Group 452,805 2,307
  Natura Cosmeticos SA 236,931 2,276
  Multiplan Empreendimentos Imobiliarios SA 107,900 2,168
  Cia Energetica de Minas Gerais ADR 702,854 2,123
  Estacio Participacoes SA 362,600 2,103
  Cosan SA Industria e Comercio 154,234 2,074
  EDP - Energias do Brasil SA 430,645 2,071
  Sul America SA 323,988 1,956
  TOTVS SA 193,862 1,759
  Cia Paranaense de Energia ADR 138,174 1,576
  Smiles SA 78,730 1,437
  Gerdau SA Preference Shares 406,586 1,404
  Suzano Papel e Celulose SA Preference Shares Class A 394,600 1,392
  Odontoprev SA 367,900 1,383
  Cia Brasileira de Distribuicao Grupo Pao de Acucar Preference Shares 71,030 1,357
  TIM Participacoes SA 461,730 1,282
  Braskem SA ADR 71,104 1,262

 

3

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Sao Martinho SA 62,600 1,247
Porto Seguro SA 129,912 1,232
Lojas Americanas SA 247,074 1,212
AES Tiete Energia SA 220,876 1,144
TIM Participacoes SA ADR 80,849 1,120
Cia de Transmissao de Energia Eletrica Paulista Preference Shares 51,324 1,114
Cia Energetica de Minas Gerais Preference Shares 328,837 1,004
* Cia Siderurgica Nacional SA 272,500 917
Embraer SA 166,500 895
Transmissora Alianca de Energia Eletrica SA 136,644 888
Multiplus SA 64,823 879
Braskem SA Preference Shares 67,500 598
Cia de Gas de Sao Paulo COMGAS Preference Shares Class A 32,068 522
BRF SA ADR 25,547 427
Cia Energetica de Minas Gerais 99,669 303
* Usinas Siderurgicas de Minas Gerais SA 82,164 227
Cia Paranaense de Energia 24,000 178
Banco Bradesco SA Preference Shares 12,140 127
Cia Paranaense de Energia Preference Shares 4,200 48
Cia Energetica de Sao Paulo Preference Shares 56
* Cia de Gas de Sao Paulo - COMGAS 11
Itausa - Investimentos Itau SA 7
    489,154
Canada (5.9%)    
Royal Bank of Canada 2,056,744 128,499
Toronto-Dominion Bank 2,563,836 116,331
Bank of Nova Scotia 1,681,324 90,352
Suncor Energy Inc. 2,313,081 69,411
Canadian National Railway Co. 958,161 60,234
Bank of Montreal 893,186 56,842
Enbridge Inc. 1,284,541 55,469
TransCanada Corp. 1,110,148 50,256
Canadian Natural Resources Ltd. 1,523,740 48,360
Brookfield Asset Management Inc. Class A (Toronto Shares) 1,207,167 42,273
Canadian Imperial Bank of Commerce 548,481 41,096
Manulife Financial Corp. 2,737,610 39,657
Canadian Pacific Railway Ltd. 210,184 30,046
Sun Life Financial Inc. 849,483 28,430
Alimentation Couche-Tard Inc. Class B 548,384 27,548
Barrick Gold Corp. (Toronto Shares) 1,516,505 26,683
Magna International Inc. 521,046 21,393
Rogers Communications Inc. Class B 502,888 20,231
Potash Corp. of Saskatchewan Inc. 1,164,306 18,932
^ Thomson Reuters Corp. 470,877 18,557
Waste Connections Inc. 244,170 18,324
^ BCE Inc. 400,059 18,176
Goldcorp Inc. 1,184,909 17,995
Fortis Inc. 535,324 17,621
Agrium Inc. 191,917 17,618
* CGI Group Inc. Class A 355,801 16,900
National Bank of Canada 468,083 16,709
Cenovus Energy Inc. 1,156,635 16,686
Pembina Pipeline Corp. 537,629 16,518
Fairfax Financial Holdings Ltd. 31,965 16,371
Franco-Nevada Corp. 246,206 16,115
Agnico Eagle Mines Ltd. 311,751 15,833
Loblaw Cos. Ltd. 316,831 15,632
Silver Wheaton Corp. 611,335 14,731
Restaurant Brands International Inc. 312,626 13,898
Saputo Inc. 353,849 12,716
Encana Corp. 1,330,232 12,684
Intact Financial Corp. 182,940 12,436
Imperial Oil Ltd. 366,924 11,900
Shaw Communications Inc. Class B 582,981 11,553

 

4

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Power Corp. of Canada 490,365 10,518
Great-West Lifeco Inc. 416,266 10,455
Constellation Software Inc. 22,141 10,372
^ Metro Inc. 330,534 10,217
Inter Pipeline Ltd. 463,231 9,604
^ Canadian Tire Corp. Ltd. Class A 96,584 9,388
TELUS Corp. 274,485 8,888
RioCan REIT 440,477 8,565
SNC-Lavalin Group Inc. 209,287 8,504
Crescent Point Energy Corp. 700,998 8,346
^ ARC Resources Ltd. 484,987 8,233
* Valeant Pharmaceuticals International Inc. 439,190 7,839
Power Financial Corp. 326,838 7,724
Canadian Utilities Ltd. Class A 269,058 7,689
* Tourmaline Oil Corp. 283,032 7,417
CI Financial Corp. 317,433 5,841
George Weston Ltd. 71,099 5,794
* BlackBerry Ltd. 692,477 4,889
* Husky Energy Inc. 418,547 4,503
2 Hydro One Ltd. 238,552 4,352
Cameco Corp. 543,607 4,187
IGM Financial Inc. 131,336 3,525
* Turquoise Hill Resources Ltd. 1,122,466 3,481
Barrick Gold Corp. (New York Shares) 103,706 1,824
Brookfield Asset Management Inc. Class A (New York Shares) 32,799 1,149
Restaurant Brands International LP 1,203 53
    1,474,373
Chile (0.3%)    
SACI Falabella 679,332 5,334
Empresas COPEC SA 521,583 5,241
Cencosud SA 1,567,121 5,109
* Latam Airlines Group SA (Santiago Shares) 460,761 4,413
Banco de Chile 34,031,665 4,051
Banco Santander Chile ADR 168,713 3,855
Banco de Credito e Inversiones 69,424 3,568
Sociedad Quimica y Minera de Chile SA ADR 115,250 3,372
Empresas CMPC SA 1,529,970 3,314
Enersis Americas SA ADR 346,004 3,000
Empresa Nacional de Electricidad SA ADR 136,747 2,839
Aguas Andinas SA Class A 4,256,216 2,806
Cia Cervecerias Unidas SA 206,973 2,223
* Itau CorpBanca 237,270,889 2,157
Colbun SA 9,842,580 2,144
* Empresa Nacional de Telecomunicaciones SA 198,233 2,126
Endesa Americas SA ADR 134,415 1,932
Enersis Americas SA 9,960,968 1,687
Enersis Chile SA ADR 336,671 1,673
SONDA SA 628,485 1,299
Embotelladora Andina SA Preference Shares 321,927 1,291
AES Gener SA 3,535,310 1,205
Enersis Chile SA 9,960,968 997
Banco Santander Chile 17,451,061 976
Empresa Nacional de Electricidad SA 573,761 396
Sociedad Quimica y Minera de Chile SA Preference Shares Class B 12,529 372
Endesa Americas SA 676,553 315
    67,695
China (4.8%)    
Tencent Holdings Ltd. 7,425,447 196,792
China Construction Bank Corp. 126,971,544 92,721
China Mobile Ltd. 7,398,567 84,761
Industrial & Commercial Bank of China Ltd. 100,120,640 60,096
Bank of China Ltd. 104,597,788 46,872
Ping An Insurance Group Co. of China Ltd. 6,935,689 36,506
CNOOC Ltd. 22,367,400 28,144

 

5

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  China Petroleum & Chemical Corp. 35,497,284 25,672
  China Life Insurance Co. Ltd. 10,351,341 25,627
  PetroChina Co. Ltd. 29,249,234 20,013
  China Overseas Land & Investment Ltd. 5,315,820 16,319
  Agricultural Bank of China Ltd. 35,794,233 15,058
  China Pacific Insurance Group Co. Ltd. 3,577,895 12,900
  China Merchants Bank Co. Ltd. 5,282,320 12,845
  China Telecom Corp. Ltd. 22,411,541 11,555
  PICC Property & Casualty Co. Ltd. 6,372,396 10,286
  China Minsheng Banking Corp. Ltd. 9,034,861 10,280
  CITIC Ltd. 6,851,275 9,831
  China Shenhua Energy Co. Ltd. 4,716,388 9,778
  China Unicom Hong Kong Ltd. 7,971,713 9,359
  China Resources Land Ltd. 3,742,214 9,294
  Bank of Communications Co. Ltd. 11,149,925 8,475
  Haitong Securities Co. Ltd. 4,725,793 8,361
  Hengan International Group Co. Ltd. 1,019,308 8,098
  Sinopharm Group Co. Ltd. 1,455,703 7,069
  CITIC Securities Co. Ltd. 3,173,990 7,020
  Geely Automobile Holdings Ltd. 6,622,610 6,814
  China Communications Construction Co. Ltd. 6,189,026 6,796
  China CITIC Bank Corp. Ltd. 10,531,189 6,792
*,^ BYD Co. Ltd. 957,355 6,303
  Lenovo Group Ltd. 9,543,802 6,114
  CSPC Pharmaceutical Group Ltd. 5,845,115 6,052
  Guangdong Investment Ltd. 3,897,851 5,877
  Country Garden Holdings Co. Ltd. 9,942,756 5,160
  Shenzhou International Group Holdings Ltd. 776,315 5,142
  Belle International Holdings Ltd. 8,485,870 5,124
  CRRC Corp. Ltd. 5,652,053 5,118
2 Huatai Securities Co. Ltd. 2,400,175 5,067
2 China Galaxy Securities Co. Ltd. 5,184,777 4,922
  New China Life Insurance Co. Ltd. 1,122,638 4,848
^ GF Securities Co. Ltd. 2,172,626 4,827
  ENN Energy Holdings Ltd. 1,020,712 4,799
  China Vanke Co. Ltd. 1,824,843 4,763
* China Resources Beer Holdings Co. Ltd. 2,227,861 4,734
  Fosun International Ltd. 3,219,135 4,662
  Brilliance China Automotive Holdings Ltd. 3,860,396 4,592
  Anhui Conch Cement Co. Ltd. 1,660,655 4,590
  China Cinda Asset Management Co. Ltd. 12,660,693 4,548
  China Resources Power Holdings Co. Ltd. 2,674,409 4,531
  Sunny Optical Technology Group Co. Ltd. 923,419 4,503
  China Everbright International Ltd. 3,683,967 4,404
  China Merchants Port Holdings Co. Ltd. 1,668,031 4,313
  Dongfeng Motor Group Co. Ltd. 4,078,627 4,251
  Great Wall Motor Co. Ltd. 4,288,303 4,185
  China Conch Venture Holdings Ltd. 2,229,869 4,163
  China Railway Group Ltd. 5,379,352 4,147
  Sino Biopharmaceutical Ltd. 5,885,268 4,114
  Fullshare Holdings Ltd. 7,225,267 4,030
2 CGN Power Co. Ltd. 13,727,267 4,008
  Beijing Enterprises Water Group Ltd. 5,512,679 3,988
* China Taiping Insurance Holdings Co. Ltd. 2,060,364 3,966
  Guangzhou Automobile Group Co. Ltd. 3,105,605 3,750
  China State Construction International Holdings Ltd. 2,492,727 3,637
  Huaneng Power International Inc. 5,908,982 3,632
  ANTA Sports Products Ltd. 1,255,368 3,620
  Beijing Enterprises Holdings Ltd. 721,981 3,608
  China Longyuan Power Group Corp. Ltd. 4,694,785 3,580
2 People's Insurance Co. Group of China Ltd. 8,775,161 3,487
  China Resources Gas Group Ltd. 1,098,547 3,445
  Zhuzhou CRRC Times Electric Co. Ltd. 707,009 3,419
*,^ Alibaba Pictures Group Ltd. 17,320,648 3,409

 

6

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
*,2 China Huarong Asset Management Co. Ltd. 8,652,874 3,308
  China Gas Holdings Ltd. 2,170,915 3,304
*,^ China Evergrande Group 4,951,377 3,259
  China Railway Construction Corp. Ltd. 2,596,745 3,246
  TravelSky Technology Ltd. 1,435,703 3,063
  Kunlun Energy Co. Ltd. 3,911,523 2,947
  Kingboard Chemical Holdings Ltd. 942,048 2,785
  Haier Electronics Group Co. Ltd. 1,697,646 2,736
  Far East Horizon Ltd. 2,976,070 2,711
  China Medical System Holdings Ltd. 1,727,715 2,698
  Longfor Properties Co. Ltd. 2,001,434 2,656
  Zijin Mining Group Co. Ltd. 8,131,955 2,584
^ Kingsoft Corp. Ltd. 1,121,944 2,515
  Shanghai Pharmaceuticals Holding Co. Ltd. 975,177 2,509
  Sinopec Shanghai Petrochemical Co. Ltd. 4,858,331 2,477
  China Oilfield Services Ltd. 2,504,300 2,404
  Shenzhen International Holdings Ltd. 1,546,589 2,388
  GCL-Poly Energy Holdings Ltd. 17,383,024 2,343
  COSCO SHIPPING Ports Ltd. 2,355,985 2,336
  China Everbright Ltd. 1,186,465 2,320
  Shimao Property Holdings Ltd. 1,727,628 2,304
  Chongqing Rural Commercial Bank Co. Ltd. 3,839,070 2,298
  Jiangsu Expressway Co. Ltd. 1,686,544 2,293
  AviChina Industry & Technology Co. Ltd. 3,357,954 2,279
^ China Reinsurance Group Corp. 9,508,576 2,263
  Beijing Capital International Airport Co. Ltd. 2,104,557 2,203
* Alibaba Health Information Technology Ltd. 4,205,236 2,197
  Tsingtao Brewery Co. Ltd. 538,108 2,147
  China Communications Services Corp. Ltd. 3,593,612 2,132
  Zhejiang Expressway Co. Ltd. 2,031,267 2,127
*,^ Aluminum Corp. of China Ltd. 5,559,377 2,065
  Weichai Power Co. Ltd. 1,364,219 2,058
  China Everbright Bank Co. Ltd. 4,499,872 2,052
^,2 Fuyao Glass Industry Group Co. Ltd. 705,910 2,047
^ Yanzhou Coal Mining Co. Ltd. 2,748,246 2,035
2 BAIC Motor Corp. Ltd. 1,939,692 2,034
  Shanghai Lujiazui Finance & Trade Zone Development Co. Ltd. Class B 1,305,615 2,033
  Jiangxi Copper Co. Ltd. 1,692,248 1,998
  GOME Electrical Appliances Holding Ltd. 15,784,203 1,989
  Shanghai Industrial Holdings Ltd. 641,587 1,961
  China Jinmao Holdings Group Ltd. 7,056,005 1,946
  Huaneng Renewables Corp. Ltd. 5,663,075 1,898
  Guangzhou R&F Properties Co. Ltd. 1,339,933 1,888
^ China Huishan Dairy Holdings Co. Ltd. 5,041,795 1,871
^ China National Building Material Co. Ltd. 4,081,959 1,863
2 China Railway Signal & Communication Corp. Ltd. 2,246,068 1,821
* Shanghai Electric Group Co. Ltd. 3,917,316 1,809
  Shenzhen Investment Ltd. 4,130,281 1,800
  Chongqing Changan Automobile Co. Ltd. Class B 1,163,079 1,773
2 Sinopec Engineering Group Co. Ltd. 2,006,381 1,771
  Nine Dragons Paper Holdings Ltd. 2,163,292 1,759
  Shanghai Fosun Pharmaceutical Group Co. Ltd. 570,641 1,752
  Sino-Ocean Group Holding Ltd. 4,148,754 1,723
^ Sunac China Holdings Ltd. 2,518,964 1,719
* China Coal Energy Co. Ltd. 2,991,638 1,694
  Shandong Weigao Group Medical Polymer Co. Ltd. 2,566,328 1,671
  Haitian International Holdings Ltd. 810,063 1,670
  Air China Ltd. 2,540,115 1,669
  China Power International Development Ltd. 4,575,787 1,664
^ Luye Pharma Group Ltd. 2,275,430 1,529
^ China Traditional Chinese Medicine Holding Co. Ltd. 2,949,794 1,507
^ China Hongqiao Group Ltd. 1,663,184 1,486
  ZTE Corp. 1,080,188 1,484
  Inner Mongolia Yitai Coal Co. Ltd. Class B 1,498,754 1,479

 

7

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
^,2 Dali Foods Group Co. Ltd. 2,820,197 1,468
*,2 China International Capital Corp. Ltd. 961,126 1,410
  Lee & Man Paper Manufacturing Ltd. 1,855,743 1,394
*,2 3SBio Inc. 1,387,075 1,384
  SOHO China Ltd. 2,669,994 1,377
  China Southern Airlines Co. Ltd. 2,445,017 1,372
*,^ Li Ning Co. Ltd. 1,889,617 1,347
2 Legend Holdings Corp. 540,470 1,346
^ Metallurgical Corp. of China Ltd. 4,095,562 1,332
^,2 Shengjing Bank Co. Ltd. 1,354,632 1,326
  Yuexiu Property Co. Ltd. 8,922,772 1,307
  Kingboard Laminates Holdings Ltd. 1,444,852 1,295
^ Zhaojin Mining Industry Co. Ltd. 1,240,548 1,274
  Sinotrans Ltd. 2,648,860 1,247
  BBMG Corp. 3,362,760 1,227
*,^ China COSCO Holdings Co. Ltd. 3,555,160 1,225
^ China Molybdenum Co. Ltd. 5,477,571 1,215
* China Agri-Industries Holdings Ltd. 3,033,447 1,185
* CAR Inc. 1,126,492 1,143
  China Resources Cement Holdings Ltd. 2,821,334 1,139
*,^ China Shipping Container Lines Co. Ltd. 5,142,407 1,078
  Agile Group Holdings Ltd. 1,885,637 1,045
  Guangshen Railway Co. Ltd. 1,890,327 1,043
^ Datang International Power Generation Co. Ltd. 3,788,668 1,021
  Huishang Bank Corp. Ltd. 2,124,092 1,020
^ Golden Eagle Retail Group Ltd. 724,928 1,007
  KWG Property Holding Ltd. 1,728,409 1,000
  Shenzhen Expressway Co. Ltd. 991,216 993
  Lao Feng Xiang Co. Ltd. Class B 277,721 947
  China Shipping Development Co. Ltd. 1,715,196 946
^ China Eastern Airlines Corp. Ltd. 2,101,145 943
^ Huadian Power International Corp. Ltd. 2,148,361 921
  Zhongsheng Group Holdings Ltd. 916,048 915
^ China Zhongwang Holdings Ltd. 1,889,876 873
*,^ Greentown China Holdings Ltd. 1,070,020 872
  China Dongxiang Group Co. Ltd. 4,397,598 855
  CSG Holding Co. Ltd. Class B 1,005,352 838
  Huadian Fuxin Energy Corp. Ltd. 3,576,005 828
^ Beijing Jingneng Clean Energy Co. Ltd. 2,716,885 824
*,^ Poly Property Group Co. Ltd. 2,571,998 813
  Yantai Changyu Pioneer Wine Co. Ltd. Class B 293,363 807
*,^ Angang Steel Co. Ltd. 1,575,537 807
^ Xinjiang Goldwind Science & Technology Co. Ltd. 575,724 794
  Hopson Development Holdings Ltd. 876,475 790
  Dazhong Transportation Group Co. Ltd. Class B 1,122,902 784
^,2 Red Star Macalline Group Corp. Ltd. 714,985 769
  China Machinery Engineering Corp. 1,275,516 761
* Guangzhou Baiyunshan Pharmaceutical Holdings Co. Ltd. 313,398 740
^ China International Marine Containers Group Co. Ltd. 605,289 720
^ China South City Holdings Ltd. 3,164,311 700
  Shandong Chenming Paper Holdings Ltd. Class B 699,948 626
  Shanghai Mechanical and Electrical Industry Co. Ltd. Class B 287,678 619
^ Zoomlion Heavy Industry Science and Technology Co. Ltd. 1,700,081 619
  Shanghai Jinqiao Export Processing Zone Development Co. Ltd. Class B 397,037 603
  Anhui Gujing Distillery Co. Ltd. Class B 154,206 599
  Anhui Expressway Co. Ltd. 737,659 594
*,^ Maanshan Iron & Steel Co. Ltd. 2,567,903 585
*,^ Sinopec Oilfield Service Corp. 2,790,643 578
* Shanghai Zhenhua Heavy Industries Co. Ltd. Class B 1,143,920 566
  Sinotruk Hong Kong Ltd. 1,016,199 561
*,^ Biostime International Holdings Ltd. 227,876 559
*,^ Renhe Commercial Holdings Co. Ltd. 20,656,355 535
  Shanghai Baosight Software Co. Ltd. Class B 308,442 534
*,2 Tianhe Chemicals Group Ltd. 3,538,329 534

 

8

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Shanghai Haixin Group Co. Class B 596,446 514
  China BlueChemical Ltd. 2,631,895 509
^ CSSC Offshore and Marine Engineering Group Co. Ltd. 332,873 502
  Guangdong Electric Power Development Co. Ltd. Class B 1,117,911 498
  Weifu High-Technology Group Co. Ltd. Class B 210,024 497
^ Dalian Port PDA Co. Ltd. 2,651,103 474
  Shanghai Jinjiang International Hotels Development Co. Ltd. Class B 220,415 470
  Sichuan Expressway Co. Ltd. 1,167,487 469
  China National Accord Medicines Corp. Ltd. Class B 73,286 458
  BOE Technology Group Co. Ltd. Class B 1,650,239 449
  Shanghai Waigaoqiao Free Trade Zone Group Co. Ltd. Class B 254,321 422
  Shandong Chenming Paper Holdings Ltd. 487,874 421
^ China Foods Ltd. 918,843 406
* Shanghai Chlor-Alkali Chemical Co. Ltd. Class B 521,434 403
* Hanergy Thin Film Power Group Ltd. 14,742,000 392
  Bosideng International Holdings Ltd. 4,255,541 383
*,^ CITIC Resources Holdings Ltd. 3,012,222 376
  China National Materials Co. Ltd. 1,580,369 356
^ Dongfang Electric Corp. Ltd. 451,295 349
  Shanghai Shibei Hi-Tech Co. Ltd. Class B 309,130 339
  Shanghai Huayi Group Corp. Ltd. Class B 311,547 330
^ CIMC Enric Holdings Ltd. 772,225 323
  Shanghai Jinjiang International Industrial Investment Co. Ltd. Class B 213,740 317
* Shanghai Bailian Group Co. Ltd. Class B 239,123 316
  Foshan Electrical and Lighting Co. Ltd. Class B 388,724 314
^ Beijing North Star Co. Ltd. 907,223 305
^ Sinofert Holdings Ltd. 2,319,208 304
  Shenzhen Chiwan Wharf Holdings Ltd. Class B 188,066 300
* Huadian Energy Co. Ltd. Class B 598,300 299
  Jiangling Motors Corp. Ltd. Class B 109,467 276
  Tianjin Capital Environmental Protection Group Co. Ltd. 412,838 230
* Bengang Steel Plates Co. Ltd. Class B 629,215 220
*,^ Sany Heavy Equipment International Holdings Co. Ltd. 1,360,731 212
  Jinzhou Port Co. Ltd. Class B 370,560 197
* Qinqin Foodstuffs Group Cayman Co. Ltd. 195,323 67
      1,203,192
Colombia (0.1%)    
  Bancolombia SA ADR 157,148 6,016
  Grupo de Inversiones Suramericana SA 325,809 4,202
  Grupo Argos SA 453,992 2,944
  Cementos Argos SA 547,547 2,167
* Ecopetrol SA 4,821,790 2,101
  Grupo Aval Acciones y Valores Preference Shares 4,431,864 1,828
  Grupo de Inversiones Suramericana SA Preference Shares 127,826 1,615
  Almacenes Exito SA 318,776 1,590
  Interconexion Electrica SA ESP 466,455 1,550
  Cementos Argos SA Preference Shares 283,835 1,035
* Ecopetrol SA ADR 100,879 877
* Cemex Latam Holdings SA 217,281 808
  Grupo Aval Acciones y Valores SA ADR 46,572 381
      27,114
Czech Republic (0.0%)    
  CEZ AS 225,198 4,248
  Komercni banka as 106,049 3,880
*,2 Moneta Money Bank AS 526,066 1,835
  O2 Czech Republic AS 67,064 615
      10,578
Denmark (1.2%)    
  Novo Nordisk A/S Class B 2,564,623 91,366
  Danske Bank A/S 1,039,340 32,063
  Vestas Wind Systems A/S 303,457 24,312
  Pandora A/S 153,665 19,985
  Carlsberg A/S Class B 147,098 13,253

 

9

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  AP Moller - Maersk A/S Class B 8,604 13,197
  DSV A/S 257,860 12,485
* Genmab A/S 75,298 12,400
  Novozymes A/S 309,256 11,472
  ISS A/S 257,393 10,104
  Coloplast A/S Class B 139,730 9,734
  AP Moller - Maersk A/S Class A 6,044 8,834
  Chr Hansen Holding A/S 122,108 7,313
* TDC A/S 1,106,022 6,098
  Jyske Bank A/S 97,984 4,443
*,2 DONG Energy A/S 109,867 4,353
  Tryg A/S 153,909 3,001
  William Demant Holding A/S 157,838 2,937
* H Lundbeck A/S 83,207 2,682
      290,032
Egypt (0.1%)    
  Commercial International Bank Egypt SAE 1,445,862 8,412
* Global Telecom Holding SAE GDR 741,490 1,520
* Egyptian Financial Group-Hermes Holding Co. 789,061 1,392
  Talaat Moustafa Group 1,358,206 866
  ElSewedy Electric Co. 106,234 750
* Medinet Nasr Housing 321,632 505
  Telecom Egypt Co. 488,828 482
  Sidi Kerir Petrochemicals Co. 165,354 258
      14,185
Finland (0.7%)    
  Nokia Oyj 7,943,643 35,465
  Sampo Oyj Class A 654,489 29,985
  Kone Oyj Class B 528,406 24,313
  UPM-Kymmene Oyj 737,376 17,153
  Fortum Oyj 617,359 10,291
  Wartsila OYJ Abp 217,154 9,384
  Neste Oyj 176,925 7,633
  Stora Enso Oyj 798,764 7,548
  Elisa Oyj 222,578 7,499
  Nokian Renkaat Oyj 185,765 6,231
  Orion Oyj Class B 141,528 6,024
  Huhtamaki Oyj 143,999 5,811
  Metso Oyj 185,495 4,864
  Kesko Oyj Class B 93,828 4,662
      176,863
France (6.5%)    
  TOTAL SA 2,988,449 143,162
  Sanofi 1,551,184 120,712
  BNP Paribas SA 1,357,302 78,701
  LVMH Moet Hennessy Louis Vuitton SE 348,065 63,369
  AXA SA 2,677,239 60,405
  Danone SA 790,043 54,796
  Schneider Electric SE 754,436 50,736
^ Vinci SA 647,940 46,924
  Airbus Group SE 759,696 45,111
  Orange SA 2,650,369 41,700
  Societe Generale SA 1,018,574 39,732
  Pernod Ricard SA 295,083 35,092
  L'Oreal SA Loyalty Line 190,657 34,158
  Air Liquide SA 325,738 33,099
  Essilor International SA 281,265 31,607
  Vivendi SA 1,532,944 31,028
  Cie de Saint-Gobain 661,161 29,358
  Engie SA 1,999,554 28,837
  Safran SA 411,412 28,310
  Cie Generale des Etablissements Michelin 251,418 27,231
  L'Oreal SA 146,370 26,224

 

10

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Kering 103,298 22,919
Air Liquide SA (Prime de fidelite) 219,013 22,255
Legrand SA 368,276 20,807
Renault SA 238,732 20,761
Carrefour SA 785,723 20,593
Publicis Groupe SA 283,829 19,471
* Valeo SA 327,151 18,878
Capgemini SA 220,635 18,272
Veolia Environnement SA 676,184 14,773
Sodexo SA 123,274 14,315
Dassault Systemes 176,116 13,940
Christian Dior SE 72,159 13,917
Thales SA 145,337 13,674
Hermes International 33,225 13,460
Atos SE 125,904 13,066
Credit Agricole SA 1,184,203 12,776
Klepierre 285,680 11,675
SES SA Class A 498,591 11,471
Technip SA 162,231 10,767
Arkema SA 98,246 9,316
Accor SA 240,815 9,138
Bouygues SA 267,188 8,710
Teleperformance 79,302 8,379
STMicroelectronics NV 864,937 8,209
Gecina SA 55,572 8,102
* Peugeot SA 539,362 8,077
Eiffage SA 99,868 7,394
Suez 451,422 7,150
SCOR SE 218,644 7,081
Iliad SA 32,520 6,817
Bureau Veritas SA 359,160 6,784
Natixis SA 1,307,441 6,615
Edenred 284,478 6,584
Zodiac Aerospace 269,821 6,557
Ingenico Group SA 76,493 6,050
Groupe Eurotunnel SE 633,831 5,932
Rexel SA 414,939 5,755
* Alstom SA 213,450 5,736
Eurofins Scientific SE 12,515 5,687
SEB SA 37,112 5,462
Societe BIC SA 37,304 5,171
^ Eutelsat Communications SA 243,550 5,104
Orpea 58,801 4,894
Wendel SA 41,735 4,801
Bollore SA 1,370,454 4,512
Fonciere Des Regions 50,403 4,405
Aeroports de Paris 40,153 4,056
Lagardere SCA 159,162 4,053
Credit Agricole SA Loyalty Line 374,217 4,037
CNP Assurances 230,750 3,996
Casino Guichard Perrachon SA 77,122 3,839
Faurecia 103,483 3,815
Imerys SA 52,394 3,648
ICADE 48,755 3,501
SFR Group SA 127,414 3,434
Ipsen SA 48,148 3,329
Eurazeo SA 57,496 3,311
^ Electricite de France SA 294,930 3,306
JCDecaux SA 101,828 3,114
BioMerieux 19,684 2,868
2 Amundi SA 57,379 2,814
Remy Cointreau SA 32,433 2,630
Plastic Omnium SA 79,131 2,580
* Sartorius Stedim Biotech 32,885 2,219

 

11

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Euler Hermes Group 21,210 1,840
  SEB SA Loyalty Line 9,727 1,432
  Electricite de France SA Loyalty Line 102,414 1,148
      1,601,474
Germany (6.3%)    
  Siemens AG 1,056,408 120,027
  Bayer AG 1,149,306 114,115
  BASF SE 1,282,979 113,259
  SAP SE 1,242,220 109,439
  Allianz SE 631,900 98,643
  Daimler AG 1,324,208 94,472
  Deutsche Telekom AG 4,455,828 72,698
  adidas AG 277,525 45,596
  Linde AG 256,458 42,358
  Deutsche Post AG 1,317,931 40,870
  Bayerische Motoren Werke AG 450,641 39,317
  Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen 197,961 38,436
  Fresenius SE & Co. KGaA 507,557 37,502
  Volkswagen AG Preference Shares 254,410 35,077
  Henkel AG & Co. KGaA Preference Shares 240,573 30,921
  Continental AG 149,720 28,760
  Infineon Technologies AG 1,554,502 27,958
* Deutsche Bank AG 1,912,028 27,651
  Fresenius Medical Care AG & Co. KGaA 300,549 24,481
  Vonovia SE 646,087 22,778
* Deutsche Boerse AG-TEND 259,011 20,226
  HeidelbergCement AG 206,500 19,535
  E.ON SE 2,601,968 19,070
  Merck KGaA 179,209 18,446
  Henkel AG & Co. KGaA 162,256 17,878
  Deutsche Wohnen AG 468,127 15,295
  thyssenkrupp AG 586,940 13,619
  ProSiebenSat.1 Media SE 294,672 12,700
  Beiersdorf AG 138,808 12,237
  Symrise AG 167,962 11,535
  Porsche Automobil Holding SE Preference Shares 211,316 11,419
  Brenntag AG 213,249 11,400
* RWE AG 669,152 10,646
  Commerzbank AG 1,434,481 9,769
  GEA Group AG 244,890 9,485
  Hannover Rueck SE 83,311 9,294
  LANXESS AG 126,492 8,111
* QIAGEN NV 313,746 7,673
^ Wirecard AG 159,883 7,589
  MTU Aero Engines AG 70,660 7,379
  LEG Immobilien AG 87,285 7,363
*,2 Innogy SE 177,534 7,050
  METRO AG 228,684 6,850
  United Internet AG 164,726 6,773
  Evonik Industries AG 213,651 6,691
  OSRAM Licht AG 116,365 6,609
*,2 Zalando SE 146,581 6,446
  Volkswagen AG 40,632 6,074
  Bayerische Motoren Werke AG Preference Shares 75,316 5,718
  HUGO BOSS AG 88,183 5,545
  KION Group AG 90,389 5,461
^ K&S AG 264,376 5,354
*,2 Covestro AG 87,131 5,160
  MAN SE 49,268 5,043
  Fuchs Petrolub SE Preference Shares 96,061 4,300
  RTL Group SA 53,372 4,183
  Deutsche Lufthansa AG 324,724 4,156
  HOCHTIEF AG 29,631 4,046
  Sartorius AG Preference Shares 46,922 3,694

 

12

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Telefonica Deutschland Holding AG 946,034 3,669
* Uniper SE 269,935 3,593
Axel Springer SE 61,717 3,092
Fraport AG Frankfurt Airport Services Worldwide 50,966 3,025
TUI AG-DI 232,404 2,957
Rational AG 5,632 2,926
Suedzucker AG 107,500 2,758
Fielmann AG 35,193 2,443
Hella KGaA Hueck & Co. 62,398 2,381
FUCHS PETROLUB SE 48,186 1,907
Wacker Chemie AG 20,608 1,839
Talanx AG 51,005 1,583
RWE AG Preference Shares 43,770 506
Deutsche Boerse AG 1,803 135
    1,556,994
Greece (0.1%)    
Alpha Bank AE 1,918,902 3,281
Hellenic Telecommunications Organization SA 335,442 3,076
OPAP SA 288,046 2,457
JUMBO SA 135,114 1,920
National Bank of Greece SA 7,440,054 1,522
Titan Cement Co. SA 64,018 1,487
Eurobank Ergasias SA 2,453,913 1,449
Piraeus Bank SA 7,797,984 1,290
* FF Group 49,006 1,174
Motor Oil Hellas Corinth Refineries SA 81,305 973
* Hellenic Petroleum SA 92,397 422
    19,051
Hong Kong (2.7%)    
AIA Group Ltd. 16,738,852 105,304
CK Hutchison Holdings Ltd. 3,915,710 48,351
Hong Kong Exchanges & Clearing Ltd. 1,691,971 44,730
Sun Hung Kai Properties Ltd. 1,959,433 29,178
Cheung Kong Property Holdings Ltd. 3,919,574 28,976
Link REIT 3,136,960 22,316
CLP Holdings Ltd. 2,146,167 21,816
Hong Kong & China Gas Co. Ltd. 10,416,327 20,348
Hang Seng Bank Ltd. 1,060,266 19,121
BOC Hong Kong Holdings Ltd. 4,992,196 17,794
Jardine Matheson Holdings Ltd. 286,492 17,451
Power Assets Holdings Ltd. 1,837,316 17,245
Sands China Ltd. 3,366,208 14,609
Wharf Holdings Ltd. 1,683,768 12,624
Galaxy Entertainment Group Ltd. 2,952,309 12,089
Hongkong Land Holdings Ltd. 1,633,191 10,936
Jardine Strategic Holdings Ltd. 309,847 10,872
MTR Corp. Ltd. 1,941,842 10,746
AAC Technologies Holdings Inc. 968,949 9,232
Henderson Land Development Co. Ltd. 1,559,128 9,223
New World Development Co. Ltd. 7,294,840 9,069
2 WH Group Ltd. 10,172,266 8,239
Swire Pacific Ltd. Class A 705,729 7,335
Sino Land Co. Ltd. 4,308,374 7,315
Cheung Kong Infrastructure Holdings Ltd. 889,318 7,278
China Mengniu Dairy Co. Ltd. 3,746,849 7,078
Wheelock & Co. Ltd. 1,130,113 6,955
^ Bank of East Asia Ltd. 1,641,715 6,600
Techtronic Industries Co. Ltd. 1,755,888 6,597
Hang Lung Properties Ltd. 2,791,742 6,139
Samsonite International SA 1,782,758 5,605
^ Want Want China Holdings Ltd. 8,213,382 5,000
Swire Properties Ltd. 1,633,968 4,692
Hang Lung Group Ltd. 1,202,967 4,602
* Semiconductor Manufacturing International Corp. 35,944,177 4,353

 

13

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Hysan Development Co. Ltd. 862,530 3,981
  Li & Fung Ltd. 8,080,956 3,972
  Yue Yuen Industrial Holdings Ltd. 1,005,228 3,828
  NWS Holdings Ltd. 1,943,043 3,438
  PCCW Ltd. 5,755,207 3,426
  ASM Pacific Technology Ltd. 340,250 3,278
  Wynn Macau Ltd. 1,988,284 3,046
^ Tingyi Cayman Islands Holding Corp. 2,674,119 2,883
  Hopewell Holdings Ltd. 802,568 2,810
  VTech Holdings Ltd. 221,590 2,718
  Minth Group Ltd. 739,490 2,618
  Kerry Properties Ltd. 813,665 2,576
^ PRADA SPA 718,158 2,516
  Shangri-La Asia Ltd. 2,269,232 2,492
  First Pacific Co. Ltd. 3,174,253 2,405
  Xinyi Glass Holdings Ltd. 2,712,685 2,333
^ Sun Art Retail Group Ltd. 3,020,460 2,128
* Esprit Holdings Ltd. 2,567,690 2,118
^ Kingston Financial Group Ltd. 5,035,258 2,090
  Haitong International Securities Group Ltd. 3,017,736 1,931
  Cathay Pacific Airways Ltd. 1,430,672 1,883
  Champion REIT 3,279,027 1,863
  SJM Holdings Ltd. 2,638,280 1,821
  MGM China Holdings Ltd. 1,091,164 1,800
  Great Eagle Holdings Ltd. 377,425 1,674
  Cafe de Coral Holdings Ltd. 471,108 1,663
*,^ China Minsheng Financial Holding Corp. Ltd. 15,747,907 1,561
^ Xinyi Solar Holdings Ltd. 4,026,966 1,492
  Television Broadcasts Ltd. 409,909 1,484
^ Melco International Development Ltd. 1,136,504 1,482
  Dah Sing Financial Holdings Ltd. 213,384 1,447
  Uni-President China Holdings Ltd. 1,836,788 1,241
  L'Occitane International SA 596,275 1,231
^ Shui On Land Ltd. 4,890,385 1,210
^ Guotai Junan International Holdings Ltd. 3,140,228 1,199
  Brightoil Petroleum Holdings Ltd. 3,984,435 1,146
  Johnson Electric Holdings Ltd. 471,622 1,140
  FIH Mobile Ltd. 3,410,762 1,126
* HengTen Networks Group Ltd. 16,564,941 1,109
  Kerry Logistics Network Ltd. 810,924 1,077
^ Chow Tai Fook Jewellery Group Ltd. 1,475,192 1,046
^ Shougang Fushan Resources Group Ltd. 4,765,352 1,030
^ China Travel International Investment Hong Kong Ltd. 3,505,542 1,010
  Orient Overseas International Ltd. 266,338 996
* Huabao International Holdings Ltd. 2,630,129 984
  Dah Sing Banking Group Ltd. 518,444 936
^ United Co. RUSAL plc 2,438,920 865
* Global Brands Group Holding Ltd. 7,559,150 856
  Lifestyle International Holdings Ltd. 616,563 826
  Shun Tak Holdings Ltd. 2,427,006 818
^ Towngas China Co. Ltd. 1,347,806 758
  Hopewell Highway Infrastructure Ltd. 1,354,415 724
  SA Sa International Holdings Ltd. 1,451,621 664
*,^ China Oceanwide Holdings Ltd. 6,291,799 640
  Texwinca Holdings Ltd. 870,717 610
  Hutchison Telecommunications Hong Kong Holdings Ltd. 1,751,886 564
  Kowloon Development Co. Ltd. 487,832 488
*,2 China Jicheng Holdings Ltd. 12,557,134 419
*,^ Macau Legend Development Ltd. 2,022,006 354
* Lifestyle China Group Ltd. 612,870 172
*,^ Good Resources Holdings Ltd. 3,200,046 165
      679,979
Hungary (0.1%)    
  OTP Bank plc 261,112 7,317

 

14

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
MOL Hungarian Oil & Gas plc 67,512 4,330
Richter Gedeon Nyrt 195,043 4,187
Magyar Telekom Telecommunications plc 558,550 924
    16,758
India (2.4%)    
Housing Development Finance Corp. Ltd. 2,190,889 45,713
Infosys Ltd. ADR 2,430,185 37,085
Tata Consultancy Services Ltd. 653,380 23,473
2 Reliance Industries Ltd. GDR 719,181 22,795
Sun Pharmaceutical Industries Ltd. 1,535,386 17,105
ITC Ltd. 4,018,112 14,636
Hindustan Unilever Ltd. 991,373 12,421
Oil & Natural Gas Corp. Ltd. 2,856,522 12,250
Reliance Industries Ltd. 766,353 12,104
HDFC Bank Ltd. ADR 161,916 11,460
Tata Motors Ltd. 1,405,802 11,320
Axis Bank Ltd. 1,469,434 10,731
Maruti Suzuki India Ltd. 115,039 10,135
ICICI Bank Ltd. ADR 1,189,920 9,864
Bharat Petroleum Corp. Ltd. 921,352 9,248
Coal India Ltd. 1,845,280 8,984
Bharti Airtel Ltd. 1,779,522 8,502
HCL Technologies Ltd. 739,248 8,451
Mahindra & Mahindra Ltd. 419,323 8,241
State Bank of India GDR 214,935 8,182
Indian Oil Corp. Ltd. 1,552,360 7,530
Kotak Mahindra Bank Ltd. 611,381 7,506
Larsen & Toubro Ltd. 310,687 6,896
Lupin Ltd. 306,806 6,841
Hero MotoCorp Ltd. 136,120 6,832
Asian Paints Ltd. 400,318 6,414
NTPC Ltd. (Common) 2,752,974 6,278
Eicher Motors Ltd. 16,928 6,092
Zee Entertainment Enterprises Ltd. 748,232 5,832
IndusInd Bank Ltd. 319,577 5,748
Indiabulls Housing Finance Ltd. 450,368 5,730
UltraTech Cement Ltd. 91,992 5,490
Adani Ports & Special Economic Zone Ltd. 1,148,167 5,284
Yes Bank Ltd. 272,424 5,196
* Vedanta Ltd. 1,696,644 5,167
^ Wipro Ltd. ADR 500,365 4,839
Aurobindo Pharma Ltd. 373,953 4,547
UPL Ltd. 423,827 4,435
Godrej Consumer Products Ltd. 176,225 4,248
Tech Mahindra Ltd. 644,026 4,204
JSW Steel Ltd. 164,964 4,102
Bajaj Auto Ltd. 95,532 4,078
Ambuja Cements Ltd. 1,108,963 4,011
Hindustan Petroleum Corp. Ltd. 564,479 3,949
Cipla Ltd. 450,903 3,887
Power Grid Corp. of India Ltd. 1,443,352 3,804
Bharti Infratel Ltd. 728,457 3,774
Shriram Transport Finance Co. Ltd. 229,829 3,720
* Bajaj Finance Ltd. 222,845 3,579
Bosch Ltd. 10,399 3,414
HDFC Bank Ltd. 178,194 3,359
Nestle India Ltd. 32,014 3,350
ICICI Bank Ltd. 761,509 3,165
Dabur India Ltd. 723,259 3,159
Piramal Enterprises Ltd. 117,630 3,128
Dr Reddy's Laboratories Ltd. ADR 62,396 3,076
Infosys Ltd. 202,326 3,019
LIC Housing Finance Ltd. 344,759 3,012
Shree Cement Ltd. 11,778 2,950

 

15

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Tata Motors Ltd. Class A 535,933 2,802
GAIL India Ltd. 427,300 2,773
* United Spirits Ltd. 81,864 2,759
Bajaj Finserv Ltd. 53,672 2,720
Marico Ltd. 632,859 2,673
Glenmark Pharmaceuticals Ltd. 188,863 2,639
Dr Reddy's Laboratories Ltd. 52,453 2,635
Hindalco Industries Ltd. 1,156,143 2,598
Titan Co. Ltd. 432,267 2,419
Idea Cellular Ltd. 1,972,289 2,253
Motherson Sumi Systems Ltd. 447,396 2,223
IDFC Bank Ltd. 1,879,521 2,219
NMDC Ltd. 1,121,454 2,207
Wipro Ltd. 316,738 2,199
Cadila Healthcare Ltd. 346,151 2,193
Divi's Laboratories Ltd. 112,427 2,155
Cairn India Ltd. 638,135 2,151
Siemens Ltd. 119,960 2,127
Ashok Leyland Ltd. 1,554,269 2,102
Mahindra & Mahindra Financial Services Ltd. 383,170 2,077
Havells India Ltd. 336,987 2,055
Britannia Industries Ltd. 40,760 2,022
Tata Steel Ltd. 329,187 2,004
Rural Electrification Corp. Ltd. 975,378 1,971
Pidilite Industries Ltd. 173,837 1,872
Bharat Forge Ltd. 131,897 1,749
Bharat Heavy Electricals Ltd. 825,386 1,719
Power Finance Corp. Ltd. 903,052 1,681
Bharat Electronics Ltd. 82,447 1,607
Tata Power Co. Ltd. 1,350,354 1,584
Petronet LNG Ltd. 259,689 1,514
* Bank of Baroda 645,795 1,514
Reliance Infrastructure Ltd. 179,596 1,462
NHPC Ltd. 3,634,047 1,459
ACC Ltd. 64,209 1,459
Rajesh Exports Ltd. 198,982 1,426
Oracle Financial Services Software Ltd. 29,745 1,424
Reliance Capital Ltd. 177,462 1,382
Emami Ltd. 73,907 1,343
DLF Ltd. 584,010 1,319
United Breweries Ltd. 99,067 1,290
Hindustan Zinc Ltd. 339,512 1,289
Colgate-Palmolive India Ltd. 87,578 1,277
GlaxoSmithKline Consumer Healthcare Ltd. 13,913 1,267
Bajaj Holdings & Investment Ltd. 35,960 1,174
Torrent Pharmaceuticals Ltd. 55,122 1,169
Cummins India Ltd. 89,094 1,135
ABB India Ltd. 68,401 1,116
Castrol India Ltd. 158,779 1,090
* Steel Authority of India Ltd. 1,327,539 1,037
Oil India Ltd. 161,291 1,003
* Reliance Communications Ltd. 1,428,009 1,001
Tata Communications Ltd. 98,559 938
Sun TV Network Ltd. 111,329 912
Aditya Birla Nuvo Ltd. 42,667 881
Mphasis Ltd. 112,858 866
Exide Industries Ltd. 290,642 854
2 InterGlobe Aviation Ltd. 54,224 755
* Punjab National Bank 348,421 753
* Canara Bank 150,093 707
* Crompton Greaves Ltd. 556,042 639
* Jindal Steel & Power Ltd. 538,915 609
Godrej Industries Ltd. 92,551 606
* IDFC Ltd. 575,126 603

 

16

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
* GMR Infrastructure Ltd. 2,915,787 599
* IDBI Bank Ltd. 537,300 593
* Wockhardt Ltd. 45,282 590
Reliance Power Ltd. 785,614 554
JSW Energy Ltd. 558,364 547
GlaxoSmithKline Pharmaceuticals Ltd. 11,594 505
* Bank of India 292,416 504
* Adani Power Ltd. 1,222,627 501
Great Eastern Shipping Co. Ltd. 75,528 422
Union Bank of India 188,519 418
Adani Enterprises Ltd. 404,396 405
* Mangalore Refinery & Petrochemicals Ltd. 276,782 374
Torrent Power Ltd. 143,644 373
* Corp Bank 315,585 197
Oriental Bank of Commerce 72,758 140
    594,528
Indonesia (0.6%)    
Telekomunikasi Indonesia Persero Tbk PT 70,179,424 22,659
Bank Central Asia Tbk PT 17,074,199 20,300
Astra International Tbk PT 28,010,488 17,672
Bank Rakyat Indonesia Persero Tbk PT 14,903,563 13,916
Bank Mandiri Persero Tbk PT 12,938,386 11,397
Unilever Indonesia Tbk PT 1,587,130 5,409
Bank Negara Indonesia Persero Tbk PT 10,377,707 4,430
Indofood Sukses Makmur Tbk PT 6,086,005 3,957
Kalbe Farma Tbk PT 27,097,337 3,611
United Tractors Tbk PT 2,086,012 3,451
Gudang Garam Tbk PT 632,786 3,292
Semen Indonesia Persero Tbk PT 4,110,849 3,099
Perusahaan Gas Negara Persero Tbk 14,786,146 2,896
Charoen Pokphand Indonesia Tbk PT 10,146,364 2,871
Indocement Tunggal Prakarsa Tbk PT 1,849,298 2,328
Indofood CBP Sukses Makmur Tbk PT 3,211,284 2,313
Adaro Energy Tbk PT 17,879,063 2,171
Bumi Serpong Damai Tbk PT 10,569,740 1,754
Surya Citra Media Tbk PT 7,783,479 1,581
Tower Bersama Infrastructure Tbk PT 3,160,965 1,447
Bank Danamon Indonesia Tbk PT 4,287,327 1,268
Media Nusantara Citra Tbk PT 7,163,166 1,152
Tambang Batubara Bukit Asam Persero Tbk PT 1,140,531 1,041
Jasa Marga Persero Tbk PT 2,764,383 959
* XL Axiata Tbk PT 4,914,950 829
Astra Agro Lestari Tbk PT 576,325 673
Global Mediacom Tbk PT 9,127,606 594
* Vale Indonesia Tbk PT 2,829,062 590
    137,660
Ireland (0.2%)    
Kerry Group plc Class A 200,629 14,561
* Bank of Ireland 38,232,165 8,184
Smurfit Kappa Group plc 323,811 7,109
* Ryanair Holdings plc ADR 78,542 5,898
Glanbia plc 240,232 3,913
* Ryanair Holdings plc 13,600 189
* Irish Bank Resolution Corp. Ltd. 236,607
    39,854
Israel (0.4%)    
Teva Pharmaceutical Industries Ltd. 1,232,618 51,481
Bank Hapoalim BM 1,383,446 7,979
* Bank Leumi Le-Israel BM 1,800,167 6,792
Bezeq The Israeli Telecommunication Corp. Ltd. 2,845,695 5,169
Nice Ltd. 74,800 4,965
Elbit Systems Ltd. 32,792 3,245
Frutarom Industries Ltd. 51,387 2,715

 

17

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* Israel Discount Bank Ltd. Class A 1,448,068 2,660
  Azrieli Group Ltd. 60,017 2,555
  Israel Chemicals Ltd. 618,564 2,198
  Mizrahi Tefahot Bank Ltd. 159,761 2,081
* Tower Semiconductor Ltd. 113,448 1,753
  Teva Pharmaceutical Industries Ltd. ADR 36,177 1,546
  Delek Group Ltd. 6,704 1,314
  Gazit-Globe Ltd. 134,113 1,211
  Alony Hetz Properties & Investments Ltd. 131,336 1,129
  Paz Oil Co. Ltd. 6,864 1,072
* Airport City Ltd. 87,721 953
  Melisron Ltd. 18,150 771
  Strauss Group Ltd. 48,017 756
  First International Bank Of Israel Ltd. 57,398 739
  Amot Investments Ltd. 153,345 640
  Harel Insurance Investments & Financial Services Ltd. 152,538 590
* Oil Refineries Ltd. 1,420,720 501
  Shikun & Binui Ltd. 273,902 475
* Israel Corp. Ltd. 3,065 456
* Delek Energy Systems Ltd. 788 408
  Delek Automotive Systems Ltd. 36,853 315
  Shufersal Ltd. 1
      106,469
Italy (1.4%)    
  Eni SPA 3,423,531 49,683
  Enel SPA 10,586,919 45,517
  Intesa Sanpaolo SPA (Registered) 16,732,345 38,797
  Assicurazioni Generali SPA 1,748,354 22,584
  UniCredit SPA 7,379,848 18,314
  Snam SPA 3,395,358 17,890
  Atlantia SPA 663,016 16,233
  Luxottica Group SPA 248,462 12,372
* Telecom Italia SPA (Registered) 13,713,230 11,921
  CNH Industrial NV 1,279,645 9,935
  Terna Rete Elettrica Nazionale SPA 1,981,837 9,701
  Ferrari NV 183,030 9,637
  Fiat Chrysler Automobiles NV 1,216,119 8,915
  Prysmian SPA 287,165 7,141
  EXOR SPA 156,862 6,669
* Leonardo-Finmeccanica SPA 533,487 6,496
  Telecom Italia SPA (Bearer) 8,440,477 5,991
  Mediobanca SPA 775,061 5,678
  Tenaris SA 379,268 5,364
2 Poste Italiane SPA 633,150 4,215
  Recordati SPA 141,296 3,996
  Davide Campari-Milano SPA 389,336 3,921
  Tenaris SA ADR 137,700 3,883
^ Unione di Banche Italiane SPA 1,215,274 3,353
* Saipem SPA 7,882,983 3,242
  FinecoBank Banca Fineco SPA 547,645 3,200
  Mediaset SPA 1,051,491 3,007
  UnipolSai SPA 1,504,182 2,875
  Intesa Sanpaolo SPA 1,276,180 2,763
  Banca Mediolanum SPA 354,245 2,449
^ Salvatore Ferragamo SPA 85,550 2,091
  Parmalat SPA 423,063 1,118
  EXOR SPA Rights Exp. 11/09/2016 156,862
      348,951
Japan (18.2%)    
  Toyota Motor Corp. 3,797,791 220,298
  Mitsubishi UFJ Financial Group Inc. 18,902,259 97,532
  KDDI Corp. 2,578,464 78,368
  SoftBank Group Corp. 1,195,468 75,292
  Honda Motor Co. Ltd. 2,492,379 74,576

 

18

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Japan Tobacco Inc. 1,667,467 63,397
Sumitomo Mitsui Financial Group Inc. 1,805,230 62,590
Mizuho Financial Group Inc. 34,772,658 58,549
Sony Corp. 1,745,890 55,027
FANUC Corp. 271,917 49,785
Takeda Pharmaceutical Co. Ltd. 1,075,548 48,104
Keyence Corp. 63,373 46,458
NTT DOCOMO Inc. 1,824,945 45,832
East Japan Railway Co. 519,116 45,697
Seven & i Holdings Co. Ltd. 1,084,119 45,250
Astellas Pharma Inc. 2,956,178 43,875
Shin-Etsu Chemical Co. Ltd. 572,701 43,423
Central Japan Railway Co. 251,649 42,792
Canon Inc. 1,456,888 41,854
Mitsubishi Corp. 1,914,563 41,670
Tokio Marine Holdings Inc. 975,541 38,479
Mitsubishi Electric Corp. 2,746,100 37,152
Murata Manufacturing Co. Ltd. 263,265 36,763
Nintendo Co. Ltd. 150,253 36,220
Kao Corp. 696,879 35,859
Daikin Industries Ltd. 370,871 35,540
Hitachi Ltd. 6,448,956 34,379
Fuji Heavy Industries Ltd. 853,338 33,345
Bridgestone Corp. 892,942 33,328
Mitsui & Co. Ltd. 2,368,033 32,809
Mitsubishi Estate Co. Ltd. 1,643,961 32,673
Nidec Corp. 337,055 32,613
Panasonic Corp. 2,958,870 30,523
Denso Corp. 699,299 30,430
Mitsui Fudosan Co. Ltd. 1,320,046 30,063
Komatsu Ltd. 1,310,811 29,177
ORIX Corp. 1,824,753 28,916
Nissan Motor Co. Ltd. 2,804,539 28,529
Otsuka Holdings Co. Ltd. 588,216 25,744
ITOCHU Corp. 2,001,865 25,281
Kubota Corp. 1,566,087 25,243
Daiwa House Industry Co. Ltd. 899,482 24,688
Fast Retailing Co. Ltd. 70,685 23,814
Nomura Holdings Inc. 4,735,823 23,721
Eisai Co. Ltd. 370,102 23,586
SMC Corp. 81,338 23,578
Dai-ichi Life Holdings Inc. 1,567,511 22,981
Hoya Corp. 548,326 22,878
Daiichi Sankyo Co. Ltd. 918,261 22,065
Nippon Steel & Sumitomo Metal Corp. 1,094,194 21,679
FUJIFILM Holdings Corp. 558,705 21,125
MS&AD Insurance Group Holdings Inc. 708,312 21,028
Kyocera Corp. 432,559 21,018
Suzuki Motor Corp. 569,475 20,305
Shionogi & Co. Ltd. 411,043 20,243
Kirin Holdings Co. Ltd. 1,165,106 20,030
Toray Industries Inc. 2,108,052 19,620
Tokyo Electron Ltd. 216,452 19,525
Secom Co. Ltd. 269,606 19,449
* Toshiba Corp. 5,296,216 19,177
Mitsubishi Heavy Industries Ltd. 4,447,277 19,025
MEIJI Holdings Co. Ltd. 190,044 18,955
Asahi Group Holdings Ltd. 527,486 18,816
Shimano Inc. 109,462 18,716
Recruit Holdings Co. Ltd. 449,687 18,064
Sumitomo Corp. 1,563,345 17,973
Sumitomo Mitsui Trust Holdings Inc. 525,654 17,737
Terumo Corp. 438,737 16,967
Daito Trust Construction Co. Ltd. 101,077 16,938

 

19

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Sompo Holdings Inc. 513,867 16,627
Ono Pharmaceutical Co. Ltd. 632,924 16,047
Olympus Corp. 446,719 15,924
Sumitomo Realty & Development Co. Ltd. 602,762 15,844
West Japan Railway Co. 255,671 15,743
Oriental Land Co. Ltd. 269,476 15,741
Asahi Kasei Corp. 1,739,529 15,682
Ajinomoto Co. Inc. 704,480 15,666
Sumitomo Electric Industries Ltd. 1,051,896 15,540
Dentsu Inc. 309,395 15,423
Nitto Denko Corp. 214,754 14,962
Nippon Telegraph & Telephone Corp. 336,285 14,910
Fujitsu Ltd. 2,468,072 14,638
Chubu Electric Power Co. Inc. 988,197 14,548
Shiseido Co. Ltd. 545,855 14,080
Daiwa Securities Group Inc. 2,346,067 14,006
Sysmex Corp. 199,490 13,825
Rakuten Inc. 1,169,139 13,479
Resona Holdings Inc. 3,027,275 13,418
Aeon Co. Ltd. 966,386 13,355
JX Holdings Inc. 3,373,501 13,329
Sekisui House Ltd. 804,661 13,296
Tokyo Gas Co. Ltd. 2,896,831 13,144
Mazda Motor Corp. 787,342 13,057
Unicharm Corp. 543,657 12,928
Nitori Holdings Co. Ltd. 103,143 12,321
Mitsubishi Chemical Holdings Corp. 1,827,612 12,000
Inpex Corp. 1,281,378 11,954
Aisin Seiki Co. Ltd. 270,478 11,881
Makita Corp. 169,362 11,710
Hankyu Hanshin Holdings Inc. 350,388 11,601
Osaka Gas Co. Ltd. 2,761,772 11,487
TDK Corp. 165,954 11,458
Marubeni Corp. 2,164,503 11,374
Japan Exchange Group Inc. 765,485 11,366
Yamato Holdings Co. Ltd. 493,265 11,238
Taisei Corp. 1,485,289 11,132
Omron Corp. 272,825 10,471
Tokyu Corp. 1,389,444 10,402
Toyota Industries Corp. 226,460 10,391
Chugai Pharmaceutical Co. Ltd. 303,864 10,355
T&D Holdings Inc. 854,938 10,339
JFE Holdings Inc. 712,593 10,213
Kintetsu Group Holdings Co. Ltd. 2,503,946 10,107
Sumitomo Chemical Co. Ltd. 2,120,905 10,031
* Kansai Electric Power Co. Inc. 1,017,153 9,724
NEC Corp. 3,609,864 9,653
Isuzu Motors Ltd. 755,431 9,344
Asahi Glass Co. Ltd. 1,333,360 9,325
Obayashi Corp. 939,815 9,053
NTT Data Corp. 174,778 9,019
Odakyu Electric Railway Co. Ltd. 424,232 8,656
Yamaha Motor Co. Ltd. 388,186 8,624
Kajima Corp. 1,269,848 8,563
Sumitomo Metal Mining Co. Ltd. 658,971 8,563
Nippon Paint Holdings Co. Ltd. 250,169 8,506
Dai Nippon Printing Co. Ltd. 838,903 8,414
* Tokyo Electric Power Co. Holdings Inc. 2,165,149 8,389
LIXIL Group Corp. 363,658 8,353
Koito Manufacturing Co. Ltd. 158,428 8,318
Yamaha Corp. 232,035 8,290
Tohoku Electric Power Co. Inc. 663,931 8,134
Bandai Namco Holdings Inc. 271,134 8,122
Sekisui Chemical Co. Ltd. 515,089 8,112

 

20

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Santen Pharmaceutical Co. Ltd. 555,502 8,101
Japan Post Holdings Co. Ltd. 627,964 7,993
TOTO Ltd. 199,026 7,951
Seiko Epson Corp. 387,573 7,855
Concordia Financial Group Ltd. 1,687,675 7,825
Kikkoman Corp. 244,348 7,774
Ricoh Co. Ltd. 949,079 7,735
Suntory Beverage & Food Ltd. 175,868 7,690
M3 Inc. 251,732 7,660
^ Nikon Corp. 491,501 7,428
Kuraray Co. Ltd. 486,610 7,377
Toyota Tsusho Corp. 312,414 7,376
Ryohin Keikaku Co. Ltd. 33,204 7,092
FamilyMart UNY Holdings Co. Ltd. 112,758 7,072
Shimizu Corp. 792,196 7,041
NSK Ltd. 631,876 7,024
Yahoo Japan Corp. 1,822,601 6,991
Keikyu Corp. 692,349 6,985
Lawson Inc. 91,435 6,948
Tobu Railway Co. Ltd. 1,400,661 6,877
MISUMI Group Inc. 374,167 6,824
NGK Insulators Ltd. 371,377 6,817
Toppan Printing Co. Ltd. 722,213 6,792
Japan Post Bank Co. Ltd. 573,625 6,760
Nagoya Railroad Co. Ltd. 1,269,008 6,696
Yakult Honsha Co. Ltd. 143,313 6,682
Nissan Chemical Industries Ltd. 196,255 6,654
Hoshizaki Corp. 73,413 6,625
Keio Corp. 797,103 6,597
NH Foods Ltd. 272,935 6,541
Rohm Co. Ltd. 122,654 6,447
Alps Electric Co. Ltd. 261,992 6,285
Shizuoka Bank Ltd. 742,684 6,268
Mitsui Chemicals Inc. 1,272,067 6,264
Don Quijote Holdings Co. Ltd. 162,872 6,191
Taisho Pharmaceutical Holdings Co. Ltd. 63,054 6,151
Mitsubishi Tanabe Pharma Corp. 313,133 6,095
Brother Industries Ltd. 326,747 5,996
Tosoh Corp. 908,532 5,933
Hirose Electric Co. Ltd. 44,892 5,924
Suruga Bank Ltd. 242,390 5,917
Kyushu Electric Power Co. Inc. 646,496 5,874
Yaskawa Electric Corp. 366,494 5,847
Nissin Foods Holdings Co. Ltd. 100,995 5,845
Kawasaki Heavy Industries Ltd. 1,999,009 5,839
Toho Gas Co. Ltd. 629,561 5,838
Electric Power Development Co. Ltd. 249,034 5,799
Kansai Paint Co. Ltd. 269,626 5,794
Tsuruha Holdings Inc. 49,963 5,765
Daicel Corp. 437,185 5,749
Chiba Bank Ltd. 924,453 5,718
Stanley Electric Co. Ltd. 207,176 5,705
Amada Holdings Co. Ltd. 500,557 5,702
Lion Corp. 347,989 5,691
Hamamatsu Photonics KK 187,897 5,685
Trend Micro Inc. 159,719 5,624
Seibu Holdings Inc. 324,739 5,619
Konica Minolta Inc. 626,325 5,610
Kyowa Hakko Kirin Co. Ltd. 359,052 5,478
* IHI Corp. 2,072,877 5,453
Nisshin Seifun Group Inc. 369,624 5,445
NGK Spark Plug Co. Ltd. 273,237 5,422
Shimadzu Corp. 372,402 5,419
Hisamitsu Pharmaceutical Co. Inc. 100,988 5,387

 

21

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Aozora Bank Ltd. 1,630,229 5,386
Alfresa Holdings Corp. 251,566 5,317
JGC Corp. 299,793 5,300
Asics Corp. 247,735 5,287
Konami Holdings Corp. 132,531 5,234
Nippon Express Co. Ltd. 1,054,686 5,210
Oji Holdings Corp. 1,222,903 5,171
Toyo Suisan Kaisha Ltd. 127,011 5,146
USS Co. Ltd. 301,996 5,107
Yamada Denki Co. Ltd. 984,763 5,090
Isetan Mitsukoshi Holdings Ltd. 500,357 5,057
Rinnai Corp. 52,022 4,998
Chugoku Electric Power Co. Inc. 426,379 4,989
* Kyushu Railway Co. 168,300 4,959
Mitsubishi Materials Corp. 171,804 4,922
Taiheiyo Cement Corp. 1,710,067 4,897
Nabtesco Corp. 162,291 4,847
Mitsubishi Motors Corp. 871,533 4,838
Toho Co. Ltd. 160,786 4,824
Obic Co. Ltd. 92,411 4,801
Nomura Research Institute Ltd. 137,000 4,752
J Front Retailing Co. Ltd. 345,137 4,751
Yokogawa Electric Corp. 337,748 4,744
DeNA Co. Ltd. 147,407 4,742
Keisei Electric Railway Co. Ltd. 196,682 4,742
Hulic Co. Ltd. 496,747 4,730
Teijin Ltd. 244,710 4,728
Minebea Co. Ltd. 459,927 4,693
JTEKT Corp. 314,902 4,660
Keihan Holdings Co. Ltd. 690,067 4,659
Nippon Yusen KK 2,257,129 4,619
Sojitz Corp. 1,750,660 4,594
Disco Corp. 37,968 4,589
ANA Holdings Inc. 1,625,941 4,567
Kobayashi Pharmaceutical Co. Ltd. 87,100 4,552
^ Casio Computer Co. Ltd. 316,902 4,414
Fukuoka Financial Group Inc. 1,016,494 4,399
Kewpie Corp. 154,869 4,398
Park24 Co. Ltd. 141,856 4,383
Start Today Co. Ltd. 248,937 4,362
Sohgo Security Services Co. Ltd. 94,089 4,285
Iida Group Holdings Co. Ltd. 220,407 4,260
Mabuchi Motor Co. Ltd. 73,208 4,256
Marui Group Co. Ltd. 300,358 4,214
Pigeon Corp. 148,598 4,181
Sumitomo Rubber Industries Ltd. 249,185 4,180
Sumitomo Heavy Industries Ltd. 788,451 4,151
Sega Sammy Holdings Inc. 280,463 4,141
Mitsubishi Gas Chemical Co. Inc. 269,009 4,140
Tokyu Fudosan Holdings Corp. 728,482 4,106
Ezaki Glico Co. Ltd. 72,023 4,094
Hino Motors Ltd. 375,585 4,094
Toyo Seikan Group Holdings Ltd. 220,965 4,076
TonenGeneral Sekiyu KK 412,798 4,065
JSR Corp. 264,861 4,025
Yamazaki Baking Co. Ltd. 179,244 4,019
Hakuhodo DY Holdings Inc. 332,043 3,991
Fuji Electric Co. Ltd. 795,113 3,970
Air Water Inc. 211,818 3,963
CyberAgent Inc. 133,840 3,888
Credit Saison Co. Ltd. 223,453 3,863
Shimamura Co. Ltd. 30,175 3,863
Mitsui OSK Lines Ltd. 1,540,226 3,852
Haseko Corp. 394,092 3,835

 

22

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Miraca Holdings Inc. 79,216 3,824
  SCREEN Holdings Co. Ltd. 55,771 3,815
  MediPal Holdings Corp. 223,107 3,812
  Sumitomo Dainippon Pharma Co. Ltd. 218,889 3,791
  Suzuken Co. Ltd. 117,357 3,769
  Hitachi High-Technologies Corp. 90,256 3,764
  Kurita Water Industries Ltd. 158,835 3,759
  Calbee Inc. 102,952 3,735
  Bank of Kyoto Ltd. 507,432 3,721
  Ebara Corp. 125,126 3,715
  Kose Corp. 40,495 3,694
  Square Enix Holdings Co. Ltd. 110,853 3,667
  Tokyo Tatemono Co. Ltd. 288,616 3,666
  Nippon Shinyaku Co. Ltd. 72,034 3,657
  Shinsei Bank Ltd. 2,246,243 3,632
  Sundrug Co. Ltd. 45,698 3,595
  NOK Corp. 158,633 3,575
  Kyushu Financial Group Inc. 532,030 3,538
  Yamaguchi Financial Group Inc. 317,300 3,498
  Nichirei Corp. 159,126 3,480
  DIC Corp. 114,577 3,471
  Sony Financial Holdings Inc. 244,988 3,441
  Hiroshima Bank Ltd. 803,043 3,437
  Nankai Electric Railway Co. Ltd. 756,704 3,436
*,^ Sharp Corp. 1,979,678 3,435
  Temp Holdings Co. Ltd. 202,080 3,427
  Advantest Corp. 239,266 3,420
  Hitachi Metals Ltd. 273,519 3,419
  Otsuka Corp. 71,735 3,413
  Takashimaya Co. Ltd. 417,825 3,408
  Hitachi Chemical Co. Ltd. 145,549 3,402
* Kobe Steel Ltd. 411,118 3,393
  Nifco Inc. 58,129 3,348
  THK Co. Ltd. 157,424 3,324
  Kaneka Corp. 398,677 3,299
  Chugoku Bank Ltd. 245,663 3,296
  SBI Holdings Inc. 271,591 3,226
  Idemitsu Kosan Co. Ltd. 138,303 3,178
  Nexon Co. Ltd. 185,413 3,156
  Kakaku.com Inc. 187,737 3,154
  Kaken Pharmaceutical Co. Ltd. 49,365 3,109
  Nippon Electric Glass Co. Ltd. 567,929 3,090
  Nippon Shokubai Co. Ltd. 44,526 3,073
  Hitachi Construction Machinery Co. Ltd. 146,632 3,067
  Hachijuni Bank Ltd. 562,458 3,066
  Ube Industries Ltd. 1,482,988 3,060
  Zenkoku Hosho Co. Ltd. 70,154 3,016
^ Japan Airport Terminal Co. Ltd. 78,337 3,007
  Hokuriku Electric Power Co. 263,840 2,997
  Mitsubishi UFJ Lease & Finance Co. Ltd. 618,791 2,996
  Hikari Tsushin Inc. 32,423 2,976
  Azbil Corp. 100,024 2,966
  Gunma Bank Ltd. 618,851 2,955
  Asahi Intecc Co. Ltd. 67,421 2,920
  Sawai Pharmaceutical Co. Ltd. 44,728 2,890
^ Ito En Ltd. 77,620 2,826
  Nomura Real Estate Holdings Inc. 167,112 2,822
  Denka Co. Ltd. 621,797 2,821
  Matsumotokiyoshi Holdings Co. Ltd. 54,574 2,812
  Nihon M&A Center Inc. 86,486 2,807
^ Kawasaki Kisen Kaisha Ltd. 1,132,835 2,803
  Seven Bank Ltd. 910,239 2,798
  Daifuku Co. Ltd. 153,649 2,776
*,^ PeptiDream Inc. 53,430 2,751

 

23

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Maruichi Steel Tube Ltd. 85,208 2,747
Sanwa Holdings Corp. 275,807 2,747
COMSYS Holdings Corp. 154,872 2,726
Calsonic Kansei Corp. 216,534 2,714
Kagome Co. Ltd. 103,428 2,712
Sugi Holdings Co. Ltd. 50,516 2,706
Nippon Kayaku Co. Ltd. 233,477 2,690
^ Sumco Corp. 254,972 2,668
AEON Financial Service Co. Ltd. 151,373 2,665
Cosmos Pharmaceutical Corp. 12,221 2,659
Tsumura & Co. 93,291 2,651
^ Coca-Cola West Co. Ltd. 89,182 2,636
Sumitomo Forestry Co. Ltd. 187,057 2,606
Sotetsu Holdings Inc. 532,463 2,598
Hokuhoku Financial Group Inc. 179,630 2,589
Nihon Kohden Corp. 105,050 2,561
TIS Inc. 113,106 2,559
Glory Ltd. 77,418 2,559
Oracle Corp. Japan 46,608 2,537
Kamigumi Co. Ltd. 296,568 2,532
Izumi Co. Ltd. 54,682 2,527
Sankyo Co. Ltd. 71,682 2,525
Horiba Ltd. 52,637 2,517
Benesse Holdings Inc. 96,041 2,516
Mitsubishi Logistics Corp. 185,187 2,507
Furukawa Electric Co. Ltd. 85,026 2,502
Megmilk Snow Brand Co. Ltd. 71,769 2,497
Daiichikosho Co. Ltd. 57,396 2,495
Showa Shell Sekiyu KK 265,799 2,477
Nishi-Nippon Railroad Co. Ltd. 522,067 2,475
Yokohama Rubber Co. Ltd. 141,836 2,463
* Acom Co. Ltd. 534,372 2,459
Sapporo Holdings Ltd. 86,631 2,447
^ Nippon Paper Industries Co. Ltd. 129,244 2,419
Welcia Holdings Co. Ltd. 35,207 2,400
Aeon Mall Co. Ltd. 160,643 2,386
Zensho Holdings Co. Ltd. 126,488 2,362
Aoyama Trading Co. Ltd. 66,900 2,357
Toyoda Gosei Co. Ltd. 102,757 2,355
Dowa Holdings Co. Ltd. 315,255 2,341
Rohto Pharmaceutical Co. Ltd. 133,392 2,340
Iyo Bank Ltd. 380,341 2,338
Showa Denko KK 176,875 2,337
House Foods Group Inc. 104,507 2,333
Citizen Watch Co. Ltd. 414,026 2,327
Ain Holdings Inc. 34,398 2,322
Miura Co. Ltd. 134,418 2,319
GS Yuasa Corp. 536,913 2,319
Takara Holdings Inc. 243,162 2,303
Relo Group Inc. 13,878 2,298
Seino Holdings Co. Ltd. 205,502 2,277
NTN Corp. 600,141 2,272
Fujikura Ltd. 386,096 2,269
Coca-Cola East Japan Co. Ltd. 102,374 2,256
NHK Spring Co. Ltd. 237,148 2,245
Tokyo Century Corp. 63,283 2,230
Toyo Tire & Rubber Co. Ltd. 143,287 2,222
Kinden Corp. 184,398 2,221
Pola Orbis Holdings Inc. 26,678 2,220
77 Bank Ltd. 489,528 2,211
SCSK Corp. 58,991 2,201
Leopalace21 Corp. 336,738 2,189
Toyota Boshoku Corp. 86,725 2,186
Pilot Corp. 48,870 2,185

 

24

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* Itoham Yonekyu Holdings Inc. 228,590 2,180
* Nishi-Nippon Financial Holdings Inc. 217,276 2,163
^ OSG Corp. 100,926 2,150
  Taiyo Nippon Sanso Corp. 203,174 2,136
  Topcon Corp. 142,846 2,132
  Sumitomo Osaka Cement Co. Ltd. 513,206 2,126
  Ibiden Co. Ltd. 145,472 2,112
  ABC-Mart Inc. 34,286 2,086
  Toyobo Co. Ltd. 1,268,247 2,076
*,^ LINE Corp. 50,569 2,070
  Nipro Corp. 166,502 2,056
  Daido Steel Co. Ltd. 481,485 2,044
  Nagase & Co. Ltd. 158,469 2,027
^ Shikoku Electric Power Co. Inc. 211,153 1,986
  K's Holdings Corp. 113,511 1,964
^ Japan Post Insurance Co. Ltd. 93,462 1,959
^ MonotaRO Co. Ltd. 80,282 1,953
  Daishi Bank Ltd. 453,196 1,949
  Ushio Inc. 161,380 1,947
  TS Tech Co. Ltd. 72,538 1,945
  Wacoal Holdings Corp. 168,448 1,943
  Chiyoda Corp. 215,803 1,882
  Hokkaido Electric Power Co. Inc. 246,126 1,872
  Resorttrust Inc. 93,626 1,871
  Skylark Co. Ltd. 133,022 1,871
  Zeon Corp. 200,960 1,836
  H2O Retailing Corp. 123,502 1,834
  Japan Steel Works Ltd. 85,150 1,829
  Bic Camera Inc. 212,152 1,826
  Shochiku Co. Ltd. 161,340 1,807
  Tadano Ltd. 160,224 1,799
  Nisshinbo Holdings Inc. 180,466 1,797
  Rengo Co. Ltd. 286,488 1,797
  Shiga Bank Ltd. 343,951 1,784
  Capcom Co. Ltd. 68,523 1,770
  FP Corp. 32,723 1,763
  Shimachu Co. Ltd. 65,291 1,752
  Fujitsu General Ltd. 76,330 1,752
  OKUMA Corp. 208,863 1,748
  Japan Airlines Co. Ltd. 59,138 1,745
  Awa Bank Ltd. 264,274 1,738
  Toda Corp. 319,208 1,730
  Senshu Ikeda Holdings Inc. 377,548 1,718
  Heiwa Corp. 71,315 1,675
  Nisshin Steel Co. Ltd. 125,886 1,675
  Yamato Kogyo Co. Ltd. 58,199 1,639
  Itochu Techno-Solutions Corp. 66,042 1,629
  Taiyo Yuden Co. Ltd. 151,663 1,620
  Kyudenko Corp. 49,861 1,606
  Tokai Tokyo Financial Holdings Inc. 310,828 1,577
^ Sanrio Co. Ltd. 82,250 1,541
  San-In Godo Bank Ltd. 210,815 1,517
  Lintec Corp. 69,499 1,514
  North Pacific Bank Ltd. 404,068 1,507
  DMG Mori Co. Ltd. 140,434 1,489
  Juroku Bank Ltd. 489,713 1,477
  Jafco Co. Ltd. 43,963 1,460
*,^ Orient Corp. 778,387 1,450
  Maeda Road Construction Co. Ltd. 78,197 1,447
  Mochida Pharmaceutical Co. Ltd. 18,022 1,412
  KYORIN Holdings Inc. 62,570 1,398
  Autobacs Seven Co. Ltd. 98,295 1,398
  Kandenko Co. Ltd. 140,828 1,388
  Keiyo Bank Ltd. 330,084 1,388

 

25

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Mitsui Engineering & Shipbuilding Co. Ltd. 996,373 1,384
  NTT Urban Development Corp. 150,037 1,379
  Nippo Corp. 71,459 1,378
^ HIS Co. Ltd. 50,188 1,370
  Ariake Japan Co. Ltd. 24,485 1,368
^ GungHo Online Entertainment Inc. 533,857 1,351
  Hitachi Capital Corp. 58,899 1,314
  Hitachi Transport System Ltd. 63,098 1,301
  Koei Tecmo Holdings Co. Ltd. 66,317 1,269
  Tokai Rika Co. Ltd. 66,679 1,250
^ Fukuyama Transporting Co. Ltd. 218,084 1,242
^ ASKUL Corp. 29,869 1,230
  Ichigo Inc. 282,516 1,225
*,^ Aiful Corp. 392,479 1,194
  Canon Marketing Japan Inc. 67,456 1,165
  Exedy Corp. 40,616 1,160
  Kissei Pharmaceutical Co. Ltd. 44,328 1,159
  Cosmo Energy Holdings Co. Ltd. 88,443 1,156
^ Matsui Securities Co. Ltd. 143,360 1,147
  Kusuri No Aoki Co. Ltd. 21,412 1,093
^ Japan Aviation Electronics Industry Ltd. 75,747 1,085
  Nissan Shatai Co. Ltd. 101,647 1,049
^ GMO Payment Gateway Inc. 22,403 1,029
  Adastria Co. Ltd. 38,363 1,004
^ Japan Display Inc. 478,000 941
  Komeri Co. Ltd. 38,421 938
  Japan Petroleum Exploration Co. Ltd. 41,958 918
^ COLOPL Inc. 62,246 895
  NS Solutions Corp. 46,521 887
  Daikyo Inc. 398,940 856
  SKY Perfect JSAT Holdings Inc. 169,972 842
  PanaHome Corp. 100,456 747
  Tokyo Broadcasting System Holdings Inc. 46,579 732
  Gree Inc. 127,557 707
  Mitsubishi Shokuhin Co. Ltd. 21,308 699
  TV Asahi Holdings Corp. 31,741 595
^ COOKPAD Inc. 59,359 564
  Toppan Forms Co. Ltd. 53,573 533
  OBIC Business Consultants Co. Ltd. 9,842 461
  Sumitomo Real Estate Sales Co. Ltd. 19,014 430
*,^ Aplus Financial Co. Ltd. 99,286 100
      4,506,855
Malaysia (0.7%)    
  Public Bank Bhd. (Local) 4,323,800 20,466
  Tenaga Nasional Bhd. 4,904,700 16,759
  Malayan Banking Bhd. 7,624,274 14,355
  CIMB Group Holdings Bhd. 7,771,650 9,310
  Sime Darby Bhd. 4,576,997 8,938
  Axiata Group Bhd. 6,332,024 7,424
  Petronas Chemicals Group Bhd. 4,006,568 6,684
  DiGi.Com Bhd. 5,198,666 6,235
  IHH Healthcare Bhd. 3,904,800 5,955
  Petronas Gas Bhd. 1,107,450 5,799
  Genting Bhd. 3,083,600 5,762
  Maxis Bhd. 3,612,000 5,131
  IOI Corp. Bhd. 4,668,965 5,004
  Genting Malaysia Bhd. 3,974,000 4,510
  Kuala Lumpur Kepong Bhd. 743,400 4,244
  MISC Bhd. 2,068,323 3,707
  Gamuda Bhd. 2,946,400 3,451
  IJM Corp. Bhd. 4,361,540 3,432
  PPB Group Bhd. 818,900 3,146
  Hong Leong Bank Bhd. 870,800 2,763
  YTL Corp. Bhd. 7,113,353 2,697

 

26

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
AMMB Holdings Bhd. 2,683,600 2,687
Telekom Malaysia Bhd. 1,568,400 2,444
British American Tobacco Malaysia Bhd. 200,400 2,366
Petronas Dagangan Bhd. 420,300 2,340
* SapuraKencana Petroleum Bhd. 5,888,796 2,264
Malaysia Airports Holdings Bhd. 1,270,500 2,006
2 Astro Malaysia Holdings Bhd. 2,853,668 1,939
RHB Bank Bhd. (XKLS) 1,548,758 1,783
HAP Seng Consolidated Bhd. 905,500 1,682
Westports Holdings Bhd. 1,489,596 1,566
YTL Power International Bhd. 4,148,747 1,513
IOI Properties Group Bhd. 2,504,954 1,460
Alliance Financial Group Bhd. 1,522,300 1,448
UMW Holdings Bhd. 940,200 1,332
Felda Global Ventures Holdings Bhd. 2,588,300 1,240
Hong Leong Financial Group Bhd. 322,335 1,208
Lafarge Malaysia Bhd. 624,310 1,205
KLCCP Stapled Group 603,000 1,147
AirAsia Bhd. 1,657,700 1,095
Berjaya Sports Toto Bhd. 1,103,577 839
Bumi Armada Bhd. 4,390,500 736
MMC Corp. Bhd. 1,136,100 648
UEM Sunrise Bhd. 2,081,400 555
* Gamuda Bhd. Warrants Exp. 03/06/2021 491,066 152
* RHB Captial BHD 1,187,500 14
    181,441
Malta (0.0%)    
* BGP Holdings PLC 3,738,510
 
Mexico (0.9%)    
Fomento Economico Mexicano SAB de CV 3,006,312 28,837
America Movil SAB de CV 41,048,183 27,190
Grupo Financiero Banorte SAB de CV 3,152,993 18,568
Grupo Televisa SAB 3,447,942 16,965
Wal-Mart de Mexico SAB de CV 7,790,961 16,484
Grupo Mexico SAB de CV Class B 5,409,536 13,328
* Cemex SAB de CV ADR 1,159,518 10,065
Fibra Uno Administracion SA de CV 3,734,509 7,127
Grupo Bimbo SAB de CV Class A 2,623,220 7,066
* Cemex SAB de CV 7,819,213 6,768
Alfa SAB de CV Class A 3,904,335 5,920
Grupo Aeroportuario del Sureste SAB de CV Class B 312,267 4,967
Grupo Financiero Inbursa SAB de CV 2,871,647 4,660
Grupo Aeroportuario del Pacifico SAB de CV Class B 473,663 4,578
Industrias Penoles SAB de CV 176,790 4,287
Coca-Cola Femsa SAB de CV 569,046 4,275
Grupo Financiero Santander Mexico SAB de CV Class B 2,072,513 3,751
Mexichem SAB de CV 1,567,934 3,750
Gruma SAB de CV Class B 231,795 3,216
Promotora y Operadora de Infraestructura SAB de CV 274,514 3,069
Gentera SAB de CV 1,548,862 3,057
Grupo Carso SAB de CV 660,605 2,883
El Puerto de Liverpool SAB de CV 274,197 2,874
Alsea SAB de CV 728,110 2,717
Kimberly-Clark de Mexico SAB de CV Class A 1,197,551 2,582
Arca Continental SAB de CV 399,173 2,484
Infraestructura Energetica Nova SAB de CV 528,140 2,338
Banregio Grupo Financiero SAB de CV 305,201 2,000
Grupo Aeroportuario del Centro Norte SAB de CV Class B 284,276 1,654
Megacable Holdings SAB de CV 421,729 1,533
* Controladora Vuela Cia de Aviacion SAB de CV Class A 783,410 1,496
* OHL Mexico SAB de CV 1,023,111 1,205
* Grupo Aeromexico SAB de CV 604,492 1,194
Grupo Lala SAB de CV 634,123 1,181

 

27

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* Telesites SAB de CV 1,871,416 1,081
  Industrias Bachoco SAB de CV Class B 235,291 1,042
* Organizacion Soriana SAB de CV Class B 365,787 1,000
  Grupo Comercial Chedraui SA de CV 427,555 954
* Industrias CH SAB de CV Class B 194,845 922
2 Nemak SAB de CV 751,299 780
  Promotora y Operadora de Infraestructura SAB de CV Class L 73,691 694
  Grupo Elektra SAB DE CV 49,600 692
  Alpek SAB de CV 456,567 680
  Concentradora Fibra Danhos SA de CV 334,073 612
* Minera Frisco SAB de CV 772,858 601
  Grupo Financiero Interacciones SA de CV 103,655 507
      233,634
Netherlands (2.1%)    
  Unilever NV 2,163,079 90,473
  ING Groep NV 5,367,265 70,456
  ASML Holding NV 446,117 47,197
* Koninklijke Ahold Delhaize NV 1,757,563 40,094
  Koninklijke Philips NV 1,269,043 38,239
  Unibail-Rodamco SE 136,914 32,499
  Heineken NV 301,247 24,813
  Akzo Nobel NV 344,753 22,275
  RELX NV (XAMS) 1,258,851 21,227
* ArcelorMittal 2,545,458 17,200
  Wolters Kluwer NV 405,232 15,670
  Koninklijke DSM NV 242,804 15,606
  Koninklijke KPN NV 4,313,938 14,067
  NN Group NV 450,145 13,560
  Aegon NV 2,664,285 11,526
  Heineken Holding NV 135,448 10,422
* Altice NV Class A 521,742 9,623
  Randstad Holding NV 153,257 7,882
2 ABN AMRO Group NV 301,477 6,958
  Gemalto NV 112,786 6,128
  Koninklijke Vopak NV 91,532 4,620
  Boskalis Westminster 112,509 3,629
* Altice NV Class B 166,740 3,104
2 GrandVision NV 69,515 1,592
*,^ OCI NV 112,572 1,563
      530,423
New Zealand (0.2%)    
  Fletcher Building Ltd. 955,751 7,080
  Spark New Zealand Ltd. 2,535,018 6,630
  Auckland International Airport Ltd. 1,233,283 5,808
  Fisher & Paykel Healthcare Corp. Ltd. 790,208 5,003
  Ryman Healthcare Ltd. 570,514 3,621
  Contact Energy Ltd. 982,098 3,340
  Meridian Energy Ltd. 1,685,891 3,099
  SKYCITY Entertainment Group Ltd. 910,753 2,539
  Mercury NZ Ltd. 936,283 2,044
  Kiwi Property Group Ltd. 1,826,056 1,915
  SKY Network Television Ltd. 540,395 1,784
* Xero Ltd. 125,806 1,596
  Air New Zealand Ltd. 712,756 983
  Vector Ltd. 353,076 804
  Warehouse Group Ltd. 198,746 426
      46,672
Norway (0.4%)    
^ Statoil ASA 1,331,822 21,743
  DNB ASA 1,343,150 19,418
^ Telenor ASA 962,394 15,307
  Orkla ASA 1,082,318 10,220
  Marine Harvest ASA 517,819 9,397

 

28

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Yara International ASA 245,897 8,686
  Norsk Hydro ASA 1,857,206 8,303
  Gjensidige Forsikring ASA 235,664 4,222
  Schibsted ASA Class B 121,482 2,737
  Schibsted ASA Class A 111,247 2,666
      102,699
Other (0.3%)3    
4 Vanguard FTSE Emerging Markets ETF 1,921,981 72,555
 
Pakistan (0.0%)    
  Oil & Gas Development Co. Ltd. 894,300 1,196
  Pakistan Petroleum Ltd. 566,800 801
  National Bank of Pakistan 700,000 480
  Fauji Fertilizer Co. Ltd. 327,700 324
      2,801
Peru (0.1%)    
  Credicorp Ltd. 64,722 9,618
* Cia de Minas Buenaventura SAA ADR 292,341 3,885
  Credicorp Ltd. (New York Shares) 7,391 1,099
      14,602
Philippines (0.3%)    
  SM Investments Corp. 662,089 9,178
  SM Prime Holdings Inc. 12,872,437 7,148
  JG Summit Holdings Inc. 4,266,249 6,684
  Ayala Corp. 338,228 5,831
  Aboitiz Equity Ventures Inc. 3,061,894 4,929
  BDO Unibank Inc. 2,007,681 4,676
  Bank of the Philippine Islands 2,198,492 4,588
  Universal Robina Corp. 1,213,719 4,561
  Ayala Land Inc. 5,365,157 4,013
  Jollibee Foods Corp. 602,715 2,960
  Metropolitan Bank & Trust Co. 1,743,215 2,928
  Manila Electric Co. 425,371 2,426
* PLDT Inc. 76,547 2,416
  Aboitiz Power Corp. 2,265,332 2,146
  Alliance Global Group Inc. 5,660,999 1,666
  GT Capital Holdings Inc. 58,181 1,572
  DMCI Holdings Inc. 5,700,996 1,470
  Megaworld Corp. 16,244,706 1,346
  International Container Terminal Services Inc. 726,084 1,166
  Energy Development Corp. 9,468,077 1,153
  LT Group Inc. 3,826,241 1,141
  Semirara Mining & Power Corp. Class A 428,001 1,113
  Petron Corp. 3,408,073 728
  Globe Telecom Inc. 19,444 715
* Bloomberry Resorts Corp. 4,333,150 529
  Emperador Inc. 362,077 54
      77,137
Poland (0.3%)    
  Polski Koncern Naftowy ORLEN SA 444,110 8,799
  Powszechna Kasa Oszczednosci Bank Polski SA 1,196,332 8,381
  Bank Pekao SA 217,997 6,728
  Powszechny Zaklad Ubezpieczen SA 781,503 5,426
  KGHM Polska Miedz SA 193,114 3,505
  Bank Zachodni WBK SA 39,980 3,230
  Polskie Gornictwo Naftowe i Gazownictwo SA 2,433,599 3,116
^ LPP SA 1,807 2,714
  PGE Polska Grupa Energetyczna SA 1,007,318 2,639
* Cyfrowy Polsat SA 306,949 1,897
  CCC SA 35,307 1,792
* mBank SA 17,423 1,573
* Alior Bank SA 121,029 1,457
  Asseco Poland SA 102,196 1,366
  Orange Polska SA 936,861 1,338

 

29

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
*,^ Bank Millennium SA 872,749 1,284
* Grupa Lotos SA 124,933 1,083
  Eurocash SA 105,159 1,065
  Grupa Azoty SA 63,106 1,005
* Tauron Polska Energia SA 1,461,903 988
  Bank Handlowy w Warszawie SA 48,064 952
  Energa SA 432,895 888
*,^ Synthos SA 682,066 826
*,^ Enea SA 315,732 809
  Budimex SA 13,769 714
  Ciech SA 33,968 554
      64,129
Portugal (0.1%)    
  Galp Energia SGPS SA 716,258 9,711
  EDP - Energias de Portugal SA 2,674,091 8,839
  Jeronimo Martins SGPS SA 340,359 5,848
  EDP Renovaveis SA 286,411 2,164
* Banco Espirito Santo SA 3,873,216 8
      26,570
Qatar (0.1%)    
  Qatar National Bank SAQ 145,369 6,381
  Industries Qatar QSC 117,176 3,277
  Masraf Al Rayan QSC 267,269 2,537
  Ooredoo QSC 75,420 2,007
* Qatar Insurance Co. SAQ 82,359 1,982
  Qatar Gas Transport Co. Ltd. 187,996 1,166
  Qatar Islamic Bank SAQ 40,908 1,149
  Qatar Electricity & Water Co. QSC 19,044 1,098
  Commercial Bank QSC 111,544 1,092
* Doha Bank QSC 88,214 881
* Vodafone Qatar QSC 230,764 665
  United Development Co. QSC 120,151 658
* Aamal Co. 175,273 654
  Barwa Real Estate Co. 67,667 593
* Qatar Navigation QSC 20,285 524
* Ezdan Holding Group QSC 110,212 474
* Qatar International Islamic Bank QSC 26,206 453
* Qatari Investors Group QSC 21,524 342
* Gulf International Services QSC 32,174 269
* Al Meera Consumer Goods Co. QSC 3,463 177
      26,379
Russia (0.9%)    
  Lukoil PJSC ADR 634,142 30,846
  Sberbank of Russia PJSC 11,548,196 26,880
  Gazprom PJSC ADR 6,134,368 26,451
  NOVATEK OAO 1,562,866 16,295
  Magnit PJSC GDR 387,041 15,349
  Tatneft PJSC ADR 330,248 11,023
  MMC Norilsk Nickel PJSC ADR 660,376 9,961
  Rosneft PJSC GDR 1,618,349 8,801
  Sberbank of Russia PJSC ADR 863,188 8,175
  Gazprom PJSC 3,041,605 6,665
  AK Transneft OAO Preference Shares 2,181 5,223
  Alrosa PJSC 3,520,300 4,924
  Surgutneftegas OAO Preference Shares 10,717,000 4,859
  Surgutneftegas OJSC ADR 991,341 4,252
  VTB Bank PJSC GDR 1,835,171 3,836
  VTB Bank PJSC 3,436,898,867 3,676
  Mobile TeleSystems PJSC 1,032,110 3,641
  Moscow Exchange MICEX-RTS PJSC 1,881,354 3,466
  Severstal PJSC GDR 234,124 3,301
  Novolipetsk Steel PJSC 1,276,873 2,067
  RusHydro PJSC 137,006,634 1,720

 

30

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Bashneft PJSC 30,286 1,588
  Sistema PJSC FC GDR 191,390 1,430
  PhosAgro PJSC GDR 110,160 1,366
  Mobile TeleSystems PJSC ADR 176,255 1,359
  Inter RAO UES PJSC 24,257,300 1,301
* Aeroflot PJSC 617,914 1,266
  MegaFon PJSC GDR 125,661 1,197
  Magnitogorsk Iron & Steel OJSC 2,059,448 1,035
* Uralkali PJSC 360,666 944
  Federal Grid Co. Unified Energy System JSC 335,366,667 905
  Rostelecom PJSC ADR 120,788 898
  Rostelecom PJSC 682,908 852
  E.ON Russia JSC 18,049,100 830
  LSR Group PJSC GDR 262,910 743
  Tatneft PAO Preference Shares 197,090 631
  Bashneft PAO Preference Shares 26,876 627
  Rosseti PJSC 33,612,627 518
  Acron JSC 8,035 380
      219,281
Singapore (0.9%)    
  Singapore Telecommunications Ltd. 10,175,446 28,358
  Oversea-Chinese Banking Corp. Ltd. 4,596,211 28,001
  DBS Group Holdings Ltd. 2,478,148 26,711
  United Overseas Bank Ltd. 1,666,150 22,477
  CapitaLand Ltd. 3,519,041 7,805
  Keppel Corp. Ltd. 1,978,879 7,484
  Wilmar International Ltd. 2,902,707 6,891
^ Singapore Press Holdings Ltd. 2,227,257 5,952
  Singapore Exchange Ltd. 1,138,158 5,799
  CapitaLand Mall Trust 3,666,951 5,464
  Ascendas REIT 3,138,256 5,348
  Global Logistic Properties Ltd. 4,127,868 5,253
  ComfortDelGro Corp. Ltd. 2,818,649 5,139
  Singapore Airlines Ltd. 703,124 5,117
  City Developments Ltd. 826,261 5,031
  Singapore Technologies Engineering Ltd. 2,154,622 4,844
  Jardine Cycle & Carriage Ltd. 152,439 4,616
  Genting Singapore plc 8,362,164 4,475
  Suntec REIT 3,371,472 4,072
  CapitaLand Commercial Trust 2,747,429 3,109
  Hutchison Port Holdings Trust 6,978,508 3,100
  SATS Ltd. 862,615 3,001
  UOL Group Ltd. 660,467 2,686
  Golden Agri-Resources Ltd. 8,852,401 2,444
  Venture Corp. Ltd. 343,451 2,346
^ Singapore Post Ltd. 2,036,464 2,340
  Sembcorp Industries Ltd. 1,232,691 2,232
  StarHub Ltd. 812,337 1,972
  Yangzijiang Shipbuilding Holdings Ltd. 2,878,845 1,539
*,^ Noble Group Ltd. 12,660,689 1,505
^ Olam International Ltd. 746,187 1,153
^ Sembcorp Marine Ltd. 1,200,177 1,113
  Yanlord Land Group Ltd. 954,500 950
^ SIA Engineering Co. Ltd. 327,809 870
  Wing Tai Holdings Ltd. 547,240 667
^ M1 Ltd. 394,943 579
      220,443
South Africa (1.7%)    
  Naspers Ltd. 596,325 99,873
  Sasol Ltd. 766,701 21,172
  MTN Group Ltd. 2,434,108 21,024
* Steinhoff International Holdings NV (XJSE) 3,407,498 18,382
  Standard Bank Group Ltd. 1,671,629 17,745
  FirstRand Ltd. 4,214,415 15,112

 

31

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Remgro Ltd. 739,228 12,273
  Sanlam Ltd. 2,444,240 11,839
  Aspen Pharmacare Holdings Ltd. 500,550 10,904
  Shoprite Holdings Ltd. 605,746 8,939
  Bid Corp. Ltd. 468,368 8,225
* AngloGold Ashanti Ltd. 564,925 7,692
  Woolworths Holdings Ltd. 1,315,871 7,621
  Vodacom Group Ltd. 703,660 7,592
  Growthpoint Properties Ltd. 3,719,568 6,936
  Barclays Africa Group Ltd. 589,734 6,844
  Tiger Brands Ltd. 224,358 6,389
  Bidvest Group Ltd. 471,430 5,857
  Redefine Properties Ltd. 6,373,699 5,454
  Netcare Ltd. 2,005,522 5,150
  Nedbank Group Ltd. 296,496 4,853
  Gold Fields Ltd. 1,152,577 4,754
* Sappi Ltd. 743,708 4,138
  RMB Holdings Ltd. 920,251 4,054
  New Europe Property Investments plc 311,027 3,833
  Discovery Ltd. 440,725 3,767
  Life Healthcare Group Holdings Ltd. 1,387,620 3,707
  Mr Price Group Ltd. 323,834 3,689
  Capitec Bank Holdings Ltd. 72,075 3,659
  SPAR Group Ltd. 256,037 3,630
* Impala Platinum Holdings Ltd. 825,661 3,336
  Truworths International Ltd. 613,389 3,254
  Mondi Ltd. 165,855 3,240
  AVI Ltd. 454,381 3,192
  Clicks Group Ltd. 338,618 3,159
  Resilient REIT Ltd. 372,531 3,082
  Hyprop Investments Ltd. 345,050 3,062
  Brait SE 459,604 3,050
  Imperial Holdings Ltd. 238,668 3,015
  Foschini Group Ltd. 285,030 2,930
  Sibanye Gold Ltd. 1,000,205 2,782
  Pioneer Foods Group Ltd. 201,484 2,427
  MMI Holdings Ltd. 1,444,548 2,420
  Pick n Pay Stores Ltd. 484,413 2,373
  Fortress Income Fund Ltd. Class B 974,724 2,316
  Investec Ltd. 368,435 2,269
  PSG Group Ltd. 140,287 2,190
  Telkom SA SOC Ltd. 440,576 2,031
* Anglo American Platinum Ltd. 83,529 1,975
  Coronation Fund Managers Ltd. 364,991 1,964
*,^ EOH Holdings Ltd. 165,253 1,960
  Fortress Income Fund Ltd. Class A 1,491,164 1,804
* Northam Platinum Ltd. 480,049 1,749
  Barloworld Ltd. 265,565 1,715
  Tsogo Sun Holdings Ltd. 711,841 1,619
  Harmony Gold Mining Co. Ltd. 513,914 1,595
  Liberty Holdings Ltd. 164,126 1,413
  Tongaat Hulett Ltd. 156,044 1,410
* Super Group Ltd. 471,626 1,392
  JSE Ltd. 116,870 1,362
  Exxaro Resources Ltd. 180,526 1,331
  Massmart Holdings Ltd. 147,831 1,280
  AECI Ltd. 159,124 1,202
  Nampak Ltd. 792,613 1,105
* Attacq Ltd. 861,776 1,096
  Reunert Ltd. 234,794 1,073
  Omnia Holdings Ltd. 87,708 1,062
  KAP Industrial Holdings Ltd. 1,824,459 1,049
  Santam Ltd. 56,798 1,020
  African Rainbow Minerals Ltd. 131,374 952

 

32

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Sun International Ltd. 139,770 863
*,^ Kumba Iron Ore Ltd. 79,219 807
  Distell Group Ltd. 61,928 760
  Steinhoff International Holdings NV (XETR) 134,010 714
* Curro Holdings Ltd. 180,836 665
  Assore Ltd. 45,657 616
  Grindrod Ltd. 684,106 564
  Oceana Group Ltd. 55,022 469
* Adcock Ingram Holdings Ltd. Warrants Exp. 07/26/2019 5,387 1
  PPC Ltd. 27
* African Bank Investments Ltd. 1,597,662
      431,822
South Korea (3.3%)    
  Samsung Electronics Co. Ltd. GDR 207,312 145,846
  Samsung Electronics Co. Ltd. 36,975 52,886
  Samsung Electronics Co. Ltd. Preference Shares 24,223 27,851
  NAVER Corp. 36,851 27,571
  SK Hynix Inc. 736,609 26,346
  Hyundai Motor Co. 201,583 24,611
  Hyundai Mobis Co. Ltd. 90,866 21,672
  Shinhan Financial Group Co. Ltd. ADR 529,770 20,470
  POSCO ADR 375,570 19,511
  Samsung C&T Corp. 124,520 17,552
  KB Financial Group Inc. ADR 427,272 15,801
  KT&G Corp. 153,529 15,143
  Amorepacific Corp. 43,723 13,698
  LG Chem Ltd. 60,579 13,011
  Kia Motors Corp. 358,196 12,719
  Korea Electric Power Corp. ADR 574,341 12,526
  Hana Financial Group Inc. 409,967 11,726
  Samsung Fire & Marine Insurance Co. Ltd. 45,234 11,508
  SK Innovation Co. Ltd. 84,524 11,126
  Samsung Life Insurance Co. Ltd. 101,973 9,840
*,^ Celltrion Inc. 100,566 9,317
  SK Holdings Co. Ltd. 46,391 9,050
  LG Household & Health Care Ltd. 12,183 8,715
* Hyundai Heavy Industries Co. Ltd. 64,748 8,211
  LG Display Co. Ltd. 312,214 7,465
  LG Corp. 124,277 6,646
  Samsung SDI Co. Ltd. 76,530 6,299
  LG Electronics Inc. 150,255 6,264
  Samsung SDS Co. Ltd. 45,195 6,095
  Coway Co. Ltd. 75,159 5,879
  KB Financial Group Inc. 149,364 5,529
  NCSoft Corp. 23,830 5,505
  Korea Zinc Co. Ltd. 13,769 5,467
  Lotte Chemical Corp. 20,427 5,132
  AMOREPACIFIC Group 39,279 5,071
  Hankook Tire Co. Ltd. 104,458 5,016
  Kangwon Land Inc. 151,015 5,005
  Korea Aerospace Industries Ltd. 83,566 4,720
  Woori Bank 418,617 4,562
  Hyundai Steel Co. 104,433 4,500
  Hyundai Motor Co. 2nd Preference Shares 50,412 4,425
  SK Telecom Co. Ltd. ADR 200,578 4,383
  Shinhan Financial Group Co. Ltd. 111,127 4,251
  Industrial Bank of Korea 367,532 4,231
  E-MART Inc. 29,487 4,181
  Dongbu Insurance Co. Ltd. 65,831 4,084
  S-Oil Corp. 58,544 4,001
  Hyundai Glovis Co. Ltd. 25,825 3,909
  Hyosung Corp. 32,351 3,779
  Hyundai Engineering & Construction Co. Ltd. 99,631 3,599
  Hyundai Development Co-Engineering & Construction 84,728 3,583

 

33

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Orion Corp. 5,551 3,465
  BNK Financial Group Inc. 408,558 3,312
  Samsung Electro-Mechanics Co. Ltd. 76,715 3,149
  CJ CheilJedang Corp. 10,251 3,127
  GS Holdings Corp. 70,152 3,121
  LG Uplus Corp. 295,513 3,046
  Lotte Shopping Co. Ltd. 15,062 3,005
  Korea Electric Power Corp. 68,771 2,975
^ Kakao Corp. 43,615 2,908
^ Hanmi Pharm Co. Ltd. 8,987 2,838
  CJ Corp. 18,447 2,808
  Hanwha Techwin Co. Ltd. 50,039 2,779
  KCC Corp. 7,827 2,763
  Daelim Industrial Co. Ltd. 37,810 2,694
  Hyundai Motor Co. Preference Shares 32,261 2,694
  Hanwha Chemical Corp. 111,887 2,634
  Hyundai Marine & Fire Insurance Co. Ltd. 84,021 2,594
  Amorepacific Corp. Preference Shares 14,843 2,591
  Hanwha Corp. 69,631 2,268
  Samsung Securities Co. Ltd. 74,487 2,240
^ Hotel Shilla Co. Ltd. 44,126 2,207
  Hanon Systems 232,567 2,175
^ BGF retail Co. Ltd. 14,269 2,167
  Hyundai Department Store Co. Ltd. 20,832 2,137
  S-1 Corp. 26,384 2,130
^ Hanssem Co. Ltd. 13,737 2,128
  Mando Corp. 8,943 2,091
*,^ OCI Co. Ltd. 25,474 2,008
  Doosan Heavy Industries & Construction Co. Ltd. 86,748 1,979
  Korea Investment Holdings Co. Ltd. 53,307 1,909
  Hanwha Life Insurance Co. Ltd. 349,122 1,906
  Yuhan Corp. 10,378 1,903
  Samsung Card Co. Ltd. 44,754 1,884
  SK Telecom Co. Ltd. 9,146 1,793
*,^ Samsung Engineering Co. Ltd. 214,193 1,768
  Mirae Asset Daewoo Co. Ltd. 261,524 1,764
  DGB Financial Group Inc. 210,300 1,762
  Mirae Asset Securities Co. Ltd. 88,167 1,739
*,^ Samsung Heavy Industries Co. Ltd. 204,585 1,739
*,^ CJ Korea Express Corp. 9,755 1,713
  LG Chem Ltd. Preference Shares 10,351 1,625
  NH Investment & Securities Co. Ltd. 183,094 1,610
  Shinsegae Inc. 9,666 1,570
  Korea Gas Corp. 37,088 1,499
  Hyundai Wia Corp. 21,679 1,487
*,^ Daewoo Engineering & Construction Co. Ltd. 265,053 1,462
*,^ GS Engineering & Construction Corp. 61,949 1,446
* Korean Air Lines Co. Ltd. 51,452 1,438
  Kumho Petrochemical Co. Ltd. 23,478 1,435
  KEPCO Plant Service & Engineering Co. Ltd. 29,482 1,413
  Posco Daewoo Corp. 61,772 1,341
^ Doosan Corp. 14,968 1,339
  Cheil Worldwide Inc. 87,119 1,289
  Lotte Confectionery Co. Ltd. 7,220 1,212
  LG Household & Health Care Ltd. Preference Shares 2,849 1,184
  KT Corp. 40,913 1,154
  LS Corp. 23,936 1,145
  SK Networks Co. Ltd. 201,141 1,143
  NongShim Co. Ltd. 4,445 1,119
  KT Corp. ADR 68,399 1,094
^ Lotte Chilsung Beverage Co. Ltd. 812 1,093
*,^ Doosan Infracore Co. Ltd. 176,399 1,065
^ Hanmi Science Co. ltd 16,053 1,065
^ Dongsuh Cos. Inc. 41,754 989

 

34

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
^ Ottogi Corp. 1,715 986
*,^ NHN Entertainment Corp. 21,817 956
*,^ Hyundai Mipo Dockyard Co. Ltd. 14,399 881
^ GS Retail Co. Ltd. 20,577 876
^ Hite Jinro Co. Ltd. 42,786 822
^ Paradise Co. Ltd. 64,038 726
  LG Hausys Ltd. 7,983 659
  SKC Co. Ltd. 26,189 618
  Samsung Fire & Marine Insurance Co. Ltd. Preference Shares 3,638 600
*,^ Daewoo Shipbuilding & Marine Engineering Co. Ltd. 149,620 586
^ LOTTE Fine Chemical Co. Ltd. 22,429 568
  LG Electronics Inc. Preference Shares 23,318 484
^ KEPCO Engineering & Construction Co. Inc. 18,055 395
* Hanwha Corp. Preference Shares 21,595 357
* Samsung Heavy Industries Rights Exp. 11/08/2016 127,025 286
  CJ CheilJedang Corp. Preference Shares 1,801 277
* Samsung Biologics Co. Ltd. 1,700 202
  POSCO 699 145
      817,842
Spain (2.2%)    
  Banco Santander SA 19,213,676 94,148
  Banco Bilbao Vizcaya Argentaria SA 8,952,290 64,445
  Telefonica SA 5,951,355 60,470
  Iberdrola SA 7,846,983 53,402
  Industria de Diseno Textil SA 1,472,734 51,387
  Amadeus IT Group SA 577,039 27,158
* Repsol SA 1,519,963 21,223
2 Aena SA 89,727 13,148
^ Abertis Infraestructuras SA 869,270 12,885
* Ferrovial SA 662,031 12,862
* Red Electrica Corp. SA 602,401 12,550
  CaixaBank SA 3,612,312 10,900
  Endesa SA 439,929 9,338
  Grifols SA 459,787 9,073
  Enagas SA 316,295 9,067
* Banco de Sabadell SA 6,596,902 8,808
  Gas Natural SDG SA 428,004 8,425
  Bankinter SA 958,737 7,328
  Gamesa Corp. Tecnologica SA 310,825 7,176
* ACS Actividades de Construccion y Servicios SA 234,293 7,167
  Bankia SA 6,378,861 5,604
  Grifols SA Preference Shares 359,043 5,157
* Banco Popular Espanol SA 4,308,026 4,714
  Distribuidora Internacional de Alimentacion SA 849,023 4,535
  Mapfre SA 1,427,096 4,233
  Banco Santander SA ADR 815,157 3,448
  Mediaset Espana Comunicacion SA 256,296 2,860
  Acciona SA 36,110 2,744
* Acerinox SA 197,092 2,425
  Zardoya Otis SA 259,274 2,184
  Corp Financiera Alba SA 23,028 1,009
* Ferrovial SA Rights Exp. 11/14/2016 662,031 283
      540,156
Sweden (1.9%)    
  Nordea Bank AB 4,414,732 46,395
  Hennes & Mauritz AB Class B 1,319,602 37,111
  Swedbank AB Class A 1,466,439 34,313
  Svenska Handelsbanken AB Class A 2,038,284 27,788
^ Atlas Copco AB Class A 861,830 25,247
  Assa Abloy AB Class B 1,306,654 23,746
  Svenska Cellulosa AB SCA Class B 830,845 23,532
  Volvo AB Class B 2,149,679 23,057
  Investor AB Class B 629,909 22,370
  Telefonaktiebolaget LM Ericsson Class B 4,145,579 20,110

 

35

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Skandinaviska Enskilda Banken AB Class A 1,992,017 20,092
Sandvik AB 1,498,284 17,023
Telia Co. AB 3,608,987 14,417
Atlas Copco AB Class B 542,419 14,168
Hexagon AB Class B 356,414 12,472
Skanska AB Class B 502,016 10,902
Swedish Match AB 261,151 9,088
SKF AB 524,548 8,885
Boliden AB 379,060 8,785
Electrolux AB Class B 307,378 7,275
* Kinnevik AB 279,848 7,075
Securitas AB Class B 428,009 6,606
Alfa Laval AB 431,640 6,193
Trelleborg AB Class B 335,827 5,862
Industrivarden AB Class A 292,545 5,554
* Lundin Petroleum AB 245,161 4,407
ICA Gruppen AB 135,224 4,198
Getinge AB 253,486 4,151
Industrivarden AB 229,574 4,095
Husqvarna AB 521,044 3,917
Tele2 AB 433,620 3,581
* Fastighets AB Balder Class B 126,125 2,865
L E Lundbergforetagen AB Class B 35,612 2,305
Investment AB Latour Class B 43,433 1,603
Melker Schorling AB 15,217 879
Svenska Handelsbanken AB Class B 49,969 671
SKF AB Class A 22,069 375
Fastighets AB Balder Preference Shares 8,512 322
* Tele2 AB Rights Exp. 11/16/2016 433,620 130
    471,565
Switzerland (6.0%)    
Nestle SA 4,286,842 310,856
Novartis AG 3,284,554 233,097
Roche Holding AG 986,046 226,477
UBS Group AG 4,842,318 68,459
ABB Ltd. 2,660,528 54,888
Zurich Insurance Group AG 207,134 54,219
Syngenta AG 127,500 51,021
Cie Financiere Richemont SA 709,779 45,632
Swiss Re AG 454,616 42,194
Credit Suisse Group AG 2,892,779 40,362
Givaudan SA 12,850 24,853
LafargeHolcim Ltd. (XVTX) 446,548 23,819
Geberit AG 51,429 21,743
Actelion Ltd. 126,091 18,220
Swisscom AG 31,665 14,475
SGS SA 7,102 14,375
Sika AG 2,928 14,073
Lonza Group AG 72,329 13,648
Adecco Group AG 221,011 13,123
Partners Group Holding AG 25,480 12,899
^ Swatch Group AG (Bearer) 42,353 12,738
LafargeHolcim Ltd. (XPAR) 230,997 12,337
Julius Baer Group Ltd. 304,400 12,322
Swiss Life Holding AG 44,712 11,832
Schindler Holding AG 56,300 10,459
Sonova Holding AG 70,760 9,490
Kuehne & Nagel International AG 69,865 9,470
Chocoladefabriken Lindt & Sprungli AG Registered Shares 142 8,808
* Dufry AG 66,230 8,057
Baloise Holding AG 64,966 7,993
Swiss Prime Site AG 90,442 7,501
Chocoladefabriken Lindt & Sprungli AG Participation Certificates 1,394 7,239
Roche Holding AG (Bearer) 28,197 6,553

 

36

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Clariant AG 382,437 6,333
Galenica AG 5,718 5,733
Straumann Holding AG 14,856 5,574
Schindler Holding AG (Registered) 28,787 5,329
Aryzta AG 116,808 5,133
EMS-Chemie Holding AG 10,051 5,045
PSP Swiss Property AG 55,001 4,921
Helvetia Holding AG 8,387 4,363
* Flughafen Zuerich AG 21,587 3,968
Swatch Group AG (Registered) 67,146 3,871
Barry Callebaut AG 2,708 3,372
Pargesa Holding SA 39,369 2,643
DKSH Holding AG 37,235 2,581
Banque Cantonale Vaudoise 3,939 2,475
Sulzer AG 18,518 1,824
    1,486,397
Taiwan (2.8%)    
Taiwan Semiconductor Manufacturing Co. Ltd. ADR 5,137,610 159,780
Hon Hai Precision Industry Co. Ltd. 20,799,279 56,182
Taiwan Semiconductor Manufacturing Co. Ltd. 7,598,973 45,604
Formosa Plastics Corp. 6,828,873 18,454
Formosa Chemicals & Fibre Corp. 6,125,306 18,186
Largan Precision Co. Ltd. 140,068 16,525
Nan Ya Plastics Corp. 7,908,615 16,424
Delta Electronics Inc. 3,022,476 15,912
MediaTek Inc. 2,021,440 15,322
Fubon Financial Holding Co. Ltd. 10,107,861 14,302
Cathay Financial Holding Co. Ltd. 11,048,057 14,298
Chunghwa Telecom Co. Ltd. ADR 413,765 14,130
CTBC Financial Holding Co. Ltd. 25,227,939 13,567
Uni-President Enterprises Corp. 6,718,487 12,980
China Steel Corp. 17,291,234 12,489
Mega Financial Holding Co. Ltd. 15,021,777 10,270
Asustek Computer Inc. 982,023 8,597
Taiwan Mobile Co. Ltd. 2,331,648 8,158
Catcher Technology Co. Ltd. 1,029,153 8,056
Quanta Computer Inc. 3,662,598 7,409
Pegatron Corp. 2,680,038 7,217
First Financial Holding Co. Ltd. 13,162,293 6,895
Hotai Motor Co. Ltd. 570,000 6,621
Formosa Petrochemical Corp. 1,979,580 6,610
E.Sun Financial Holding Co. Ltd. 11,559,812 6,565
Yuanta Financial Holding Co. Ltd. 16,023,916 5,981
President Chain Store Corp. 780,904 5,835
Hua Nan Financial Holdings Co. Ltd. 10,976,843 5,574
Advanced Semiconductor Engineering Inc. ADR 926,533 5,420
Taiwan Cement Corp. 4,473,768 5,359
Far EasTone Telecommunications Co. Ltd. 2,222,643 5,252
Cheng Shin Rubber Industry Co. Ltd. 2,575,220 5,240
Taiwan Cooperative Financial Holding Co. Ltd. 11,933,087 5,230
United Microelectronics Corp. ADR 2,657,953 5,050
Pou Chen Corp. 3,685,125 4,972
China Development Financial Holding Corp. 19,610,318 4,907
Advanced Semiconductor Engineering Inc. 4,078,847 4,793
Taishin Financial Holding Co. Ltd. 12,592,185 4,603
Chunghwa Telecom Co. Ltd. 1,309,207 4,483
Foxconn Technology Co. Ltd. 1,534,925 4,449
Far Eastern New Century Corp. 5,616,819 4,346
Lite-On Technology Corp. 2,962,767 4,247
Innolux Corp. 12,114,370 4,078
Chang Hwa Commercial Bank Ltd. 7,884,245 4,029
SinoPac Financial Holdings Co. Ltd. 13,901,287 4,007
Advantech Co. Ltd. 468,314 3,806
AU Optronics Corp. ADR 938,788 3,549

 

37

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Siliconware Precision Industries Co. Ltd. 2,329,279 3,523
Hermes Microvision Inc. 78,114 3,444
Compal Electronics Inc. 5,743,510 3,415
Inventec Corp. 4,240,064 3,310
Eclat Textile Co. Ltd. 279,351 3,165
* Inotera Memories Inc. 3,285,000 3,072
Novatek Microelectronics Corp. 789,916 2,958
* HTC Corp. 1,004,570 2,934
Asia Cement Corp. 3,199,519 2,790
Giant Manufacturing Co. Ltd. 389,625 2,756
Wistron Corp. 3,623,143 2,730
Vanguard International Semiconductor Corp. 1,263,466 2,572
* Shin Kong Financial Holding Co. Ltd. 10,609,858 2,300
Teco Electric and Machinery Co. Ltd. 2,566,000 2,275
Realtek Semiconductor Corp. 651,768 2,208
Synnex Technology International Corp. 1,929,889 2,056
Chicony Electronics Co. Ltd. 795,095 2,031
Feng TAY Enterprise Co. Ltd. 453,100 1,890
Acer Inc. 4,092,396 1,875
Walsin Lihwa Corp. 4,600,000 1,609
Taiwan Business Bank 5,468,419 1,381
Nanya Technology Corp. 1,027,600 1,332
Taiwan Fertilizer Co. Ltd. 984,000 1,316
Eva Airways Corp. 2,712,766 1,306
Formosa Taffeta Co. Ltd. 1,398,000 1,274
Eternal Materials Co. Ltd. 1,188,169 1,252
United Microelectronics Corp. 3,220,978 1,199
Taiwan Secom Co. Ltd. 389,725 1,117
China Airlines Ltd. 3,666,913 1,109
Siliconware Precision Industries Co. Ltd. ADR 145,314 1,088
AU Optronics Corp. 2,838,000 1,078
Transcend Information Inc. 380,455 1,051
Yulon Motor Co. Ltd. 1,148,898 1,005
* Evergreen Marine Corp. Taiwan Ltd. 2,503,222 935
* Epistar Corp. 1,375,000 934
* Taiwan Glass Industry Corp. 2,098,089 877
Feng Hsin Steel Co. Ltd. 613,790 813
Unimicron Technology Corp. 1,942,975 802
Capital Securities Corp. 3,201,231 800
Far Eastern International Bank 2,788,314 793
China Motor Corp. 985,105 772
Cheng Uei Precision Industry Co. Ltd. 532,591 652
Oriental Union Chemical Corp. 950,191 593
* TPK Holding Co. Ltd. 357,422 570
Wan Hai Lines Ltd. 974,702 480
Cathay Real Estate Development Co. Ltd. 870,800 446
Ton Yi Industrial Corp. 1,014,600 435
* Yang Ming Marine Transport Corp. 1,936,305 430
U-Ming Marine Transport Corp. 561,000 389
Yulon Nissan Motor Co. Ltd. 33,633 212
Nan Ya Printed Circuit Board Corp. 274,395 207
    705,324
Thailand (0.7%)    
* PTT PCL 1,455,782 14,334
Siam Cement PCL NVDR 748,080 10,682
Kasikornbank PCL (Foreign) 1,617,283 7,939
CP ALL PCL (Foreign) 4,192,000 7,267
Advanced Info Service PCL (Foreign) 1,600,750 7,016
Siam Cement PCL (Foreign) 416,013 5,988
Kasikornbank PCL 1,162,237 5,705
* CP ALL PCL (Local) 3,077,113 5,334
PTT PCL (Foreign) 539,900 5,316
* Minor International PCL 4,706,087 5,170
* Siam Commercial Bank PCL (Local) 1,238,703 5,072

 

38

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Airports of Thailand PCL (Foreign) 455,300 4,953
  Siam Commercial Bank PCL 1,119,900 4,585
  PTT Exploration & Production PCL (Foreign) 1,887,778 4,466
* Bangkok Dusit Medical Services PCL 6,698,301 4,363
  Siam Commercial Bank PCL (Foreign) 995,486 4,076
* Central Pattana PCL 2,545,494 4,045
  Intouch Holdings NVDR 2,547,504 3,859
* Charoen Pokphand Foods PCL 4,005,778 3,603
  Bangkok Dusit Medical Services PCL (Foreign) 5,338,100 3,477
  Bangkok Bank PCL (Foreign) 672,627 3,064
* Krung Thai Bank PCL 5,926,687 2,911
* PTT Global Chemical PCL (Local) 1,556,715 2,659
* BTS Group Holdings PCL 10,401,817 2,542
* Bumrungrad Hospital PCL 449,642 2,349
* Bangkok Expressway & Metro PCL 10,912,227 2,320
  Thai Oil PCL (Foreign) 1,149,700 2,297
* Banpu PCL (Local) 4,322,551 2,262
* Home Product Center PCL 7,756,889 2,234
  PTT Global Chemical PCL (Foreign) 1,264,212 2,159
  TMB Bank PCL 29,787,600 1,785
  Thai Union Frozen Products PCL (Foreign) 2,856,344 1,770
* OBI Pharma Inc. 168,000 1,756
^ Charoen Pokphand Foods PCL (Foreign) 1,947,300 1,751
* Indorama Ventures PCL 2,005,283 1,673
* True Corp. PCL 8,399,933 1,618
* Airports of Thailand PCL 140,799 1,532
  Central Pattana PCL (Foreign) 903,200 1,435
^ Berli Jucker PCL (Foreign) 887,580 1,338
  Krung Thai Bank PCL (Foreign) 2,716,125 1,334
* Electricity Generating PCL 236,709 1,317
* Ratchaburi Electricity Generating Holding PCL (Local) 887,345 1,268
  Land & Houses PCL NVDR 4,273,400 1,120
* IRPC PCL 8,152,928 1,113
^ True Corp. PCL (Foreign) 5,775,653 1,113
* Land & Houses PCL 4,145,156 1,087
  Bangkok Life Assurance PCL 724,802 1,029
  Glow Energy PCL (Foreign) 465,500 1,022
* Berli Jucker PCL 555,035 836
  IRPC PCL (Foreign) 5,950,900 812
  Delta Electronics Thailand PCL (Foreign) 339,900 761
* Delta Electronics Thailand PCL 335,510 751
  Electricity Generating PCL (Foreign) 130,500 726
  Banpu PCL 1,371,478 718
* Thai Airways International PCL 822,422 657
* Thai Union Group PCL 1,009,005 625
*,^ Thai Airways International PCL (Foreign) 676,002 540
^ Total Access Communication PCL (Foreign) 587,700 523
* Thai Oil PCL 250,683 501
* BEC World PCL 822,610 482
  Siam City Cement PCL (Foreign) 57,200 472
  BEC World PCL (Foreign) 573,400 336
* Siam City Cement PCL (Local) 39,768 328
* Glow Energy PCL 142,164 312
^ Total Access Communication PCL 334,400 298
^ Ratchaburi Electricity Generating Holding PCL (Foreign) 187,700 268
* Advanced Info Service PCL (Local) 50,214 220
* PTT Exploration and Production PCL (Local) 53,522 127
^ Land & Houses PCL (Foreign) 478,520 125
  Minor International PCL (Foreign) 99,236 109
* Total Access Communication PCL (Local) 96,223 86
* Intouch Holdings PCL 49,757 75
* Indorama Ventures PCL Warrants Exp. 08/24/2017 162,130 11
* Indorama Ventures Warrants Exp. 08/24/2018 124,715 9
      177,816

 

39

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Turkey (0.3%)    
Turkiye Garanti Bankasi AS 2,911,170 7,922
Akbank TAS 2,839,135 7,598
BIM Birlesik Magazalar AS 311,455 5,077
KOC Holding AS 887,423 3,701
* Turkcell Iletisim Hizmetleri AS 1,103,849 3,559
Tupras Turkiye Petrol Rafinerileri AS 170,561 3,478
Haci Omer Sabanci Holding AS (Bearer) 1,119,655 3,385
Turkiye Is Bankasi 1,895,597 3,078
Emlak Konut Gayrimenkul Yatirim Ortakligi AS 2,737,959 2,798
Turkiye Halk Bankasi AS 885,679 2,694
Eregli Demir ve Celik Fabrikalari TAS 1,880,207 2,556
Turkiye Vakiflar Bankasi TAO 1,465,354 2,172
Anadolu Efes Biracilik Ve Malt Sanayii AS 271,087 1,657
Arcelik AS 242,077 1,599
* Yapi ve Kredi Bankasi AS 1,170,371 1,401
Tofas Turk Otomobil Fabrikasi AS 179,896 1,356
* Turk Hava Yollari AO 766,058 1,348
Ulker Biskuvi Sanayi AS 212,235 1,318
Turk Telekomunikasyon AS 706,271 1,307
Enka Insaat ve Sanayi AS 765,175 1,169
Petkim Petrokimya Holding AS 809,077 1,099
Coca-Cola Icecek AS 92,876 1,051
Ford Otomotiv Sanayi AS 101,954 1,042
Turkiye Sise ve Cam Fabrikalari AS 854,837 899
TAV Havalimanlari Holding AS 201,666 829
Aselsan Elektronik Sanayi Ve Ticaret AS 215,247 654
Turkiye Sinai Kalkinma Bankasi AS 1,273,740 565
Turk Traktor ve Ziraat Makineleri AS 19,938 518
* Koza Altin Isletmeleri AS 68,260 389
Aygaz AS 87,721 310
* Migros Ticaret AS 43,882 253
Yazicilar Holding AS Class A 55,686 245
Akcansa Cimento AS 48,972 204
    67,231
United Arab Emirates (0.2%)    
Emirates Telecommunications Group Co. PJSC 2,419,708 12,414
Emaar Properties PJSC 4,880,552 9,242
First Gulf Bank PJSC 1,570,015 4,909
Abu Dhabi Commercial Bank PJSC 2,514,929 4,197
DP World Ltd. 229,427 4,116
Aldar Properties PJSC 4,415,370 3,161
Dubai Islamic Bank PJSC 1,714,479 2,442
Emaar Malls PJSC 2,947,032 2,059
* DXB Entertainments PJSC 4,485,212 1,911
Union National Bank PJSC 1,512,007 1,612
DAMAC Properties Dubai Co. PJSC 2,298,381 1,373
* Arabtec Holding PJSC 3,289,875 1,188
Air Arabia PJSC 3,270,191 1,156
Dubai Investments PJSC 1,893,777 1,034
Dubai Financial Market PJSC 2,296,512 717
* Dana Gas PJSC 4,699,878 677
Al Waha Capital PJSC 1,220,264 624
* Deyaar Development PJSC 2,069,349 300
* Union Properties PJSC 1,419,520 273
    53,405
United Kingdom (12.6%)    
HSBC Holdings plc 27,535,770 207,376
BP plc 26,106,062 154,332
Royal Dutch Shell plc Class A 6,012,207 149,747
British American Tobacco plc 2,590,633 148,477
Royal Dutch Shell plc Class B 5,205,540 134,265
GlaxoSmithKline plc 6,756,928 133,479
Vodafone Group plc 36,922,380 101,401

 

40

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
AstraZeneca plc 1,753,877 98,209
Diageo plc 3,500,553 93,173
Reckitt Benckiser Group plc 873,885 78,179
Unilever plc 1,676,747 70,003
National Grid plc 5,242,425 68,193
Imperial Brands plc 1,338,976 64,769
Lloyds Banking Group plc 88,957,202 62,121
Prudential plc 3,584,471 58,495
Rio Tinto plc 1,680,524 58,441
Barclays plc 23,508,911 54,466
BT Group plc 11,630,109 53,383
* Glencore plc 16,204,901 49,605
Shire plc 858,773 48,489
BHP Billiton plc 2,935,392 44,140
Compass Group plc 2,289,925 41,435
WPP plc 1,801,214 39,110
CRH plc (London Shares) 1,015,976 32,877
* Standard Chartered plc 3,732,851 32,461
Aviva plc 5,626,111 30,487
BAE Systems plc 4,399,306 29,149
* Tesco plc 11,300,340 29,106
RELX NV (XLON) 1,525,220 27,226
SSE plc 1,400,150 27,223
Experian plc 1,335,593 25,676
* Anglo American plc 1,819,397 25,252
Shire plc ADR 130,780 22,055
Legal & General Group plc 8,269,612 21,156
Rolls-Royce Holdings plc 2,294,784 20,370
Centrica plc 7,524,866 19,710
Wolseley plc 349,949 18,152
Smith & Nephew plc 1,244,056 17,985
Old Mutual plc 6,786,056 16,693
London Stock Exchange Group plc 438,462 15,061
Associated British Foods plc 484,428 14,571
Sky plc 1,456,864 14,565
Kingfisher plc 3,138,791 13,865
Land Securities Group plc 1,090,559 13,316
Sage Group plc 1,493,036 13,173
Bunzl plc 466,563 12,526
Carnival plc 252,686 12,188
Paddy Power Betfair plc 113,569 11,765
Next plc 196,041 11,534
Randgold Resources Ltd. 129,440 11,495
Standard Life plc 2,753,463 11,363
Whitbread plc 254,345 11,236
Johnson Matthey plc 268,287 11,183
Burberry Group plc 614,149 11,076
3i Group plc 1,344,806 11,024
ITV plc 5,215,072 10,872
Ashtead Group plc 697,739 10,872
United Utilities Group plc 945,146 10,864
Pearson plc 1,144,517 10,588
InterContinental Hotels Group plc 273,083 10,587
* Royal Bank of Scotland Group plc 4,573,545 10,569
British Land Co. plc 1,429,032 10,231
DCC plc 123,135 10,018
Mondi plc 509,090 9,935
RSA Insurance Group plc 1,407,503 9,503
Smiths Group plc 542,973 9,409
Marks & Spencer Group plc 2,248,968 9,358
Intertek Group plc 222,836 9,297
Severn Trent plc 326,170 9,285
GKN plc 2,373,986 9,258
Informa plc 1,122,712 9,237

 

41

 

Vanguard® FTSE All-World ex-US Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Persimmon plc 424,189 8,781
St. James's Place plc 718,556 8,298
Wm Morrison Supermarkets plc 2,997,289 8,297
2 Worldpay Group plc 2,334,853 8,115
Micro Focus International plc 308,049 8,066
Direct Line Insurance Group plc 1,904,119 8,056
Taylor Wimpey plc 4,523,876 7,834
International Consolidated Airlines Group SA (London Shares) 1,475,114 7,822
Croda International plc 180,118 7,703
Barratt Developments plc 1,381,319 7,660
Royal Mail plc 1,265,401 7,592
Provident Financial plc 206,390 7,440
Hammerson plc 1,090,342 7,335
J Sainsbury plc 2,325,118 7,129
Rentokil Initial plc 2,542,652 7,092
Halma plc 522,487 6,689
Capita plc 920,696 6,590
Admiral Group plc 277,767 6,508
DS Smith plc 1,309,614 6,386
Weir Group plc 301,768 6,269
Segro plc 1,155,007 6,186
Tate & Lyle plc 647,128 6,172
2 Auto Trader Group plc 1,346,101 6,167
Mediclinic International plc 545,178 6,045
Coca-Cola HBC AG 272,211 5,874
G4S plc 2,172,795 5,836
Pennon Group plc 566,853 5,785
Meggitt plc 1,082,450 5,759
Rightmove plc 125,928 5,748
Travis Perkins plc 346,497 5,637
2 Merlin Entertainments plc 989,516 5,577
Investec plc 881,569 5,471
Schroders plc 158,450 5,454
TUI AG 425,894 5,399
Aberdeen Asset Management plc 1,379,568 5,396
* Just Eat plc 773,986 5,317
Inmarsat plc 616,850 5,291
Dixons Carphone plc 1,370,179 5,268
Berkeley Group Holdings plc 179,579 5,179
Booker Group plc 2,264,566 4,967
Bellway plc 169,295 4,899
John Wood Group plc 517,318 4,862
Hargreaves Lansdown plc 338,097 4,793
Inchcape plc 599,323 4,765
Fresnillo plc 234,885 4,726
IMI plc 382,635 4,648
ICAP plc 750,010 4,447
Intu Properties plc 1,298,860 4,377
CRH plc (Dublin Shares) 133,742 4,342
William Hill plc 1,196,798 4,329
Polymetal International plc 391,388 4,267
Babcock International Group plc 346,344 4,187
Cobham plc 2,386,675 4,164
Henderson Group plc 1,458,273 4,126
Hikma Pharmaceuticals plc 192,240 4,123
Derwent London plc 138,605 4,099
* CYBG plc 1,212,646 4,009
Howden Joinery Group plc 844,937 3,869
Capital & Counties Properties plc 1,023,928 3,611
Petrofac Ltd. 362,327 3,568
easyJet plc 301,702 3,460
Daily Mail & General Trust plc 369,444 3,391
Antofagasta plc 494,496 3,289
Aggreko plc 330,003 3,227

 

42

 

Vanguard® FTSE All-World ex-US Index Fund        
Schedule of Investments        
October 31, 2016        
 
          Market
          Value
        Shares ($000)
  Ashmore Group plc     553,112 2,375
^ TalkTalk Telecom Group plc     718,653 1,790
*,^ Sports Direct International plc     339,871 1,149
 
          3,133,772
 
Total Common Stocks (Cost $24,530,754)       24,606,030
 
 
    Coupon      
 
Temporary Cash Investments (1.6%)1        
Money Market Fund (1.5%)        
5,6 Vanguard Market Liquidity Fund 0.718%   3,664,523 366,489
 
 
        Face  
      Maturity Amount  
      Date ($000)  
U.S. Government and Agency Obligations (0.1%)        
7 Federal Home Loan Bank Discount Notes 0.339% 11/4/16 2,200 2,200
7 Federal Home Loan Bank Discount Notes 0.339% 11/14/16 1,300 1,300
7 Federal Home Loan Bank Discount Notes 0.340% 11/16/16 900 900
7,8,9 Federal Home Loan Bank Discount Notes 0.394% 11/18/16 1,000 1,000
7,9 Federal Home Loan Bank Discount Notes 0.431% 1/25/17 200 200
7,8 Federal Home Loan Bank Discount Notes 0.481% 2/17/17 3,000 2,997
8 United States Treasury Bill 0.320% 11/25/16 1,200 1,200
8,9 United States Treasury Bill 0.318% 12/1/16 3,700 3,699
8,9 United States Treasury Bill 0.320%–0.340% 12/8/16 6,400 6,399
9 United States Treasury Bill 0.287% 1/5/17 4,000 3,998
9 United States Treasury Bill 0.337%–0.360% 1/12/17 3,500 3,498
8,9 United States Treasury Bill 0.406% 2/9/17 1,800 1,798
 
          29,189
 
Total Temporary Cash Investments (Cost $395,649)       395,678
 
Total Investments (100.8%) (Cost $24,926,403)       25,001,708
Other Assets and Liabilities—Net (-0.8%)6       (207,260)
Net Assets (100%)       24,794,448

 

__________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________
__________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________
* Non-income-producing security.
^ Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $255,125,000.
1 The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect to futures
investments, the fund's effective common stock and temporary cash investment positions represent 100.0% and 0.8%, respectively, of net
assets.
2 Security exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in transactions exempt from
registration, normally to qualified institutional buyers. At October 31, 2016, the aggregate value of these securities was $149,411,000,
representing 0.6% of net assets.
3 “Other” represents securities that are not classified by the fund’s benchmark index.
4 Considered an affiliated company of the fund as the issuer is another member of The Vanguard Group.
5 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day
yield.
6 Includes $273,828,000 of collateral received for securities on loan.
7 The issuer operates under a congressional charter; its securities are generally neither guaranteed by the U.S. Treasury nor backed by the full
faith and credit of the U.S. government.
8 Securities with a value of $11,895,000 have been segregated as initial margin for open futures contracts.
9 Securities with a value of $8,163,000 have been segregated as collateral for open forward currency contracts.
ADR—American Depositary Receipt.
GDR—Global Depositary Receipt.
NVDR—Non-Voting Depository Receipt.
REIT—Real Estate Investment Trust.

__________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________
__________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________

43

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
 
Common Stocks (99.1%)1    
Australia (4.4%)    
  JB Hi-Fi Ltd. 185,087 3,990
  Link Administration Holdings Ltd. 578,954 3,166
  Qube Holdings Ltd. 1,822,003 3,084
  Northern Star Resources Ltd. 953,554 3,084
  Investa Office Fund 928,379 2,990
  Evolution Mining Ltd. 1,676,637 2,957
* Mayne Pharma Group Ltd. 2,299,180 2,861
  carsales.com Ltd. 346,286 2,803
  nib holdings Ltd. 733,673 2,687
  Independence Group NL 797,456 2,597
  Charter Hall Group 720,526 2,571
  BT Investment Management Ltd. 351,807 2,466
  Primary Health Care Ltd. 750,906 2,189
  Mineral Resources Ltd. 240,850 2,119
  Navitas Ltd. 511,642 2,035
  Regis Resources Ltd. 778,681 1,964
  IRESS Ltd. 221,608 1,908
  BWP Trust 838,736 1,892
^ Blackmores Ltd. 22,241 1,891
  InvoCare Ltd. 188,858 1,874
  Sigma Pharmaceuticals Ltd. 1,855,439 1,872
  Aveo Group 745,179 1,819
  Bapcor Ltd. 466,416 1,818
  Super Retail Group Ltd. 243,465 1,810
  GrainCorp Ltd. Class A 282,061 1,799
  Charter Hall Retail REIT 527,074 1,660
* St. Barbara Ltd. 770,829 1,573
  Cromwell Property Group 2,233,820 1,545
  Sirtex Medical Ltd. 72,201 1,528
  Cleanaway Waste Management Ltd. 1,624,978 1,431
  Breville Group Ltd. 200,970 1,413
  G8 Education Ltd. 580,809 1,393
  Pact Group Holdings Ltd. 270,581 1,349
  Premier Investments Ltd. 122,230 1,315
  ARB Corp. Ltd. 101,014 1,308
  Spotless Group Holdings Ltd. 1,643,259 1,247
  Beach Energy Ltd. 2,253,762 1,227
  Steadfast Group Ltd. 732,246 1,189
  Southern Cross Media Group Ltd. 1,080,322 1,179
  SAI Global Ltd. 329,428 1,171
  Retail Food Group Ltd. 225,459 1,160
  Webjet Ltd. 139,442 1,158
*,^ Aconex Ltd. 264,003 1,116
  Myer Holdings Ltd. 1,250,874 1,115
  Mantra Group Ltd. 445,526 1,112
  Automotive Holdings Group Ltd. 360,419 1,108
  Ardent Leisure Group 712,350 1,091
  Abacus Property Group 484,438 1,029
2 MYOB Group Ltd. 361,923 1,015
*,^ Syrah Resources Ltd. 369,976 1,012
* Saracen Mineral Holdings Ltd. 1,158,516 1,001
  Altium Ltd. 165,609 986
  Technology One Ltd. 227,079 970
  GUD Holdings Ltd. 132,806 958
  Eclipx Group Ltd. 322,676 944
  Monadelphous Group Ltd. 133,152 941
  Seven Group Holdings Ltd. 136,196 939
  APN Outdoor Group Ltd. 258,745 933
  Sandfire Resources NL 233,539 921
* Nanosonics Ltd. 348,938 919
  Resolute Mining Ltd. 775,429 916

 

44

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Brickworks Ltd. 89,092 913
* NEXTDC Ltd. 317,661 888
  Genworth Mortgage Insurance Australia Ltd. 377,298 877
  Costa Group Holdings Ltd. 402,555 871
  GWA Group Ltd. 400,242 868
*,^ Orocobre Ltd. 294,499 858
  National Storage REIT 734,830 809
  Australian Pharmaceutical Industries Ltd. 560,784 808
^ Bellamy's Australia Ltd. 91,774 792
* Australian Agricultural Co. Ltd. 595,025 789
  Credit Corp. Group Ltd. 57,259 770
^ Gateway Lifestyle 420,911 740
  Corporate Travel Management Ltd. 51,080 736
  Bega Cheese Ltd. 196,425 736
* Western Areas Ltd. 390,745 733
* Perseus Mining Ltd. 1,540,863 724
  FlexiGroup Ltd. 416,447 711
^ IPH Ltd. 159,833 711
* Galaxy Resources Ltd. 2,621,913 703
  McMillan Shakespeare Ltd. 84,138 691
  oOh!media Ltd. 206,183 670
^ Greencross Ltd. 126,018 668
  IDP Education Ltd. 193,466 666
^ Growthpoint Properties Australia Ltd. 278,652 657
  Tassal Group Ltd. 221,165 647
* Bradken Ltd. 258,539 632
  iSentia Group Ltd. 234,970 628
  Asaleo Care Ltd. 561,007 622
* Pilbara Minerals Ltd. 1,572,153 620
  Nine Entertainment Co. Holdings Ltd. 948,409 619
^ Cover-More Group Ltd. 566,900 613
  Folkestone Education Trust 324,436 612
* UGL Ltd. 250,483 611
* Infigen Energy 794,052 607
^ Regis Healthcare Ltd. 198,611 594
  360 Capital Industrial Fund 305,192 571
* Beadell Resources Ltd. 1,580,598 562
  Ingenia Communities Group 267,675 554
  SmartGroup Corp. Ltd. 121,067 550
*,^ Gold Road Resources Ltd. 1,259,730 549
^ TFS Corp. Ltd. 512,039 545
* Karoon Gas Australia Ltd. 313,163 544
^ Japara Healthcare Ltd. 373,006 533
  Select Harvests Ltd. 114,438 532
  Estia Health Ltd. 255,291 520
  Village Roadshow Ltd. 133,940 518
  Arena REIT 350,880 517
* APN News & Media Ltd. 251,856 512
  RCG Corp. Ltd. 462,939 512
  GDI Property Group 693,057 511
  Cabcharge Australia Ltd. 182,063 498
  Collins Foods Ltd. 131,059 479
  Virtus Health Ltd. 90,134 477
  Hotel Property Investments 221,639 475
  BWX Ltd. 126,018 458
  Tox Free Solutions Ltd. 254,210 456
  SG Fleet Group Ltd. 161,990 442
* Blue Sky Alternative Investments Ltd. 77,381 428
  Programmed Maintenance Services Ltd. 388,967 424
  OFX Group Ltd. 333,778 393
  MACA Ltd. 281,386 377
  Astro Japan Property Group 73,166 376
*,^ Mesoblast Ltd. 390,769 363
*,^ Highfield Resources Ltd. 410,531 355

 

45

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  RCR Tomlinson Ltd. 169,521 343
* Ten Network Holdings Ltd. 435,109 342
*,^ Senex Energy Ltd. 1,742,488 334
  CSG Ltd. 332,815 324
  WPP AUNZ Ltd. 509,661 315
  Thorn Group Ltd. 235,984 309
*,^ Liquefied Natural Gas Ltd. 725,957 305
  Cedar Woods Properties Ltd. 88,814 303
* AWE Ltd. 739,287 303
* Starpharma Holdings Ltd. 545,407 302
  Ainsworth Game Technology Ltd. 222,128 301
*,^ Cardno Ltd. 427,245 300
  Reject Shop Ltd. 43,549 247
* Mount Gibson Iron Ltd. 989,367 246
*,^ Paladin Energy Ltd. 2,090,369 222
*,^ Lynas Corp. Ltd. 5,213,011 221
  Decmil Group Ltd. 206,088 173
  ERM Power Ltd. 198,557 170
* Watpac Ltd. 247,923 168
* Billabong International Ltd. 179,293 164
* MMA Offshore Ltd. 634,669 147
*,^ Slater & Gordon Ltd. 503,667 139
  NZME Ltd. 281,393 134
  SMS Management & Technology Ltd. 106,208 123
  Cash Converters International Ltd. 488,042 119
* CuDeco Ltd. 298,221 97
*,^ Arrium Ltd. 4,377,411 73
* Capitol Health Ltd. 630,148 60
* Acrux Ltd. 199,813 52
*,^ Kingsgate Consolidated Ltd. 277,729 43
* Virgin Australia Holdings Pvt Ltd. 1,276,415 5
* Strandline Resources Ltd. 156,024 1
* SGH Energy Pty Ltd. 1,906,834
* Kagara Ltd. 274,560
*,^ DSHE Holdings Ltd. 201,826
* Jacana Minerals Ltd. 37,888
      147,728
Austria (0.9%)    
  BUWOG AG 144,879 3,502
  IMMOFINANZ AG 1,475,510 3,176
  Wienerberger AG 191,067 3,053
  CA Immobilien Anlagen AG 119,002 2,159
  Conwert Immobilien Invest SE 115,876 2,056
  Lenzing AG 13,836 1,803
  Oesterreichische Post AG 51,956 1,793
  Verbund AG 101,366 1,690
  Mayr Melnhof Karton AG 12,116 1,342
  Schoeller-Bleckmann Oilfield Equipment AG 16,938 1,200
  UNIQA Insurance Group AG 171,397 1,104
  RHI AG 40,043 1,008
  S IMMO AG 82,854 889
  Strabag SE 23,192 778
  DO & CO AG 10,017 776
  Zumtobel Group AG 42,744 750
  EVN AG 45,752 535
  Palfinger AG 16,916 512
  Semperit AG Holding 14,306 388
* Flughafen Wien AG 15,239 369
  Kapsch TrafficCom AG 7,861 352
      29,235
Belgium (1.1%)    
  Cofinimmo SA 32,367 3,789
  Ontex Group NV 117,223 3,546
  Bekaert SA 54,334 2,415

 

46

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Elia System Operator SA/NV 44,270 2,291
  Melexis NV 34,666 2,270
  Warehouses De Pauw CVA 24,068 2,217
  D'ieteren SA/NV 41,529 1,831
  Befimmo SA 30,016 1,749
  Ion Beam Applications 34,132 1,621
* Aedifica SA 19,161 1,589
  Gimv NV 29,185 1,571
  Euronav NV 197,884 1,548
  Econocom Group SA/NV 82,674 1,229
* Tessenderlo Chemie NV (Voting Shares) 36,263 1,211
^ Cie d'Entreprises CFE 10,840 1,195
* AGFA-Gevaert NV 253,586 1,054
* Orange Belgium SA 44,096 993
  Barco NV 12,585 990
  Kinepolis Group NV 20,129 906
* KBC Ancora 23,673 898
*,^ Nyrstar (Voting Shares) 144,244 741
  Van de Velde NV 10,068 709
  EVS Broadcast Equipment SA 14,270 500
  Wereldhave Belgium NV 2,929 367
  Sofina SA 5 1
      37,231
Brazil (1.2%)    
  Qualicorp SA 354,400 2,281
  MRV Engenharia e Participacoes SA 485,200 1,879
  Fleury SA 119,856 1,586
  Cyrela Brazil Realty SA Empreendimentos e Participacoes 469,000 1,580
  Cia Energetica de Sao Paulo Preference Shares 320,400 1,489
  Cia Hering 236,900 1,437
  Bradespar SA Preference Shares 343,200 1,396
* Metalurgica Gerdau SA Preference Shares Class A 930,700 1,385
  CVC Brasil Operadora e Agencia de Viagens SA 177,800 1,365
  Duratex SA 446,000 1,204
  Banco do Estado do Rio Grande do Sul SA Preference Shares 260,150 1,108
  Linx SA 177,134 1,054
  Iguatemi Empresa de Shopping Centers SA 110,700 1,046
* B2W Cia Digital 210,500 1,034
  Cia de Saneamento de Minas Gerais-COPASA 96,270 1,005
* Usinas Siderurgicas de Minas Gerais SA Preference Shares 666,776 942
* EcoRodovias Infraestrutura e Logistica SA 308,100 914
  Valid Solucoes e Servicos de Seguranca em Meios de Pagamento e Identificacao SA 95,911 899
* Marcopolo SA Preference Shares 789,116 806
* Minerva SA 253,700 804
  Alupar Investimento SA 128,715 749
  Grendene SA 117,864 724
  Alpargatas SA Preference Shares 216,102 718
* Marfrig Global Foods SA 393,612 702
  Aliansce Shopping Centers SA 122,979 647
  Light SA 107,600 592
  Arezzo Industria e Comercio SA 62,000 574
  Via Varejo SA 197,700 567
  Iochpe Maxion SA 107,550 546
* FPC Par Corretora de Seguros SA 94,300 446
  Gafisa SA 565,582 436
  Ez Tec Empreendimentos e Participacoes SA 83,105 430
* Randon Participacoes SA Preference Shares 273,790 410
  Even Construtora e Incorporadora SA 292,222 406
  Mahle-Metal Leve SA 58,200 404
  Eletropaulo Metropolitana Eletricidade de Sao Paulo SA Preference Shares 123,818 401
  Tupy SA 94,531 392
  Dimed SA Distribuidora da Medicamentos 2,489 392
  SLC Agricola SA 78,400 388
* Gol Linhas Aereas Inteligentes SA Preference Shares 153,700 378

 

47

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
BR Properties SA 135,200 364
* Magnesita Refratarios SA 49,040 348
* Santos Brasil Participacoes SA 341,330 323
2 Ser Educacional SA 49,200 319
Cia Energetica do Ceara Preference Shares 20,842 311
JSL SA 81,400 298
GAEC Educacao SA 63,022 267
Sonae Sierra Brasil SA 39,300 236
QGEP Participacoes SA 136,600 236
Guararapes Confeccoes SA 11,300 234
Direcional Engenharia SA 123,294 213
* Aliansce Shopping Centers SA 35,524 189
* Marisa Lojas SA 67,690 164
Paranapanema SA 245,700 132
* Eneva SA 22,000 100
    39,250
Canada (13.9%)    
Teck Resources Ltd. Class B 743,955 16,063
Dollarama Inc. 161,502 12,068
Open Text Corp. 192,041 11,924
First Quantum Minerals Ltd. 1,089,547 10,349
Gildan Activewear Inc. 369,631 9,494
CCL Industries Inc. Class B 51,570 9,171
* Seven Generations Energy Ltd. Class A 417,714 8,907
Keyera Corp. 288,908 8,672
Onex Corp. 128,992 8,344
* Kinross Gold Corp. 1,968,013 7,644
^ H&R REIT 444,035 7,551
^ PrairieSky Royalty Ltd. 324,632 7,060
^ Vermilion Energy Inc. 163,646 6,418
^ AltaGas Ltd. 256,513 6,347
Industrial Alliance Insurance & Financial Services Inc. 162,417 6,289
CAE Inc. 426,452 5,990
Element Fleet Management Corp. 607,852 5,923
^ Tahoe Resources Inc. 481,976 5,778
Peyto Exploration & Development Corp. 223,326 5,738
Yamana Gold Inc. 1,497,511 5,348
Methanex Corp. 145,320 5,282
* Detour Gold Corp. 274,307 5,229
WSP Global Inc. 159,144 5,155
Finning International Inc. 268,161 4,990
Ritchie Bros Auctioneers Inc. 141,905 4,907
^ Canadian Apartment Properties REIT 215,853 4,718
Whitecap Resources Inc. 564,125 4,509
Veresen Inc. 493,950 4,474
Smart REIT 177,066 4,416
* B2Gold Corp. 1,491,581 4,315
Atco Ltd. 121,790 4,269
* Bombardier Inc. Class B 3,107,404 4,124
^ Enbridge Income Fund Holdings Inc. 160,732 4,079
Canadian REIT 115,195 3,966
* Lundin Mining Corp. 1,007,752 3,944
^ Cineplex Inc. 102,193 3,886
Quebecor Inc. Class B 135,175 3,793
Stantec Inc. 169,525 3,771
Algonquin Power & Utilities Corp. 419,800 3,709
Pan American Silver Corp. 231,595 3,699
Empire Co. Ltd. 252,019 3,630
^ Parkland Fuel Corp. 154,972 3,620
* Eldorado Gold Corp. 1,139,071 3,592
TransForce Inc. 152,051 3,450
Linamar Corp. 82,865 3,370
Chartwell Retirement Residences 301,865 3,362
Alamos Gold Inc. 425,762 3,339

 

48

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  MacDonald Dettwiler & Associates Ltd. 58,314 3,338
^ Allied Properties REIT 123,012 3,307
  West Fraser Timber Co. Ltd. 96,258 3,295
  Toromont Industries Ltd. 111,997 3,290
* New Gold Inc. 822,485 3,244
^ Northland Power Inc. 178,276 3,190
^ OceanaGold Corp. 995,552 3,043
^ Cominar REIT 274,308 3,039
  Cott Corp. 224,453 2,944
*,^ IAMGOLD Corp. 733,850 2,938
  Gibson Energy Inc. 232,983 2,923
* Raging River Exploration Inc. 357,792 2,868
^ Emera Inc. 81,382 2,838
  Maple Leaf Foods Inc. 124,444 2,834
^ Canadian Western Bank 145,224 2,756
* Parex Resources Inc. 239,090 2,750
  TMX Group Ltd. 58,652 2,706
* Descartes Systems Group Inc. 124,659 2,598
  ShawCor Ltd. 103,669 2,593
*,^ Amaya Inc. 187,692 2,513
  First Capital Realty Inc. 157,343 2,509
  Enerplus Corp. 369,141 2,485
* Torex Gold Resources Inc. 128,915 2,398
  Stella-Jones Inc. 64,127 2,276
  Capital Power Corp. 147,415 2,270
* Celestica Inc. 191,158 2,262
  Granite REIT 71,473 2,249
^ Boardwalk REIT 61,073 2,241
^ DH Corp. 172,700 2,235
  FirstService Corp. 54,242 2,198
^ Hudson's Bay Co. 178,422 2,192
* Pretium Resources Inc. 222,526 2,175
^ Artis REIT 246,259 2,152
*,^ First Majestic Silver Corp. 264,631 2,125
^ Mullen Group Ltd. 152,789 2,118
* Birchcliff Energy Ltd. 330,539 2,105
  New Flyer Industries Inc. 74,071 2,071
  Endeavour Mining Corp. 105,792 2,066
^ Dream Office REIT 165,300 2,059
  Precision Drilling Corp. 449,225 2,003
^ Home Capital Group Inc. Class B 101,041 2,000
* Silver Standard Resources Inc. 181,206 1,989
* SEMAFO Inc. 497,939 1,953
*,^ ProMetic Life Sciences Inc. 926,930 1,949
  TransAlta Corp. 440,141 1,939
^ Enercare Inc. 133,945 1,935
  Superior Plus Corp. 215,070 1,915
* Advantage Oil & Gas Ltd. 283,200 1,911
  Colliers International Group Inc. 54,623 1,902
  Innergex Renewable Energy Inc. 166,246 1,848
* NovaGold Resources Inc. 367,962 1,841
  Westshore Terminals Investment Corp. 91,993 1,774
  Osisko Gold Royalties Ltd. 162,580 1,712
  Laurentian Bank of Canada 45,823 1,693
^ Manitoba Telecom Services Inc. 59,851 1,673
  Jean Coutu Group PJC Inc. Class A 111,018 1,672
  Winpak Ltd. 45,760 1,564
  TransAlta Renewables Inc. 141,328 1,561
  Norbord Inc. 65,461 1,540
^ TORC Oil & Gas Ltd. 267,605 1,514
  HudBay Minerals Inc. 359,237 1,513
  Russel Metals Inc. 94,311 1,501
^ Corus Entertainment Inc. Class B 179,853 1,484
  Enerflex Ltd. 139,278 1,480

 

49

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
^ Canadian Energy Services & Technology Corp. 374,610 1,477
^ Secure Energy Services Inc. 234,797 1,439
  North West Co. Inc. 71,308 1,361
* Canfor Corp. 121,516 1,348
* ECN Capital Corp. 603,780 1,319
  Transcontinental Inc. Class A 96,846 1,295
^ Genworth MI Canada Inc. 59,632 1,295
^ Pengrowth Energy Corp. 838,188 1,294
  Nevsun Resources Ltd. 443,159 1,285
  Centerra Gold Inc. 251,780 1,273
  Aimia Inc. 234,437 1,267
*,^ Baytex Energy Corp. 318,798 1,226
*,^ Penn West Petroleum Ltd. 762,951 1,217
  Pason Systems Inc. 104,220 1,185
  Ensign Energy Services Inc. 194,481 1,173
  Aecon Group Inc. 89,585 1,158
* NuVista Energy Ltd. 227,301 1,156
* Great Canadian Gaming Corp. 66,068 1,097
  Enghouse Systems Ltd. 29,202 1,097
  Just Energy Group Inc. 207,289 1,088
  Dominion Diamond Corp. 126,862 1,078
* Crew Energy Inc. 215,738 1,060
^ Northview Apartment REIT 71,156 1,057
* ATS Automation Tooling Systems Inc. 123,087 1,055
* Kelt Exploration Ltd. 223,729 989
  Dorel Industries Inc. Class B 38,645 981
*,^ China Gold International Resources Corp. Ltd. 365,098 947
*,^ MEG Energy Corp. 229,500 936
  Cascades Inc. 97,974 924
^ Extendicare Inc. 132,282 909
* Paramount Resources Ltd. Class A 78,251 888
  Bonterra Energy Corp. 43,590 820
  Cogeco Communications Inc. 16,722 780
* Gran Tierra Energy Inc. (American Shares) 250,760 730
* Alacer Gold Corp. 351,004 709
* Sierra Wireless Inc. 49,216 673
^ AutoCanada Inc. 39,493 649
  Martinrea International Inc. 109,238 641
* Gran Tierra Energy Inc. (Toronto Shares) 195,266 571
^ Morguard REIT 49,774 564
*,^ Athabasca Oil Corp. 544,393 511
  Canaccord Genuity Group Inc. 158,861 496
^ First National Financial Corp. 21,757 397
*,^ DREAM Unlimited Corp. Class A 75,811 391
  Sprott Inc. 224,904 374
*,^ Avigilon Corp. 52,283 331
* Pacific Exploration and Production Corp. 462,671 221
^ Concordia International Corp. 62,092 212
* Osisko Gold Royalties Warrants Exp. 02/26/2019 5,460 12
* Great Basin Gold Ltd. 345,634 1
  Waste Connections Inc. 4
      466,692
Chile (0.3%)    
  Parque Arauco SA 855,323 2,121
  Vina Concha y Toro SA 965,204 1,684
  Engie Energia Chile SA 796,132 1,413
  Inversiones Aguas Metropolitanas SA 665,138 1,213
  Ripley Corp. SA 1,697,476 1,065
  CAP SA 112,959 788
  Inversiones La Construccion SA 48,262 590
  Forus SA 130,471 470
* Cia Sud Americana de Vapores SA 18,562,680 379
      9,723

 

50

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
China (2.9%)    
  Skyworth Digital Holdings Ltd. 3,214,497 2,075
  Tong Ren Tang Technologies Co. Ltd. 1,094,906 1,997
  Intime Retail Group Co. Ltd. 2,438,337 1,909
  China High Speed Transmission Equipment Group Co. Ltd. 1,797,650 1,863
  Sihuan Pharmaceutical Holdings Group Ltd. 7,487,000 1,793
*,^ China Shanshui Cement Group Ltd. 1,992,757 1,616
  Phoenix Healthcare Group Co. Ltd. 953,841 1,516
*,^,2 Cogobuy Group 912,000 1,420
  CIFI Holdings Group Co. Ltd. 4,688,000 1,379
  Future Land Holdings Co. Ltd. Class A 820,462 1,352
^ Digital China Holdings Ltd. 1,583,671 1,325
  NetDragon Websoft Holdings Ltd. 401,219 1,295
  Wuxi Little Swan Co. Ltd. Class B 345,526 1,195
* Xinhua Winshare Publishing and Media Co. Ltd. 1,166,000 1,188
* Chinasoft International Ltd. 2,520,448 1,184
* Kingdee International Software Group Co. Ltd. 2,922,652 1,183
^ CT Environmental Group Ltd. 4,111,760 1,154
  China Lesso Group Holdings Ltd. 1,432,190 1,048
  China Water Affairs Group Ltd. 1,374,000 997
  BYD Electronic International Co. Ltd. 1,220,411 960
^,2 Fu Shou Yuan International Group Ltd. 1,602,000 938
2 Universal Medical Financial & Technical Advisory Services Co. Ltd. 1,083,500 932
  Tianneng Power International Ltd. 1,010,000 912
  Central China Securities Co. Ltd. 1,754,523 905
* Carnival Group International Holdings Ltd. 7,270,000 863
  Tibet Water Resources Ltd. 2,241,006 833
  Greatview Aseptic Packaging Co. Ltd. 1,639,000 832
* Coolpad Group Ltd. 4,660,669 810
2 Hua Hong Semiconductor Ltd. 664,000 785
  Vinda International Holdings Ltd. 386,873 765
* Hybrid Kinetic Group Ltd. 26,118,000 756
  Yuzhou Properties Co. Ltd. 1,980,000 735
  Bank of Chongqing Co. Ltd. 913,000 733
*,2 Qingdao Port International Co. Ltd. 1,186,000 722
  Chaowei Power Holdings Ltd. 805,000 719
  Yuexiu Transport Infrastructure Ltd. 1,044,000 715
  Sinopec Kantons Holdings Ltd. 1,503,962 705
  SSY Group Ltd. 2,081,324 702
  Powerlong Real Estate Holdings Ltd. 2,054,000 697
*,^ Lifetech Scientific Corp. 2,842,058 673
  Logan Property Holdings Co. Ltd. 1,675,468 672
*,^ Leyou Technologies Holdings Ltd. 3,730,000 671
^ China Maple Leaf Educational Systems Ltd. 938,000 657
  Livzon Pharmaceutical Group Inc. 112,210 653
  Inner Mongolia Eerduosi Resourses Co. Ltd. Class B 634,900 653
*,^ China Modern Dairy Holdings Ltd. 2,887,000 628
* Glorious Property Holdings Ltd. 5,153,000 617
  Beijing Capital Land Ltd. 1,604,000 615
^ PAX Global Technology Ltd. 974,062 608
  Texhong Textile Group Ltd. 428,000 602
^ Sinosoft Technology Group Ltd. 1,378,000 601
  Xtep International Holdings Ltd. 1,330,379 585
  Fufeng Group Ltd. 1,382,864 584
^ Shanghai Jin Jiang International Hotels Group Co. Ltd. 1,939,417 567
  China SCE Property Holdings Ltd. 1,812,000 553
  Poly Culture Group Corp. Ltd. 205,014 553
  Luthai Textile Co. Ltd. Class B 424,392 538
* Hangzhou Steam Turbine Co. Ltd. Class B 450,412 530
  Hisense Kelon Electrical Holdings Co. Ltd. Class A 618,173 521
  Xingda International Holdings Ltd. 1,253,000 520
*,2 Haichang Ocean Park Holdings Ltd. 2,451,000 520
  C C Land Holdings Ltd. 1,956,000 519
  Dah Chong Hong Holdings Ltd. 1,231,988 515

 

51

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
*,2 Tian Ge Interactive Holdings Ltd. 763,000 513
* Chiho-Tiande Group Ltd. 662,000 509
  Harbin Electric Co. Ltd. 1,039,813 507
* China Oil & Gas Group Ltd. 6,608,000 501
  Shanghai Industrial Urban Development Group Ltd. 1,964,000 498
  Shandong Airlines Co. Ltd. Class B 213,000 490
  China Shineway Pharmaceutical Group Ltd. 474,000 487
  Peak Sport Products Co. Ltd. 1,457,756 485
  Huangshan Tourism Development Co. Ltd. Class B 353,700 484
  Lonking Holdings Ltd. 2,943,313 481
^ China All Access Holdings Ltd. 1,496,000 478
  Weiqiao Textile Co. 686,000 461
  Optics Valley Union Holding Co. Ltd. 4,268,000 456
* Enerchina Holdings Ltd. 6,537,000 454
*,^ Munsun Capital Group Ltd. 14,046,936 453
  Wasion Group Holdings Ltd. 767,454 451
^ Dongjiang Environmental Co. Ltd. 297,000 450
  Hua Han Health Industry Holdings Ltd. 6,569,183 449
  361 Degrees International Ltd. 1,186,000 445
* Hi Sun Technology China Ltd. 2,772,101 431
* China Overseas Grand Oceans Group Ltd. 1,173,000 431
  Shanghai Diesel Engine Co. Ltd. Class B 524,900 428
  China ZhengTong Auto Services Holdings Ltd. 1,330,500 426
^,2 Cosmo Lady China Holdings Co. Ltd. 1,039,131 424
* O-Net Technologies Group Ltd. 755,000 411
* Kama Co. Ltd. Class B 401,200 410
  China Fangda Group Co. Ltd. Class B 436,800 403
  China Overseas Property Holdings Ltd. 1,980,000 401
^ Phoenix Satellite Television Holdings Ltd. 1,959,783 396
  Concord New Energy Group Ltd. 7,780,000 390
  COSCO International Holdings Ltd. 826,000 383
* Shang Gong Group Co. Ltd. Class B 368,800 380
  Shanghai Fudan-Zhangjiang Bio-Pharmaceutical Co. Ltd. 400,000 376
  China Suntien Green Energy Corp. Ltd. 2,807,762 375
  Shanghai Jinjiang International Travel Co. Ltd. Class B 101,446 375
  China Power New Energy Development Co. Ltd. 614,000 372
  Tianjin Port Development Holdings Ltd. 2,419,976 371
* Dongyue Group Ltd. 2,095,000 370
* China Chengtong Development Group Ltd. 4,216,000 368
*,2 Ozner Water International Holding Ltd. 1,753,000 368
* Landing International Development Ltd. 15,142,135 364
^ China Singyes Solar Technologies Holdings Ltd. 761,250 363
  Hubei Sanonda Co. Ltd. Class B 344,400 362
  Guorui Properties Ltd. 1,083,000 362
* PW Medtech Group Ltd. 1,151,000 360
  Guangdong Provincial Expressway Development Co. Ltd. Class B 537,400 360
* Skyway Securities Group Ltd. 16,299,452 358
* Sinolink Worldwide Holdings Ltd. 3,052,000 357
  Ajisen China Holdings Ltd. 789,408 355
* China Huiyuan Juice Group Ltd. 959,000 354
* AVIC International Holding HK Ltd. 5,506,000 354
* China Datang Corp. Renewable Power Co. Ltd. 3,848,393 352
  INESA Intelligent Tech Inc. Class B 438,533 351
  Qingling Motors Co. Ltd. 1,124,929 347
  Comba Telecom Systems Holdings Ltd. 1,953,959 346
*,^ TCL Multimedia Technology Holdings Ltd. 681,842 345
^ First Tractor Co. Ltd. 612,954 342
  Shanghai Highly Group Co. Ltd. Class B 429,600 339
  Yashili International Holdings Ltd. 1,666,000 338
* China Yurun Food Group Ltd. 2,081,000 332
* EverChina International Holdings Co. Ltd. 6,340,000 330
  Fantasia Holdings Group Co. Ltd. 2,524,500 328
  CPMC Holdings Ltd. 623,000 326
* North Mining Shares Co. Ltd. 18,052,000 326

 

52

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Dawnrays Pharmaceutical Holdings Ltd. 544,000 325
* Sinotrans Shipping Ltd. 1,991,690 323
*,^ West China Cement Ltd. 3,113,200 317
  Eastern Communications Co. Ltd. Class B 430,850 316
*,^ China Water Industry Group Ltd. 1,844,000 314
  China Lilang Ltd. 553,000 312
* Lianhua Supermarket Holdings Co. Ltd. 762,000 310
* Shanghai Zhongyida Co. Ltd. Class B 552,000 305
  Colour Life Services Group Co. Ltd. 404,000 293
* Hengdeli Holdings Ltd. 2,697,765 292
^ China Electronics Corp. Holdings Co. Ltd. 1,202,000 289
  Tiangong International Co. Ltd. 2,289,478 289
  Hilong Holding Ltd. 1,200,000 286
  Welling Holding Ltd. 1,427,600 285
*,^ Greenland Hong Kong Holdings Ltd. 1,098,000 281
2 Beijing Urban Construction Design & Development Group Co. Ltd. 406,000 280
* Shanghai Potevio Co. Ltd. Class B 188,700 269
  Tianjin Development Holdings Ltd. 560,000 268
  China Merchants Land Ltd. 1,854,000 262
* Chongqing Iron & Steel Co. Ltd. 813,500 259
  Xiamen International Port Co. Ltd. 1,177,000 253
* Shanghai Greencourt Investment Group Co. Ltd. Class B 398,400 248
* V1 Group Ltd. 4,985,484 247
  Huaxin Cement Co. Ltd. Class B 341,160 244
* Launch Tech Co. Ltd. 229,000 243
  Minmetals Land Ltd. 1,918,000 242
* SRE Group Ltd. 8,228,302 241
  HNA Infrastructure Company Ltd. 215,000 240
* Loudong General Nice Resources China Holdings Ltd. 3,378,000 238
* Capital Environment Holdings Ltd. 6,830,000 237
*,^ National Agricultural Holdings Ltd. 1,560,000 229
* China Minsheng Drawin Technology Group Ltd. 5,460,000 228
  NVC Lighting Holding Ltd. 1,626,088 224
*,^ Wisdom Sports Group 694,000 224
* Mingfa Group International Co. Ltd. 915,541 223
* Shanghai Phoenix Enterprise Group Co. Ltd. Class B 236,200 219
  Zhonglu Co. Ltd. Class B 120,500 216
* Tech Pro Technology Development Ltd. 7,818,804 215
* Shougang Concord International Enterprises Co. Ltd. 6,497,116 208
* Baoxin Auto Group Ltd. 638,484 208
* MIE Holdings Corp. 2,088,000 207
* China Fiber Optic Network System Group Ltd. 2,215,200 200
2 Kangda International Environmental Co. Ltd. 827,111 194
  Chongqing Machinery & Electric Co. Ltd. 1,612,000 191
  Hydoo International Holding Ltd. 1,746,000 175
* Shenzhen Chiwan Petroleum Class B 47,000 166
* China Rare Earth Holdings Ltd. 2,300,548 166
  Foshan Huaxin Packaging Co. Ltd. Class B 135,000 164
*,^ China Dynamics Holdings Ltd. 4,458,752 164
  Hefei Meiling Co. Ltd. Class B 267,360 163
*,^ Maoye International Holdings Ltd. 1,709,459 163
^ Boer Power Holdings Ltd. 389,000 156
* Shenzhen Wongtee International Enterprise Co. Ltd. Class B 223,180 156
  Changchai Co. Ltd. Class B 238,200 151
  Dalian Refrigeration Co. Ltd. Class B 194,900 151
* Xinjiang Xinxin Mining Industry Co. Ltd. 1,357,000 148
*,^ E-Commodities Holdings Ltd. 1,439,487 143
* Daphne International Holdings Ltd. 1,077,996 142
  Fiyta Holdings Ltd. Class B 130,809 132
* Anxin-China Holdings Ltd. 2,621,200 130
  Real Nutriceutical Group Ltd. 1,539,000 129
* China Soft Power Technology Holdings Ltd. 5,152,000 123
  Shenguan Holdings Group Ltd. 1,484,000 120
* China Public Procurement Ltd. 12,780,000 120

 

53

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* Boshiwa International Holding Ltd. 469,000 102
* Chengde Nanjiang Co. Ltd. Class B 271,700 101
* Yuanda China Holdings Ltd. 3,464,000 90
*,^ Universal Health International Group Holding Ltd. 1,702,000 77
* Global Bio-Chem Technology Group Co. Ltd. 3,772,000 66
*,^ China Lumena New Materials Corp. 3,950,000 64
* Real Gold Mining Ltd. 239,476 26
* China High Precision Automation Group Ltd. 401,000
*,^ China Metal Recycling Holdings Ltd. 332,400
      98,137
Colombia (0.1%)    
  Banco Davivienda SA Preference Shares 172,160 1,752
  Avianca Holdings SA Preference Shares 514,738 411
      2,163
Czech Republic (0.0%)    
  Pegas Nonwovens SA 15,116 485
  Philip Morris CR AS 697 344
      829
Denmark (1.1%)    
  GN Store Nord A/S 235,636 4,776
  Sydbank A/S 112,357 3,509
  SimCorp A/S 55,379 3,058
  Royal Unibrew A/S 63,347 2,963
* Topdanmark A/S 102,932 2,770
^ FLSmidth & Co. A/S 75,720 2,747
  NKT Holding A/S 39,841 2,682
  Dfds A/S 49,925 2,412
  Ambu A/S Class B 36,235 1,878
  Rockwool International A/S Class B 9,715 1,625
* Bavarian Nordic A/S 47,635 1,614
2 Scandinavian Tobacco Group A/S 74,909 1,296
  Spar Nord Bank A/S 127,215 1,276
  ALK-Abello A/S 8,987 1,216
  Schouw & Co. AB 17,992 1,141
  Matas A/S 51,166 993
  Alm Brand A/S 100,977 760
* Bang & Olufsen A/S 48,860 540
  Solar A/S Class B 8,511 468
*,^ D/S Norden A/S 12,343 176
* OW Bunker A/S 24,023
      37,900
Egypt (0.1%)    
* Orascom Construction Ltd. 88,802 898
  Palm Hills Developments SAE 2,364,491 609
* Six of October Development & Investment 365,647 539
* Pioneers Holding for Financial Investments SAE 546,737 517
  Heliopolis Housing 50,456 332
  Oriental Weavers 268,115 270
* Orascom Telecom Media And Technology Holding SAE 3,869,476 244
* Ezz Steel 277,384 218
  Arab Cotton Ginning 470,632 144
* South Valley Cement 331,061 142
* Citadel Capital SAE 1,629,403 130
* Egyptian Resorts Co. 1,346,579 106
* Maridive & Oil Services SAE 356,111 78
* Nile Cotton Ginning 31,192 23
      4,250
Finland (1.1%)    
  Amer Sports Oyj 185,785 5,055
  Konecranes Oyj 95,977 3,269
  Tieto Oyj 118,395 3,248
  Valmet Oyj 218,588 3,245
  Cargotec Oyj Class B 67,619 2,773

 

54

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* Outokumpu Oyj 319,354 2,227
^ Metsa Board Oyj 375,503 2,157
  Sponda Oyj 375,674 1,779
  YIT Oyj 192,652 1,607
  Uponor Oyj 83,007 1,412
  Citycon Oyj 591,968 1,387
^ Caverion Corp. 192,221 1,383
  Kemira Oyj 114,888 1,369
  Sanoma Oyj 129,690 1,213
*,^ Outotec Oyj 277,059 1,206
  Cramo Oyj 38,600 1,012
  Oriola-KD Oyj 186,581 874
  Raisio Oyj 191,081 799
  Ramirent Oyj 100,086 738
* Finnair Oyj 96,436 428
  F-Secure Oyj 94,186 333
*,^ Stockmann OYJ Abp Class B 41,117 307
  Huhtamaki Oyj 1
      37,821
France (2.5%)    
  Rubis SCA 58,904 5,372
2 Elior Group 208,513 4,684
2 Euronext NV 111,904 4,481
* Ubisoft Entertainment SA 121,787 4,144
  Nexity SA 68,319 3,430
  Technicolor SA 583,880 3,411
* Nexans SA 55,642 3,163
  Altran Technologies SA 190,003 2,711
  Alten SA 37,864 2,705
* DBV Technologies SA 33,790 2,330
  Elis SA 138,750 2,305
  Havas SA 274,015 2,230
*,^ Vallourec SA 443,890 2,181
  Sopra Steria Group 21,158 2,153
  SPIE SA 99,577 1,882
  Korian SA 59,027 1,808
  Metropole Television SA 100,432 1,750
  IPSOS 52,130 1,703
*,2 Worldline SA 61,256 1,683
  Neopost SA 52,744 1,597
^ Television Francaise 1 163,046 1,502
  Vicat SA 23,866 1,501
* Groupe Fnac SA 21,198 1,447
  Tarkett SA 38,962 1,388
*,^ Air France-KLM 226,504 1,381
  Mercialys SA 62,852 1,302
  Faiveley Transport SA 10,203 1,112
* Virbac SA 6,754 1,075
*,2 Europcar Groupe SA 114,815 1,067
  Trigano SA 14,718 1,041
  Gaztransport Et Technigaz SA 28,538 964
*,^ Etablissements Maurel et Prom 197,504 869
^ CGG SA 32,492 858
*,^ Genfit 42,603 797
  Coface SA 120,918 783
  Boiron SA 8,080 683
  Beneteau SA 55,885 646
* Eramet 13,480 633
  FFP 8,155 600
^ Rallye SA 32,771 594
  Vilmorin & Cie SA 9,448 568
^ Bourbon Corp. 42,476 554
* Fonciere de Paris SIIC 3,700 538
  Assystem 16,766 503

 

55

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Bonduelle SCA 20,101 476
  Guerbet 7,451 443
  Interparfums SA 13,631 391
  Mersen 18,626 373
  Derichebourg SA 117,653 368
  Direct Energie 8,723 325
  Jacquet Metal Service 18,428 309
  Albioma SA 16,681 276
  GL Events 15,111 270
*,^ Parrot SA 29,850 265
  Manitou BF SA 12,981 234
  Haulotte Group SA 16,624 230
* Esso SA Francaise 4,329 174
* Stallergenes Greer plc 5,097 163
* Albioma SA Loyalty Line 8,890 147
  Union Financiere de France BQE SA 4,713 125
* Euro Disney SCA 63,113 80
      82,778
Germany (3.7%)    
  STADA Arzneimittel AG 98,907 4,960
* KUKA AG 43,514 4,938
  Freenet AG 171,575 4,919
  Rheinmetall AG 67,974 4,719
* Dialog Semiconductor plc 115,041 4,524
  Gerresheimer AG 50,547 3,813
  Aurubis AG 72,731 3,792
  Aareal Bank AG 97,627 3,531
  Deutsche EuroShop AG 74,593 3,224
^ Drillisch AG 68,000 3,107
  TAG Immobilien AG 230,837 3,078
  Software AG 81,931 2,978
* Nordex SE 103,588 2,728
  alstria office REIT-AG 208,889 2,694
  Jungheinrich AG Preference Shares 79,831 2,520
  Krones AG 24,478 2,497
  Norma Group SE 52,644 2,422
  GRENKE AG 12,339 2,148
  Salzgitter AG 65,107 2,140
  Bechtle AG 19,598 2,061
  TLG Immobilien AG 93,712 1,965
  Leoni AG 50,330 1,909
  CTS Eventim AG & Co. KGaA 50,002 1,795
^ Stroeer SE & Co. KGaA 38,919 1,780
* Kloeckner & Co. SE 142,325 1,777
* MorphoSys AG 39,855 1,770
*,^ Bilfinger SE 50,258 1,770
  Nemetschek SE 27,815 1,735
* Schaeffler AG Preference Shares 112,298 1,702
2 ADO Properties SA 45,950 1,680
  Indus Holding AG 28,058 1,656
2 Deutsche Pfandbriefbank AG 156,403 1,608
  Duerr AG 21,235 1,583
  CompuGroup Medical SE 35,177 1,559
  RHOEN-KLINIKUM AG 51,378 1,430
  Pfeiffer Vacuum Technology AG 15,158 1,375
* PATRIZIA Immobilien AG 65,040 1,346
* zooplus AG 9,432 1,343
  DMG Mori AG 29,091 1,332
^ Sixt SE 21,238 1,289
  Takkt AG 50,204 1,191
*,2 Tele Columbus AG 146,960 1,161
  Sixt SE Preference Shares 25,565 1,141
*,^ SGL Carbon SE 90,920 1,135
  KWS Saat SE 3,444 1,127

 

56

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Jenoptik AG 61,789 1,062
  BRAAS Monier Building Group SA 35,592 1,026
  Puma SE 4,104 1,023
*,^ Heidelberger Druckmaschinen AG 353,941 940
  XING AG 4,405 898
  Carl Zeiss Meditec AG 24,763 891
* Vossloh AG 13,631 829
  Draegerwerk AG & Co. KGaA Preference Shares 11,490 820
  Bertrandt AG 7,340 781
* Wincor Nixdorf AG 10,670 777
^ BayWa AG 21,239 714
^ ElringKlinger AG 44,147 684
  Deutz AG 137,842 682
* AIXTRON SE 130,897 649
  DIC Asset AG 65,310 627
* Wuestenrot & Wuerttembergische AG 29,608 589
  Wacker Neuson SE 38,170 528
  Deutsche Beteiligungs AG 15,506 524
*,2 Hapag-Lloyd AG 25,562 509
^ Gerry Weber International AG 38,862 485
  Hamburger Hafen und Logistik AG 29,543 470
  Biotest AG Preference Shares 30,063 419
  comdirect bank AG 40,925 415
* H&R GmbH & Co. KGaA 22,324 413
^ SMA Solar Technology AG 15,852 407
  Hornbach Baumarkt AG 11,019 348
  Draegerwerk AG & Co. KGaA 4,664 298
  CropEnergies AG 34,813 197
  Biotest AG 9,271 166
      123,123
Greece (0.1%)    
* Mytilineos Holdings SA 120,149 686
* Public Power Corp. SA 162,297 530
  Hellenic Exchanges SA 95,425 471
  Grivalia Properties REIC AE 57,728 445
  Metka Industrial - Construction SA 48,967 412
  Athens Water Supply & Sewage Co. SA 65,813 390
* Ellaktor SA 215,887 293
  Aegean Airlines SA 43,229 278
* GEK Terna Holding Real Estate Construction SA 93,396 216
* Fourlis Holdings SA 43,671 186
* TT Hellenic Postbank SA 44,448 8
  Terna Energy SA 2,553 8
      3,923
Hong Kong (2.2%)    
  Vitasoy International Holdings Ltd. 1,360,000 2,840
  Fortune REIT (Hong Kong Shares) 2,188,000 2,651
  Man Wah Holdings Ltd. 2,597,200 1,724
  Nexteer Automotive Group Ltd. 1,216,328 1,604
^ China Goldjoy Group Ltd. 16,164,000 1,561
* Freeman FinTech Corp. Ltd. 22,734,488 1,551
  Luk Fook Holdings International Ltd. 527,000 1,545
  Value Partners Group Ltd. 1,598,498 1,525
  Tongda Group Holdings Ltd. 5,750,000 1,517
  NagaCorp Ltd. 2,374,228 1,465
  HKBN Ltd. 1,125,449 1,327
* China Baoli Technologies Holdings Ltd. 40,000,000 1,246
  CP Pokphand Co. Ltd. 9,760,000 1,244
  BEP International Holdings Ltd. 17,840,000 1,171
  K Wah International Holdings Ltd. 2,107,000 1,139
  SITC International Holdings Co. Ltd. 1,760,858 1,041
  IGG Inc. 1,414,000 1,031
  Town Health International Medical Group Ltd. 6,437,419 1,029
  Pou Sheng International Holdings Ltd. 3,281,000 1,025

 

57

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Sunlight REIT 1,653,000 1,022
  Stella International Holdings Ltd. 576,591 999
  Yuexiu REIT 1,655,000 949
  Pacific Textiles Holdings Ltd. 752,000 947
  Giordano International Ltd. 1,795,735 947
*,^ KuangChi Science Ltd. 2,648,000 922
^ SMI Holdings Group Ltd. 9,240,000 881
  SmarTone Telecommunications Holdings Ltd. 574,730 868
  SEA Holdings Ltd. 339,098 863
* FDG Electric Vehicles Ltd. 16,183,885 847
*,^,2 IMAX China Holding Inc. 174,300 824
  Truly International Holdings Ltd. 2,105,000 823
* Pacific Basin Shipping Ltd. 5,354,532 800
* Vision Fame International Holding Ltd. 2,268,000 790
  Prosperity REIT 1,773,000 766
*,^ Superb Summit International Group Ltd. 3,957,346 745
^ China LNG Group Ltd. 24,720,000 722
  CITIC Telecom International Holdings Ltd. 2,060,004 705
  Yingde Gases Group Co. Ltd. 1,629,000 657
  Chong Hing Bank Ltd. 334,000 656
* Huayi Tencent Entertainment Co. Ltd. 10,610,000 642
*,^ MMG Ltd. 2,405,127 632
  Goodbaby International Holdings Ltd. 1,298,000 627
  Chow Sang Sang Holdings International Ltd. 347,565 614
* Nan Hai Corp. Ltd. 18,700,000 613
  G-Resources Group Ltd. 34,347,190 604
  Dynam Japan Holdings Co. Ltd. 416,840 599
* HC International Inc. 778,000 573
  Far East Consortium International Ltd. 1,379,858 565
^ Sun Hung Kai & Co. Ltd. 891,000 561
* GCL New Energy Holdings Ltd. 9,349,541 559
* Convoy Global Holdings Ltd. 17,622,000 544
^,2 Regina Miracle International Holdings Ltd. 530,000 542
* China Strategic Holdings Ltd. 22,640,000 536
^ Gemdale Properties & Investment Corp. Ltd. 8,118,000 534
  China Harmony New Energy Auto Holding Ltd. 1,119,500 520
  Emperor Capital Group Ltd. 4,907,860 517
  Canvest Environmental Protection Group Co. Ltd. 1,144,000 516
^ TCC International Holdings Ltd. 1,942,500 493
* United Photovoltaics Group Ltd. 5,560,645 486
  Lai Sun Development Co. Ltd. 23,662,500 484
* Microport Scientific Corp. 645,000 477
* Rentian Technology Holdings Ltd. 6,900,000 461
* Sino Oil And Gas Holdings Ltd. 18,545,000 455
*,^ China Ocean Industry Group Ltd. 15,055,000 442
  Spring REIT 1,037,762 437
*,^ China LotSynergy Holdings Ltd. 10,719,951 434
* Beijing Enterprises Medical & Health Group Ltd. 7,266,000 421
* United Laboratories International Holdings Ltd. 738,500 408
* NetMind Financial Holdings Ltd. 43,864,000 394
* China Innovative Finance Group Ltd. 3,510,000 390
* China Medical & HealthCare Group Ltd. 6,682,946 382
*,^ Summit Ascent Holdings Ltd. 1,234,000 377
  Ju Teng International Holdings Ltd. 1,169,002 370
  APT Satellite Holdings Ltd. 558,500 367
  China Aerospace International Holdings Ltd. 2,844,000 366
* TOM Group Ltd. 1,489,016 364
  NewOcean Energy Holdings Ltd. 1,408,000 363
* Mei Ah Entertainment Group Ltd. 4,740,000 360
* China Financial International Investments Ltd. 6,820,000 347
  Liu Chong Hing Investment Ltd. 240,000 338
  Road King Infrastructure Ltd. 394,346 335
  Shenwan Hongyuan HK Ltd. 600,000 330
^ Lee's Pharmaceutical Holdings Ltd. 380,000 329

 

58

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* 13 Holdings Ltd. 1,113,540 328
* Midland Holdings Ltd. 888,000 316
* Kong Sun Holdings Ltd. 6,075,000 305
*,^ Honghua Group Ltd. 2,985,000 303
^ China Silver Group Ltd. 1,516,000 300
* China Beidahuang Industry Group Holdings Ltd. 4,872,000 282
  Technovator International Ltd. 626,000 258
  TPV Technology Ltd. 1,242,000 237
* Qianhai Health Holdings Ltd. 10,977,500 232
2 CGN New Energy Holdings Co. Ltd. 1,580,000 229
*,^ Anton Oilfield Services Group 1,687,298 225
* Yanchang Petroleum International Ltd. 7,630,000 216
* Emperor Watch & Jewellery Ltd. 5,350,000 213
*,^ Xinchen China Power Holdings Ltd. 1,186,800 207
* Singamas Container Holdings Ltd. 1,917,960 200
* Peace Map Holding Ltd. 8,359,788 198
  Parkson Retail Group Ltd. 1,969,500 195
  EVA Precision Industrial Holdings Ltd. 1,726,000 189
  AMVIG Holdings Ltd. 558,000 188
  Yip's Chemical Holdings Ltd. 446,000 182
* New Sports Group Ltd. 13,910,000 179
* Suncorp Technologies Ltd. 16,990,000 166
  Inspur International Ltd. 832,000 165
* SOCAM Development Ltd. 412,725 160
* Tou Rong Chang Fu Group Ltd. 7,648,000 158
  Varitronix International Ltd. 386,000 157
* Sunshine Oilsands Ltd. 2,670,500 154
* New Focus Auto Tech Holdings Ltd. 2,223,482 154
*,^ Haier Healthwise Holdings Ltd. 4,650,000 153
^ China Huarong Energy Co. Ltd. 2,280,900 153
* Silver Base Group Holdings Ltd. 1,983,712 143
  New World Department Store China Ltd. 942,966 139
* Trinity Ltd. 1,874,000 138
  Henderson Investment Ltd. 1,597,000 134
* Hong Kong Television Network Ltd. 659,000 119
* Mason Financial Holdings Ltd. 5,079,077 116
* Sincere Watch Hong Kong Ltd. 3,620,000 100
* Auto Italia Holdings 4,923,702 83
  Polytec Asset Holdings Ltd. 866,221 63
* China Healthcare Enterprise Group Ltd. 3,625,304 63
* GT Group Holdings Ltd. 1,477,853 53
* Winshine Science Co. Ltd. 1,648,000 39
* Neo-Neon Holdings Ltd. 204,880 32
* Skyway Securities Group Ltd. Warrants Exp. 02/11/2017 1,939,890 18
      73,319
India (2.8%)    
  Apollo Hospitals Enterprise Ltd. 128,998 2,590
* Bharat Financial Inclusion Ltd. 161,161 2,134
  Page Industries Ltd. 8,360 2,060
  Max Financial Services Ltd. 221,632 1,869
  Federal Bank Ltd. 1,466,471 1,802
  Vakrangee Ltd. 453,992 1,715
* Alkem Laboratories Ltd. 69,790 1,706
  Berger Paints India Ltd. 401,014 1,547
  Mindtree Ltd. 233,449 1,525
  CRISIL Ltd. 43,225 1,422
  Dewan Housing Finance Corp. Ltd. 268,452 1,321
  MRF Ltd. 1,832 1,316
  Info Edge India Ltd. 92,622 1,251
  Apollo Tyres Ltd. 406,310 1,231
  Arvind Ltd. 193,725 1,202
  Amara Raja Batteries Ltd. 75,667 1,148
  Kansai Nerolac Paints Ltd. 200,188 1,137
  Jubilant Life Sciences Ltd. 109,793 1,135

 

59

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
AIA Engineering Ltd. 56,265 1,089
PI Industries Ltd. 83,077 1,075
TVS Motor Co. Ltd. 174,498 1,060
Indian Hotels Co. Ltd. 609,833 1,054
L&T Finance Holdings Ltd. 653,309 1,047
Strides Shasun Ltd. 66,322 1,039
Biocon Ltd. 73,343 1,017
Cholamandalam Investment and Finance Co. Ltd. 57,210 1,016
Dalmia Bharat Ltd. 32,217 993
Ajanta Pharma Ltd. 32,273 987
Gujarat Pipavav Port Ltd. 402,121 980
Manappuram Finance Ltd. 629,438 964
CESC Ltd. 101,140 952
Edelweiss Financial Services Ltd. 498,080 911
* Kajaria Ceramics Ltd. 97,540 907
IRB Infrastructure Developers Ltd. 254,649 896
Blue Dart Express Ltd. 11,741 894
NCC Ltd. 632,108 886
Voltas Ltd. 151,836 880
Bayer CropScience Ltd. 13,320 851
* Suzlon Energy Ltd. 3,721,876 846
Sundaram Finance Ltd. 40,710 837
Jubilant Foodworks Ltd. 54,811 821
Ramco Cements Ltd. 87,376 805
Supreme Industries Ltd. 58,997 798
* Whirlpool of India Ltd. 46,030 775
Muthoot Finance Ltd. 144,057 774
Abbott India Ltd. 10,222 764
* Gillette India Ltd. 11,952 764
Sintex Industries Ltd. 554,951 746
Natco Pharma Ltd. 85,013 743
Credit Analysis & Research Ltd. 32,729 723
Tata Global Beverages Ltd. 343,442 720
Alembic Pharmaceuticals Ltd. 68,511 693
Oberoi Realty Ltd. 128,220 677
* Sun Pharma Advanced Research Co. Ltd. 128,583 676
eClerx Services Ltd. 29,676 675
* Aditya Birla Fashion and Retail Ltd. 278,938 669
Jain Irrigation Systems Ltd. 414,702 668
GRUH Finance Ltd. 132,631 664
Indraprastha Gas Ltd. 50,793 655
2 Syngene International Ltd. 73,526 645
Tube Investments of India Ltd. 68,840 644
* PC Jeweller Ltd. 81,222 623
* Ipca Laboratories Ltd. 66,729 610
National Aluminium Co. Ltd. 740,230 592
WABCO India Ltd. 6,882 583
Persistent Systems Ltd. 59,509 575
* Dish TV India Ltd. 385,889 555
Sanofi India Ltd. 8,466 554
Century Textiles & Industries Ltd. 40,524 552
Thermax Ltd. 43,231 551
* Indiabulls Real Estate Ltd. 412,462 542
KRBL Ltd. 151,438 542
2 Dr Lal PathLabs Ltd. 30,699 542
Sadbhav Engineering Ltd. 129,208 540
Karur Vysya Bank Ltd. 73,098 524
KPIT Technologies Ltd. 243,466 523
Repco Home Finance Ltd. 46,186 522
Welspun India Ltd. 600,220 511
Ceat Ltd. 27,882 507
Hexaware Technologies Ltd. 163,194 500
Prestige Estates Projects Ltd. 170,064 494
Symphony Ltd. 25,718 492

 

60

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Redington India Ltd. 312,258 491
Engineers India Ltd. 119,100 481
* Housing Development & Infrastructure Ltd. 383,534 479
Coromandel International Ltd. 109,756 471
Cox & Kings Ltd. 141,462 466
Gujarat State Petronet Ltd. 193,931 458
* Just Dial Ltd. 71,826 456
Indian Bank 130,688 456
GE T&D India Ltd. 88,446 454
Bajaj Corp. Ltd. 72,242 441
IFCI Ltd. 1,129,791 440
Pfizer Ltd. 15,848 433
* Fortis Healthcare Ltd. 160,355 429
Gujarat Gas Ltd. 49,242 422
* TV18 Broadcast Ltd. 630,246 420
India Cements Ltd. 176,674 416
* RattanIndia Power Ltd. 3,300,000 412
Balrampur Chini Mills Ltd. 221,595 383
* Central Bank of India 266,240 364
Gateway Distriparks Ltd. 97,891 362
South Indian Bank Ltd. 1,000,103 356
* Mahindra CIE Automotive Ltd. 118,855 353
Srei Infrastructure Finance Ltd. 319,411 349
Multi Commodity Exchange of India Ltd. 16,653 321
* Hindustan Construction Co. Ltd. 584,926 318
* Bajaj Hindusthan Sugar Ltd. 1,216,638 305
Gujarat Fluorochemicals Ltd. 39,837 302
Jammu & Kashmir Bank Ltd. 294,638 297
PTC India Ltd. 266,177 294
VA Tech Wabag Ltd. 39,337 292
* Kaveri Seed Co. Ltd. 43,858 284
* Jaiprakash Associates Ltd. 1,579,998 264
Karnataka Bank Ltd. 138,910 254
* Unitech Ltd. 2,768,499 250
* Syndicate Bank 224,377 248
* Future Retail Ltd. 98,705 246
* Jet Airways India Ltd. 35,377 243
Marksans Pharma Ltd. 307,220 240
* Indian Overseas Bank 592,984 237
Sobha Ltd. 54,471 228
* Jindal Saw Ltd. 236,850 227
* Allahabad Bank 196,738 223
Welspun Corp. Ltd. 203,488 217
* Vijaya Bank 301,986 200
Gujarat Mineral Development Corp. Ltd. 119,672 199
Raymond Ltd. 21,433 194
Andhra Bank 227,254 192
* Videocon Industries Ltd. 121,343 189
* GE Power India Ltd. 24,317 187
Cyient Ltd. 25,104 184
* DEN Networks Ltd. 148,069 173
* Shipping Corp. of India Ltd. 168,994 172
McLeod Russel India Ltd. 66,186 168
* UCO Bank 314,684 164
Radico Khaitan Ltd. 76,752 162
* Shree Renuka Sugars Ltd. 647,265 151
* Rolta India Ltd. 145,734 137
Chambal Fertilizers and Chemicals Ltd. 140,709 133
* Amtek Auto Ltd. 203,375 132
* Reliance Defence and Engineering Ltd. 142,038 126
* Punj Lloyd Ltd. 315,638 107
* Polaris Consulting & Services Ltd. 33,206 80
* Karnataka Bank Ltd Rights Exp. 11/21/2016 69,455 54
Future Enterprises Ltd. 205,958 49

 

61

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
* Nagarjuna Fertilizers & Chemicals Ltd. 233,445 42
* Arvind Infrastructure Ltd. 19,635 28
* JITF Infralogistics Ltd. 21,890 13
* Chennai Super Kings Cricket Ltd. 176,674
    94,143
Indonesia (0.7%)    
Summarecon Agung Tbk PT 18,207,568 2,300
Ciputra Development Tbk PT 18,375,656 2,224
Lippo Karawaci Tbk PT 31,983,518 2,212
Pakuwon Jati Tbk PT 36,096,034 1,992
AKR Corporindo Tbk PT 2,520,300 1,368
Waskita Karya Persero Tbk PT 6,290,079 1,262
* Aneka Tambang Persero Tbk PT 12,714,319 873
Bank Tabungan Negara Persero Tbk PT 5,520,970 808
Link Net Tbk PT 2,041,800 782
Ace Hardware Indonesia Tbk PT 10,629,300 696
Indo Tambangraya Megah Tbk PT 605,800 665
Wijaya Karya Persero Tbk PT 3,197,500 630
* Alam Sutera Realty Tbk PT 17,822,091 612
Matahari Putra Prima Tbk PT 4,064,900 562
Perusahaan Perkebunan London Sumatra Indonesia Tbk PT 4,228,729 494
Ramayana Lestari Sentosa Tbk PT 4,398,000 462
Bank Pembangunan Daerah Jawa Barat Dan Banten Tbk PT 3,778,200 460
Adhi Karya Persero Tbk PT 2,637,600 458
* Mitra Adiperkasa Tbk PT 1,081,300 456
Intiland Development Tbk PT 8,067,000 356
* Panin Financial Tbk PT 24,203,500 354
BISI International Tbk PT 2,086,120 319
* Siloam International Hospitals Tbk PT 384,500 306
* Lippo Cikarang Tbk PT 610,200 283
Timah Persero Tbk PT 3,940,520 281
* Eagle High Plantations Tbk PT 17,979,000 263
Surya Semesta Internusa Tbk PT 5,761,400 249
Wijaya Karya Beton Tbk PT 3,557,195 242
* Krakatau Steel Persero Tbk PT 4,769,300 241
* Agung Podomoro Land Tbk PT 10,183,000 225
* Gajah Tunggal Tbk PT 2,265,200 217
Salim Ivomas Pratama Tbk PT 4,781,800 183
* Medco Energi Internasional Tbk PT 1,752,671 175
Bekasi Fajar Industrial Estate Tbk PT 7,132,400 170
Sampoerna Agro PT 944,300 138
* Sigmagold Inti Perkasa Tbk PT 8,317,400 73
    23,391
Ireland (0.4%)    
Kingspan Group plc 278,294 6,815
C&C Group plc (Dublin Shares) 514,982 1,976
Green REIT plc 1,032,663 1,542
Hibernia REIT plc 1,057,058 1,489
Origin Enterprises plc 192,848 1,196
Irish Continental Group plc 244,841 1,142
* Permanent TSB Group Holdings plc 176,533 480
C&C Group plc (London Shares) 11,196 43
    14,683
Israel (0.4%)    
Reit 1 Ltd. 254,949 768
* Mazor Robotics Ltd. 63,707 730
* Partner Communications Co. Ltd. 134,688 628
* Cellcom Israel Ltd. (Registered) 75,342 569
* Jerusalem Oil Exploration 12,817 564
IDI Insurance Co. Ltd. 11,042 548
* Jerusalem Economy Ltd. 228,754 517
* Nova Measuring Instruments Ltd. 41,974 502
Rami Levy Chain Stores Hashikma Marketing 2006 Ltd. 11,868 477

 

62

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Delta-Galil Industries Ltd. 16,285 464
* Compugen Ltd. 73,853 418
  Africa Israel Properties Ltd. 23,694 408
  Shufersal Ltd. 104,316 394
  B Communications Ltd. 16,482 365
* Clal Insurance Enterprises Holdings Ltd. 30,123 346
  Formula Systems 1985 Ltd. 8,777 338
* Phoenix Holdings Ltd. 113,236 323
* Naphtha Israel Petroleum Corp. Ltd. 58,194 316
  Bayside Land Corp. 792 310
  Electra Ltd. 2,231 307
* Menora Mivtachim Holdings Ltd. 33,600 299
  Big Shopping Centers Ltd. 4,114 276
* Allot Communications Ltd. 49,625 259
* Evogene Ltd. 42,085 251
* Gilat Satellite Networks Ltd. 56,590 248
* Migdal Insurance & Financial Holding Ltd. 366,839 243
  Norstar Holdings Inc. 14,227 241
* Kenon Holdings Ltd. 23,335 227
* AudioCodes Ltd. 38,938 206
* Silicom Ltd. 5,456 203
* Ceragon Networks Ltd. 74,431 196
  Property & Building Corp. Ltd. 2,146 177
* Kamada Ltd. 28,037 162
* Africa Israel Investments Ltd. 65,216 19
      12,299
Italy (2.5%)    
^ Banco Popolare SC 1,348,627 3,893
  Moncler SPA 232,089 3,864
  Banca Popolare dell'Emilia Romagna SC 784,416 3,686
  A2A SPA 2,524,263 3,438
^ Banca Popolare di Milano Scarl 7,223,527 3,311
  Brembo SPA 49,306 3,053
* Yoox Net-A-Porter Group SPA 101,525 2,920
  Hera SPA 1,093,359 2,795
  Cerved Information Solutions SPA 315,265 2,538
  DiaSorin SPA 39,397 2,421
  Azimut Holding SPA 147,182 2,362
  Banca Popolare di Sondrio SCPA 691,845 2,310
  Unipol Gruppo Finanziario SPA 750,042 2,296
  Buzzi Unicem SPA 111,031 2,159
  Interpump Group SPA 130,552 2,094
  De' Longhi SPA 86,963 2,035
  Banca Generali SPA 87,659 1,949
  Ansaldo STS SPA 152,331 1,751
2 Infrastrutture Wireless Italiane SPA 367,291 1,736
2 Anima Holding SPA 343,905 1,675
  Autogrill SPA 193,523 1,613
  Societa Cattolica di Assicurazioni SCRL 256,935 1,554
  Industria Macchine Automatiche SPA 23,377 1,446
  Iren SPA 765,820 1,374
  Amplifon SPA 120,618 1,274
* Ei Towers SPA 25,642 1,208
^ Tod's SPA 20,404 1,192
*,^ Banca Monte dei Paschi di Siena SPA 3,900,217 1,045
  Societa Iniziative Autostradali e Servizi SPA 108,500 1,016
2 OVS SPA 185,131 1,014
  ACEA SPA 74,323 963
  Beni Stabili SpA SIIQ 1,611,582 940
  MARR SPA 49,952 920
^ Saras SPA 523,570 909
  Banca IFIS SPA 30,283 877
  Danieli & C Officine Meccaniche SPA RSP 63,692 853
  ERG SPA 76,002 844

 

63

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Brunello Cucinelli SPA 42,147 835
  Reply SPA 6,623 833
  Credito Valtellinese SC 1,757,489 773
^ Salini Impregilo SPA 245,523 684
  Buzzi Unicem SPA 65,768 671
  Credito Emiliano SPA 115,569 651
  Datalogic SPA 30,000 629
  Italmobiliare SPA 12,215 580
2 RAI Way SPA 139,897 547
  CIR-Compagnie Industriali Riunite SPA 472,961 527
* Safilo Group SPA 50,012 523
  ASTM SPA 46,233 499
^ Cairo Communication SPA 106,839 458
^ Piaggio & C SPA 255,579 446
  Immobiliare Grande Distribuzione SIIQ SPA 553,078 426
*,^ Banca Carige SPA 1,032,824 353
  Cementir Holding SPA 71,516 349
  Danieli & C Officine Meccaniche SPA 17,125 320
* Fincantieri SPA 689,732 313
  Esprinet SPA 37,887 281
^ Astaldi SPA 65,899 266
  Zignago Vetro SPA 42,612 258
*,^ Rizzoli Corriere Della Sera Mediagroup SPA 235,776 253
^ Geox SPA 115,926 250
* Gruppo Editoriale L'Espresso SPA 243,892 203
* Juventus Football Club SPA 609,367 196
* Arnoldo Mondadori Editore SPA 185,763 184
  Cofide SPA 431,222 183
  DeA Capital SPA 131,828 156
  Falck Renewables SPA 157,843 141
      84,116
Japan (16.2%)    
  Mebuki Financial Group Inc. 1,504,100 5,353
  Morinaga & Co. Ltd. 66,703 3,103
  Penta-Ocean Construction Co. Ltd. 473,900 2,824
  Morinaga Milk Industry Co. Ltd. 334,678 2,696
  NOF Corp. 237,207 2,578
  Ulvac Inc. 81,496 2,573
  ADEKA Corp. 167,155 2,527
  Aica Kogyo Co. Ltd. 88,500 2,525
*,^ Tokuyama Corp. 586,050 2,506
  Sankyu Inc. 415,542 2,447
  Tokyo Ohka Kogyo Co. Ltd. 66,413 2,358
  Toagosei Co. Ltd. 211,592 2,355
  Nihon Parkerizing Co. Ltd. 165,561 2,281
  Kyowa Exeo Corp. 151,090 2,269
  Amano Corp. 119,768 2,228
  Nikkon Holdings Co. Ltd. 103,448 2,222
  Tsubakimoto Chain Co. 279,710 2,216
  Mitsui Mining & Smelting Co. Ltd. 949,000 2,114
  Sangetsu Corp. 108,920 2,103
  Nippon Gas Co. Ltd. 68,836 2,083
  Ship Healthcare Holdings Inc. 71,200 2,083
  Nishimatsu Construction Co. Ltd. 443,252 2,070
  Iwatani Corp. 344,124 2,055
  Nippon Light Metal Holdings Co. Ltd. 894,923 2,038
  Hazama Ando Corp. 313,879 2,023
  Ogaki Kyoritsu Bank Ltd. 563,740 2,017
  TechnoPro Holdings Inc. 58,600 2,007
  Maeda Corp. 216,306 2,004
  Arcs Co. Ltd. 77,100 1,935
  Mitsubishi Pencil Co. Ltd. 38,600 1,931
  Hanwa Co. Ltd. 315,415 1,930
  Nippon Suisan Kaisha Ltd. 400,862 1,927

 

64

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
^ SHO-BOND Holdings Co. Ltd. 39,900 1,924
  Colowide Co. Ltd. 98,200 1,908
  Kokuyo Co. Ltd. 143,740 1,904
  Kiyo Bank Ltd. 114,596 1,900
  Oki Electric Industry Co. Ltd. 143,706 1,875
  Toho Holdings Co. Ltd. 89,018 1,868
  Fuji Machine Manufacturing Co. Ltd. 145,388 1,850
  Valor Holdings Co. Ltd. 65,100 1,847
  Kenedix Inc. 438,700 1,845
  Maruha Nichiro Corp. 63,646 1,765
  Hitachi Kokusai Electric Inc. 87,459 1,747
  Trusco Nakayama Corp. 33,700 1,742
  San-A Co. Ltd. 31,644 1,723
  Fuyo General Lease Co. Ltd. 33,747 1,711
  Okumura Corp. 295,213 1,701
  Yoshinoya Holdings Co. Ltd. 112,720 1,698
  Nanto Bank Ltd. 44,400 1,688
  Hokkoku Bank Ltd. 498,000 1,668
  Topre Corp. 71,800 1,663
  Sakata Seed Corp. 57,556 1,657
  Tokyo Seimitsu Co. Ltd. 59,234 1,616
  Kumagai Gumi Co. Ltd. 606,080 1,610
  Takasago Thermal Engineering Co. Ltd. 113,952 1,607
  Yaoko Co. Ltd. 38,100 1,600
  Musashino Bank Ltd. 57,700 1,593
  Toyo Ink SC Holdings Co. Ltd. 342,647 1,593
  Duskin Co. Ltd. 81,960 1,574
  Fujitec Co. Ltd. 136,468 1,561
  Fuji Oil 80,805 1,558
  Tokyo Dome Corp. 163,678 1,556
  Meitec Corp. 45,646 1,556
  Mandom Corp. 32,927 1,536
  Hokuetsu Kishu Paper Co. Ltd. 245,021 1,533
  Fuji Seal International Inc. 37,148 1,531
^ Daio Paper Corp. 127,554 1,531
  Okasan Securities Group Inc. 287,000 1,526
  Nichias Corp. 171,139 1,523
  Nippon Seiki Co. Ltd. 77,832 1,505
  Nihon Unisys Ltd. 120,741 1,471
*,^ euglena Co. Ltd. 108,100 1,469
  Hitachi Zosen Corp. 291,510 1,467
  Inaba Denki Sangyo Co. Ltd. 40,420 1,467
^ Nissha Printing Co. Ltd. 60,460 1,464
  GMO Internet Inc. 109,561 1,463
  Ryosan Co. Ltd. 45,857 1,412
  Yodogawa Steel Works Ltd. 51,533 1,407
^ Okamoto Industries Inc. 129,000 1,396
  Hyakujushi Bank Ltd. 409,000 1,393
  KYB Corp. 299,000 1,367
  Asatsu-DK Inc. 48,900 1,357
  Tomy Co. Ltd. 125,217 1,353
  Takara Standard Co. Ltd. 72,299 1,343
  Sumitomo Bakelite Co. Ltd. 246,000 1,336
^ Ai Holdings Corp. 53,800 1,322
  Hogy Medical Co. Ltd. 20,061 1,321
  Toho Bank Ltd. 341,664 1,297
  MOS Food Services Inc. 38,158 1,282
  Tokyo TY Financial Group Inc. 39,966 1,279
  Daiseki Co. Ltd. 61,487 1,262
  Central Glass Co. Ltd. 306,566 1,254
  Tokyu Construction Co. Ltd. 123,800 1,251
  Fuji Kyuko Co. Ltd. 108,400 1,243
  Onward Holdings Co. Ltd. 185,000 1,238
  Totetsu Kogyo Co. Ltd. 43,600 1,236

 

65

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
PALTAC Corp. 49,500 1,215
TPR Co. Ltd. 41,924 1,212
Okamura Corp. 123,532 1,212
^ Shima Seiki Manufacturing Ltd. 43,000 1,212
Takeuchi Manufacturing Co. Ltd. 62,400 1,209
DCM Holdings Co. Ltd. 137,888 1,208
Bank of Okinawa Ltd. 34,144 1,199
^ Jin Co. Ltd. 22,900 1,189
Yamanashi Chuo Bank Ltd. 242,311 1,185
Nichi-iko Pharmaceutical Co. Ltd. 66,002 1,184
Nippon Densetsu Kogyo Co. Ltd. 64,903 1,182
Hyakugo Bank Ltd. 321,000 1,182
FCC Co. Ltd. 53,543 1,181
Nippon Flour Mills Co. Ltd. 79,729 1,179
TOMONY Holdings Inc. 228,200 1,179
Paramount Bed Holdings Co. Ltd. 30,900 1,177
^ Okinawa Electric Power Co. Inc. 49,531 1,147
^ Saibu Gas Co. Ltd. 487,734 1,143
United Arrows Ltd. 41,867 1,143
UACJ Corp. 349,852 1,137
Daikyonishikawa Corp. 87,600 1,134
Anritsu Corp. 213,400 1,132
Siix Corp. 28,200 1,129
* Nippon Sheet Glass Co. Ltd. 138,600 1,126
Taikisha Ltd. 44,443 1,123
Kuroda Electric Co. Ltd. 57,500 1,119
SMS Co. Ltd. 42,900 1,117
ZERIA Pharmaceutical Co. Ltd. 66,640 1,117
Noritz Corp. 53,687 1,113
Accordia Golf Co. Ltd. 110,176 1,112
Joyful Honda Co. Ltd. 40,174 1,109
Sumitomo Mitsui Construction Co. Ltd. 1,162,032 1,107
cocokara fine Inc. 28,589 1,106
Kyoritsu Maintenance Co. Ltd. 18,380 1,103
Keihin Corp. 66,821 1,092
Unipres Corp. 56,180 1,084
Kameda Seika Co. Ltd. 20,700 1,084
Bank of Iwate Ltd. 25,624 1,079
^ Milbon Co. Ltd. 24,060 1,078
Nissin Electric Co. Ltd. 80,600 1,075
^ EDION Corp. 120,433 1,067
Takuma Co. Ltd. 116,000 1,066
Kanematsu Corp. 647,000 1,065
^ Nachi-Fujikoshi Corp. 280,510 1,064
CKD Corp. 85,200 1,061
Nichiha Corp. 42,900 1,060
Senko Co. Ltd. 153,200 1,059
J Trust Co. Ltd. 129,100 1,055
Transcosmos Inc. 41,596 1,052
Gurunavi Inc. 38,200 1,046
^ Yamagata Bank Ltd. 241,426 1,043
Kadokawa Dwango Corp. 70,302 1,038
Nishimatsuya Chain Co. Ltd. 73,200 1,030
Tokyo Steel Manufacturing Co. Ltd. 148,300 1,029
Saizeriya Co. Ltd. 39,021 1,028
Showa Sangyo Co. Ltd. 192,000 1,027
Takara Bio Inc. 70,800 1,023
Aomori Bank Ltd. 301,616 1,019
Meidensha Corp. 303,935 1,017
* Pioneer Corp. 410,813 1,008
^ Bank of Nagoya Ltd. 28,312 997
Kanamoto Co. Ltd. 41,400 995
TOKAI Holdings Corp. 153,000 983
Ichibanya Co. Ltd. 25,968 982

 

66

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
NSD Co. Ltd. 60,534 974
Ci:z Holdings Co. Ltd. 33,900 972
Descente Ltd. 69,500 964
Earth Chemical Co. Ltd. 20,543 953
Plenus Co. Ltd. 46,000 947
Sumitomo Warehouse Co. Ltd. 177,064 947
Taiyo Holdings Co. Ltd. 25,200 945
NET One Systems Co. Ltd. 129,900 944
IBJ Leasing Co. Ltd. 45,101 943
Life Corp. 29,000 941
Nomura Co. Ltd. 58,000 941
Nippon Soda Co. Ltd. 210,127 931
Eizo Corp. 29,456 930
Shinmaywa Industries Ltd. 119,968 929
Chiyoda Co. Ltd. 39,100 928
Komori Corp. 73,100 928
Tokai Carbon Co. Ltd. 305,000 927
Fukui Bank Ltd. 350,557 927
Makino Milling Machine Co. Ltd. 145,901 927
Heiwado Co. Ltd. 44,400 924
Seikagaku Corp. 57,564 923
^ Zojirushi Corp. 66,600 918
As One Corp. 20,400 915
Kureha Corp. 23,902 914
Hitachi Maxell Ltd. 50,000 911
Morita Holdings Corp. 60,366 909
TOC Co. Ltd. 99,646 900
Oita Bank Ltd. 236,079 894
Nissin Kogyo Co. Ltd. 60,109 889
^ Daihen Corp. 152,759 886
Futaba Corp. 54,232 885
Sakata INX Corp. 67,600 885
Toshiba Plant Systems & Services Corp. 54,624 881
Gunze Ltd. 260,079 873
Takara Leben Co. Ltd. 128,100 869
Sanyo Special Steel Co. Ltd. 168,852 866
Fuji Soft Inc. 32,574 865
Nagaileben Co. Ltd. 39,400 865
Asahi Holdings Inc. 47,700 859
Nippon Signal Company Ltd. 96,600 857
Aichi Bank Ltd. 15,404 853
Akita Bank Ltd. 252,000 844
Marudai Food Co. Ltd. 176,591 841
Toei Co. Ltd. 104,648 841
Starts Corp. Inc. 45,315 840
^ Atom Corp. 127,057 840
* Infomart Corp. 70,600 836
BML Inc. 31,500 835
Doutor Nichires Holdings Co. Ltd. 41,637 833
Sanki Engineering Co. Ltd. 91,767 832
Ryobi Ltd. 206,435 832
Nikkiso Co. Ltd. 94,161 832
Fancl Corp. 55,004 831
Token Corp. 11,486 830
Aichi Steel Corp. 17,202 828
Nichicon Corp. 96,583 828
Kato Sangyo Co. Ltd. 34,300 826
Nitto Boseki Co. Ltd. 254,056 826
Raito Kogyo Co. Ltd. 68,500 825
Seiren Co. Ltd. 70,500 825
* Toshiba TEC Corp. 185,000 825
Chudenko Corp. 39,600 823
Aeon Delight Co. Ltd. 27,800 822
Yamazen Corp. 102,300 816

 

67

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Iseki & Co. Ltd. 328,872 813
^ Ehime Bank Ltd. 61,600 813
  Alpine Electronics Inc. 60,448 807
  Nippon Steel & Sumikin Bussan Corp. 21,949 804
  Prima Meat Packers Ltd. 221,440 804
  Furukawa Co. Ltd. 502,988 803
  Kitz Corp. 139,548 802
  TSI Holdings Co. Ltd. 142,600 802
  Dip Corp. 30,100 797
  Daibiru Corp. 91,743 797
  Obara Group Inc. 18,360 791
^ Financial Products Group Co. Ltd. 90,500 791
  Nisshin Oillio Group Ltd. 173,262 788
  Kohnan Shoji Co. Ltd. 39,800 787
  Mirait Holdings Corp. 88,671 786
  Unizo Holdings Co. Ltd. 28,200 786
  Hokuetsu Bank Ltd. 33,021 780
  Axial Retailing Inc. 21,630 777
  Musashi Seimitsu Industry Co. Ltd. 31,615 774
  Oiles Corp. 42,508 771
  Piolax Inc. 12,100 769
  Inabata & Co. Ltd. 70,700 769
  United Super Markets Holdings Inc. 85,050 768
  Fuso Chemical Co. Ltd. 36,000 768
  Heiwa Real Estate Co. Ltd. 53,872 767
  V Technology Co. Ltd. 6,400 762
  Internet Initiative Japan Inc. 43,156 762
  Mitsuba Corp. 52,124 761
  Star Micronics Co. Ltd. 53,264 758
  Sato Holdings Corp. 34,400 758
  Sanyo Chemical Industries Ltd. 16,654 753
  Pacific Industrial Co. Ltd. 60,800 748
  Mizuno Corp. 138,782 747
  Aida Engineering Ltd. 86,706 745
  Chofu Seisakusho Co. Ltd. 28,900 743
  Marusan Securities Co. Ltd. 89,255 741
  Toridoll Holdings Corp. 32,000 741
  Takasago International Corp. 27,600 740
  Toyo Engineering Corp. 215,684 739
  Nitta Corp. 28,500 738
  Fujicco Co. Ltd. 32,205 737
  Kura Corp. 14,600 736
  Jaccs Co. Ltd. 187,000 733
  Mani Inc. 31,500 733
  Dydo Drinco Inc. 13,244 733
  Doshisha Co. Ltd. 35,300 730
  kabu.com Securities Co. Ltd. 231,200 728
  Foster Electric Co. Ltd. 39,185 719
  Shikoku Bank Ltd. 303,703 717
*,^ Mitsumi Electric Co. Ltd. 117,849 716
  Tochigi Bank Ltd. 148,312 715
  Noevir Holdings Co. Ltd. 23,600 715
  VT Holdings Co. Ltd. 132,800 713
  AOKI Holdings Inc. 58,804 711
  Max Co. Ltd. 59,000 711
  Kintetsu World Express Inc. 52,200 710
^ Next Co. Ltd. 84,300 708
  Japan Wool Textile Co. Ltd. 96,889 706
  Kisoji Co. Ltd. 32,760 706
  Toho Zinc Co. Ltd. 200,758 701
  Royal Holdings Co. Ltd. 40,500 700
  Shinko Electric Industries Co. Ltd. 107,800 695
  Tachi-S Co. Ltd. 41,800 694
  Shizuoka Gas Co. Ltd. 88,300 693

 

68

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Riso Kagaku Corp. 39,984 693
  Create SD Holdings Co. Ltd. 33,018 691
  Monex Group Inc. 301,187 690
  Daiho Corp. 125,000 687
  Sekisui Jushi Corp. 41,600 685
  Bank of the Ryukyus Ltd. 52,067 685
  Round One Corp. 96,700 683
  Bunka Shutter Co. Ltd. 81,900 679
  Eighteenth Bank Ltd. 219,000 679
*,^ Pacific Metals Co. Ltd. 225,088 677
  Seiko Holdings Corp. 206,291 675
  Kotobuki Spirits Co. Ltd. 28,500 672
^ Wacom Co. Ltd. 222,136 670
  Nishio Rent All Co. Ltd. 22,200 670
*,^ W-Scope Corp. 37,400 669
*,^ Outsourcing Inc. 17,600 668
  Hiday Hidaka Corp. 26,680 665
  Yondoshi Holdings Inc. 26,500 662
  Hosiden Corp. 89,167 661
  Dainichiseika Color & Chemicals Manufacturing Co. Ltd. 124,016 661
  Benefit One Inc. 22,800 659
  TKC Corp. 22,249 657
  Create Restaurants Holdings Inc. 69,270 657
  DTS Corp. 29,500 654
  Daiwabo Holdings Co. Ltd. 268,761 649
  Ringer Hut Co. Ltd. 25,500 649
  Kurabo Industries Ltd. 324,000 647
  Shibuya Corp. 31,000 644
^ Yokohama Reito Co. Ltd. 63,400 641
  Press Kogyo Co. Ltd. 131,400 640
  Kyoei Steel Ltd. 33,412 636
  Japan Securities Finance Co. Ltd. 142,841 635
  Eiken Chemical Co. Ltd. 23,200 634
^ Sankyo Tateyama Inc. 40,100 631
  Kenko Mayonnaise Co. Ltd. 17,200 631
  Bando Chemical Industries Ltd. 65,500 630
  Miyazaki Bank Ltd. 221,932 625
  Hitachi Koki Co. Ltd. 73,600 623
  Ohsho Food Service Corp. 16,174 622
  Goldwin Inc. 13,500 619
  Sintokogio Ltd. 71,000 619
^ Yonex Co. Ltd. 14,000 618
  Sanyo Electric Railway Co. Ltd. 125,000 617
  Avex Group Holdings Inc. 46,600 616
  EPS Holdings Inc. 46,800 614
  Topy Industries Ltd. 26,479 614
  Yuasa Trading Co. Ltd. 25,600 613
  Chugoku Marine Paints Ltd. 83,000 604
  Konoike Transport Co. Ltd. 45,600 604
  Relia Inc. 63,000 604
  Shikoku Chemicals Corp. 63,000 604
  NEC Networks & System Integration Corp. 33,900 602
  Ricoh Leasing Co. Ltd. 20,806 601
^ Tekken Corp. 184,000 598
  Elecom Co. Ltd. 29,200 597
^ St. Marc Holdings Co. Ltd. 21,200 595
  G-Tekt Corp. 31,200 593
^ Hokuto Corp. 30,424 592
  Macnica Fuji Electronics Holdings Inc. 47,113 590
  Sanken Electric Co. Ltd. 166,648 590
  San-Ai Oil Co. Ltd. 83,500 589
  Starzen Co. Ltd. 11,100 588
  Asahi Diamond Industrial Co. Ltd. 78,822 587
  Eagle Industry Co. Ltd. 41,100 586

 

69

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Tokai Corp. 17,200 586
Tsukishima Kikai Co. Ltd. 52,200 584
Micronics Japan Co. Ltd. 50,300 581
Dexerials Corp. 72,300 581
Nitto Kogyo Corp. 39,488 579
Kanto Denka Kogyo Co. Ltd. 69,000 579
Daido Metal Co. Ltd. 53,600 578
T Hasegawa Co. Ltd. 32,700 577
Tv Tokyo Holdings Corp. 25,200 577
Zenrin Co. Ltd. 33,000 576
Fuji Co. Ltd. 27,200 571
Fukushima Industries Corp. 16,700 570
Iino Kaiun Kaisha Ltd. 153,136 570
Minato Bank Ltd. 31,100 569
Mitsuboshi Belting Ltd. 66,000 569
Fujimori Kogyo Co. Ltd. 22,900 569
Osaka Soda Co. Ltd. 131,000 560
Open House Co. Ltd. 26,500 560
* Miroku Jyoho Service Co. Ltd. 28,600 559
* Unitika Ltd. 828,000 559
Toa Corp. (Tokyo Shares 1885) 26,500 558
Wakita & Co. Ltd. 65,300 557
Toshiba Machine Co. Ltd. 154,000 556
Geo Holdings Corp. 43,700 554
^ S Foods Inc. 20,700 554
Okabe Co. Ltd. 64,835 553
Bank of Saga Ltd. 212,000 553
^ Nippon Synthetic Chemical Industry Co. Ltd. 64,000 551
Belc Co. Ltd. 13,600 550
Vital KSK Holdings Inc. 51,700 547
ASKA Pharmaceutical Co. Ltd. 31,600 545
JVC Kenwood Corp. 201,740 545
^ JCR Pharmaceuticals Co. Ltd. 21,694 544
Takamatsu Construction Group Co. Ltd. 22,900 543
Hibiya Engineering Ltd. 34,600 543
Sanden Holdings Corp. 175,000 542
Trancom Co. Ltd. 9,300 541
Osaki Electric Co. Ltd. 56,000 537
^ Megachips Corp. 26,581 534
Xebio Holdings Co. Ltd. 34,108 529
Sumitomo Riko Co. Ltd. 55,000 527
Itochu Enex Co. Ltd. 68,300 525
Kyokuto Kaihatsu Kogyo Co. Ltd. 44,400 524
Menicon Co. Ltd. 18,500 524
Towa Bank Ltd. 495,000 523
Japan Pulp & Paper Co. Ltd. 156,000 523
Optex Co. Ltd. 20,500 522
Fujibo Holdings Inc. 16,400 519
Tsubaki Nakashima Co. Ltd. 32,600 518
Mitsui Sugar Co. Ltd. 23,000 518
Katakura Industries Co. Ltd. 42,300 514
Pressance Corp. 44,348 511
Yokogawa Bridge Holdings Corp. 46,300 509
Clarion Co. Ltd. 154,000 505
Justsystems Corp. 51,500 505
* Japan Material Co. Ltd. 14,200 503
Modec Inc. 29,588 500
Key Coffee Inc. 25,193 499
Futaba Industrial Co. Ltd. 83,500 499
T-Gaia Corp. 32,400 498
Fukuda Corp. 42,000 495
Nohmi Bosai Ltd. 33,100 494
Sumitomo Seika Chemicals Co. Ltd. 13,200 494
Nippon Koei Co. Ltd. 105,000 493

 

70

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Tosho Co. Ltd. 11,300 489
Mitsui-Soko Holdings Co. Ltd. 161,762 488
YAMABIKO Corp. 49,300 488
J-Oil Mills Inc. 13,700 487
Inageya Co. Ltd. 35,800 485
* Rokko Butter Co. Ltd. 18,000 485
Fujimi Inc. 31,147 485
Namura Shipbuilding Co. Ltd. 79,448 484
Shindengen Electric Manufacturing Co. Ltd. 112,000 484
Funai Soken Holdings Inc. 31,300 484
Anest Iwata Corp. 47,900 482
Showa Corp. 73,592 482
Belluna Co. Ltd. 72,000 480
^ Anicom Holdings Inc. 21,400 479
^ F@N Communications Inc. 64,200 479
Enplas Corp. 15,453 477
^ NichiiGakkan Co. Ltd. 57,300 477
Bell System24 Holdings Inc. 50,900 477
Taihei Dengyo Kaisha Ltd. 46,000 477
Jeol Ltd. 114,000 476
Riken Corp. 13,000 476
Joshin Denki Co. Ltd. 55,653 476
Warabeya Nichiyo Holdings Co. Ltd. 19,700 475
Pack Corp. 17,500 475
Tamura Corp. 115,000 473
^ Matsuya Co. Ltd. 58,800 470
Teikoku Sen-I Co. Ltd. 31,684 470
Towa Pharmaceutical Co. Ltd. 12,594 470
Tsukui Corp. 71,600 470
Kyokuto Securities Co. Ltd. 32,300 467
Wowow Inc. 16,300 466
Denki Kogyo Co. Ltd. 84,400 465
Riken Vitamin Co. Ltd. 10,700 464
Tokushu Tokai Paper Co. Ltd. 13,600 463
Yellow Hat Ltd. 21,700 463
Konishi Co. Ltd. 38,900 462
Tsugami Corp. 84,000 461
Yorozu Corp. 29,176 459
Cawachi Ltd. 17,800 458
Maruwa Co. Ltd. 12,100 457
Nippon Ceramic Co. Ltd. 24,700 456
Sodick Co. Ltd. 60,378 453
Systena Corp. 25,900 452
Tsurumi Manufacturing Co. Ltd. 31,000 451
^ Alpen Co. Ltd. 24,500 446
Toyo Construction Co. Ltd. 106,900 446
* Kintetsu Department Store Co. Ltd. 134,000 446
Noritake Co. Ltd. 19,500 445
Tocalo Co. Ltd. 19,800 444
Daiken Corp. 21,400 444
Tokyotokeiba Co. Ltd. 226,000 444
Goldcrest Co. Ltd. 24,380 443
Jimoto Holdings Inc. 262,282 442
Arcland Sakamoto Co. Ltd. 37,000 441
^ METAWATER Co. Ltd. 16,100 439
Stella Chemifa Corp. 12,500 439
Daisan Bank Ltd. 25,803 437
Nissin Corp. 131,000 435
FIDEA Holdings Co. Ltd. 241,800 435
Hamakyorex Co. Ltd. 23,300 434
Nagatanien Holdings Co. Ltd. 34,000 434
Torii Pharmaceutical Co. Ltd. 18,800 433
Kansai Urban Banking Corp. 39,000 432
JSP Corp. 18,000 430

 

71

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Sanyo Denki Co. Ltd. 66,000 429
  Neturen Co. Ltd. 52,800 428
  Nihon Chouzai Co. Ltd. 10,200 426
  Shinko Plantech Co. Ltd. 57,400 426
  Kasai Kogyo Co. Ltd. 37,400 424
  Canon Electronics Inc. 27,194 423
  Sakai Chemical Industry Co. Ltd. 117,546 419
  Okuwa Co. Ltd. 40,000 419
  Ines Corp. 37,500 417
^ IDOM Inc. 79,700 416
  Nippon Chemi-Con Corp. 238,816 415
  Sagami Chain Co. Ltd. 34,396 413
  Roland DG Corp. 17,400 411
  Mitani Sekisan Co. Ltd. 16,400 410
  Ihara Chemical Industry Co. Ltd. 47,800 408
  Kato Works Co. Ltd. 16,241 407
  Sogo Medical Co. Ltd. 13,300 404
  Cosel Co. Ltd. 33,600 402
* Nissei Build Kogyo Co. Ltd. 86,000 402
  Maruzen Showa Unyu Co. Ltd. 99,000 402
  Nichiden Corp. 14,000 401
  Dai Nippon Toryo Co. Ltd. 187,000 400
^ Kappa Create Co. Ltd. 34,488 400
  Koa Corp. 43,400 400
  Rock Field Co. Ltd. 28,768 400
  Tamron Co. Ltd. 22,800 399
  Kaga Electronics Co. Ltd. 27,300 399
* Ishihara Sangyo Kaisha Ltd. 52,500 398
  Yahagi Construction Co. Ltd. 43,300 397
* Vector Inc. 33,600 397
  Kyodo Printing Co. Ltd. 117,000 397
  PAL GROUP Holdings Co. Ltd. 16,000 396
  Ryoyo Electro Corp. 31,142 396
  Ichiyoshi Securities Co. Ltd. 52,800 396
  Chukyo Bank Ltd. 17,800 395
  Itoki Corp. 63,700 393
  Matsuya Foods Co. Ltd. 12,100 392
  Aisan Industry Co. Ltd. 48,200 392
  Michinoku Bank Ltd. 197,000 392
  BRONCO BILLY Co. Ltd. 13,200 391
  Daiichi Jitsugyo Co. Ltd. 70,000 388
  Nippon Thompson Co. Ltd. 98,000 388
  Digital Arts Inc. 14,300 385
  UKC Holdings Corp. 22,800 382
  Nittetsu Mining Co. Ltd. 9,100 380
  Tanseisha Co. Ltd. 50,400 379
  Nitto Kohki Co. Ltd. 16,400 379
* Chiyoda Integre Co. Ltd. 18,200 377
  Melco Holdings Inc. 13,900 376
^ Nihon Nohyaku Co. Ltd. 68,900 376
  Qol Co. Ltd. 23,799 375
* CMK Corp. 70,700 373
*,^ OSAKA Titanium Technologies Co. Ltd. 27,800 373
  Tenma Corp. 21,500 372
^ Fujita Kanko Inc. 112,000 372
  Union Tool Co. 14,400 372
  Daikokutenbussan Co. Ltd. 7,900 371
  Arakawa Chemical Industries Ltd. 25,000 371
  Oyo Corp. 31,900 369
  Arata Corp. 16,059 367
  Japan Digital Laboratory Co. Ltd. 23,600 367
  Shinnihon Corp. 38,000 366
  Yushin Precision Equipment Co. Ltd. 15,600 363
  Shin-Etsu Polymer Co. Ltd. 54,300 363

 

72

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Shimizu Bank Ltd. 12,000 362
  OSJB Holdings Corp. 151,994 362
^ Riken Technos Corp. 68,800 360
  Sinfonia Technology Co. Ltd. 196,000 360
  Kanematsu Electronics Ltd. 17,700 357
^ Maeda Kosen Co. Ltd. 32,200 357
  Meisei Industrial Co. Ltd. 69,500 356
^ Kumiai Chemical Industry Co. Ltd. 62,800 356
  Koatsu Gas Kogyo Co. Ltd. 53,000 355
  Daiwa Industries Ltd. 40,700 354
* Daito Pharmaceutical Co. Ltd. 16,100 354
  Nippon Kanzai Co. Ltd. 24,200 353
  Idec Corp. 39,300 352
^ Prestige International Inc. 46,800 352
  Yurtec Corp. 48,000 352
  Torishima Pump Manufacturing Co. Ltd. 32,400 349
  Broadleaf Co. Ltd. 31,000 348
  Kyokuyo Co. Ltd. 13,100 345
  Nippon Road Co. Ltd. 84,000 345
  ESPEC Corp. 28,208 341
  Tsukuba Bank Ltd. 113,900 340
  Kurimoto Ltd. 18,200 339
  CONEXIO Corp. 25,000 339
  Sanshin Electronics Co. Ltd. 38,300 339
  Achilles Corp. 23,500 338
  Kita-Nippon Bank Ltd. 11,300 337
  Giken Ltd. 19,200 336
  SMK Corp. 87,000 333
^ Istyle Inc. 42,300 333
  Juki Corp. 44,518 333
  Fudo Tetra Corp. 189,000 332
  Tosei Corp. 44,400 332
  Osaka Steel Co. Ltd. 17,700 332
  Senshukai Co. Ltd. 48,900 331
  Toyo Corp. 34,317 330
  Mie Bank Ltd. 16,110 329
  Nippon Beet Sugar Manufacturing Co. Ltd. 16,800 328
^ Toho Co. Ltd. 13,700 324
^ Toho Titanium Co. Ltd. 48,500 323
^ Japan Cash Machine Co. Ltd. 22,800 323
  Toyo Kanetsu KK 142,000 322
  Ateam Inc. 14,200 322
  Kanagawa Chuo Kotsu Co. Ltd. 45,000 321
  Komatsu Seiren Co. Ltd. 50,900 317
* Wellnet Corp. 25,300 317
  Nippon Denko Co. Ltd. 170,490 317
  Itochu-Shokuhin Co. Ltd. 7,900 316
  Nihon Trim Co. Ltd. 7,000 316
  Shinko Shoji Co. Ltd. 28,000 316
  Nippon Yakin Kogyo Co. Ltd. 215,100 315
  Chiba Kogyo Bank Ltd. 71,100 315
  Aichi Corp. 38,700 313
*,^ Laox Co. Ltd. 38,800 313
* Fujiya Co. Ltd. 160,000 311
^ Keiyo Co. Ltd. 61,500 310
  Ministop Co. Ltd. 17,900 309
  Mie Kotsu Group Holdings Inc. 83,400 308
  Information Services International-Dentsu Ltd. 17,700 307
  Arcland Service Holdings Co. Ltd. 10,300 306
  CHIMNEY Co. Ltd. 10,700 305
  Aeon Fantasy Co. Ltd. 9,800 304
  Toa Corp. (Tokyo Shares 6809) 33,300 304
  Toyo Tanso Co. Ltd. 21,010 302
  Nippon Valqua Industries Ltd. 22,200 301

 

73

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Hosokawa Micron Corp. 48,000 299
^ Nippon Carbon Co. Ltd. 154,000 299
  Taiho Kogyo Co. Ltd. 20,800 299
  Mitsubishi Research Institute Inc. 9,400 298
  Kamei Corp. 31,200 297
  Aiphone Co. Ltd. 16,900 297
  Sun Frontier Fudousan Co. Ltd. 31,000 296
  HI-LEX Corp. 10,753 294
  Tokyo Rope Manufacturing Co. Ltd. 17,800 293
  Keihanshin Building Co. Ltd. 55,700 291
  Chuetsu Pulp & Paper Co. Ltd. 133,000 291
  Misawa Homes Co. Ltd. 38,400 289
^ WATAMI Co. Ltd. 26,600 289
^ Nippon Parking Development Co. Ltd. 212,000 288
  Sekisui Plastics Co. Ltd. 39,000 288
  Tokyo Tekko Co. Ltd. 66,000 287
  France Bed Holdings Co. Ltd. 33,600 287
  Mitsubishi Steel Manufacturing Co. Ltd. 159,000 286
  Studio Alice Co. Ltd. 14,100 285
^ Jamco Corp. 13,800 285
  Denyo Co. Ltd. 22,900 284
  Fuso Pharmaceutical Industries Ltd. 10,900 284
  Takaoka Toko Co. Ltd. 15,500 283
^ Marvelous Inc. 39,800 283
* Mitsubishi Paper Mills Ltd. 43,000 282
  Sac's Bar Holdings Inc. 26,350 282
  K&O Energy Group Inc. 19,500 280
  Tokyo Energy & Systems Inc. 29,000 280
  Fuji Pharma Co. Ltd. 11,300 280
  Onoken Co. Ltd. 22,600 279
  Sakai Moving Service Co. Ltd. 12,800 277
  Furuno Electric Co. Ltd. 35,700 276
* JAC Recruitment Co. Ltd. 21,300 276
^ Godo Steel Ltd. 15,800 276
  Aderans Co. Ltd. 46,509 274
  Japan Transcity Corp. 73,192 273
  Mitsubishi Nichiyu Forklift Co. Ltd. 44,900 272
  Mars Engineering Corp. 13,700 272
  Uchida Yoko Co. Ltd. 65,000 271
  Icom Inc. 14,600 268
  Honeys Co. Ltd. 22,790 268
  Cleanup Corp. 31,400 267
  Mimasu Semiconductor Industry Co. Ltd. 21,000 267
  Tonami Holdings Co. Ltd. 99,000 267
  Halows Co. Ltd. 12,000 267
  GCA Corp. 35,500 265
  Kanaden Corp. 27,300 264
*,^ KLab Inc. 43,760 262
  Weathernews Inc. 8,400 262
  Amuse Inc. 15,500 262
^ U-Shin Ltd. 37,000 262
  Hokkan Holdings Ltd. 73,000 260
  Matsuda Sangyo Co. Ltd. 18,500 260
  Kyosan Electric Manufacturing Co. Ltd. 70,000 260
  Kobe Bussan Co. Ltd. 8,200 257
  Ichikoh Industries Ltd. 83,000 256
  Shibusawa Warehouse Co. Ltd. 87,549 254
  Takiron Co. Ltd. 54,000 254
  Sinanen Holdings Co. Ltd. 12,800 254
  Yusen Logistics Co. Ltd. 24,900 254
*,^ Nippon Sharyo Ltd. 100,000 253
  Hisaka Works Ltd. 32,000 251
  MTI Ltd. 40,400 251
  Ryoden Corp. 39,000 251

 

74

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
^ Hokkaido Gas Co. Ltd. 98,000 250
^ Hioki EE Corp. 12,900 250
  Toenec Corp. 52,000 249
  Shinwa Co. Ltd. 16,400 249
  Sanyo Shokai Ltd. 154,423 249
  SRA Holdings 10,500 248
^ Pronexus Inc. 23,335 246
  Mitsui High-Tec Inc. 36,600 246
  Yomiuri Land Co. Ltd. 57,000 245
  Sumitomo Densetsu Co. Ltd. 22,100 245
  Gakken Holdings Co. Ltd. 73,000 242
^ Hodogaya Chemical Co. Ltd. 8,600 241
  Asahi Co. Ltd. 19,800 239
^ Happinet Corp. 22,600 239
  Atsugi Co. Ltd. 218,000 239
  Advan Co. Ltd. 25,800 238
  Mitsui Matsushima Co. Ltd. 20,100 238
  Fields Corp. 19,600 238
  Chori Co. Ltd. 14,900 236
^ PC Depot Corp. 48,240 236
  Toli Corp. 66,101 236
* SWCC Showa Holdings Co. Ltd. 335,000 235
  Meiko Network Japan Co. Ltd. 24,763 233
  Okura Industrial Co. Ltd. 58,000 231
  Tosho Printing Co. Ltd. 51,000 231
  Zuiko Corp. 6,100 231
  Nihon Yamamura Glass Co. Ltd. 125,000 229
^ Kourakuen Holdings Corp. 15,400 228
  Seika Corp. 76,000 226
^ Pasona Group Inc. 26,200 222
* Linical Co. Ltd. 15,800 222
* Hito Communications Inc. 15,200 221
  Mito Securities Co. Ltd. 94,600 220
  Gun-Ei Chemical Industry Co. Ltd. 7,600 219
  Asunaro Aoki Construction Co. Ltd. 31,700 218
^ Nippon Coke & Engineering Co. Ltd. 246,600 218
  Noritsu Koki Co. Ltd. 28,600 216
  Zuken Inc. 21,100 216
  Japan Radio Co. Ltd. 16,800 216
  Organo Corp. 50,000 216
*,^ Akebono Brake Industry Co. Ltd. 112,557 215
  Yushiro Chemical Industry Co. Ltd. 15,600 215
  Rhythm Watch Co. Ltd. 126,000 215
  Toyo Kohan Co. Ltd. 71,600 214
  Fujikura Kasei Co. Ltd. 35,600 214
  Sanoh Industrial Co. Ltd. 31,000 214
  Parco Co. Ltd. 23,000 213
  Nissei ASB Machine Co. Ltd. 11,800 213
  Taisei Lamick Co. Ltd. 7,400 213
* Fuji Oil Co. Ltd. 66,400 212
  Fujitsu Frontech Ltd. 17,600 210
  T RAD Co. Ltd. 96,000 210
  Corona Corp. Class A 19,500 209
  Tatsuta Electric Wire and Cable Co. Ltd. 52,100 207
^ JP-Holdings Inc. 82,000 206
  Kitagawa Iron Works Co. Ltd. 12,000 205
  Nihon Dempa Kogyo Co. Ltd. 25,310 204
  NS United Kaiun Kaisha Ltd. 146,000 203
  ST Corp. 16,400 202
  CMIC Holdings Co. Ltd. 13,600 202
  Teikoku Electric Manufacturing Co. Ltd. 26,300 200
  Tomoku Co. Ltd. 68,000 197
  Daikoku Denki Co. Ltd. 12,300 197
  Daisyo Corp. 13,400 196

 

75

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  C Uyemura & Co. Ltd. 4,200 196
  Hakuto Co. Ltd. 21,000 195
  Maezawa Kasei Industries Co. Ltd. 18,600 195
  Elematec Corp. 11,500 194
  Kitano Construction Corp. 72,000 191
  NDS Co. Ltd. 7,600 191
  ASAHI YUKIZAI Corp. 97,555 191
  Funai Electric Co. Ltd. 23,200 189
  Chuo Spring Co. Ltd. 64,000 188
  Kobelco Eco-Solutions Co. Ltd. 48,000 187
  Artnature Inc. 30,500 186
  Toda Kogyo Corp. 65,000 186
  NEC Capital Solutions Ltd. 11,100 185
^ Japan Drilling Co. Ltd. 8,200 184
  Chugai Ro Co. Ltd. 95,000 183
  Krosaki Harima Corp. 60,000 182
  Tsutsumi Jewelry Co. Ltd. 11,500 182
  Maezawa Kyuso Industries Co. Ltd. 13,600 182
  Toyo Securities Co. Ltd. 102,000 181
^ Paris Miki Holdings Inc. 42,600 181
*,^ KNT-CT Holdings Co. Ltd. 163,000 180
  Future Corp. 27,000 180
  Takihyo Co. Ltd. 43,000 179
  Tokyo Rakutenchi Co. Ltd. 37,000 177
  Alpha Systems Inc. 10,500 177
  Gecoss Corp. 19,300 176
  Shimojima Co. Ltd. 17,600 176
* Nakayama Steel Works Ltd. 27,700 176
  Sankyo Seiko Co. Ltd. 53,397 175
  Toyo Denki Seizo KK 62,000 174
  Airport Facilities Co. Ltd. 31,700 173
  Dunlop Sports Co. Ltd. 17,500 172
*,^ Shin Nippon Biomedical Laboratories Ltd. 29,800 172
*,^ Takata Corp. 49,200 171
  Nippon Chemiphar Co. Ltd. 4,100 170
  CAC Holdings Corp. 20,100 168
  Mitsui Home Co. Ltd. 38,000 168
^ Showa Aircraft Industry Co. Ltd. 18,300 167
^ Srg Takamiya Co. Ltd. 29,600 167
  Inaba Seisakusho Co. Ltd. 13,100 167
  Cybozu Inc. 40,100 165
^ Right On Co. Ltd. 16,400 162
^ Mitsubishi Kakoki Kaisha Ltd. 82,000 162
  Daidoh Ltd. 40,700 160
  Nice Holdings Inc. 121,000 160
  AOI Electronics Co. Ltd. 6,470 157
  Sumitomo Precision Products Co. Ltd. 50,000 154
  Tokyo Electron Device Ltd. 10,600 151
  Toa Oil Co. Ltd. 101,000 145
  Tabuchi Electric Co. Ltd. 43,400 139
  Dai-ichi Seiko Co. Ltd. 12,200 135
  Kinki Sharyo Co. Ltd. 5,900 134
  Panasonic Industrial Devices SUNX Co. Ltd. 21,900 132
  Pocket Card Co. Ltd. 26,900 128
  Best Denki Co. Ltd. 96,900 127
  Endo Lighting Corp. 15,400 120
* Yamada SxL Home Co. Ltd. 158,000 116
*,^ FDK Corp. 122,149 107
  Kojima Co. Ltd. 35,300 80
  Ain Holdings Inc. 8 1
  Horiba Ltd. 7
  Relo Group Inc. 2
  Megmilk Snow Brand Co. Ltd. 6
  Kyudenko Corp. 5

 

76

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Koei Tecmo Holdings Co. Ltd. 7
Fujitsu General Ltd. 5
Zensho Holdings Co. Ltd. 4
Ariake Japan Co. Ltd. 1
    542,794
Malaysia (0.9%)    
Dialog Group Bhd. 7,074,162 2,612
Top Glove Corp. Bhd. 1,428,558 1,685
Genting Plantations Bhd. 619,573 1,624
My EG Services Bhd. 2,620,400 1,521
Malakoff Corp. Bhd. 3,953,800 1,459
Hartalega Holdings Bhd. 1,119,220 1,307
Bursa Malaysia Bhd. 618,936 1,276
Sunway REIT 2,563,000 1,125
Press Metal Bhd. 932,300 969
QL Resources Bhd. 856,340 902
TIME dotCom Bhd. 467,300 891
KPJ Healthcare Bhd. 885,810 887
Mah Sing Group Bhd. 2,381,275 868
Kossan Rubber Industries 491,500 791
Inari Amertron Bhd. 979,150 782
Cahya Mata Sarawak Bhd. 818,100 749
Bermaz Auto Bhd. 1,294,540 703
Sunway Bhd. 885,200 658
WCT Holdings Bhd. 1,511,086 612
Malaysia Building Society Bhd. 2,773,200 605
Pavilion REIT 1,360,500 570
Yinson Holdings Bhd. 752,000 561
Pos Malaysia Bhd. 573,900 547
Aeon Co. M Bhd. 795,700 536
* Syarikat Takaful Malaysia Bhd. 498,800 505
Malaysian Resources Corp. Bhd. 1,540,869 495
Unisem M Bhd. 752,080 457
Eastern & Oriental Bhd. 1,214,133 454
Media Prima Bhd. 1,492,317 427
VS Industry Bhd. 1,202,000 406
DRB-Hicom Bhd. 1,315,127 398
Berjaya Corp. Bhd. 4,587,371 355
* Eco World Development Group Bhd. 1,092,100 354
Supermax Corp. Bhd. 679,350 351
OSK Holdings Bhd. 952,781 343
Muhibbah Engineering M Bhd. 543,000 297
Datasonic Group Bhd. 816,300 278
Sunway Construction Group Bhd. 673,340 268
* KNM Group Bhd. 2,659,600 253
* AirAsia X Bhd. 2,519,650 252
* UMW Oil & Gas Corp. Bhd. 1,046,400 211
* Mulpha International Bhd. 3,146,950 157
* Malaysia Marine and Heavy Engineering Holdings Bhd. 594,200 141
Gas Malaysia Bhd. 215,900 132
* Parkson Holdings Bhd. 663,895 119
Coastal Contracts Bhd. 324,200 118
* Dayang Enterprise Holdings Bhd. 506,100 103
Puncak Niaga Holdings Bhd. 379,900 99
* Mudajaya Group Bhd. 417,000 96
TA Enterprise Bhd. 635,700 73
* Malaysian Bulk Carriers Bhd. 370,500 67
* AirAsia X Bhd. Warrants Exp. 06/08/2020 300,675 17
* OSK Holdings Bhd. Warrants Exp. 07/22/2020 238,195 14
* WCT Holdings Bhd. Warrants Exp. 08/24/2020 310,551 14
* BIMB Holdings Bhd. Warrants Exp. 12/04/2023 154,640 12
* Mah Sing Group Bhd. Warrants Exp. 03/18/2018 164,085 8
* Malaysian Resources Corp. Bhd. Warrants Exp. 09/16/2018 253,023 7
* KPJ Healthcare Warrants Exp. 01/23/2019 49,320 7

 

77

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* Eastern & Oriental Bhd Warrants Exp. 07/21/2019 154,580 6
* CB Industrial Product Holding Bhd Warrants Exp. 10/31/2019 78,700 6
* KNM Group Bhd. Warrants Exp. 04/21/2020 178,365 5
* WCT Holdings Bhd. Warrants Exp. 12/11/2017 82,009 4
* Mah Sing Group Warrants Exp. 01/15/2026 125,235 4
* Puncak Niaga Holding Bhd. Warrants Exp. 07/20/2018 25,250 3
* KNM Group Bhd. Warrants Exp. 11/15/2017 188,813 1
      31,557
Mexico (0.5%)    
  Bolsa Mexicana de Valores SAB de CV 1,034,497 1,657
  Macquarie Mexico Real Estate Management SA de CV 1,245,106 1,569
  PLA Administradora Industrial S de RL de CV 929,128 1,540
* Genomma Lab Internacional SAB de CV Class B 1,220,500 1,460
  Corp Inmobiliaria Vesta SAB de CV 838,100 1,268
  Prologis Property Mexico SA de CV 597,612 1,005
  Grupo Herdez SAB de CV 317,275 770
  Credito Real SAB de CV SOFOM ER 375,300 689
* La Comer SAB de CV 708,400 646
* Hoteles City Express SAB de CV 607,300 624
  Qualitas Controladora SAB de CV 294,176 540
  Concentradora Fibra Hotelera Mexicana SA de CV 674,559 530
  Unifin Financiera SAB de CV SOFOM ENR 176,012 525
  Rassini SAB de CV 106,300 492
  TV Azteca SAB de CV 2,256,222 430
* Grupo GICSA SA de CV 634,100 429
* Grupo Simec SAB de CV Class B 117,420 412
  Consorcio ARA SAB de CV 1,051,810 396
*,2 Elementia SAB de CV 321,166 370
* Axtel SAB de CV 1,238,600 307
  Grupo Rotoplas SAB de CV 185,500 292
* Urbi Desarrollos Urbanos SAB de CV 313
* Corp GEO SAB de CV 100
      15,951
Netherlands (1.7%)    
  Aalberts Industries NV 153,196 4,838
  Delta Lloyd NV 742,776 4,487
  SBM Offshore NV 296,616 4,258
  IMCD Group NV 85,367 3,692
* Galapagos NV 60,287 3,668
  APERAM SA 76,466 3,478
* PostNL NV 720,318 3,392
  ASM International NV 79,355 3,385
  Eurocommercial Properties NV 71,964 3,062
^ Wereldhave NV 65,870 2,948
  TKH Group NV 64,459 2,481
  Corbion NV 89,692 2,069
  BE Semiconductor Industries NV 50,416 1,642
* Fugro NV 91,022 1,628
  Koninklijke BAM Groep NV 335,391 1,560
* TomTom NV 185,028 1,496
  Arcadis NV 106,435 1,401
2 Flow Traders 44,866 1,385
2 Refresco Group NV 86,432 1,263
  Vastned Retail NV 28,778 1,107
  Accell Group 39,196 980
  Wessanen 80,413 961
  NSI NV 207,591 815
  BinckBank NV 95,395 566
  Brunel International NV 30,479 498
* SRH NV 96,364
      57,060
New Zealand (0.7%)    
  Z Energy Ltd. 584,523 3,267

 

78

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Trade Me Group Ltd. 659,017 2,289
  EBOS Group Ltd. 149,417 1,820
  Chorus Ltd. 684,998 1,789
  Mainfreight Ltd. 122,346 1,624
*,^ a2 Milk Co. Ltd. 1,112,831 1,478
  Goodman Property Trust 1,617,127 1,439
  Infratil Ltd. 618,234 1,317
  Precinct Properties New Zealand Ltd. 1,299,884 1,158
  Summerset Group Holdings Ltd. 335,654 1,142
  Genesis Energy Ltd. 759,046 1,064
  Freightways Ltd. 228,255 1,043
  Argosy Property Ltd. 1,212,397 910
  Vital Healthcare Property Trust 555,227 810
  Metlifecare Ltd. 186,650 771
  Heartland Bank Ltd. 515,472 552
  Kathmandu Holdings Ltd. 255,330 367
  New Zealand Refining Co. Ltd. 167,580 268
^ TOWER Ltd. 256,960 165
  New Zealand Oil & Gas Ltd. 425,284 161
      23,434
Norway (1.4%)    
*,^ Subsea 7 SA 438,043 4,904
* Storebrand ASA 730,661 3,758
  TGS Nopec Geophysical Co. ASA 169,008 3,419
  Salmar ASA 86,124 2,795
  Tomra Systems ASA 241,870 2,626
* Aker BP ASA 160,564 2,569
2 XXL ASA 165,039 2,066
  Leroy Seafood Group ASA 38,988 2,061
  Bakkafrost P/F 48,964 2,053
  Veidekke ASA 110,796 1,656
2 Entra ASA 138,859 1,488
  SpareBank 1 SMN 199,569 1,468
  Aker ASA 37,664 1,390
  Atea ASA 145,740 1,305
*,^ Seadrill Ltd. 538,585 1,145
  Kongsberg Gruppen ASA 79,204 1,131
* Opera Software ASA 154,780 1,091
  SpareBank 1 SR-Bank ASA 182,595 1,088
*,2 Aker Solutions ASA 221,356 1,015
  Austevoll Seafood ASA 110,320 995
*,^ Nordic Semiconductor ASA 240,510 962
*,^ Petroleum Geo-Services ASA 342,215 919
*,^ DNO ASA 979,397 836
  Ocean Yield ASA 83,986 701
  Hoegh LNG Holdings Ltd. 62,104 651
*,^ Norwegian Air Shuttle ASA 16,144 544
  Norwegian Property ASA 377,161 491
*,^ REC Silicon ASA 3,085,656 385
  Stolt-Nielsen Ltd. 27,493 338
^,2 BW LPG Ltd. 101,910 329
  Wilh Wilhelmsen ASA 96,853 306
* Akastor ASA 220,637 304
* Treasure ASA 95,083 211
* Prosafe SE Class A 1,105,765 37
      47,037
Other (0.0%)3    
  Diebold Inc. 17,972 392
 
Pakistan (0.3%)    
  Lucky Cement Ltd. 236,804 1,516
  Hub Power Co. Ltd. 1,266,200 1,289
  Engro Corp. Ltd. 416,121 1,108
  Pakistan State Oil Co. Ltd. 232,508 896

 

79

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  United Bank Ltd. 447,400 859
  DG Khan Cement Co. Ltd. 448,986 735
  Pakistan Oilfields Ltd. 166,000 626
  Kot Addu Power Co. Ltd. 858,108 605
* SUI Southern Gas Co. Ltd. 1,255,500 462
  Fauji Fertilizer Bin Qasim Ltd. 423,000 189
  Attock Petroleum Ltd. 25,500 141
  Pakistan Telecommunication Co. Ltd. 662,000 104
      8,530
Philippines (0.5%)    
  Metro Pacific Investments Corp. 18,585,736 2,768
  Security Bank Corp. 499,529 2,274
  Robinsons Land Corp. 2,848,531 1,821
  Puregold Price Club Inc. 1,448,200 1,219
* DoubleDragon Properties Corp. 876,360 1,008
  First Gen Corp. 1,936,030 919
  Cosco Capital Inc. 5,057,500 887
  Manila Water Co. Inc. 1,241,985 776
  D&L Industries Inc. 3,239,300 734
  Robinsons Retail Holdings Inc. 420,390 671
  Vista Land & Lifescapes Inc. 6,053,400 653
  Cebu Air Inc. 283,960 616
  Filinvest Land Inc. 14,538,400 530
  First Philippine Holdings Corp. 334,720 479
  Lopez Holdings Corp. 2,771,600 455
  Nickel Asia Corp. 2,624,808 372
* Melco Crown Philippines Resorts Corp. 2,833,800 252
  Belle Corp. 2,547,600 153
      16,587
Poland (0.2%)    
  KRUK SA 26,884 1,560
* Jastrzebska Spolka Weglowa SA 78,096 1,448
  Kernel Holding SA 88,237 1,412
* CD Projekt SA 95,138 966
* PKP Cargo SA 46,196 506
  Warsaw Stock Exchange 38,508 384
*,^ Lubelski Wegiel Bogdanka SA 17,402 309
* Boryszew SA 142,265 291
  Neuca SA 2,564 255
* Getin Noble Bank SA 608,916 204
* Bioton SA 67,294 151
* Getin Holding SA 497,943 146
* Integer.pl SA 7,186 64
  Netia SA 42,117 50
* Globe Trade Centre SA 4
      7,746
Portugal (0.3%)    
  NOS SGPS SA 375,641 2,496
  CTT-Correios de Portugal SA 261,177 1,728
  Sonae SGPS SA 1,496,263 1,190
  REN - Redes Energeticas Nacionais SGPS SA 403,313 1,179
^ Banco Comercial Portugues SA 833,569 1,110
  Navigator Co. SA 369,138 1,081
* Banco BPI SA 528,576 656
  Semapa-Sociedade de Investimento e Gestao 36,313 466
  Altri SGPS SA 108,533 378
^ Mota-Engil SGPS SA 124,909 244
  Sonaecom SGPS SA 48,029 135
      10,663
Qatar (0.0%)    
* Medicare Group 18,435 313
* Salam International Investment Ltd. QSC 59,618 181
      494

 

80

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
Russia (0.1%)    
  M.Video PJSC 120,450 645
* Mechel PJSC 207,658 487
* DIXY Group PJSC 84,860 433
  TMK PJSC 253,998 276
  Mosenergo OAO 8,590,191 232
* Raspadskaya OAO 182,900 199
  OGK-2 PJSC 30,444,850 176
      2,448
Singapore (1.4%)    
  Mapletree Commercial Trust 3,023,604 3,324
  Mapletree Industrial Trust 2,094,800 2,591
  Keppel REIT 3,126,747 2,452
  Mapletree Greater China Commercial Trust 3,122,712 2,336
  Mapletree Logistics Trust 2,495,774 1,857
  Raffles Medical Group Ltd. 1,524,284 1,648
  United Engineers Ltd. 721,100 1,342
  Keppel Infrastructure Trust 3,577,000 1,297
  Starhill Global REIT 2,151,408 1,260
  Frasers Centrepoint Trust 828,410 1,239
  Parkway Life REIT 603,081 1,110
  Ascott Residence Trust 1,246,521 1,018
^ First Resources Ltd. 730,829 956
  CDL Hospitality Trusts 987,566 952
  First REIT 955,100 917
* Genting Hong Kong Ltd. 3,205,677 913
  Frasers Commercial Trust 896,513 879
  CapitaLand Retail China Trust 799,760 861
  Lippo Malls Indonesia Retail Trust 3,060,500 857
  Ascendas India Trust 1,077,062 828
  Cambridge Industrial Trust 1,961,860 796
  Cache Logistics Trust 1,319,041 788
  Asian Pay Television Trust 2,106,800 780
^ OUE Hospitality Trust 1,591,866 779
2 ARA Asset Management Ltd. 753,787 758
^ Yoma Strategic Holdings Ltd. 1,667,519 706
  Keppel DC REIT 778,500 697
*,^ China Animal Healthcare Ltd. 1,003,918 673
^ Croesus Retail Trust 1,085,200 671
  Ascendas Hospitality Trust 1,257,600 669
*,^ SIIC Environment Holdings Ltd. 1,364,482 623
^ SPH REIT 879,400 617
^ Soilbuild Business Space REIT 1,201,000 583
*,^ Ezion Holdings Ltd. 2,696,861 578
  Accordia Golf Trust 1,196,316 564
^ Far East Hospitality Trust 1,320,400 564
  Silverlake Axis Ltd. 1,209,029 555
  RHT Health Trust 857,500 531
* Blue Sky Power Holdings Ltd. 6,272,000 524
  Sheng Siong Group Ltd. 681,900 512
^ OUE Ltd. 412,700 502
^ Sarine Technologies Ltd. 378,004 442
  Super Group Ltd. (Singapore Shares) 606,574 423
* GL Ltd. 682,500 392
  Sabana Shari'ah Compliant Industrial REIT 1,031,900 386
  Fortune REIT (Singapore Shares) 276,589 335
^ China Everbright Water Ltd. 749,100 307
^ Midas Holdings Ltd. 1,980,847 307
*,^ COSCO Corp. Singapore Ltd. 1,485,600 272
^ Hyflux Ltd. 776,286 259
  Bumitama Agri Ltd. 478,200 256
  Indofood Agri Resources Ltd. 641,500 221
  Boustead Singapore Ltd. 313,600 202
*,^ Ying Li International Real Estate Ltd. 1,558,900 181

 

81

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* Halcyon Agri Corp. Ltd. 375,552 128
*,^ Vard Holdings Ltd. 911,100 121
*,^ Gallant Venture Ltd. 1,206,079 111
*,^ Ezra Holdings Ltd. 3,382,598 104
*,^ China Fishery Group Ltd. 1,088,512 60
* China Hongxing Sports Ltd. 831,000 34
* Ezion Holdings Ltd Warrants Exp. 04/15/2020 455,755 22
* Keppel DC REIT Rights Exp. 11/07/2016 213,309 14
* China Milk Products Group Ltd. 140,000
      46,684
South Africa (0.7%)    
  SA Corporate Real Estate Fund Nominees Pty Ltd. 4,024,544 1,646
  Vukile Property Fund Ltd. 1,177,100 1,605
  Famous Brands Ltd. 123,101 1,438
  Advtech Ltd. 955,232 1,234
  DataTec Ltd. 303,927 1,011
  Cashbuild Ltd. 32,313 942
  Wilson Bayly Holmes-Ovcon Ltd. 77,166 870
  Blue Label Telecoms Ltd. 554,421 838
  PPC Ltd. 1,842,067 752
  Zeder Investments Ltd. 1,508,097 746
  Emira Property Fund Ltd. 665,606 689
  Mpact Ltd. 265,517 650
* ArcelorMittal South Africa Ltd. 672,607 576
  Alexander Forbes Group Holdings Ltd. 1,231,375 559
  Astral Foods Ltd. 59,950 544
  Rebosis Property Fund Ltd. 634,220 538
  Trencor Ltd. 248,913 529
  City Lodge Hotels Ltd. 48,787 529
* Ascendis Health Ltd. 258,994 522
  Peregrine Holdings Ltd. 229,681 443
  Metair Investments Ltd. 301,872 425
  Murray & Roberts Holdings Ltd. 618,513 425
  Delta Property Fund Ltd. 743,372 423
  Lewis Group Ltd. 141,494 419
  Hudaco Industries Ltd. 51,333 416
  Adcock Ingram Holdings Ltd. 113,257 393
  Raubex Group Ltd. 197,819 369
* Consolidated Infrastructure Group Ltd. 193,499 337
* Royal Bafokeng Platinum Ltd. 101,042 308
* Aveng Ltd. 581,779 305
  DRDGOLD Ltd. 580,507 294
* Pinnacle Holdings Ltd. 220,192 292
  Invicta Holdings Ltd. 64,077 264
  Clover Industries Ltd. 200,396 259
  Group Five Ltd. 136,967 235
  Merafe Resources Ltd. 1,763,496 166
  Adcorp Holdings Ltd. 164,865 166
      22,157
South Korea (4.2%)    
  Medy-Tox Inc. 6,595 2,340
*,^ Kumho Tire Co. Inc. 260,514 2,336
  CJ E&M Corp. 32,425 1,978
  Kolon Industries Inc. 28,847 1,874
*,^ ViroMed Co. Ltd. 22,273 1,777
*,^ Komipharm International Co. Ltd. 52,285 1,766
^ Korea Kolmar Co. Ltd. 23,444 1,668
  LG Innotek Co. Ltd. 24,403 1,662
  SK Chemicals Co. Ltd. 31,347 1,636
  Korean Reinsurance Co. 157,000 1,618
  KB Insurance Co. Ltd. 61,321 1,550
  Meritz Securities Co. Ltd. 507,115 1,503
^ Youngone Corp. 52,420 1,471
^ Hyundai Greenfood Co. Ltd. 89,763 1,314

 

82

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
^ CJ CGV Co. Ltd. 21,961 1,299
*,^ Com2uSCorp 15,280 1,266
*,^ LIG Nex1 Co. Ltd. 19,017 1,228
^ KIWOOM Securities Co. Ltd. 20,508 1,188
  Meritz Fire & Marine Insurance Co. Ltd. 83,988 1,169
^ Green Cross Corp. 9,560 1,164
^ Fila Korea Ltd. 14,764 1,125
^ Kolon Life Science Inc. 8,522 1,113
*,^ Yungjin Pharmaceutical Co. Ltd. 145,081 1,107
*,^ Hugel Inc. 3,610 1,081
^ SK Materials Co. Ltd. 7,904 1,075
  Innocean Worldwide Inc. 17,464 1,057
^ Samyang Holdings Corp. 9,030 985
* LG Life Sciences Ltd. 17,714 961
^ Tongyang Inc. 337,672 948
^ Korea Petrochemical Ind Co. Ltd. 5,230 932
^ Cosmax Inc. 9,162 923
  SFA Engineering Corp. 18,077 913
  LG International Corp. 37,522 912
  Hansol Chemical Co. Ltd. 12,518 905
*,^ Pan Ocean Co. Ltd. 286,242 901
^ IS Dongseo Co. Ltd. 20,771 898
  Hyundai Home Shopping Network Corp. 8,910 883
^ Koh Young Technology Inc. 22,571 883
^ JW Pharmaceutical Corp. 20,460 878
  Poongsan Corp. 28,647 870
  Korea Electric Terminal Co. Ltd. 13,325 832
*,^ DIO Corp. 20,893 831
*,^ Ilyang Pharmaceutical Co. Ltd. 24,135 823
*,^ HLB Inc. 48,126 815
  JB Financial Group Co. Ltd. 156,787 813
*,^ Advanced Process Systems Corp. 35,617 810
  Green Cross Holdings Corp. 41,746 809
  LS Industrial Systems Co. Ltd. 23,505 803
*,^ Osstem Implant Co. Ltd. 16,103 766
  Handsome Co. Ltd. 21,074 747
^ Chong Kun Dang Pharmaceutical Corp. 9,241 747
^ Hana Tour Service Inc. 13,228 744
*,^ Hyundai Elevator Co. Ltd. 15,182 742
*,^ Seegene Inc. 27,273 720
*,^ Wonik Holdings Co. Ltd. 126,799 718
  Hankook Tire Worldwide Co. Ltd. 37,732 713
^ Lotte Food Co. Ltd. 1,178 711
  GS Home Shopping Inc. 4,623 710
^ LOTTE Himart Co. Ltd. 18,246 703
^ Seoul Semiconductor Co. Ltd. 58,100 694
  Daesang Corp. 29,431 692
* Dongbu HiTek Co. Ltd. 46,265 687
^ Eo Technics Co. Ltd. 12,388 681
  Young Poong Corp. 779 675
  Daou Technology Inc. 37,420 675
^ Hanjin Kal Corp. 45,707 674
^ Bukwang Pharmaceutical Co. Ltd. 30,890 673
  Halla Holdings Corp. 11,291 668
  Soulbrain Co. Ltd. 12,251 668
  Huchems Fine Chemical Corp. 32,073 663
*,^ Taihan Electric Wire Co. Ltd. 391,198 645
*,^ Chabiotech Co. Ltd. 53,191 641
* Dongkuk Steel Mill Co. Ltd. 89,630 640
  CJ O Shopping Co. Ltd. 4,461 632
^ InBody Co. Ltd. 21,640 624
^ Korea Real Estate Investment & Trust Co. Ltd. 241,006 619
  Hanwha General Insurance Co. Ltd. 93,110 617
  Taekwang Industrial Co. Ltd. 841 616

 

83

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
*,^ SM Entertainment Co. 25,428 606
^ Nexen Tire Corp. 51,657 593
  Jeil Pharmaceutical Co. 10,015 592
*,^ Vieworks Co. Ltd. 10,886 585
*,^ Hanall Biopharma Co. Ltd. 55,146 567
  Dong-A Socio Holdings Co. Ltd. 4,431 561
^ Hansae Co. Ltd. 24,972 552
  DuzonBizon Co. Ltd. 28,260 551
*,^ Hyundai Rotem Co. Ltd. 33,408 545
*,^ Medipost Co. Ltd. 11,023 545
  Dongwon Industries Co. Ltd. 2,020 544
*,^ CrystalGenomics Inc. 32,939 542
* Asiana Airlines Inc. 133,905 541
*,^ Genexine Co. Ltd. 16,577 533
*,^ Caregen Co. Ltd. 6,457 533
^ Grand Korea Leisure Co. Ltd. 28,053 532
^ Samlip General Foods Co. Ltd. 3,565 531
  LEENO Industrial Inc. 14,063 528
  Dong-A ST Co. Ltd. 7,041 528
*,^ Loen Entertainment Inc. 8,944 526
^ Amicogen Inc. 12,402 525
  LF Corp. 27,703 525
  Tongyang Life Insurance Co. Ltd. 49,761 521
*,^ Foosung Co. Ltd. 76,846 521
*,^ GemVax & Kael Co. Ltd. 40,917 514
^ Ahnlab Inc. 8,929 502
*,^ Jenax Inc. 22,412 497
  Samyang Corp. 5,495 493
  Daishin Securities Co. Ltd. 51,530 474
^ Toptec Co. Ltd. 28,062 470
*,^ iNtRON Biotechnology Inc. 17,347 468
* Ssangyong Cement Industrial Co. Ltd. 33,161 465
  Partron Co. Ltd. 59,416 464
^ Meritz Financial Group Inc. 47,048 462
^ SK Gas Ltd. 5,457 459
*,^ Binex Co. Ltd. 34,852 458
^ Hanjin Transportation Co. Ltd. 17,485 450
*,^ NUTRIBIOTECH Co. Ltd. 7,813 444
*,^ G-SMATT GLOBAL Co. Ltd. 20,032 442
*,^ DoubleUGames Co. Ltd. 14,266 442
*,^ ATGen Co. Ltd. 13,333 425
*,^ Emerson Pacific Inc. 12,862 422
^ YG Entertainment Inc. 16,476 421
* Jusung Engineering Co. Ltd. 51,077 421
^ Muhak Co. Ltd. 21,135 420
^ JW Holdings Corp. 48,267 420
*,^ Posco ICT Co. Ltd. 83,435 417
* WONIK IPS Co. Ltd. 20,465 416
  NICE Holdings Co. Ltd. 28,246 416
^ Binggrae Co. Ltd. 7,620 415
  Mirae Asset Life Insurance Co. Ltd. 101,248 414
*,^ Cellumed Co. Ltd. 248,480 413
  S&T Motiv Co. Ltd. 11,485 410
* Ssangyong Motor Co. 63,591 408
*,^ Seobu T&D 23,489 408
  Youngone Holdings Co. Ltd. 8,070 406
  Namyang Dairy Products Co. Ltd. 688 405
  Sebang Global Battery Co. Ltd. 12,420 402
^ Daewoong Pharmaceutical Co. Ltd. 6,685 398
  AK Holdings Inc. 7,336 395
*,^ Webzen Inc. 25,858 388
^ iMarketKorea Inc. 33,818 377
*,^ i-SENS Inc. 13,206 377
^ Dae Hwa Pharmaceutical Co. Ltd. 16,549 375

 

84

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
*,^ Schnell Biopharmaceuticals Inc. 113,657 373
  KT Skylife Co. Ltd. 23,886 372
  KISWIRE Ltd. 10,912 372
  Hansol Paper Co. Ltd. 20,998 372
  Lutronic Corp. 11,158 371
*,^ It's Skin Co. Ltd. 9,183 371
  Hanil Cement Co. Ltd. 5,664 368
  Songwon Industrial Co. Ltd. 23,945 367
^ Hankook Shell Oil Co. Ltd. 913 352
^ Dawonsys Co. Ltd. 28,777 351
*,^ Gamevil Inc. 7,198 349
  NICE Information Service Co. Ltd. 52,081 348
*,^ SK Securities Co. Ltd. 383,523 347
  Seah Besteel Corp. 17,123 347
*,^ Naturalendo Tech Co. Ltd. 20,609 346
^ Hyundai Livart Furniture Co. Ltd. 16,022 346
* Kumho Industrial Co. Ltd. 41,353 346
  Modetour Network Inc. 14,874 344
  Hancom Inc. 22,120 341
  Kwang Dong Pharmaceutical Co. Ltd. 46,927 338
*,^ Hansol Technics Co. Ltd. 25,578 338
^ Maeil Dairy Industry Co. Ltd. 11,350 336
  Sungwoo Hitech Co. Ltd. 50,015 335
  Shinyoung Securities Co. Ltd. 7,700 334
* DongKook Pharmaceutical Co. Ltd. 7,259 333
  Cell Biotech Co. Ltd. 8,358 331
^ NS Shopping Co. Ltd. 2,286 329
  POSCO Chemtech Co. Ltd. 31,254 325
*,^ Yuanta Securities Korea Co. Ltd. 118,630 324
* Hanjin Heavy Industries & Construction Co. Ltd. 94,560 322
*,^ CMG Pharmaceutical Co. Ltd. 120,932 321
  AtlasBX Co. Ltd. 6,638 314
* Taewoong Co. Ltd. 12,906 311
*,^ Pharmicell Co. Ltd. 76,984 310
  Daekyo Co. Ltd. 42,417 309
  Able C&C Co. Ltd. 16,773 307
* Hansol Holdings Co. Ltd. 54,023 303
  Kwangju Bank 34,133 301
^ Kolao Holdings 39,197 301
*,^ Leaders Cosmetics Co. Ltd. 17,354 300
  Daeduck Electronics Co. 45,328 298
  Samchully Co. Ltd. 3,448 294
  SL Corp. 22,013 293
  CJ Hellovision Co. Ltd. 40,976 292
^ Byucksan Corp. 68,007 292
  Silicon Works Co. Ltd. 12,506 292
^ Dongwon F&B Co. Ltd. 1,657 292
* Huons Co. Ltd. 5,652 290
  Lock&Lock Co. Ltd. 24,575 287
^ Cuckoo Electronics Co. Ltd. 2,479 286
  Humax Co. Ltd. 22,327 285
*,^ Peptron Inc. 7,549 275
*,^ Korea Line Corp. 17,348 273
  Daeduck GDS Co. Ltd. 25,565 266
*,^ COSON Co. Ltd. 22,524 264
* Hanwha Investment & Securities Co. Ltd. 135,192 264
  Kolon Corp. 5,936 264
  GOLFZON Co. Ltd. 4,460 263
^ Crown Confectionery Co. Ltd. 9,550 260
* Woongjin Thinkbig Co. Ltd. 31,030 258
* Taeyoung Engineering & Construction Co. Ltd. 59,867 255
*,^ CUROCOM Co. Ltd. 114,826 252
  Chongkundang Holdings Corp. 4,358 252
  Huons Global Co. Ltd. 6,718 252

 

85

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
^ Interpark Holdings Corp. 57,621 251
  Daewoong Co. Ltd. 6,528 251
^ E1 Corp. 4,721 251
  SeAH Steel Corp. 4,043 246
  Sindoh Co. Ltd. 5,352 246
*,^ ICD Co. Ltd. 18,215 245
  Cosmax BTI Inc 6,945 244
^ CJ Freshway Corp. 7,092 243
*,^ CrucialTec Co. Ltd. 34,649 242
^ Humedix Co. Ltd. 7,618 240
  S&T Dynamics Co. Ltd. 29,751 240
*,^ Agabang&Company 36,606 237
* Green Cross Cell Corp. 9,220 234
^ Seoyon E-Hwa Co. Ltd. 17,568 233
  Dae Han Flour Mills Co. Ltd. 1,507 232
^ Korea Kolmar Holdings Co. Ltd. 8,991 230
^ KISCO Corp. 6,962 229
^ KH Vatec Co. Ltd. 20,651 227
  Youlchon Chemical Co. Ltd. 19,121 226
*,^ WeMade Entertainment Co. Ltd. 13,083 222
  Daishin Securities Co. Ltd. Preference Shares 32,351 220
*,^ Duk San Neolux Co. Ltd. 8,321 214
  Namhae Chemical Corp. 30,040 214
^ Kyobo Securities Co. Ltd. 26,216 212
^ Sung Kwang Bend Co. Ltd. 25,404 209
* Lumens Co. Ltd. 59,056 207
*,^ SFA Semicon Co. Ltd. 104,327 201
^ SBS Media Holdings Co. Ltd. 80,361 200
  Hyundai Corp. 10,737 197
*,^ Insun ENT Co. Ltd. 39,206 194
* Eugene Investment & Securities Co. Ltd. 90,761 190
^ KONA I Co. Ltd. 17,486 183
^ Coreana Cosmetics Co. Ltd. 34,674 182
  Seoyon Co. Ltd. 18,192 176
*,^ KTB Investment & Securities Co. Ltd. 70,403 176
*,^ Samsung Pharmaceutical Co. Ltd. 48,766 175
  INTOPS Co. Ltd. 9,554 169
*,^ 3S Korea Co. Ltd. 70,925 166
* Neowiz Games Corp. 17,598 166
  TK Corp. 22,421 166
* Interflex Co. Ltd. 11,392 162
  Sam Young Electronics Co. Ltd. 16,317 159
  NEPES Corp. 25,508 157
^ GOLFZONYUWONHOLDINGS Co. Ltd. 23,090 157
  Eusu Holdings Co. Ltd. 25,060 137
^ DY Corp. 24,569 134
*,^ Duksan Hi-Metal Co. Ltd. 20,328 131
* Doosan Engine Co. Ltd. 39,560 122
* Dongbu Securities Co. Ltd. 40,478 117
  MegaStudy Co. Ltd. 4,013 113
  Hyundai C&F Inc. 7,809 110
  Hitejinro Holdings Co. Ltd. 9,556 100
  MegaStudyEdu Co. Ltd. 2,396 99
* Hanjin Heavy Industries & Construction Holdings Co. Ltd. 4,999 23
* Interflex Co. Ltd. Rights Exp. 11/24/2016 3,268 11
* Lutronic Corp. Pref Rights Exp. 12/02/2016 1,796 5
* Zyle Daewoo Motor Sales Corp. 3,992 5
* Lutronic Corp. Rights Exp.12/02/2016 378 2
* Tera Resource Co. Ltd. 42,004 2
* SSCP Co. Ltd. 20,873 1
* Shenglong PV-Tech Investment Co. Ltd. 44,660 1
  SK Telecom Co. Ltd. 1
* CNK International Co. Ltd. 35,374

 

86

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* Daewoo Songdo Development Co. Ltd. 11,746
      139,036
Spain (1.7%)    
  Merlin Properties Socimi SA 512,346 5,748
^ Bolsas y Mercados Espanoles SHMSF SA 124,343 3,758
2 Cellnex Telecom SA 225,069 3,691
  Viscofan SA 75,044 3,533
  Ebro Foods SA 140,614 3,032
  Inmobiliaria Colonial SA 388,380 2,739
  Melia Hotels International SA 191,499 2,364
* Indra Sistemas SA 190,570 2,357
  Grupo Catalana Occidente SA 74,721 2,353
  Prosegur Cia de Seguridad SA 322,624 2,339
  Applus Services SA 199,840 1,918
  Tecnicas Reunidas SA 46,968 1,757
  Hispania Activos Inmobiliarios SOCIMI SA 136,949 1,682
  CIE Automotive SA 73,585 1,515
*,2 Euskaltel SA 145,340 1,463
  Vidrala SA 24,996 1,434
  Faes Farma SA 387,939 1,424
* NH Hotel Group SA 322,581 1,423
  Almirall SA 94,014 1,352
  Axiare Patrimonio SOCIMI SA 91,128 1,295
  Cia de Distribucion Integral Logista Holdings SA 56,190 1,246
  Construcciones y Auxiliar de Ferrocarriles SA 2,851 1,074
*,^ Sacyr SA 452,151 1,031
* Fomento de Construcciones y Contratas SA 108,698 941
^ Obrascon Huarte Lain SA 225,796 905
  Atresmedia Corp. de Medios de Comunicacion SA 81,994 842
* Pharma Mar SA 240,030 648
* Promotora de Informaciones SA 78,933 547
  Ence Energia y Celulosa SA 210,430 459
* Codere SA 729,145 439
* Liberbank SA 425,913 422
  Papeles y Cartones de Europa SA 73,103 381
* Papeles y Cartones de Europa SA Rights Exp. 11/14/2016 73,103 15
* Deoleo SA 19,560 4
*,^ Caja de Ahorros del Mediterraneo 42,306
*,^ Let's GOWEX SA 31,105
* Pescanova SA 10,066
      56,131
Sweden (3.5%)    
  Castellum AB 416,719 5,647
  Elekta AB Class B 563,357 4,884
^ Fingerprint Cards AB Class B 419,375 4,061
  BillerudKorsnas AB 245,205 4,027
  Fabege AB 213,002 3,597
* NCC AB Class B 135,632 3,447
  Loomis AB Class B 116,868 3,322
  Hexpol AB 400,884 3,295
*,^ Nibe Industrier AB Class B 425,590 3,166
  Hufvudstaden AB Class A 181,534 2,810
  Indutrade AB 150,775 2,804
  AAK AB 41,979 2,772
  Holmen AB 80,781 2,764
* Swedish Orphan Biovitrum AB 264,428 2,707
  Axfood AB 171,508 2,680
2 Thule Group AB 166,948 2,577
*,2 Dometic Group AB 357,046 2,526
  Wallenstam AB 323,247 2,490
  NetEnt AB 303,511 2,392
  Saab AB Class B 63,887 2,263
  Modern Times Group MTG AB Class B 82,478 2,220
* SSAB AB Class B 818,656 2,173

 

87

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Peab AB 245,528 2,082
  Sweco AB Class B 103,742 2,081
  JM AB 72,236 2,080
  Com Hem Holding AB 227,248 2,045
  Wihlborgs Fastigheter AB 101,262 1,963
* Betsson AB 186,318 1,798
  Lifco AB Class B 69,867 1,768
  Intrum Justitia AB 55,837 1,722
*,2 Attendo AB 194,225 1,655
  Avanza Bank Holding AB 42,514 1,607
* Bonava AB 128,035 1,582
  Bilia AB 66,177 1,578
  AF AB 84,070 1,539
  Kungsleden AB 242,952 1,532
  Hemfosa Fastigheter AB 145,296 1,366
* Oriflame Holding AG 36,520 1,342
2 Bravida Holding AB 212,641 1,307
  Pandox AB 80,623 1,279
  Ratos AB 299,823 1,232
* Cloetta AB Class B 321,171 1,138
  Atrium Ljungberg AB 72,371 1,124
*,^ SSAB AB Class A 350,606 1,112
  Vitrolife AB 19,735 1,021
  Nobia AB 108,601 947
  Klovern AB 890,917 940
  Bure Equity AB 77,931 854
  Haldex AB 65,826 848
  Lindab International AB 90,005 771
  Klovern AB Preference Shares 22,391 765
  Concentric AB 62,252 740
* Investment AB Oresund 42,606 681
  SAS AB Preference Shares 10,667 653
  Rezidor Hotel Group AB 147,092 600
  Clas Ohlson AB 35,320 499
* Collector AB 38,809 479
  SkiStar AB 30,187 464
  Nordnet AB 106,817 439
  Mekonomen AB 22,795 405
*,^ SAS AB 236,426 400
  Sagax AB Preference Shares 88,055 319
  Hemfosa Fastigheter AB Preference Shares 14,935 265
  Ratos AB Preference Shares 1,176 244
* NCC AB Class A 6,008 152
* Bonava AB 7,881 95
  L E Lundbergforetagen AB Class B 5
      116,137
Switzerland (3.1%)    
  Temenos Group AG 92,912 6,000
  Georg Fischer AG 6,520 5,781
  Logitech International SA 227,854 5,511
* CS Real Estate Fund LivingPlus 31,929 4,433
^ BB Biotech AG 87,468 4,139
2 Sunrise Communications Group AG 54,634 3,733
  Cembra Money Bank AG 45,719 3,494
  dorma&kaba Holding AG 4,938 3,431
  Tecan Group AG 18,708 3,083
  Panalpina Welttransport Holding AG 22,352 2,900
  OC Oerlikon Corp. AG 285,086 2,680
  ams AG 93,508 2,618
  GAM Holding AG 257,900 2,498
  Mobimo Holding AG 10,258 2,468
  Forbo Holding AG 1,911 2,436
  Bucher Industries AG 10,627 2,361
  Valiant Holding AG 24,262 2,300

 

88

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Belimo Holding AG 710 2,168
  Allreal Holding AG 14,456 2,128
  Emmi AG 3,276 1,935
  Autoneum Holding AG 7,104 1,880
  SFS Group AG 24,741 1,864
* Gategroup Holding AG 32,124 1,690
  u-blox Holding AG 8,937 1,689
  Schweiter Technologies AG 1,433 1,544
  Implenia AG 22,240 1,490
^ Burckhardt Compression Holding AG 4,949 1,435
  Rieter Holding AG 7,018 1,333
  Huber & Suhner AG 22,487 1,309
  St. Galler Kantonalbank AG 3,410 1,280
  VZ Holding AG 4,153 1,229
  Valora Holding AG 4,204 1,222
  Vontobel Holding AG 22,991 1,126
  Daetwyler Holding AG 7,963 1,091
  COSMO Pharmaceuticals NV 7,429 1,079
*,^ AFG Arbonia-Forster Holding AG 68,328 1,025
  Conzzeta AG 1,425 984
  Ascom Holding AG 55,488 950
  Kudelski SA 53,908 929
  Ypsomed Holding AG 4,769 911
  Intershop Holding AG 1,773 905
^ Leonteq AG 14,591 841
  LEM Holding SA 727 811
* Bell AG 1,874 802
  Siegfried Holding AG 3,608 742
  BKW AG 15,327 713
  APG SGA SA 1,587 663
* Zehnder Group AG 14,599 607
  EFG International AG 112,017 604
  Vetropack Holding AG 333 546
* Schmolz & Bickenbach AG 760,501 499
*,^ Basilea Pharmaceutica AG 7,318 493
*,^ Meyer Burger Technology AG 140,114 458
  Swissquote Group Holding SA 14,647 416
* Alpiq Holding AG 4,168 387
  Bachem Holding AG 4,045 360
^ Plazza AG 1,312 312
* Orascom Development Holding AG 16,597 100
* Flughafen Zuerich AG 7 1
* Petroplus Holdings AG 36,495 1
      102,418
Taiwan (6.2%)    
  China Life Insurance Co. Ltd. 5,513,597 5,082
  Powertech Technology Inc. 1,158,662 3,306
  Micro-Star International Co. Ltd. 1,116,000 3,211
  Chailease Holding Co. Ltd. 1,703,214 2,940
  WPG Holdings Ltd. 2,415,889 2,828
  Nien Made Enterprise Co. Ltd. 233,000 2,699
  Highwealth Construction Corp. 1,481,341 2,194
* TaiMed Biologics Inc. 340,000 2,135
* Ruentex Development Co. Ltd. 1,759,142 2,030
  Tripod Technology Corp. 852,327 2,018
  Phison Electronics Corp. 274,962 1,946
  Merida Industry Co. Ltd. 421,055 1,940
  Ruentex Industries Ltd. 1,201,160 1,934
  Tong Yang Industry Co. Ltd. 813,919 1,894
  Win Semiconductors Corp. 673,969 1,872
  Airtac International Group 235,229 1,871
  Standard Foods Corp. 751,258 1,857
  Poya International Co. Ltd. 124,085 1,804
  St. Shine Optical Co. Ltd. 80,419 1,690

 

89

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Hiwin Technologies Corp. 382,304 1,685
Yageo Corp. 826,028 1,662
King Yuan Electronics Co. Ltd. 1,833,963 1,613
Chroma ATE Inc. 626,040 1,587
Zhen Ding Technology Holding Ltd. 694,400 1,580
CTCI Corp. 1,072,667 1,574
PChome Online Inc. 144,914 1,574
Simplo Technology Co. Ltd. 506,053 1,561
Tung Thih Electronic Co. Ltd. 106,000 1,547
Kenda Rubber Industrial Co. Ltd. 1,012,016 1,546
Winbond Electronics Corp. 4,732,000 1,486
LCY Chemical Corp. 1,203,255 1,468
Chipbond Technology Corp. 1,060,852 1,464
Taiwan Paiho Ltd. 425,183 1,445
King's Town Bank Co. Ltd. 1,723,193 1,409
Hota Industrial Manufacturing Co. Ltd. 334,000 1,396
TTY Biopharm Co. Ltd. 368,987 1,387
TSRC Corp. 1,296,046 1,338
Grape King Bio Ltd. 156,000 1,310
Wistron NeWeb Corp. 453,748 1,263
Accton Technology Corp. 776,467 1,240
Makalot Industrial Co. Ltd. 305,880 1,204
Elite Material Co. Ltd. 429,519 1,196
* Asia Pacific Telecom Co. Ltd. 3,722,000 1,195
King Slide Works Co. Ltd. 96,675 1,184
FLEXium Interconnect Inc. 410,376 1,167
Silergy Corp. 79,000 1,151
E Ink Holdings Inc. 1,354,708 1,148
Radiant Opto-Electronics Corp. 674,147 1,137
Parade Technologies Ltd. 101,000 1,136
* HannStar Display Corp. 4,516,810 1,131
eMemory Technology Inc. 106,000 1,123
* China Petrochemical Development Corp. 3,631,077 1,037
Voltronic Power Technology Corp. 68,356 1,025
Ennoconn Corp. 64,644 1,024
Chin-Poon Industrial Co. Ltd. 531,072 1,017
Merry Electronics Co. Ltd. 258,910 998
Waterland Financial Holdings Co. Ltd. 3,903,652 988
Sercomm Corp. 419,000 984
Nan Kang Rubber Tire Co. Ltd. 1,058,107 975
Gigabyte Technology Co. Ltd. 738,271 970
Great Wall Enterprise Co. Ltd. 1,064,190 968
Taichung Commercial Bank Co. Ltd. 3,378,030 962
Land Mark Optoelectronics Corp. 106,600 955
Walsin Technology Corp. 785,958 953
Everlight Electronics Co. Ltd. 619,725 935
Kinsus Interconnect Technology Corp. 404,282 933
AmTRAN Technology Co. Ltd. 1,150,692 911
WT Microelectronics Co. Ltd. 642,624 910
Qisda Corp. 2,148,000 904
Far Eastern Department Stores Ltd. 1,677,043 889
Mitac Holdings Corp. 936,311 886
Compeq Manufacturing Co. Ltd. 1,667,471 878
Clevo Co. 947,944 867
* Tatung Co. Ltd. 3,287,320 864
Sino-American Silicon Products Inc. 773,945 832
* Chunghwa Precision Test Tech Co. Ltd. 25,000 831
Cub Elecparts Inc. 88,427 811
China Steel Chemical Corp. 235,853 809
Gourmet Master Co. Ltd. 89,482 803
Tung Ho Steel Enterprise Corp. 1,252,150 798
Primax Electronics Ltd. 482,000 762
Yungtay Engineering Co. Ltd. 539,993 761
Jih Sun Financial Holdings Co. Ltd. 3,616,195 753

 

90

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Tong Hsing Electronic Industries Ltd. 218,056 752
Kinpo Electronics 1,979,196 742
Grand Pacific Petrochemical 1,327,928 740
Elan Microelectronics Corp. 625,350 707
PharmaEngine Inc. 103,591 706
Taiwan Hon Chuan Enterprise Co. Ltd. 416,401 682
* Egis Technology Inc. 94,000 681
* Pharmally International Holding Co. Ltd. 45,000 678
* Neo Solar Power Corp. 1,326,571 677
Sinbon Electronics Co. Ltd. 299,066 672
Getac Technology Corp. 514,000 668
Tainan Spinning Co. Ltd. 1,727,674 663
Casetek Holdings Ltd. 206,000 661
Lien Hwa Industrial Corp. 975,605 661
* Yieh Phui Enterprise Co. Ltd. 1,704,355 658
Coretronic Corp. 632,000 654
Sanyang Motor Co. Ltd. 1,011,037 647
Cleanaway Co. Ltd. 120,000 638
Ginko International Co. Ltd. 68,200 636
Depo Auto Parts Ind Co. Ltd. 202,313 632
Flytech Technology Co. Ltd. 189,845 625
* Mercuries Life Insurance Co. Ltd. 1,290,068 621
Firich Enterprises Co. Ltd. 299,613 620
Huaku Development Co. Ltd. 351,499 619
Shin Zu Shing Co. Ltd. 203,000 611
USI Corp. 1,245,518 607
TA Chen Stainless Pipe 1,149,192 604
General Interface Solution Holding Ltd. 225,000 600
Taiwan Shin Kong Security Co. Ltd. 466,930 589
China Synthetic Rubber Corp. 750,552 589
China Bills Finance Corp. 1,468,800 589
TXC Corp. 421,877 588
Shinkong Synthetic Fibers Corp. 2,201,416 587
Advanced Ceramic X Corp. 73,000 584
Topco Scientific Co. Ltd. 227,383 583
Farglory Land Development Co. Ltd. 504,854 580
YFY Inc. 1,958,000 577
Namchow Chemical Industrial Co. Ltd. 266,000 566
Greatek Electronics Inc. 447,000 564
Ardentec Corp. 753,851 561
* Center Laboratories Inc. 270,785 556
* Motech Industries Inc. 573,311 553
Prince Housing & Development Corp. 1,742,183 552
Elite Advanced Laser Corp. 149,960 545
Lung Yen Life Service Corp. 318,000 541
Formosa International Hotels Corp. 95,840 537
Bizlink Holding Inc. 105,716 535
Pan-International Industrial Corp. 578,595 531
Long Chen Paper Co. Ltd. 1,117,084 530
Sitronix Technology Corp. 143,282 530
Hu Lane Associate Inc. 119,000 524
ScinoPharm Taiwan Ltd. 402,703 512
Chaun-Choung Technology Corp. 116,000 511
Li Cheng Enterprise Co. Ltd. 131,440 510
A-DATA Technology Co. Ltd. 327,915 510
Cheng Loong Corp. 1,386,920 503
Taiwan FamilyMart Co. Ltd. 71,000 502
* Iron Force Industrial Co. Ltd. 82,000 499
San Shing Fastech Corp. 285,824 499
ITEQ Corp. 458,261 496
Yeong Guan Energy Technology Group Co. Ltd. 126,000 495
Posiflex Technology Inc. 83,809 493
Wisdom Marine Lines Co. Ltd. 542,753 491
Xxentria Technology Materials Corp. 185,776 486

 

91

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Chong Hong Construction Co. Ltd. 294,493 484
Goldsun Building Materials Co. Ltd. 2,090,591 482
YungShin Global Holding Corp. 315,647 469
IEI Integration Corp. 313,623 467
Globalwafers Co. Ltd. 187,000 461
Aten International Co. Ltd. 183,260 460
President Securities Corp. 1,321,000 460
AcBel Polytech Inc. 621,000 459
Sporton International Inc. 95,746 457
Universal Cement Corp. 584,878 454
Gigasolar Materials Corp. 35,600 449
Taiwan Acceptance Corp. 195,000 448
Rechi Precision Co. Ltd. 389,668 444
FocalTech Systems Co. Ltd. 405,398 439
* Ritek Corp. 2,537,678 438
China Man-Made Fiber Corp. 1,790,016 433
China General Plastics Corp. 541,329 433
Adlink Technology Inc. 223,254 432
United Integrated Services Co. Ltd. 288,000 431
Sampo Corp. 690,311 429
UPC Technology Corp. 1,203,510 423
* Gintech Energy Corp. 591,354 422
* Taigen Biopharmaceuticals Holdings Ltd. 441,723 420
* Microbio Co. Ltd. 565,562 419
Taiwan TEA Corp. 931,293 406
China Metal Products 411,515 405
* Orient Semiconductor Electronics Ltd. 1,109,000 400
International Games System Co. Ltd. 71,213 400
Taiwan Styrene Monomer 756,579 399
Mercuries & Associates Holding Ltd. 641,355 394
Pihsiang Machinery Manufacturing Co. Ltd. 168,000 394
Green Seal Holding Ltd. 74,000 393
Wah Lee Industrial Corp. 271,883 388
Taiwan Cogeneration Corp. 527,903 385
Basso Industry Corp. 140,000 377
Systex Corp. 223,000 375
Masterlink Securities Corp. 1,474,023 374
Sigurd Microelectronics Corp. 501,000 374
* Wei Chuan Foods Corp. 659,835 374
Everlight Chemical Industrial Corp. 590,649 374
Hung Sheng Construction Ltd. 692,100 373
Elite Semiconductor Memory Technology Inc. 350,000 373
Taiwan Semiconductor Co. Ltd. 332,000 372
Visual Photonics Epitaxy Co. Ltd. 277,455 371
Test Rite International Co. Ltd. 598,725 369
Zeng Hsing Industrial Co. Ltd. 76,000 367
Test Research Inc. 288,371 365
Long Bon International Co. Ltd. 706,000 365
YC INOX Co. Ltd. 495,174 360
* Medigen Biotechnology Corp. 161,680 359
Taiwan Surface Mounting Technology Corp. 429,530 358
* Sunny Friend Environmental Technology Co. Ltd. 98,000 350
Chlitina Holding Ltd. 79,750 349
Lealea Enterprise Co. Ltd. 1,360,848 348
Wowprime Corp. 94,761 347
Holtek Semiconductor Inc. 219,279 346
* Gigastorage Corp. 481,800 346
Taiwan PCB Techvest Co. Ltd. 354,102 346
BES Engineering Corp. 2,023,468 345
Pixart Imaging Inc. 158,920 344
Toung Loong Textile Manufacturing 125,000 342
Nan Liu Enterprise Co. Ltd. 79,000 335
Senao International Co. Ltd. 209,000 331
OptoTech Corp. 784,000 330

 

92

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Syncmold Enterprise Corp. 195,000 326
Taiwan Land Development Corp. 1,034,969 323
Sinyi Realty Inc. 352,824 323
MIN AIK Technology Co. Ltd. 274,987 323
* Radium Life Tech Co. Ltd. 1,135,265 322
Faraday Technology Corp. 323,000 321
* Ho Tung Chemical Corp. 1,308,466 321
Gloria Material Technology Corp. 595,023 318
* TWi Pharmaceuticals Inc. 98,000 318
Kuoyang Construction Co. Ltd. 801,648 315
* CMC Magnetics Corp. 2,662,369 313
Evergreen International Storage & Transport Corp. 767,502 311
Zinwell Corp. 273,099 311
Advanced Wireless Semiconductor Co. 197,000 307
Global Unichip Corp. 119,649 305
Career Technology MFG. Co. Ltd. 477,126 304
Huang Hsiang Construction Corp. 248,051 303
* Asia Optical Co. Inc. 325,000 300
* Shining Building Business Co. Ltd. 947,463 299
Asia Polymer Corp. 516,875 299
Yung Chi Paint & Varnish Manufacturing Co. Ltd. 121,000 298
CyberTAN Technology Inc. 497,571 298
Asia Vital Components Co. Ltd. 397,337 297
Darwin Precisions Corp. 756,000 292
Kinik Co. 177,000 292
Formosan Rubber Group Inc. 628,100 292
Chung-Hsin Electric & Machinery Manufacturing Corp. 520,625 292
Soft-World International Corp. 145,520 292
D-Link Corp. 896,406 288
Federal Corp. 666,505 285
Rich Development Co. Ltd. 1,031,000 284
Topkey Corp. 91,000 283
TYC Brother Industrial Co. Ltd. 272,710 281
Brogent Technologies Inc. 40,606 280
Holy Stone Enterprise Co. Ltd. 273,670 276
Hung Poo Real Estate Development Corp. 325,195 267
Dynapack International Technology Corp. 201,299 263
Pan Jit International Inc. 552,000 260
Lextar Electronics Corp. 625,000 259
Tong-Tai Machine & Tool Co. Ltd. 358,429 255
Unitech Printed Circuit Board Corp. 803,738 252
* Li Peng Enterprise Co. Ltd. 1,120,915 252
Nien Hsing Textile Co. Ltd. 330,083 247
Lotes Co. Ltd. 97,000 247
* Taiwan Liposome Co. Ltd. 60,000 246
CSBC Corp. Taiwan 591,808 245
Alpha Networks Inc. 413,827 238
Johnson Health Tech Co. Ltd. 159,283 231
Sunplus Technology Co. Ltd. 671,000 230
Altek Corp. 321,250 230
Lite-On Semiconductor Corp. 325,977 229
Kindom Construction Corp. 461,000 227
* Etron Technology Inc. 590,947 227
* Swancor Holding Co. Ltd. 95,000 225
Chun Yuan Steel 655,676 224
* Lotus Pharmaceutical Co. Ltd. 123,000 223
* Unizyx Holding Corp. 500,000 223
Taiflex Scientific Co. Ltd. 232,594 221
Quanta Storage Inc. 231,000 220
* Solartech Energy Corp. 437,414 219
Gemtek Technology Corp. 379,115 218
Sincere Navigation Corp. 390,000 218
Global Mixed Mode Technology Inc. 98,199 217
* Green Energy Technology Inc. 394,746 216

 

93

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Weltrend Semiconductor 304,200 216
Vivotek Inc. 86,622 214
China Chemical & Pharmaceutical Co. Ltd. 379,000 214
Sonix Technology Co. Ltd. 208,000 213
Infortrend Technology Inc. 420,885 208
KEE TAI Properties Co. Ltd. 647,740 207
Taiwan Fire & Marine Insurance Co. Ltd. 350,840 206
CHC Healthcare Group 145,727 202
Hsin Kuang Steel Co. Ltd. 339,569 201
Darfon Electronics Corp. 338,000 198
* Gold Circuit Electronics Ltd. 586,280 198
* Ichia Technologies Inc. 446,000 197
WUS Printed Circuit Co. Ltd. 344,000 192
* Unity Opto Technology Co. Ltd. 401,000 190
* ALI Corp. 362,358 190
Microlife Corp. 82,500 190
* E-Ton Solar Tech Co. Ltd. 612,603 190
Jess-Link Products Co. Ltd. 226,800 188
* King's Town Construction Co. Ltd. 311,826 188
Lingsen Precision Industries Ltd. 529,000 187
Concord Securities Co. Ltd. 925,324 182
Kuo Toong International Co. Ltd. 330,557 180
L&K Engineering Co. Ltd. 230,000 180
Bank of Kaohsiung Co. Ltd. 639,490 179
Chimei Materials Technology Corp. 455,000 179
Jentech Precision Industrial Co. Ltd. 111,698 175
Taiyen Biotech Co. Ltd. 178,877 171
* Genius Electronic Optical Co. Ltd. 106,732 170
Tyntek Corp. 448,250 170
* HannsTouch Solution Inc. 690,731 169
ITE Technology Inc. 182,418 169
* Solar Applied Materials Technology Co. 609,201 169
Sheng Yu Steel Co. Ltd. 182,000 167
Chung Hwa Pulp Corp. 586,135 166
* G Tech Optoelectronics Corp. 251,168 165
Elitegroup Computer Systems Co. Ltd. 376,647 161
* Silicon Integrated Systems Corp. 810,592 160
Cyberlink Corp. 77,076 153
Globe Union Industrial Corp. 310,675 153
* Wafer Works Corp. 549,710 152
FSP Technology Inc. 195,428 149
* Champion Building Materials Co. Ltd. 658,000 145
* China Electric Manufacturing Corp. 594,000 140
Tsann Kuen Enterprise Co. Ltd. 150,295 140
* Global Brands Manufacture Ltd. 402,045 139
Ability Enterprise Co. Ltd. 282,099 138
GeoVision Inc. 90,745 136
* AGV Products Corp. 534,424 127
Sunrex Technology Corp. 198,905 119
* Dynamic Electronics Co. Ltd. 400,468 118
* Ta Ya Electric Wire & Cable 694,440 115
ENG Electric Co. Ltd. 218,004 115
* LES Enphants Co. Ltd. 261,059 103
* Phihong Technology Co. Ltd. 327,618 103
Advanced International Multitech Co. Ltd. 156,000 99
Chinese Maritime Transport Ltd. 129,350 99
ACES Electronic Co. Ltd. 128,000 98
* Shih Wei Navigation Co. Ltd. 341,784 97
Young Optics Inc. 99,000 84
Ambassador Hotel 67,469 53
XPEC Entertainment Inc. 125,457 46
Continental Holdings Corp. 10,600 3
    208,573

 

94

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
Thailand (1.5%)    
* KCE Electronics PCL 683,400 2,188
* Digital Telecommunications Infrastructure Fund 4,826,400 2,068
* BTS Rail Mass Transit Growth Infrastructure Fund 4,882,176 1,701
* Bangchak Petroleum PCL 1,833,600 1,584
* Jasmine Broadband Internet Infrastructure Fund 4,163,400 1,439
* Group Lease PCL 1,069,500 1,404
* CH Karnchang PCL 1,625,600 1,369
  Jasmine International PCL 5,611,188 1,337
* Robinson Department Store PCL 716,800 1,185
* TPI Polene PCL 17,166,800 1,077
  Thanachart Capital PCL NVDR 871,600 983
* Bangkok Land PCL 20,507,600 926
* Superblock PCL 19,844,900 901
* Krungthai Card PCL 209,300 896
* Kiatnakin Bank PCL (Local) 510,800 853
*,2 Star Petroleum Refining PCL 2,279,000 818
* Siam Global House PCL 1,825,049 803
* Srisawad Power 1979 PCL 701,507 801
* Global Power Synergy Co. Ltd. 758,700 769
* Bangkok Airways PCL 1,079,300 767
  Supalai PCL NVDR 1,088,100 758
* Major Cineplex Group PCL 907,144 750
* Carabao Group PCL 377,900 745
* Tisco Financial Group PCL 489,300 724
* Thanachart Capital PCL 630,320 710
^ Sino-Thai Engineering & Construction PCL NVDR 942,800 686
* Chularat Hospital PCL 8,350,860 672
* Bangkok Chain Hospital PCL (Local) 1,726,548 650
  Kiatnakin Bank PCL (Foreign) 389,200 650
^ Central Plaza Hotel PCL NVDR 575,200 623
* Thai Vegetable Oil PCL 647,800 620
* PTG Energy PCL 754,807 619
* Sansiri PCL (Local) 12,852,600 609
* Thaicom PCL 969,540 575
* Quality Houses PCL (Local) 8,028,633 573
^ Central Plaza Hotel PCL 526,790 571
* Tisco Financial Group PCL 377,750 559
* Hana Microelectronics PCL 605,036 553
  Sino-Thai Engineering & Construction PCL (Foreign) 759,099 553
* Muangthai Leasing PCL 1,025,500 550
^ Bangkok Expressway & Metro PCL 2,581,033 549
* Gunkul Engineering PCL 3,868,560 548
* Dynasty Ceramic PCL 4,280,000 545
*,^ Italian-Thai Development PCL 3,789,900 536
^ VGI Global Media PCL - NVDR 3,253,600 529
  AP Thailand PCL 2,596,200 526
* Vibhavadi Medical Center PCL 6,204,200 525
* CK Power PCL 5,013,500 508
* Esso Thailand PCL 1,741,000 502
* Tipco Asphalt PCL 931,500 481
* U City PCL 543,102,375 466
* Pruksa Real Estate PCL (Local) 664,690 438
* Unique Engineering & Construction PCL 899,200 436
  momo.com Inc. 66,000 428
* Univentures PCL (Local) 2,482,288 411
* Amata Corp. PCL 1,193,600 395
* Inter Far East Energy Corp. 3,110,400 384
^ Thoresen Thai Agencies PCL (Foreign) 1,399,625 364
* GFPT PCL 834,000 362
  TTW PCL 1,201,300 360
* Supalai PCL 507,600 354
* Sri Trang Agro-Industry PCL 900,100 347
*,^ WHA Corp. PCL 3,527,247 332

 

95

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* TICON Industrial Connection PCL 777,700 330
* SPCG PCL 544,700 317
* IMPACT Growth REIT 637,600 284
^ Hana Microelectronics PCL (Foreign) 307,510 281
  Tisco Financial Group PCL (Foreign) 172,150 255
* LPN Development PCL 742,500 242
  Pruksa Real Estate PCL (Foreign) 361,400 238
* LPN Development PCL 685,211 223
* Samart Corp. PCL 548,021 221
  VGI Global Media PCL (Foreign) 1,311,288 213
* WHA Corp. PCL 2,187,000 206
* Thoresen Thai Agencies PCL (Local) 790,544 206
*,^ Italian-Thai Development PCL (Foreign) 1,360,202 192
  Asian Property Development PCL (Foreign) 861,256 174
* Group Lease PCL 124,500 163
^ Quality Houses PCL (Foreign) 2,133,757 152
^ TTW PCL 490,400 147
* Cal-Comp Electronics Thailand PCL 1,986,916 143
  TTW PCL 441,400 132
  Maybank Kim Eng Securities Thailand PCL 197,500 124
* Italian-Thai Development PCL (Local) 845,908 120
  Samart Corp. PCL (Foreign) 243,200 98
*,^ Precious Shipping PCL - NVDR 539,500 93
*,^ Precious Shipping PCL (Foreign) 403,800 70
  Sansiri PCL (Foreign) 1,403,050 66
* Group Lease PCL Warrants Exp. 07/31/2018 111,522 48
* Sino-Thai Engineering & Construction PCL 64,316 47
* BTS Group Holdings PCL Warrants Exp. 11/01/2018 976,408 20
* VGI Global Media PCL 104,424 17
* CK Power PCL Foreign Line Warrants Exp. 05/28/2020 1,015,920 15
* WHA Corp. PCL Warrants Exp.12/31/2019 56,618 13
* TPI Polene PCL Rights 105,008 10
  BCPG PCL 21,550 8
* Sansiri PCL Foreign Warrants Exp. 11/24/2017 1,403,050 8
* VGI Global Media PCL Foreign Warrants Exp. 08/01/2018 448,000 6
* Thoresen Thai Agencies PCL Warrants Exp. 02/28/2019 166,980 6
* VGI Global Media PCL NVDR Warrants Exp. 08/01/2018 342,800 5
* Srisawad Power 1979 PCL Warrants Exp. 05/20/2020 22,387 5
* G J Steel PCL Warrants Exp. 01/30/2020 1,627,035 3
* Italian-Thai Development PCL (Foreign) Warrants Exp. 05/13/2019 272,040
* Italian-Thai Development PCL Warrants Exp. 05/13/2019 135,261
* Samart Corp. PCL Warrants Exp. 02/11/2018 106,504
* Precious Shipping PCL Warrants 23,790
      51,846
Turkey (0.3%)    
  Soda Sanayii AS 463,770 644
  Tekfen Holding AS 195,763 497
  Cimsa Cimento Sanayi VE Ticaret AS 76,953 383
  Dogus Otomotiv Servis ve Ticaret AS 117,516 379
  Otokar Otomotiv Ve Savunma Sanayi A.S. 11,247 372
  Trakya Cam Sanayii AS 449,887 371
  Torunlar Gayrimenkul Yatirim Ortakligi AS 233,382 370
* Dogan Sirketler Grubu Holding AS 1,280,370 330
  Kardemir Karabuk Demir Celik Sanayi ve Ticaret AS 802,024 327
* Aksa Enerji Uretim AS Class B 339,001 308
  Is Gayrimenkul Yatirim Ortakligi AS 578,216 294
  Aksa Akrilik Kimya Sanayii AS 100,677 284
  Bizim Toptan Satis Magazalari AS 63,402 266
* Besiktas Futbol Yatirimlari Sanayi ve Ticaret AS 177,773 251
* Koza Anadolu Metal Madencilik Isletmeleri AS 335,866 251
* Vestel Elektronik Sanayi ve Ticaret AS 116,634 248
  AvivaSA Emeklilik ve Hayat AS 36,150 244
  EIS Eczacibasi Ilac ve Sinai ve Finansal Yatirimlar Sanayi ve Ticaret AS 190,605 241
* Pegasus Hava Tasimaciligi AS 54,111 229

 

96

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* NET Holding AS 226,687 226
  Gubre Fabrikalari TAS 134,487 222
  Tat Gida Sanayi AS 118,222 218
* Sekerbank TAS 561,008 212
* Afyon Cimento Sanayi TAS 80,293 206
* Zorlu Enerji Elektrik Uretim AS 340,134 181
  Goltas Goller Bolgesi Cimento Sanayi ve Ticaret A.S. 7,396 174
  Albaraka Turk Katilim Bankasi AS 421,768 169
  Kardemir Karabuk Demir Celik Sanayi ve Ticaret AS Class A 367,602 165
  Anadolu Hayat Emeklilik AS 97,834 156
  Konya Cimento Sanayii AS 1,789 156
* Bagfas Bandirma Gubre Fabrikalari AS 41,841 146
  Brisa Bridgestone Sabanci Sanayi ve Ticaret AS 58,654 132
  EGE Endustri VE Ticaret AS 1,874 128
* Vakif Gayrimenkul Yatirim Ortakligi AS 163,710 127
  Alarko Holding AS 97,496 122
* Anadolu Cam Sanayii AS 167,472 121
  Adana Cimento Sanayii TAS Class A 59,980 121
* Aksigorta AS 178,803 117
* Ipek Dogal Enerji Kaynaklari Arastirma Ve Uretim AS 140,292 102
* Akenerji Elektrik Uretim AS 250,571 78
* Ihlas Holding AS 681,799 75
  Turcas Petrol AS 139,059 69
* Asya Katilim Bankasi AS 975,452
      9,712
United Arab Emirates (0.1%)    
  Amanat Holdings PJSC 2,732,672 651
* Eshraq Properties Co. PJSC 2,629,115 564
* Amlak Finance PJSC 907,005 305
  National Central Cooling Co. PJSC 547,016 267
  RAK Properties PJSC 1,481,443 249
* Drake & Scull International PJSC 1,175,278 145
  Aramex PJSC 63,513 61
      2,242
United Kingdom (11.2%)    
  Spirax-Sarco Engineering plc 115,195 6,211
  Melrose Industries plc 2,982,945 6,156
  RPC Group plc 523,910 6,076
  IG Group Holdings plc 573,775 5,794
  Hiscox Ltd. 448,866 5,605
  UBM plc 617,892 5,425
  BBA Aviation plc 1,650,388 5,219
  Shaftesbury plc 441,128 4,949
* BTG plc 607,650 4,890
  Spectris plc 189,070 4,734
*,^ Tullow Oil plc 1,452,740 4,691
  Indivior plc 1,155,562 4,438
  Greene King plc 491,963 4,401
* Metro Bank plc 125,326 4,239
* Paysafe Group plc 768,183 4,060
  Great Portland Estates plc 550,666 3,996
* GVC Holdings plc 458,166 3,903
  Close Brothers Group plc 239,053 3,879
  Hays plc 2,307,317 3,854
  Playtech plc 337,595 3,829
  Man Group plc 2,475,799 3,774
  Beazley plc 839,169 3,736
  Balfour Beatty plc 1,107,667 3,672
  Phoenix Group Holdings 396,948 3,546
  Jupiter Fund Management plc 672,239 3,544
  Rotork plc 1,391,321 3,471
* Intermediate Capital Group plc 468,368 3,469
  Amec Foster Wheeler plc 626,621 3,419
  Centamin plc 1,760,291 3,409

 

97

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Domino's Pizza Group plc 803,117 3,339
Electrocomponents plc 716,020 3,262
Regus plc 1,068,799 3,252
Berendsen plc 274,861 3,244
SSP Group plc 767,418 3,189
UDG Healthcare plc 398,503 3,185
WH Smith plc 175,471 3,158
B&M European Value Retail SA 1,098,333 3,153
HomeServe plc 420,721 3,141
National Express Group plc 688,989 3,095
AA plc 977,805 3,058
WS Atkins plc 163,666 3,024
* Serco Group plc 1,796,409 3,009
Tritax Big Box REIT plc 1,747,823 2,908
Victrex plc 134,632 2,883
Lancashire Holdings Ltd. 325,778 2,778
Britvic plc 407,864 2,767
Moneysupermarket.com Group plc 858,132 2,748
Greencore Group plc 671,789 2,711
QinetiQ Group plc 948,176 2,670
Essentra plc 428,356 2,670
* Firstgroup plc 1,979,245 2,651
Ultra Electronics Holdings plc 116,189 2,640
Dignity plc 80,101 2,598
Kier Group plc 153,416 2,551
Dechra Pharmaceuticals plc 151,957 2,501
UNITE Group plc 364,015 2,466
^ Ladbrokes plc 1,506,030 2,459
Kennedy Wilson Europe Real Estate plc 195,545 2,427
Drax Group plc 624,912 2,421
* Ocado Group plc 719,846 2,419
AVEVA Group plc 105,533 2,376
Bodycote plc 317,835 2,303
^ Carillion plc 717,763 2,200
* Cairn Energy plc 882,662 2,194
Cineworld Group plc 324,917 2,146
Genus plc 93,349 2,144
JD Sports Fashion plc 113,177 2,104
Bovis Homes Group plc 223,946 2,073
Pagegroup plc 468,236 2,073
Elementis plc 708,095 2,065
* SVG Capital plc 235,454 2,023
Crest Nicholson Holdings plc 406,679 2,021
Grafton Group plc 331,331 2,012
Big Yellow Group plc 237,585 2,010
Diploma plc 173,310 1,986
2 Spire Healthcare Group plc 429,406 1,951
Renishaw plc 60,820 1,917
Galliford Try plc 126,670 1,899
PZ Cussons plc 459,236 1,880
* Thomas Cook Group plc 2,208,871 1,877
Vesuvius plc 416,546 1,859
2 John Laing Group plc 561,381 1,858
* Evraz plc 734,012 1,840
Greggs plc 155,248 1,815
BGEO Group plc 49,982 1,806
Synthomer plc 412,168 1,802
Assura plc 2,499,827 1,801
Fidessa Group plc 58,990 1,774
Paragon Group of Cos. plc 431,536 1,750
NMC Health plc 96,636 1,726
* Vectura Group plc 1,035,248 1,714
Grainger plc 628,334 1,701
Savills plc 198,953 1,688

 

98

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Go-Ahead Group plc 65,292 1,656
  LondonMetric Property plc 895,348 1,634
  Dairy Crest Group plc 215,295 1,607
  Tullett Prebon plc 368,573 1,601
  Stagecoach Group plc 658,125 1,592
  Redrow plc 334,929 1,556
  Hansteen Holdings plc 1,139,165 1,501
  Acacia Mining plc 231,846 1,472
* Petra Diamonds Ltd. 784,031 1,460
  Pets at Home Group plc 558,546 1,459
  Morgan Advanced Materials plc 436,943 1,455
  esure Group plc 433,548 1,441
  Marston's plc 876,332 1,433
  Entertainment One Ltd. 499,661 1,420
  Virgin Money Holdings UK plc 352,023 1,417
  Dunelm Group plc 151,597 1,404
  Restaurant Group plc 305,132 1,400
  Safestore Holdings plc 316,532 1,389
  Mitie Group plc 538,841 1,385
  Workspace Group plc 179,747 1,383
* KAZ Minerals plc 394,213 1,377
  Senior plc 634,916 1,353
2 Zoopla Property Group plc 358,284 1,336
  Telecom Plus plc 91,855 1,330
  Brewin Dolphin Holdings plc 415,663 1,322
  J D Wetherspoon plc 123,366 1,313
  Ted Baker plc 43,053 1,303
2 Hastings Group Holdings plc 477,772 1,278
  SuperGroup plc 77,061 1,268
  Halfords Group plc 304,491 1,266
*,2 Wizz Air Holdings plc 68,434 1,264
  F&C Commercial Property Trust Ltd. 806,945 1,240
  Debenhams plc 1,876,085 1,232
  International Personal Finance plc 342,061 1,232
  Mitchells & Butlers plc 358,743 1,223
^ Hunting plc 192,095 1,181
  SIG plc 869,266 1,176
  Hochschild Mining plc 356,363 1,162
  Vedanta Resources plc 131,628 1,150
  KCOM Group plc 781,910 1,127
  Card Factory plc 354,936 1,103
  De La Rue plc 154,170 1,080
* Imagination Technologies Group plc 381,042 1,054
  Northgate plc 202,897 1,042
2 Sophos Group plc 359,004 1,016
  Lonmin plc 431,420 1,006
  UK Commercial Property Trust Ltd. 1,015,081 969
  Redefine International PLC 1,865,618 947
  NCC Group plc 399,992 929
  Computacenter plc 104,150 926
  Interserve plc 219,973 914
2 McCarthy & Stone plc 444,007 912
  Keller Group plc 108,740 905
  St. Modwen Properties plc 269,750 903
  Polypipe Group plc 291,775 900
* Ophir Energy plc 1,042,563 880
* Enterprise Inns plc 761,133 859
* Allied Minds plc 202,145 839
  Fenner plc 306,896 822
* Chemring Group plc 432,606 768
  Chesnara plc 193,322 753
  Picton Property Income Ltd. 856,568 743
  Laird plc 413,186 732
  888 Holdings plc 269,006 716

 

99

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund        
Schedule of Investments        
October 31, 2016        
 
          Market
          Value
        Shares ($000)
2 Ibstock plc     349,295 712
  Devro plc     256,088 712
  RPS Group plc     329,972 679
  Shanks Group plc     614,741 675
  ITE Group plc     380,426 674
*,2 Countryside Properties plc     235,122 670
  Oxford Instruments plc     80,991 670
* Premier Oil plc     782,860 630
* Phoenix Group Holdings Rights Exp. 11/08/2016     231,552 629
  Xaar plc     121,775 626
  Lookers plc     491,547 620
  Rank Group plc     262,274 620
* Aldermore Group plc     281,481 595
* Premier Foods plc     1,057,504 589
  Soco International plc     332,522 561
* Nostrum Oil & Gas plc     128,526 553
  N Brown Group plc     233,507 545
  Schroder REIT Ltd.     787,758 544
  Foxtons Group plc     400,619 525
  Countrywide plc     234,547 515
  OneSavings Bank plc     144,182 511
* AO World plc     261,157 504
  Daejan Holdings plc     7,393 492
  Helical plc     151,972 492
*,2 Shawbrook Group plc     174,370 480
  Cape plc     178,436 454
* Lamprell plc     401,149 360
2 CMC Markets plc     149,265 347
* Mothercare plc     227,394 298
*,^ Genel Energy plc     262,052 261
* Shanks Group plc Rights     230,527 89
*,^ Afren plc     1,404,272 31
 
          374,333
 
Total Common Stocks (Cost $3,428,705)       3,316,696
 
 
    Coupon      
 
Temporary Cash Investments (8.3%)1        
Money Market Fund (8.1%)        
4,5 Vanguard Market Liquidity Fund 0.718%   2,716,461 271,673
 
 
        Face  
      Maturity Amount  
      Date ($000)  
U.S. Government and Agency Obligations (0.2%)        
6,7 Federal Home Loan Bank Discount Notes 0.381% 12/21/16 1,000 1,000
7 United States Treasury Bill 0.320%-0.341% 12/8/16 1,500 1,500
7 United States Treasury Bill 0.280%-0.300% 12/22/16 4,400 4,398
 
          6,898
 
Total Temporary Cash Investments (Cost $278,546)       278,571
 
Total Investments (107.4%) (Cost $3,707,251)       3,595,267
5Other Assets and Liabilities—Net (-7.4%)       (248,598)
 
Net Assets (100%)       3,346,669

* Non-income-producing security.
^ Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $243,504,000.

100

 

Vanguard® FTSE All-World ex-US Small-Cap Index Fund
Schedule of Investments
October 31, 2016

 

1 The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect to futures
investments, the fund's effective common stock and temporary cash investment positions represent 100.0% and 7.4%, respectively, of net
assets.
2 Security exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in transactions exempt from
registration, normally to qualified institutional buyers. At October 31, 2016, the aggregate value of these securities was $72,621,000,
representing 2.2% of net assets.
3 “Other” represents securities that are not classified by the fund’s benchmark index.
4 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day
yield.
5 Includes a portion of $261,189,000 of collateral received for securities on loan.
6 The issuer operates under a congressional charter; its securities are generally neither guaranteed by the U.S. Treasury nor backed by the full
faith and credit of the U.S. government.
7 Securities with a value of $2,299,000 have been segregated as initial margin for open futures contracts.
NVDR—Non-Voting Depository Receipt.
REIT—Real Estate Investment Trust.
__________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________
__________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________

101

 

© 2016 The Vanguard Group, Inc.
All rights reserved.
Vanguard Marketing Corporation, Distributor.

SNA7700 122016


Vanguard® Emerging Markets Stock Index Fund
Schedule of Investments
October 31, 2016

      Market
      Value
    Shares ($000)
 
Common Stocks (99.0%)1    
Brazil (9.1%)    
  Itau Unibanco Holding SA Preference Shares 27,781,186 334,210
  Ambev SA 52,785,855 311,390
* Petroleo Brasileiro SA 48,210,897 281,532
  Banco Bradesco SA Preference Shares 26,049,295 272,897
* Petroleo Brasileiro SA Preference Shares 47,865,186 265,268
  Itau Unibanco Holding SA ADR 19,605,348 233,892
  BRF SA 10,357,514 173,274
  Itausa - Investimentos Itau SA Preference Shares 58,123,729 171,895
  Banco Bradesco SA ADR 16,330,183 169,997
  Cielo SA 15,729,792 159,663
  BM&FBovespa SA - Bolsa de Valores Mercadorias e Futuros 26,131,648 153,908
  Ultrapar Participacoes SA 5,785,857 131,106
  Banco do Brasil SA 12,959,352 118,916
  Kroton Educacional SA 23,015,988 114,647
* Vale SA Preference Shares 17,251,286 111,496
  Ambev SA ADR 17,441,764 102,906
  Banco Bradesco SA 9,477,394 94,210
  BB Seguridade Participacoes SA 9,111,343 91,741
* Petroleo Brasileiro SA ADR (XNYS) Preference Shares 8,139,235 90,020
* Vale SA 12,445,212 86,087
  Raia Drogasil SA 3,828,627 84,993
  Lojas Renner SA 9,945,312 84,124
  Telefonica Brasil SA Preference Shares 5,718,356 82,730
  CCR SA 13,232,901 71,927
  Lojas Americanas SA Preference Shares 9,947,723 64,511
*,^ Vale SA Class B ADR (XFRA) 9,251,486 64,020
* Vale SA Class B ADR (XNYS) 9,932,315 63,964
  Equatorial Energia SA 3,215,098 57,352
  CETIP SA - Mercados Organizados 3,631,540 51,049
* Petroleo Brasileiro SA ADR (XNYS) 4,172,883 48,698
  Hypermarcas SA 5,739,611 48,118
  WEG SA 8,696,728 47,952
  Engie Brasil Energia SA 3,483,665 44,255
  Klabin SA 8,360,645 43,087
  Embraer SA 7,046,682 37,860
* BR Malls Participacoes SA 9,193,787 36,810
  CPFL Energia SA 4,653,214 35,307
^ Banco Santander Brasil SA ADR 4,224,158 34,554
  M Dias Branco SA 767,126 32,759
  JBS SA 10,366,438 31,534
* Rumo Logistica Operadora Multimodal SA 13,558,895 30,329
  Gerdau SA Preference Shares 8,777,162 30,302
  Itau Unibanco Holding SA 2,879,395 30,075
  Cia de Saneamento Basico do Estado de Sao Paulo ADR 2,796,744 29,422
  Localiza Rent a Car SA 2,347,913 29,150
* Centrais Eletricas Brasileiras SA 3,910,274 29,033
  Cia Brasileira de Distribuicao Grupo Pao de Acucar Preference Shares 1,499,116 28,648
  Cia de Saneamento Basico do Estado de Sao Paulo 2,684,786 28,345
  BTG Pactual Group 5,250,874 26,748
  Multiplan Empreendimentos Imobiliarios SA 1,327,459 26,678
  Fibria Celulose SA 3,322,710 26,586
  Cia Energetica de Minas Gerais Preference Shares 8,572,689 26,185
  Natura Cosmeticos SA 2,629,192 25,254
  Cosan SA Industria e Comercio 1,847,487 24,842
  EDP - Energias do Brasil SA 5,147,139 24,752
  Sul America SA 3,958,256 23,896
  Estacio Participacoes SA 4,113,720 23,855
* Centrais Eletricas Brasileiras SA Preference Shares 2,741,951 23,494
  Qualicorp SA 3,605,764 23,202
  TIM Participacoes SA 7,994,650 22,191
  TOTVS SA 2,312,469 20,980

 

1

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Embraer SA ADR 946,731 20,251
*,^ Cia Siderurgica Nacional SA ADR 5,604,871 18,888
* Cia Siderurgica Nacional SA 5,027,948 16,917
  Suzano Papel e Celulose SA Preference Shares Class A 4,672,796 16,484
  Cyrela Brazil Realty SA Empreendimentos e Participacoes 4,799,198 16,163
  Bradespar SA Preference Shares 3,933,263 15,994
  Cia Paranaense de Energia ADR 1,359,830 15,516
  Cia Brasileira de Distribuicao ADR 810,665 15,443
  Gerdau SA ADR 4,502,009 15,442
  Porto Seguro SA 1,613,551 15,301
  TIM Participacoes SA ADR 1,085,508 15,034
  Cia Energetica de Sao Paulo Preference Shares 3,068,633 14,257
  Fleury SA 1,042,348 13,797
  MRV Engenharia e Participacoes SA 3,471,633 13,443
  Duratex SA 4,966,029 13,411
  AES Tiete Energia SA 2,568,193 13,308
  Odontoprev SA 3,518,554 13,228
  Cia de Transmissao de Energia Eletrica Paulista Preference Shares 607,067 13,172
  Smiles SA 718,080 13,106
  Braskem SA Preference Shares 1,397,378 12,376
* Metalurgica Gerdau SA Preference Shares Class A 7,736,243 11,512
  Multiplus SA 848,161 11,500
  Transmissora Alianca de Energia Eletrica SA 1,768,536 11,497
  Cia Hering 1,813,035 10,996
  CVC Brasil Operadora e Agencia de Viagens SA 1,404,100 10,777
* EcoRodovias Infraestrutura e Logistica SA 3,498,796 10,380
  Sao Martinho SA 515,092 10,258
  Linx SA 1,698,394 10,109
* B2W Cia Digital 1,970,491 9,680
  Banco do Estado do Rio Grande do Sul SA Preference Shares 2,237,600 9,534
  Cia Energetica de Minas Gerais ADR 3,073,101 9,281
^ Braskem SA ADR 519,956 9,229
  Lojas Americanas SA 1,813,042 8,895
^ BRF SA ADR 505,042 8,444
  Cia de Saneamento de Minas Gerais-COPASA 808,517 8,440
* Usinas Siderurgicas de Minas Gerais SA Preference Shares 5,965,088 8,428
* Centrais Eletricas Brasileiras SA ADR 938,782 8,139
  Alupar Investimento SA (BVMF) 1,205,473 7,017
  Valid Solucoes e Servicos de Seguranca em Meios de Pagamento e Identificacao SA 745,412 6,985
* Minerva SA 2,120,114 6,715
* Marcopolo SA Preference Shares 6,573,933 6,714
  Iguatemi Empresa de Shopping Centers SA 668,222 6,312
  Via Varejo SA 2,084,100 5,974
  Alpargatas SA Preference Shares 1,591,981 5,292
  Telefonica Brasil SA ADR 351,924 5,068
  Iochpe Maxion SA 919,117 4,665
  Cia de Gas de Sao Paulo COMGAS Preference Shares Class A 275,321 4,485
  Light SA 783,089 4,305
  Arezzo Industria e Comercio SA 457,884 4,242
  Gafisa SA 5,436,011 4,189
  Aliansce Shopping Centers SA 787,377 4,139
  BR Properties SA 1,459,939 3,929
  Eletropaulo Metropolitana Eletricidade de Sao Paulo SA Preference Shares 1,209,350 3,921
  Guararapes Confeccoes SA 162,220 3,355
* Usinas Siderurgicas de Minas Gerais SA 1,212,176 3,349
  Cia Energetica de Minas Gerais 1,050,595 3,193
* Marfrig Global Foods SA 1,790,568 3,192
  Even Construtora e Incorporadora SA 2,202,300 3,063
* Gol Linhas Aereas Inteligentes SA Preference Shares 1,239,202 3,051
  Cia Paranaense de Energia Preference Shares 263,705 3,020
  CPFL Energia SA ADR 196,944 2,994
  Tupy SA 712,192 2,956
  Banco Santander Brasil SA 326,000 2,686
  Cia Paranaense de Energia 356,887 2,644

 

2

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
2 Ser Educacional SA 375,396 2,431
Mahle-Metal Leve SA 347,373 2,408
Grendene SA 388,237 2,386
* Randon Participacoes SA Preference Shares 1,511,817 2,264
Ez Tec Empreendimentos e Participacoes SA 432,804 2,241
* Magnesita Refratarios SA 312,669 2,220
JSL SA 479,600 1,758
* Eneva SA 346,800 1,581
GAEC Educacao SA 366,826 1,551
SLC Agricola SA 308,615 1,529
Sonae Sierra Brasil SA 250,510 1,506
QGEP Participacoes SA 800,225 1,384
Direcional Engenharia SA 740,543 1,281
* Aliansce Shopping Centers SA Receipts 191,347 1,016
* Santos Brasil Participacoes SA 971,675 919
* Marisa Lojas SA 373,200 906
Cia Energetica do Ceara Preference Shares 50,700 757
Paranapanema SA 968,162 522
* FPC Par Corretora de Seguros SA 94,400 446
* Mills Estruturas e Servicos de Engenharia SA 167,841 262
* Restoque Comercio e Confeccoes de Roupas SA 162,904 199
Itausa - Investimentos Itau SA 51,353 143
* PDG Realty SA Empreendimentos e Participacoes 92,600 84
* Cia de Gas de Sao Paulo - COMGAS 178 3
* Oi SA ADR 1
    5,704,508
Chile (1.4%)    
Empresas COPEC SA 5,997,088 60,261
SACI Falabella 7,584,571 59,555
Cencosud SA 17,808,096 58,054
* Latam Airlines Group SA (XSGO) 5,522,112 52,891
Banco de Chile 430,908,163 51,289
Banco de Credito e Inversiones 833,063 42,818
Empresas CMPC SA 18,510,710 40,098
Aguas Andinas SA Class A 52,060,210 34,325
Banco Santander Chile 550,204,304 30,786
Enersis Americas SA 166,324,784 28,171
Banco Santander Chile ADR 1,224,108 27,971
Cia Cervecerias Unidas SA 2,519,454 27,061
* Empresa Nacional de Telecomunicaciones SA 2,511,049 26,928
Colbun SA 123,009,242 26,799
* Itau CorpBanca 2,765,668,253 25,141
Enersis Americas SA ADR 2,868,463 24,870
Sociedad Quimica y Minera de Chile SA ADR 822,329 24,061
Sociedad Quimica y Minera de Chile SA Preference Shares Class B 663,282 19,675
Empresa Nacional de Electricidad SA 28,174,325 19,435
Empresa Nacional de Electricidad SA ADR 900,055 18,685
Enersis Chile SA 178,592,081 17,881
Embotelladora Andina SA Preference Shares 4,069,203 16,318
AES Gener SA 43,407,111 14,789
Parque Arauco SA 5,730,961 14,212
Endesa Americas SA 29,313,967 13,640
Vina Concha y Toro SA 7,427,152 12,962
Enersis Chile SA ADR 2,529,928 12,574
Endesa Americas SA ADR 834,704 11,995
SONDA SA 4,154,961 8,587
Inversiones Aguas Metropolitanas SA 4,358,815 7,948
Ripley Corp. SA 11,461,932 7,190
CAP SA 819,583 5,721
Engie Energia Chile SA 2,735,106 4,853
* Cia Sud Americana de Vapores SA 159,801,296 3,259
Forus SA 453,372 1,634

 

3

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Inversiones La Construccion SA 122,214 1,494
      853,931
China (27.7%)    
  Tencent Holdings Ltd. 80,402,164 2,130,845
  China Construction Bank Corp. 1,361,995,111 994,593
  China Mobile Ltd. 79,235,456 907,753
  Industrial & Commercial Bank of China Ltd. 1,113,554,240 668,399
  Bank of China Ltd. 1,161,352,650 520,425
  Ping An Insurance Group Co. of China Ltd. 80,050,946 421,350
  CNOOC Ltd. 238,545,705 300,156
  China Petroleum & Chemical Corp. 393,698,659 284,723
  China Life Insurance Co. Ltd. (XHKG) 112,979,287 279,707
  PetroChina Co. Ltd. 312,836,155 214,054
  Agricultural Bank of China Ltd. 434,111,065 182,618
  China Overseas Land & Investment Ltd. 57,620,178 176,888
  China Merchants Bank Co. Ltd. 66,535,600 161,798
  China Pacific Insurance Group Co. Ltd. 43,046,394 155,199
  China Minsheng Banking Corp. Ltd. 110,333,241 125,539
  China Telecom Corp. Ltd. 242,161,271 124,849
  China Shenhua Energy Co. Ltd. 54,170,270 112,307
  PICC Property & Casualty Co. Ltd. 67,580,295 109,082
  CITIC Ltd. 74,223,897 106,509
  Haitong Securities Co. Ltd. 58,392,664 103,312
  China Resources Land Ltd. 41,274,696 102,507
  China Unicom Hong Kong Ltd. 86,542,017 101,602
  Bank of Communications Co. Ltd. 133,638,345 101,575
  Hengan International Group Co. Ltd. 10,981,373 87,244
  CITIC Securities Co. Ltd. 38,640,700 85,457
  Sinopharm Group Co. Ltd. 16,284,700 79,079
  China Communications Construction Co. Ltd. 71,048,276 78,015
  China CITIC Bank Corp. Ltd. 120,554,719 77,750
*,^ BYD Co. Ltd. 11,642,281 76,645
  Geely Automobile Holdings Ltd. 72,797,300 74,905
  CSPC Pharmaceutical Group Ltd. 65,713,757 68,041
  Lenovo Group Ltd. 102,084,109 65,393
  Guangdong Investment Ltd. 43,312,080 65,303
  CRRC Corp. Ltd. 69,624,277 63,040
  New China Life Insurance Co. Ltd. 13,699,119 59,153
  Country Garden Holdings Co. Ltd. 112,577,728 58,424
  Shenzhou International Group Holdings Ltd. 8,647,065 57,275
2 China Galaxy Securities Co. Ltd. 58,479,870 55,520
  China Cinda Asset Management Co. Ltd. 152,160,000 54,664
  Belle International Holdings Ltd. 89,787,316 54,221
* China Resources Beer Holdings Co. Ltd. 25,215,499 53,585
  ENN Energy Holdings Ltd. 11,356,374 53,390
  Fosun International Ltd. 36,195,767 52,414
  Anhui Conch Cement Co. Ltd. 18,890,152 52,211
  China Resources Power Holdings Co. Ltd. 29,989,048 50,812
  Brilliance China Automotive Holdings Ltd. 42,644,700 50,726
  China Everbright International Ltd. 41,962,000 50,163
  China Railway Group Ltd. 64,864,408 50,000
  Great Wall Motor Co. Ltd. 50,863,500 49,640
  China Vanke Co. Ltd. 18,474,741 48,220
  China Merchants Port Holdings Co. Ltd. 18,595,610 48,078
  Dongfeng Motor Group Co. Ltd. 45,270,744 47,185
  Sunny Optical Technology Group Co. Ltd. 9,653,000 47,076
2 CGN Power Co. Ltd. 160,659,878 46,905
  Sino Biopharmaceutical Ltd. 66,598,559 46,549
^ Beijing Enterprises Water Group Ltd. 62,162,000 44,965
* China Taiping Insurance Holdings Co. Ltd. 23,268,820 44,785
^ Fullshare Holdings Ltd. 77,867,500 43,427
  Guangzhou Automobile Group Co. Ltd. 35,020,584 42,291
2 Huatai Securities Co. Ltd. 19,934,823 42,084
2 People's Insurance Co. Group of China Ltd. 105,149,000 41,779

 

4

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  GF Securities Co. Ltd. Class A 16,187,255 41,526
  Beijing Enterprises Holdings Ltd. 8,193,500 40,950
  China Railway Construction Corp. Ltd. 32,296,265 40,371
  China State Construction International Holdings Ltd. 27,442,872 40,035
  ANTA Sports Products Ltd. 13,791,000 39,771
  China Conch Venture Holdings Ltd. 21,262,133 39,692
  China Longyuan Power Group Corp. Ltd. 51,834,660 39,521
*,^ Alibaba Pictures Group Ltd. 199,730,000 39,316
  Zhuzhou CRRC Times Electric Co. Ltd. 7,782,500 37,631
  China Gas Holdings Ltd. 24,612,900 37,464
*,^ China Evergrande Group 56,472,466 37,172
  Huaneng Power International Inc. 59,206,978 36,393
  China Resources Gas Group Ltd. 11,428,100 35,834
  Kunlun Energy Co. Ltd. 46,321,230 34,901
  TravelSky Technology Ltd. 16,238,000 34,645
  Kingboard Chemical Holdings Ltd. 11,602,671 34,298
  Far East Horizon Ltd. 37,334,872 34,005
  China Medical System Holdings Ltd. 21,013,711 32,815
  Haier Electronics Group Co. Ltd. 20,086,000 32,373
  Longfor Properties Co. Ltd. 23,733,580 31,501
  China Oilfield Services Ltd. 31,941,800 30,657
^ Kingsoft Corp. Ltd. 13,082,000 29,326
  Sinopec Shanghai Petrochemical Co. Ltd. 57,364,788 29,242
  Zijin Mining Group Co. Ltd. 91,863,680 29,196
  Shanghai Pharmaceuticals Holding Co. Ltd. 11,201,353 28,825
  Shenzhen International Holdings Ltd. 18,621,500 28,756
  Chongqing Rural Commercial Bank Co. Ltd. 47,523,461 28,441
  China Everbright Ltd. 14,376,010 28,113
*,^,2 China Huarong Asset Management Co. Ltd. 73,402,000 28,061
  Shimao Property Holdings Ltd. 21,012,457 28,028
* Shanghai Pudong Development Bank Co. Ltd. Class A (XSSC) 11,324,593 27,169
  Jiangsu Expressway Co. Ltd. 19,910,139 27,070
  Zhejiang Expressway Co. Ltd. 25,006,704 26,181
  Beijing Capital International Airport Co. Ltd. 24,969,081 26,132
  COSCO SHIPPING Ports Ltd. 26,155,788 25,931
  GCL-Poly Energy Holdings Ltd. 191,897,800 25,865
  Kweichow Moutai Co. Ltd. Class A (XSSC) 544,732 25,552
  China Communications Services Corp. Ltd. 42,991,973 25,509
  AviChina Industry & Technology Co. Ltd. 37,443,000 25,410
^ China Huishan Dairy Holdings Co. Ltd. 68,212,365 25,319
  China Everbright Bank Co. Ltd. 54,675,472 24,928
  Shanghai Industrial Holdings Ltd. 7,914,445 24,196
  Shanghai Lujiazui Finance & Trade Zone Development Co. Ltd. Class B 15,393,342 23,964
  GOME Electrical Appliances Holding Ltd. 187,831,805 23,670
^ Yanzhou Coal Mining Co. Ltd. 31,809,320 23,558
*,^ Aluminum Corp. of China Ltd. 63,391,220 23,545
  Guangzhou R&F Properties Co. Ltd. 16,630,500 23,438
  Jiangxi Copper Co. Ltd. 19,632,898 23,176
  Weichai Power Co. Ltd. 15,117,640 22,806
* Alibaba Health Information Technology Ltd. 42,792,000 22,359
* Shanghai Electric Group Co. Ltd. 48,287,756 22,295
^ China National Building Material Co. Ltd. 48,666,960 22,208
  Huatai Securities Co. Ltd. Class A (XSSC) 7,308,797 22,116
* Industrial Bank Co. Ltd. Class A (XSSC) 9,163,869 22,053
2 BAIC Motor Corp. Ltd. 20,935,200 21,954
  Huaneng Renewables Corp. Ltd. 64,942,000 21,761
  Sino-Ocean Group Holding Ltd. 52,166,802 21,667
  Chongqing Changan Automobile Co. Ltd. Class B 14,142,062 21,563
  Shenzhen Investment Ltd. 49,431,015 21,545
  Nine Dragons Paper Holdings Ltd. 26,300,000 21,382
*,^ China Coal Energy Co. Ltd. 37,583,800 21,277
  Sunac China Holdings Ltd. 30,434,406 20,771
  Haitian International Holdings Ltd. 9,704,000 20,004
2 Shengjing Bank Co. Ltd. 20,260,154 19,830

 

5

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Shandong Weigao Group Medical Polymer Co. Ltd. 30,441,800 19,819
  China Jinmao Holdings Group Ltd. 71,106,094 19,607
  Shanghai Fosun Pharmaceutical Group Co. Ltd. 6,230,500 19,132
  Air China Ltd. 29,018,748 19,066
  Skyworth Digital Holdings Ltd. 28,754,000 18,560
  Tsingtao Brewery Co. Ltd. 4,620,000 18,431
2 Sinopec Engineering Group Co. Ltd. 20,204,772 17,838
  Lee & Man Paper Manufacturing Ltd. 23,365,000 17,556
  China Southern Airlines Co. Ltd. 31,218,000 17,519
  Inner Mongolia Yitai Coal Co. Ltd. Class B 17,723,998 17,486
  Midea Group Co. Ltd. Class A 4,332,991 17,352
* Li Ning Co. Ltd. 23,812,791 16,976
  China Power International Development Ltd. 46,674,469 16,973
^,2 China Railway Signal & Communication Corp. Ltd. 20,740,400 16,817
  Kingboard Laminates Holdings Ltd. 18,187,500 16,298
  Yuexiu Property Co. Ltd. 110,145,732 16,137
  ZTE Corp. 11,624,592 15,972
^ China Hongqiao Group Ltd. 17,545,756 15,679
^ Intime Retail Group Co. Ltd. 19,820,000 15,520
  Metallurgical Corp. of China Ltd. 47,542,937 15,459
^ Luye Pharma Group Ltd. 22,491,500 15,118
^ China Traditional Chinese Medicine Holding Co. Ltd. 29,027,013 14,832
*,^ China COSCO Holdings Co. Ltd. 43,008,000 14,819
  China High Speed Transmission Equipment Group Co. Ltd. 14,294,000 14,816
^ Zhaojin Mining Industry Co. Ltd. 14,374,000 14,757
  SOHO China Ltd. 28,578,006 14,736
  Sinotrans Ltd. 30,905,000 14,553
  Agile Group Holdings Ltd. 25,942,887 14,381
^ China Molybdenum Co. Ltd. 64,031,000 14,203
  Kweichow Moutai Co. Ltd. Class A (XSHG) 302,648 14,196
* China Agri-Industries Holdings Ltd. 35,587,961 13,908
  Sihuan Pharmaceutical Holdings Group Ltd. 56,913,000 13,633
  China Resources Cement Holdings Ltd. 33,444,686 13,505
^ Huishang Bank Corp. Ltd. 28,076,380 13,483
*,^,2 3SBio Inc. 13,452,500 13,425
  BBMG Corp. 36,463,000 13,309
*,^ China Shipping Container Lines Co. Ltd. 62,944,618 13,199
  Fuyao Glass Industry Group Co. Ltd. Class A (XSHG) 5,002,032 13,103
  Hangzhou Hikvision Digital Technology Co. Ltd. Class A 3,602,047 13,036
^ Golden Eagle Retail Group Ltd. 9,355,000 12,999
  Ping An Bank Co. Ltd. Class A 9,608,503 12,969
* China Construction Bank Corp. Class A 16,697,218 12,956
  Tong Ren Tang Technologies Co. Ltd. 7,098,000 12,945
  Datang International Power Generation Co. Ltd. 46,996,568 12,661
  China Merchants Shekou Industrial Zone Holdings Co. Ltd. Class A 5,050,130 12,628
^,2 Dali Foods Group Co. Ltd. 23,901,000 12,438
  GF Securities Co. Ltd. 5,527,600 12,281
*,^ CAR Inc. 11,955,532 12,127
*,^,2 Cogobuy Group 7,772,000 12,105
  Shenzhen Expressway Co. Ltd. 12,078,000 12,104
  SAIC Motor Corp. Ltd. Class A (XSSC) 3,454,480 12,072
^ Phoenix Healthcare Group Co. Ltd. 7,478,000 11,883
  KWG Property Holding Ltd. 20,536,500 11,883
^ China Reinsurance Group Corp. 49,853,000 11,866
  Wuliangye Yibin Co. Ltd. Class A 2,236,198 11,541
  Shenwan Hongyuan Group Co. Ltd. Class A 12,122,481 11,530
^ China Eastern Airlines Corp. Ltd. 25,606,000 11,497
2 Legend Holdings Corp. 4,600,200 11,454
^ China Zhongwang Holdings Ltd. 24,557,686 11,337
  China State Construction Engineering Corp. Ltd. Class A (XSSC) 10,651,095 11,275
  Guangshen Railway Co. Ltd. 20,420,000 11,271
^ Huadian Power International Corp. Ltd. 26,172,000 11,217
*,2 China International Capital Corp. Ltd. 7,592,800 11,142
  CSG Holding Co. Ltd. Class B 13,280,792 11,070

 

6

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
^ China Shipping Development Co. Ltd. 19,976,021 11,021
  Beijing Jingneng Clean Energy Co. Ltd. 35,672,000 10,819
  Zhongsheng Group Holdings Ltd. 10,797,000 10,780
*,^ Greentown China Holdings Ltd. 13,019,500 10,614
  Lao Feng Xiang Co. Ltd. Class B 3,104,906 10,583
  Yantai Changyu Pioneer Wine Co. Ltd. Class B 3,788,487 10,427
  Hopson Development Holdings Ltd. 11,428,000 10,303
^ Xinjiang Goldwind Science & Technology Co. Ltd. 7,395,200 10,195
  CIFI Holdings Group Co. Ltd. 34,546,000 10,163
  Huadian Fuxin Energy Corp. Ltd. 43,759,852 10,133
  Ping An Insurance Group Co. of China Ltd. Class A 1,979,552 10,103
  Dazhong Transportation Group Co. Ltd. Class B 14,421,708 10,075
^ China International Marine Containers Group Co. Ltd. 8,391,598 9,985
^ Digital China Holdings Ltd. 11,836,000 9,899
*,^ Kingdee International Software Group Co. Ltd. 24,448,000 9,897
*,^ Poly Property Group Co. Ltd. 31,297,900 9,896
  China Dongxiang Group Co. Ltd. 50,046,000 9,730
  Agricultural Bank of China Ltd. Class A (XSHG) 20,559,300 9,587
  Qingdao Haier Co. Ltd. Class A (XSSC) 6,433,725 9,476
*,^ Chinasoft International Ltd. 20,172,000 9,473
*,^ Angang Steel Co. Ltd. 18,440,374 9,443
^ NetDragon Websoft Holdings Ltd. 2,915,000 9,408
  China Lesso Group Holdings Ltd. 12,135,000 8,883
  Tianneng Power International Ltd. 9,746,000 8,798
  China National Accord Medicines Corp. Ltd. Class B 1,404,917 8,780
  Fuyao Glass Industry Group Co. Ltd. Class A (XSSC) 3,328,294 8,719
  Bank of Beijing Co. Ltd. Class A (XSSC) 6,301,988 8,664
*,2 Tianhe Chemicals Group Ltd. 57,304,542 8,645
  BYD Electronic International Co. Ltd. 10,835,000 8,525
  Anhui Gujing Distillery Co. Ltd. Class B 2,189,234 8,499
^ China South City Holdings Ltd. 37,678,000 8,337
* Xinhua Winshare Publishing and Media Co. Ltd. 8,150,000 8,307
^,2 Red Star Macalline Group Corp. Ltd. 7,701,559 8,288
* Industrial & Commercial Bank of China Ltd. Class A 12,670,959 8,285
  Shanghai Pudong Development Bank Co. Ltd. Class A (XSHG) 3,426,289 8,220
* PetroChina Co. Ltd. Class A 7,591,886 8,215
^ Zoomlion Heavy Industry Science and Technology Co. Ltd. 22,315,379 8,121
  Shanghai Mechanical and Electrical Industry Co. Ltd. Class B 3,735,157 8,035
  China Everbright Bank Co. Ltd. Class A (XSSC) 14,222,403 7,992
  Greatview Aseptic Packaging Co. Ltd. 15,559,000 7,899
* Coolpad Group Ltd. 45,408,600 7,894
* Bank of China Ltd. Class A 15,736,100 7,871
  BOE Technology Group Co. Ltd. Class B 28,724,022 7,814
  Guangdong Electric Power Development Co. Ltd. Class B 17,484,844 7,793
* Guangzhou Baiyunshan Pharmaceutical Holdings Co. Ltd. 3,277,000 7,741
  Shandong Chenming Paper Holdings Ltd. Class B 8,608,238 7,694
  China Minsheng Banking Corp. Ltd. Class A (XSSC) 5,660,888 7,683
  Jiangsu Yanghe Brewery Joint-Stock Co. Ltd. Class A 736,671 7,574
  Industrial Bank Co. Ltd. Class A (XSHG) 3,135,301 7,545
  Suning Commerce Group Co. Ltd. Class A 4,557,400 7,526
  Shanghai Jinqiao Export Processing Zone Development Co. Ltd. Class B 4,934,243 7,488
  Shanghai Baosight Software Co. Ltd. Class B 4,312,026 7,472
  Anhui Expressway Co. Ltd. 9,264,000 7,464
  China Merchants Bank Co. Ltd. Class A (XSSC) 2,827,339 7,449
2 Universal Medical Financial & Technical Advisory Services Co. Ltd. 8,497,000 7,309
* Shanghai Zhenhua Heavy Industries Co. Ltd. Class B 14,703,579 7,274
  Shanghai Haixin Group Co. Class B 8,385,119 7,229
  Henan Shuanghui Investment & Development Co. Ltd. Class A 2,115,976 7,151
*,^ Renhe Commercial Holdings Co. Ltd. 273,342,999 7,077
  Wuxi Little Swan Co. Ltd. Class A 1,428,951 7,043
  Shanghai Jinjiang International Hotels Development Co. Ltd. Class B 3,292,550 7,022
  Sinotruk Hong Kong Ltd. 12,719,500 7,022
  Guotai Junan Securities Co. Ltd. Class A (XSHG) 2,647,600 6,962
  Bank of Ningbo Co. Ltd. Class A 2,762,900 6,841

 

7

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Dongxu Optoelectronic Technology Co. Ltd. Class A 3,465,608 6,835
  Shandong Airlines Co. Ltd. Class B 2,960,917 6,816
  China Water Affairs Group Ltd. 9,288,000 6,739
  Weifu High-Technology Group Co. Ltd. Class B 2,844,219 6,725
  China BlueChemical Ltd. 34,769,405 6,721
*,^ Sinopec Oilfield Service Corp. 32,380,000 6,712
* Wanda Cinema Line Co. Ltd. Class A 674,673 6,619
  Guosen Securities Co. Ltd. Class A 2,592,241 6,548
  China State Construction Engineering Corp. Ltd. Class A (XSHG) 6,181,400 6,543
  Shanghai Jinjiang International Travel Co. Ltd. Class B 1,759,090 6,504
  China Merchants Securities Co. Ltd. Class A (XSSC) 2,453,174 6,492
* Orient Securities Co. Ltd. Class A (XSSC) 2,751,610 6,476
^ CSSC Offshore and Marine Engineering Group Co. Ltd. 4,292,000 6,470
^ CT Environmental Group Ltd. 22,870,000 6,416
  SAIC Motor Corp. Ltd. Class A (XSHG) 1,835,265 6,414
^ Chaowei Power Holdings Ltd. 7,120,000 6,357
*,^ Biostime International Holdings Ltd. 2,584,500 6,341
^ Sinopec Kantons Holdings Ltd. 13,467,000 6,314
  Tibet Water Resources Ltd. 16,970,000 6,311
  Huaxia Bank Co. Ltd. Class A (XSSC) 4,090,414 6,281
  Inner Mongolia Eerduosi Resourses Co. Ltd. Class B 6,099,550 6,276
*,^ Maanshan Iron & Steel Co. Ltd. 27,358,000 6,233
  Central China Securities Co. Ltd. 12,067,000 6,225
  Poly Real Estate Group Co. Ltd. Class A (XSSC) 4,589,224 6,211
^ Yuexiu Transport Infrastructure Ltd. 9,020,000 6,177
  Powerlong Real Estate Holdings Ltd. 17,955,000 6,094
* Shanghai Chlor-Alkali Chemical Co. Ltd. Class B 7,859,532 6,078
^ Harbin Electric Co. Ltd. 12,396,000 6,040
  Dongjiang Environmental Co. Ltd. Class A 2,163,866 6,039
  Shanghai Waigaoqiao Free Trade Zone Group Co. Ltd. Class B 3,627,486 6,023
*,^ China Modern Dairy Holdings Ltd. 27,387,000 5,957
* China Petroleum & Chemical Corp. Class A 8,034,099 5,931
  Sichuan Expressway Co. Ltd. 14,702,000 5,904
^ China Maple Leaf Educational Systems Ltd. 8,214,000 5,758
^,2 Fu Shou Yuan International Group Ltd. 9,816,000 5,750
  China Foods Ltd. 12,991,506 5,742
  Western Securities Co. Ltd. Class A 1,603,850 5,730
^ Dalian Port PDA Co. Ltd. 31,974,000 5,716
*,^ CITIC Resources Holdings Ltd. 45,704,000 5,703
  China Machinery Engineering Corp. 9,487,639 5,661
  Texhong Textile Group Ltd. 4,018,500 5,648
  Hisense Kelon Electrical Holdings Co. Ltd. Class A 3,357,441 5,637
  Shenzhen Overseas Chinese Town Co. Ltd. Class A 5,511,821 5,633
^ Yuzhou Properties Co. Ltd. 15,128,000 5,614
  Apeloa Pharmaceutical Co. Ltd. Class A 4,826,421 5,560
  Yunnan Baiyao Group Co. Ltd. Class A 540,786 5,529
*,^ Hybrid Kinetic Group Ltd. 190,728,000 5,520
  China Merchants Bank Co. Ltd. Class A (XSHG) 2,082,000 5,485
*,^ Hanergy Thin Film Power Group Ltd. 206,154,000 5,481
  Shanghai RAAS Blood Products Co. Ltd. Class A 1,704,421 5,464
  Jiangsu Hengrui Medicine Co. Ltd. Class A (XSSC) 801,852 5,463
^ Fufeng Group Ltd. 12,912,000 5,448
*,^ Lifetech Scientific Corp. 22,818,000 5,400
  Zhejiang Wanfeng Auto Wheel Co. Ltd. Class A 1,678,472 5,381
  CRRC Corp. Ltd. Class A (XSHG) 3,879,500 5,335
* Kama Co. Ltd. Class B 5,203,252 5,311
  China National Nuclear Power Co. Ltd. Class A 5,319,107 5,302
^ PAX Global Technology Ltd. 8,467,000 5,286
  Bank of Communications Co. Ltd. Class A (XSSC) 6,304,333 5,227
  Grandblue Environment Co. Ltd. Class A (XSSC) 2,267,860 5,220
  Cinda Real Estate Co. Ltd. Class A (XSSC) 4,878,719 5,214
  Sunvim Group Co. Ltd. Class A 4,960,700 5,098
  AVIC Aircraft Co. Ltd. Class A 1,540,402 5,072
*,^ Carnival Group International Holdings Ltd. 42,740,000 5,072

 

8

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Xiandai Investment Co. Ltd. Class A 4,139,975 5,062
  Beijing Capital Land Ltd. 13,090,000 5,021
*,^ Leyou Technologies Holdings Ltd. 27,770,000 4,997
  Wuxi Little Swan Co. Ltd. Class B 1,438,837 4,975
  Jiangling Motors Corp. Ltd. Class B 1,965,170 4,958
2 Hua Hong Semiconductor Ltd. 4,177,000 4,935
  Xtep International Holdings Ltd. 11,197,500 4,928
  CRRC Corp. Ltd. Class A (XSSC) 3,574,774 4,916
  Guangdong No 2 Hydropower Engineering Co. Ltd. Class A 4,145,470 4,912
  China Fangda Group Co. Ltd. Class B 5,297,655 4,892
  Bank of Beijing Co. Ltd. Class A (XSHG) 3,537,840 4,864
  Beijing Capital Retailing Group Co. Ltd. Class A 3,481,950 4,858
  Beijing North Star Co. Ltd. 14,440,000 4,854
  Xingda International Holdings Ltd. 11,681,000 4,851
  Sichuan Road & Bridge Co. Ltd. Class A (XSSC) 7,497,160 4,843
^ Logan Property Holdings Co. Ltd. 12,073,368 4,841
* Shanghai Bailian Group Co. Ltd. Class B 3,653,716 4,834
*,2 Qingdao Port International Co. Ltd. 7,881,000 4,797
  China Railway Group Ltd. Class A (XSSC) 3,857,814 4,783
* China Shipbuilding Industry Co. Ltd. Class A (XSSC) 4,957,752 4,767
  China Fortune Land Development Co. Ltd. Class A (XSSC) 1,160,482 4,756
*,2 Tian Ge Interactive Holdings Ltd. 7,039,000 4,737
  Heilan Home Co. Ltd. Class A (XSSC) 2,877,579 4,668
  Shanghai Huayi Group Corp. Ltd. Class B 4,398,334 4,664
*,^ Munsun Capital Group Ltd. 143,968,000 4,647
  Peak Sport Products Co. Ltd. 13,895,000 4,627
  Shanghai Shimao Co. Ltd. Class A (XSSC) 4,153,869 4,614
  China Minsheng Banking Corp. Ltd. Class A (XSHG) 3,389,600 4,601
  Livzon Pharmaceutical Group Inc. Class A 535,676 4,584
  China National Materials Co. Ltd. 20,269,000 4,562
  Lonking Holdings Ltd. 27,887,000 4,559
  Foshan Electrical and Lighting Co. Ltd. Class B 5,622,601 4,541
^ CIMC Enric Holdings Ltd. 10,865,713 4,540
^ Dongfang Electric Corp. Ltd. 5,844,830 4,520
  Bosideng International Holdings Ltd. 50,076,000 4,512
^ China Overseas Property Holdings Ltd. 22,090,092 4,479
  China SCE Property Holdings Ltd. 14,610,000 4,463
^ Vinda International Holdings Ltd. 2,246,000 4,443
  Huayu Automotive Systems Co. Ltd. Class A (XSSC) 1,819,716 4,434
  Changjiang Securities Co. Ltd. Class A 2,745,424 4,427
  Agricultural Bank of China Ltd. Class A (XSSC) 9,440,500 4,402
* Hangzhou Steam Turbine Co. Ltd. Class B 3,720,204 4,378
  China International Travel Service Corp. Ltd. Class A 658,141 4,378
  Guangdong Provincial Expressway Development Co. Ltd. Class B 6,541,331 4,376
  Zhongshan Public Utilities Group Co. Ltd. Class A 2,683,836 4,370
* Shenma Industry Co. Ltd. Class A 3,104,604 4,344
  Inner Mongolia Yili Industrial Group Co. Ltd. Class A (XSSC) 1,636,038 4,341
^ Sinofert Holdings Ltd. 32,824,000 4,307
  Hubei Yihua Chemical Industry Co. Ltd. Class A 4,096,856 4,303
* China Film Co. Ltd. Class A 1,041,800 4,264
* Sichuan Shuangma Cement Co. Ltd. Class A 900,476 4,250
  Sunshine City Group Co. Ltd. Class A 4,762,383 4,244
  Oceanwide Holdings Co. Ltd. Class A 2,790,994 4,231
* Tengda Construction Group Co. Ltd. Class A 5,529,299 4,220
  Jiangxi Wannianqing Cement Co. Ltd. Class A 4,000,916 4,218
* Beijing Xinwei Technology Group Co. Ltd. Class A 1,627,766 4,205
^ SSY Group Ltd. 12,448,000 4,200
  Kangmei Pharmaceutical Co. Ltd. Class A (XSSC) 1,676,970 4,200
  Bank of Communications Co. Ltd. Class A (XSHG) 5,057,900 4,194
  Jiangsu Lianfa Textile Co. Ltd. Class A 1,568,252 4,188
  Shenzhen Chiwan Wharf Holdings Ltd. Class B 2,617,518 4,182
  Luzhou Laojiao Co. Ltd. Class A 820,599 4,164
  CITIC Guoan Information Industry Co. Ltd. Class A 2,563,300 4,162
  China United Network Communications Ltd. Class A (XSSC) 5,497,924 4,160

 

9

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* Searainbow Holding Corp. Class A 567,316 4,153
  Shanghai Diesel Engine Co. Ltd. Class B 5,079,470 4,139
* YunNan Metropolitan Real Estate Development Co. Ltd. Class A (XSSC) 4,725,698 4,133
  Dongguan Development Holdings Co. Ltd. Class A 2,560,501 4,113
* China Overseas Grand Oceans Group Ltd. 11,191,000 4,109
  Tonghua Dongbao Pharmaceutical Co. Ltd. Class A (XSSC) 1,169,201 4,076
  Tianjin Teda Co. Ltd. Class A 4,743,100 4,062
^ Livzon Pharmaceutical Group Inc. 695,760 4,052
  China Railway Group Ltd. Class A (XSHG) 3,248,829 4,028
* Guotai Junan Securities Co. Ltd. Class A (XSSC) 1,530,554 4,027
  Shenzhen Salubris Pharmaceuticals Co. Ltd. Class A 903,553 4,025
  Jiangsu Hengrui Medicine Co. Ltd. Class A (XSHG) 588,962 4,012
  Huangshan Tourism Development Co. Ltd. Class B 2,926,303 4,005
  Shandong Himile Mechanical Science & Technology Co. Ltd. Class A 1,322,857 3,994
* Zhongbai Holdings Group Co. Ltd. Class A 3,293,016 3,990
*,^ O-Net Technologies Group Ltd. 7,311,000 3,980
  Sichuan Hejia Co. Class A 1,721,088 3,968
  Dah Chong Hong Holdings Ltd. 9,481,000 3,965
  Shanghai Fosun Pharmaceutical Group Co. Ltd. Class A (XSSC) 1,129,302 3,958
  Huaxia Bank Co. Ltd. Class A (XSHG) 2,573,576 3,952
* Huadian Energy Co. Ltd. Class B 7,910,644 3,946
  Chongqing Changan Automobile Co. Ltd. Class A 1,695,900 3,918
*,2 Haichang Ocean Park Holdings Ltd. 18,430,000 3,912
  Industrial Securities Co. Ltd. Class A (XSSC) 3,352,265 3,896
  China Resources Sanjiu Medical & Pharmaceutical Co. Ltd. Class A 974,679 3,866
  Huadong Medicine Co. Ltd. Class A 355,618 3,863
  Baoshan Iron & Steel Co. Ltd. Class A (XSSC) 4,663,265 3,855
  China Grand Automotive Services Co. Ltd. Class A (XSSC) 2,938,659 3,831
  GoerTek Inc. Class A 845,003 3,830
* Glorious Property Holdings Ltd. 31,949,000 3,827
  Bank of Nanjing Co. Ltd. Class A (XSSC) 2,466,120 3,816
  Shanghai Xujiahui Commercial Co. Ltd. Class A 1,918,877 3,798
* Shang Gong Group Co. Ltd. Class B 3,678,113 3,791
  China ZhengTong Auto Services Holdings Ltd. 11,770,000 3,771
  China Everbright Bank Co. Ltd. Class A (XSHG) 6,695,800 3,762
^ Sinosoft Technology Group Ltd. 8,626,800 3,761
  Shenzhen Centralcon Investment Holding Co. Ltd. Class A 1,260,744 3,754
  Thaihot Group Co. Ltd. Class A 1,330,114 3,702
  Kangde Xin Composite Material Group Co. Ltd. Class A 1,423,941 3,699
  Southwest Securities Co. Ltd. Class A (XSSC) 3,433,481 3,696
* Beijing Centergate Technologies Holding Co. Ltd. Class A 2,953,440 3,691
* China Shipbuilding Industry Co. Ltd. Class A (XSHG) 3,837,900 3,690
  Shandong Chenming Paper Holdings Ltd. 4,275,000 3,686
* China Oil & Gas Group Ltd. 48,560,000 3,685
  Shanghai Yimin Commerce Group Co. Ltd. Class A (XSSC) 3,750,104 3,675
  Huayuan Property Co. Ltd. Class A (XSSC) 5,225,205 3,662
  Shenzhen O-film Tech Co. Ltd. Class A 635,730 3,658
  Daqin Railway Co. Ltd. Class A (XSHG) 3,643,120 3,643
  Guoyuan Securities Co. Ltd. Class A 1,102,850 3,640
  Shandong Gold Mining Co. Ltd. Class A (XSSC) 593,550 3,636
  Weiqiao Textile Co. 5,400,000 3,627
  Avic Capital Co. Ltd. Class A (XSSC) 3,716,868 3,622
*,^ Enerchina Holdings Ltd. 52,059,000 3,613
  Sichuan Xichang Electric Power Co. Ltd. Class A 2,178,399 3,607
  BeijingHualian Hypermarket Co. Ltd. Class A 3,660,845 3,600
  Sichuan Kelun Pharmaceutical Co. Ltd. Class A 1,412,112 3,563
  Tianma Bearing Group Co. Ltd. Class A 2,146,115 3,561
  Inner Mongolia Yili Industrial Group Co. Ltd. Class A (XSHG) 1,340,562 3,557
  Tsingtao Brewery Co. Ltd. Class A (XSHG) 773,551 3,554
  CITIC Securities Co. Ltd. Class A (XSSC) 1,449,600 3,550
* Lushang Property Co. Ltd. Class A 4,115,979 3,540
^ Wasion Group Holdings Ltd. 6,022,000 3,539
  Tianjin Capital Environmental Protection Group Co. Ltd. 6,332,000 3,534
  COSCO International Holdings Ltd. 7,598,000 3,524

 

10

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  RiseSun Real Estate Development Co. Ltd. Class A 2,871,785 3,477
  361 Degrees International Ltd. 9,241,000 3,469
  Xinxiang Chemical Fiber Co. Ltd. Class A 4,549,049 3,461
  Hua Han Health Industry Holdings Ltd. 50,548,000 3,454
  Luxshare Precision Industry Co. Ltd. Class A 1,043,337 3,450
  Beijing Orient Landscape & Ecology Co. Ltd. Class A 1,539,482 3,433
* Tatwah Smartech Co. Ltd. Class A 1,303,958 3,408
  Jiangxi Ganyue Expressway Co. Ltd. Class A (XSSC) 4,762,342 3,407
  Zhejiang Dahua Technology Co. Ltd. Class A 1,574,692 3,397
  Bank of Chongqing Co. Ltd. 4,220,500 3,387
  Shandong Nanshan Aluminum Co. Ltd. Class A 7,338,395 3,381
  Poly Culture Group Corp. Ltd. 1,250,300 3,374
  Suofeiya Home Collection Co. Ltd. Class A 386,989 3,343
  Offshore Oil Engineering Co. Ltd. Class A (XSSC) 3,187,570 3,340
  China United Network Communications Ltd. Class A (XSHG) 4,397,800 3,328
  Concord New Energy Group Ltd. 66,400,000 3,324
*,^ Hi Sun Technology China Ltd. 21,360,000 3,324
  Daqin Railway Co. Ltd. Class A (XSSC) 3,323,570 3,324
  Shenzhen Heungkong Holding Co. Ltd. Class A (XSSC) 5,179,468 3,316
  Gree Electric Appliances Inc. of Zhuhai Class A 1,002,286 3,316
  Anxin Trust Co. Ltd. Class A (XSSC) 976,954 3,313
  Fujian Expressway Development Co. Ltd. Class A (XSSC) 6,600,310 3,310
  Emei Shan Tourism Co. Class A 1,722,471 3,277
  Huabei Expressway Co. Ltd. Class A 4,407,564 3,261
  Shanghai Industrial Urban Development Group Ltd. 12,856,000 3,257
  Beijing Yanjing Brewery Co. Ltd. Class A 2,895,858 3,256
  Huaneng Power International Inc. Class A (XSSC) 3,017,592 3,182
  Shanxi Securities Co. Ltd. Class A 1,558,546 3,177
  Dalian Zeus Entertainment Group Co. Ltd. Class A 286,989 3,164
  Shanghai Oriental Pearl Media Co. Ltd. Class A (XSSC) 896,354 3,161
  Hangzhou Robam Appliances Co. Ltd. Class A 562,926 3,145
  Xi'An Shaangu Power Co. Ltd. Class A (XSSC) 3,002,084 3,130
  China Shineway Pharmaceutical Group Ltd. 3,042,000 3,126
*,^ China Yurun Food Group Ltd. 19,588,149 3,123
* China Life Insurance Co. Ltd. Class A 963,800 3,102
* Shanxi Zhangze Electric Power Co. Ltd. Class A 5,356,146 3,097
  Everbright Securities Co. Ltd. Class A (XSSC) 1,242,228 3,090
* Bank of Jiangsu Co. Ltd. Class A 2,012,300 3,088
  Iflytek Co. Ltd. Class A 696,506 3,081
  Northeast Securities Co. Ltd. Class A 1,604,558 3,081
  Jointo Energy Investment Co. Ltd. Hebei Class A 2,249,244 3,073
  CPMC Holdings Ltd. 5,867,000 3,072
  Luthai Textile Co. Ltd. Class B 2,415,793 3,064
  Tsingtao Brewery Co. Ltd. Class A (XSSC) 666,846 3,064
  Joeone Co. Ltd. Class A 1,211,177 3,052
  C C Land Holdings Ltd. 11,479,000 3,049
  Hunan Jingfeng Pharmaceutical Co. Ltd. Class A 1,759,953 3,046
  Luthai Textile Co. Ltd. Class A 1,702,491 3,042
  North China Pharmaceutical Co. Ltd. Class A 3,101,060 3,037
  Central China Land Media Co. Ltd. Class A 1,857,207 3,034
  Gemdale Corp. Class A (XSSC) 1,699,085 3,025
*,^ Chiho-Tiande Group Ltd. 3,916,000 3,011
* Zhejiang Shenghua Biok Biology Co. Ltd. Class A 1,874,600 2,999
  Tibet Rhodiola Pharmaceutical Holding Co. Class A 400,469 2,998
  Beijing North Star Co. Ltd. Class A (XSSC) 4,758,231 2,991
^,2 Cosmo Lady China Holdings Co. Ltd. 7,308,000 2,984
  China Quanjude Group Co. Ltd. Class A 952,758 2,982
  Shandong Pharmaceutical Glass Co. Ltd. Class A 984,990 2,980
* Tieling Newcity Investment Holding Ltd. Class A 4,028,153 2,978
^ China Singyes Solar Technologies Holdings Ltd. 6,252,000 2,977
  Shanghai Pudong Road & Bridge Construction Co. Ltd. Class A (XSSC) 1,799,036 2,958
* Shanghai SMI Holding Co. Ltd. Class A (XSSC) 1,097,383 2,950
* Shanghai Greencourt Investment Group Co. Ltd. Class B 4,733,900 2,946
  China XD Electric Co. Ltd. Class A (XSSC) 3,641,107 2,944

 

11

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Guangdong Electric Power Development Co. Ltd. Class A 3,812,800 2,940
  China Vanke Co. Ltd. Class A 794,700 2,939
  Guangzhou Grandbuy Co. Ltd. Class A 1,453,667 2,933
* Landing International Development Ltd. 121,540,000 2,921
  Jiangsu Zhongnan Construction Group Co. Ltd. Class A 2,118,077 2,910
  Gansu Qilianshan Cement Group Co. Ltd. Class A (XSSC) 2,625,050 2,901
  Shandong Huatai Paper Co. Ltd. Class A 3,886,792 2,899
  Jiangsu Lianyungang Port Co. Ltd. Class A 3,957,225 2,898
  Anhui Shanying Paper Industry Co. Ltd. Class A (XSSC) 6,235,561 2,897
  Beijing Dabeinong Technology Group Co. Ltd. Class A 2,655,387 2,875
  Suning Universal Co. Ltd. Class A 2,183,210 2,875
  Shanghai Tianchen Co. Ltd. Class A 1,088,338 2,871
  Yonggao Co. Ltd. Class A 2,256,199 2,871
* Guizhou Tyre Co. Ltd. Class A 3,345,876 2,870
  China Lilang Ltd. 5,093,000 2,869
  Chengdu Kanghong Pharmaceutical Group Co. Ltd. Class A 335,400 2,866
  Grand Industrial Holding Group Co. Ltd. 602,984 2,864
  Shanghai Shibei Hi-Tech Co. Ltd. Class B 2,601,562 2,851
* Bengang Steel Plates Co. Ltd. Class B 8,157,311 2,847
  New Hope Liuhe Co. Ltd. Class A 2,373,324 2,845
  Shenzhen Energy Group Co. Ltd. Class A 2,848,058 2,837
  Guizhou Xinbang Pharmaceutical Co. Ltd. Class A 1,840,931 2,833
  Neway Valve Suzhou Co. Ltd. Class A (XSSC) 1,035,581 2,831
* Luxi Chemical Group Co. Ltd. Class A 3,613,288 2,830
  Beijing Dalong Weiye Real Estate Development Co. Ltd. Class A 3,621,309 2,827
* Heilongjiang Interchina Water Treatment Co. Ltd. Class A 3,131,793 2,825
* Jiangsu Protruly Vision Technology Group Co. Ltd. Class A (XSHG) 1,193,900 2,825
  Chongqing Fuling Zhacai Group Co. Ltd. Class A 1,291,001 2,823
  Avic Aviation Engine Corp. plc Class A (XSSC) 544,366 2,814
  Suzhou Victory Precision Manufacture Co. Ltd. Class A 1,805,542 2,813
  Henan Zhongyuan Expressway Co. Ltd. Class A (XSSC) 4,235,781 2,812
  Financial Street Holdings Co. Ltd. Class A 1,676,851 2,802
  Guilin Tourism Co. Ltd. Class A 1,623,123 2,795
  GRG Banking Equipment Co. Ltd. Class A 1,256,331 2,793
  TCL Corp. Class A 5,514,422 2,785
* Shanghai Phoenix Enterprise Group Co. Ltd. Class B 3,009,500 2,785
  Shenzhen Topraysolar Co. Ltd. Class A 1,937,061 2,784
* Aluminum Corp. of China Ltd. Class A 4,735,500 2,780
  China South Publishing & Media Group Co. Ltd. Class A (XSSC) 1,032,349 2,777
* Sichuan Meifeng Chemical IND Class A 2,010,724 2,770
* Shanghai Zhenhua Heavy Industries Co. Ltd. Class A 3,820,033 2,767
  Alpha Group Class A 675,261 2,758
*,2 Ozner Water International Holding Ltd. 13,144,000 2,756
  Global Top E-Commerce Co. Ltd. Class A 929,940 2,749
  Huaneng Power International Inc. Class A (XSHG) 2,599,994 2,742
  Inner Mongolia MengDian HuaNeng Thermal Power Corp. Ltd. Class A (XSSC) 5,879,228 2,738
  Metro Land Corp. Ltd. Class A 2,013,684 2,734
  Guoxuan High-Tech Co. Ltd. 526,361 2,727
* GCL System Integration Technology Co. Ltd. Class A 3,096,400 2,721
  Hytera Communications Corp. Ltd. Class A 1,454,565 2,720
  Guangdong Taiantang Pharmaceutical Co. Ltd. Class A 1,691,178 2,716
  GD Power Development Co. Ltd. Class A (XSHG) 6,103,116 2,707
  Jiuzhitang Co. Ltd. Class A 745,255 2,699
* Xinjiang Tianshan Cement Co. Ltd. Class A 2,669,688 2,691
  China Railway Construction Corp. Ltd. Class A (XSSC) 1,769,795 2,688
  Tianjin Realty Development Group Co. Ltd. Class A 2,925,000 2,688
  Harbin Gloria Pharmaceuticals Co. Ltd. Class A 2,133,075 2,684
  Zhongtian Urban Development Group Co. Ltd. Class A 2,734,166 2,684
  Chinese Universe Publishing and Media Co. Ltd. Class A 788,436 2,683
  Hefei Meiling Co. Ltd. Class A 2,685,828 2,681
*,^ North Mining Shares Co. Ltd. 148,490,000 2,680
  Venustech Group Inc. Class A 779,436 2,679
  Jinke Properties Group Co. Ltd. Class A 3,657,625 2,669
  Beijing Shiji Information Technology Co. Ltd. Class A 725,872 2,665

 

12

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Tande Co. Ltd. Class A 3,429,500 2,659
^,2 Fuyao Glass Industry Group Co. Ltd. 915,201 2,654
  Hualan Biological Engineering Inc. Class A 493,320 2,641
  Jiangsu Changbao Steeltube Co. Ltd. Class A 1,361,327 2,640
  Kingenta Ecological Engineering Group Co. Ltd. Class A 2,362,788 2,639
  Changchun Faway Automobile Components Co. Ltd. Class A (XSSC) 1,143,854 2,638
  Guangzhou Hengyun Enterprises Holdings Ltd. Class A 1,557,076 2,638
  Aisino Corp. Class A 810,220 2,635
  Dongxing Securities Co. Ltd. Class A (XSHG) 771,200 2,635
* Bank of Guiyang Co. Ltd. Class A 1,108,565 2,631
  Xishui Strong Year Co. Ltd. Inner Mongolia Class A 902,704 2,625
  BBMG Corp. Class A (XSSC) 4,055,470 2,625
  Tianqi Lithium Industries Inc. Class A 447,543 2,622
*,^ West China Cement Ltd. 25,752,000 2,620
  Power Construction Corp. of China Ltd. Class A (XSSC) 2,613,156 2,616
  Inzone Group Co. Ltd. Class A (XSHG) 1,987,631 2,610
*,^ Sany Heavy Equipment International Holdings Co. Ltd. 16,694,000 2,604
*,^ TCL Multimedia Technology Holdings Ltd. 5,136,000 2,597
*,^ Sinotrans Shipping Ltd. 16,009,500 2,595
  Shanghai Highly Group Co. Ltd. Class A 1,408,500 2,590
  Poly Real Estate Group Co. Ltd. Class A (XSHG) 1,912,852 2,589
  Sealand Securities Co. Ltd. Class A 2,444,050 2,587
* Inner Mongolia BaoTou Steel Union Co. Ltd. Class A (XSSC) 6,246,241 2,587
  Ajisen China Holdings Ltd. 5,740,000 2,582
  Shanghai Jin Jiang International Hotels Group Co. Ltd. 8,832,000 2,580
  Wanhua Chemical Group Co. Ltd. Class A (XSHG) 835,251 2,571
* Wintime Energy Co. Ltd. Class A (XSSC) 4,108,014 2,569
* Shanghai Zhongyida Co. Ltd. Class B 4,643,648 2,568
  Shengyi Technology Co. Ltd. Class A (XSSC) 1,325,283 2,556
* Shandong Bohui Paper Industrial Co. Ltd. Class A 4,830,400 2,552
* Fujian Zhangzhou Development Co. Ltd. Class A 3,250,833 2,549
  China Merchants Energy Shipping Co. Ltd. Class A 3,204,169 2,543
* Fujian Sunner Development Co. Ltd. Class A 652,847 2,540
  Shanghai Jinjiang International Industrial Investment Co. Ltd. Class B 1,711,010 2,539
  Sou Yu Te Group Co. Ltd. Class A 1,207,591 2,533
  Shanghai International Airport Co. Ltd. Class A (XSSC) 633,189 2,533
* Beijing Vantone Real Estate Co. Ltd. Class A 2,640,410 2,530
* Wuhan Department Store Group Co. Ltd. Class A 871,290 2,529
^ China All Access Holdings Ltd. 7,914,000 2,528
  Jinzhou Port Co. Ltd. Class B 4,738,200 2,516
  Fiyta Holdings Ltd. Class A 1,190,485 2,515
  INESA Intelligent Tech Inc. Class B 3,144,066 2,514
  Rainbow Department Store Co. Ltd. Class A 1,317,833 2,508
  Beijing Jingneng Power Co. Ltd. Class A (XSSC) 3,945,293 2,504
  Tianjin Tianyao Pharmaceutical Co. Ltd. Class A 2,655,448 2,503
* PW Medtech Group Ltd. 7,995,000 2,499
  Hubei Energy Group Co. Ltd. Class A 3,564,555 2,493
  Guangzhou Baiyun International Airport Co. Ltd. Class A 1,153,067 2,491
  Comba Telecom Systems Holdings Ltd. 14,015,740 2,485
  Lao Feng Xiang Co. Ltd. Class A 406,700 2,481
  Shanxi Xishan Coal & Electricity Power Co. Ltd. Class A 1,685,573 2,477
  Kangmei Pharmaceutical Co. Ltd. Class A (XSHG) 988,000 2,474
  Sichuan Chuantou Energy Co. Ltd. Class A (XSSC) 1,925,161 2,472
  ZTE Corp. Class A 1,094,565 2,470
  Anhui Heli Co. Ltd. Class A (XSSC) 1,422,063 2,470
* Jiangsu Bicon Pharmaceutical Listed Co. Class A 645,100 2,461
  Tus-Sound Environmental Resources Co. Ltd. Class A 479,697 2,459
  First Capital Securities Co. Ltd. Class A 444,700 2,452
  China Fortune Land Development Co. Ltd. Class A (XSHG) 594,137 2,435
  Power Construction Corp. of China Ltd. Class A (XSHG) 2,430,302 2,433
  Wuhu Shunrong Sanqi Interactive Entertainment Network Technology Co. Ltd. Class A 856,078 2,428
* Bohai Financial Investment Holding Co. Ltd. Class A 2,288,722 2,427
* Cultural Investment Holdings Co. Ltd. Class A 685,029 2,424
  Dong-E-E-Jiao Co. Ltd. Class A 293,067 2,421

 

13

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Zhengzhou Yutong Bus Co. Ltd. Class A (XSSC) 760,514 2,420
Youzu Interactive Co. Ltd. Class A 608,916 2,420
Zhongyuan Environment-Protection Co. Ltd. Class A 915,779 2,419
Founder Securities Co. Ltd. Class A (XSSC) 2,190,813 2,419
Inspur Electronic Information Industry Co. Ltd. Class A 701,449 2,416
* Danhua Chemical Technology Co. Ltd. Class A 1,794,610 2,416
Baoshan Iron & Steel Co. Ltd. Class A (XSHG) 2,918,600 2,413
Eastern Communications Co. Ltd. Class A (XSSC) 1,682,562 2,410
* TOP Energy Co. Ltd-A Class A (XSHG) 2,903,744 2,399
Bluestar Adisseo Co. Class A 1,157,745 2,398
Huangshan Tourism Development Co. Ltd. Class A 1,000,088 2,390
Jointown Pharmaceutical Group Co. Ltd. Class A (XSSC) 730,895 2,385
Hongrun Construction Group Co. Ltd. Class A 2,146,046 2,377
Beih-Property Co. Ltd. Class A 1,927,713 2,377
Jiangxi Ganfeng Lithium Co. Ltd. Class A 500,900 2,376
Huadian Power International Corp. Ltd. Class A (XSSC) 3,213,300 2,375
FAWER Automotive Parts Co. Ltd. Class A 1,734,461 2,374
* Greenland Holdings Corp. Ltd. Class A 1,769,945 2,370
Hundsun Technologies Inc. Class A (XSSC) 272,220 2,367
* Inner Mongolia BaoTou Steel Union Co. Ltd. Class A (XSHG) 5,714,100 2,366
Shanghai Pret Composites Co. Ltd. Class A 510,444 2,363
Tongding Interconnection Information Co. Ltd. Class A 858,300 2,360
Tianjin ZhongXin Pharmaceutical Group Corp. Ltd. Class A (XSSC) 943,429 2,354
Qinghai Salt Lake Industry Co. Ltd. Class A 841,400 2,349
Shandong Xinhua Pharmaceutical Co. Ltd. Class A 1,221,500 2,348
Shanghai International Airport Co. Ltd. Class A (XSHG) 587,126 2,348
AVIC Electromechanical Systems Co. Ltd. Class A 914,232 2,348
Anhui Conch Cement Co. Ltd. Class A (XSSC) 933,661 2,346
Zhejiang Transfar Co. Ltd. Class A 807,401 2,344
Shenzhen Airport Co. Class A 1,820,428 2,331
* Shenyang Jinbei Automotive Co. Ltd. Class A 2,404,601 2,329
Jiangsu Wujiang China Eastern Silk Market Co. Ltd. Class A 3,327,153 2,316
* Wuhan East Lake High Technology Group Co. Ltd. Class A 1,795,350 2,314
Ningbo Zhoushan Port Co. Ltd. Class A 3,056,883 2,305
Zhejiang Supor Cookware Co. Ltd. Class A 428,322 2,301
Zhejiang Wanliyang Co. Ltd. Class A 1,062,634 2,300
Guangzhou Pearl River Industrial Development Co. Ltd. Class A (XSSC) 1,922,783 2,299
China Pacific Insurance Group Co. Ltd. Class A (XSSC) 530,844 2,295
Tsinghua Unisplendour Co. Ltd. Class A 252,659 2,294
Shanghai Pharmaceuticals Holding Co. Ltd. Class A (XSHG) 784,985 2,294
Guangzhou Echom Science & Technology Co. Ltd. Class A 1,605,500 2,291
* Shanxi Taigang Stainless Steel Co. Ltd. Class A 3,923,876 2,291
Realcan Pharmaceutical Co. Ltd. Class A 441,700 2,284
Tasly Pharmaceutical Group Co. Ltd. Class A (XSSC) 374,447 2,283
Shanghai Jiabao Industry & Commerce Group Co. Ltd. Class A 890,172 2,282
* Yinyi Real Estate Co. Ltd. Class A 1,522,901 2,280
Titan Wind Energy Suzhou Co. Ltd. Class A 2,323,572 2,279
* Tianjin Hi-Tech Development Co. Ltd. Class A 2,247,302 2,275
* Huatian Hotel Group Co. Ltd. Class A 2,175,677 2,274
* Hubei Mailyard Share Co. Ltd. Class A 787,600 2,271
Meinian Onehealth Healthcare Holdings Co. Ltd. Class A 1,115,093 2,268
Anhui Zhongding Sealing Parts Co. Ltd. Class A 644,765 2,268
^ Dawnrays Pharmaceutical Holdings Ltd. 3,796,000 2,267
Jiangsu Changqing Agrochemical Co. Ltd. Class A 973,206 2,262
* China High-Speed Railway Technology Co. Ltd. Class A 1,560,400 2,261
Sinolink Securities Co. Ltd. Class A (XSSC) 1,143,000 2,258
Wuhu Conch Profiles and Science Co. Ltd. Class A 1,315,613 2,257
Guizhou Bailing Group Pharmaceutical Co. Ltd. Class A 681,807 2,256
Beijing Electronic Zone Investment and Development Co. Ltd. Class A 1,208,621 2,255
Henan Billions Chemicals Co. Ltd. Class A 1,061,625 2,245
Shaanxi International Trust Co. Ltd. Class A 2,030,600 2,243
* China Tianying Inc. Class A 2,041,714 2,242
Changjiang & Jinggong Steel Building Group Co. Ltd. Class A (XSSC) 3,436,397 2,235
Guangzhou Haige Communications Group Inc. Co. Class A 1,201,147 2,224

 

14

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Tianjin Tianbao Infrastructure Co. Ltd. Class A 2,202,583 2,222
* Apex Technology Co. Ltd. Class A 431,575 2,219
* Dezhan Healthcare Co. Ltd. Class A 962,948 2,216
^ China Power New Energy Development Co. Ltd. 3,653,000 2,213
  Shenzhen Fastprint Circuit Tech Co. Ltd. Class A 1,947,300 2,211
2 Beijing Urban Construction Design & Development Group Co. Ltd. 3,189,000 2,198
* Greattown Holdings Ltd. Class A 1,641,600 2,197
* Zhongjin Gold Corp. Ltd. Class A (XSSC) 1,174,812 2,196
  Nanjing Xinjiekou Department Store Co. Ltd. Class A 499,409 2,196
  Leo Group Co. Ltd. Class A 855,223 2,195
  China National Chemical Engineering Co. Ltd. Class A (XSHG) 2,490,177 2,193
  Ningxia Qinglong Pipes Industry Co. Ltd. Class A 1,265,090 2,186
* Northeast Pharmaceutical Group Co. Ltd. Class A 1,446,917 2,184
  Fortune Ng Fung Food Hebei Co. Ltd. Class A 930,674 2,183
* Yunnan Coal Energy Co. Ltd. Class A 2,410,493 2,180
  Jiangsu Asia-Pacific Light Alloy Technology Co. Ltd. Class A 1,778,766 2,180
* Henan Taloph Pharmaceutical Stock Co. Ltd. Class A 1,763,230 2,180
  Changchunjingkai Group Co. Ltd. Class A 1,751,171 2,180
* Dongguan Winnerway Industrial Zone Ltd. Class A 1,608,200 2,171
  Yantai Moon Co. Ltd. Class A 941,056 2,170
  Jiangsu Sunrain Solar Energy Co. Ltd. Class A 1,355,759 2,169
  Shenzhen Das Intellitech Co. Ltd. Class A 1,832,196 2,161
  Cachet Pharmaceutical Co. Ltd. Class A 343,843 2,160
  Huayi Compressor Co. Ltd. Class A 1,274,304 2,160
  Shenergy Co. Ltd. Class A (XSSC) 2,486,691 2,157
  Kunwu Jiuding Investment Holdings Co. Ltd. Class A (XSHG) 319,099 2,151
  Weichai Power Co. Ltd. Class A 1,523,539 2,147
  CNHTC Jinan Truck Co. Ltd. Class A 1,045,742 2,147
  Guangdong Golden Dragon Development Inc. Class A 722,300 2,146
  Xinjiang Tianfu Energy Co. Ltd. Class A (XSSC) 1,877,888 2,138
  Zhejiang China Commodities City Group Co. Ltd. Class A (XSSC) 1,898,367 2,129
* Zhejiang Huamei Holding Co. Ltd. Class A 956,853 2,123
  Zhejiang Semir Garment Co. Ltd. Class A 1,353,320 2,121
^ China Suntien Green Energy Corp. Ltd. 15,835,000 2,117
  Shaanxi Yanchang Petroleum Chemical Engineering Co. Ltd. Class A 1,639,667 2,111
  Jiangsu Yoke Technology Co. Ltd. Class A 582,200 2,109
  Hengtong Optic-electric Co. Ltd. Class A (XSSC) 761,682 2,109
* Shanghai Potevio Co. Ltd. Class A 404,003 2,109
  China National Chemical Engineering Co. Ltd. Class A (XSSC) 2,391,725 2,106
  China World Trade Center Co. Ltd. Class A (XSSC) 724,135 2,106
* China Datang Corp. Renewable Power Co. Ltd. 23,042,000 2,105
  Sanan Optoelectronics Co. Ltd. Class A (XSSC) 1,170,422 2,102
  Guodian Changyuan Electric Power Co. Ltd. Class A 2,237,894 2,102
  Tasly Pharmaceutical Group Co. Ltd. Class A (XSHG) 344,530 2,101
* AVIC International Holding HK Ltd. 32,692,000 2,100
  Beijing Capital Development Co. Ltd. Class A (XSSC) 1,203,111 2,097
* Kangxin New Materials Co. Ltd. Class A 1,153,880 2,093
* Guosheng Financial Holding Inc. Class A 486,624 2,092
* CECEP Solar Energy Co. Ltd. Class A 961,843 2,089
  Shenzhen Wongtee International Enterprise Co. Ltd. Class A 1,074,724 2,086
  Shaan Xi Provincial Natural Gas Co. Ltd. Class A 1,388,989 2,084
*,^ Baoxin Auto Group Ltd. 6,394,499 2,082
  Beijing Tongrentang Co. Ltd. Class A (XSSC) 449,297 2,079
  China Merchants Securities Co. Ltd. Class A (XSHG) 784,200 2,075
*,^ China Chengtong Development Group Ltd. 23,756,000 2,073
* Ningbo Sanxing Electric Co. Ltd. Class A (XSSC) 1,089,936 2,072
  Holitech Technology Co. Ltd. Class A 853,198 2,071
  Inner Mongolia Junzheng Energy & Chemical Industry Group Co. Ltd. Class A (XSSC) 2,711,240 2,070
  Zhejiang Conba Pharmaceutical Co. Ltd. Class A (XSSC) 1,855,532 2,066
  Hubei Biocause Pharmaceutical Co. Ltd. Class A 1,733,900 2,056
  Bright Real Estate Group Co. Ltd. Class A (XSSC) 1,476,198 2,056
  Huayu Automotive Systems Co. Ltd. Class A (XSHG) 842,877 2,054
* China Shipbuilding Industry Group Power Co. Ltd. Class A (XSSC) 427,737 2,045
  Ningxia Building Materials Group Co. Ltd. Class A (XSSC) 1,368,288 2,043

 

15

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Pacific Securities Co. Ltd. Class A (XSSC) 2,676,600 2,043
  Northern United Publishing & Media Group Co. Ltd. Class A 1,073,800 2,042
  Luolai Lifestyle Technology Co. Ltd. Class A 1,008,394 2,035
  Jiangsu Yinhe Electronics Co. Ltd. Class A 556,784 2,032
  Zhejiang Weixing Industrial Development Co. Ltd. Class A 895,349 2,031
  Guangdong Haid Group Co. Ltd. Class A 907,167 2,031
  Shenzhen Gas Corp. Ltd. Class A (XSSC) 1,475,375 2,030
  Heilan Home Co. Ltd. Class A (XSHG) 1,249,331 2,026
  Zhengzhou Yutong Bus Co. Ltd. Class A (XSHG) 635,800 2,023
  Do-Fluoride Chemicals Co. Ltd. Class A 398,450 2,023
  Tibet Tianlu Co. Ltd. Class A 1,513,422 2,020
  Shanghai International Port Group Co. Ltd. Class A (XSHG) 2,640,400 2,019
* Digital China Group Co. Ltd. Class A 450,736 2,017
  China Baoan Group Co. Ltd. Class A 1,314,680 2,016
  Tianshui Huatian Technology Co. Ltd. Class A 1,076,774 2,011
  Unigroup Guoxin Co. Ltd. Class A 374,793 2,011
  Zhuhai Port Co. Ltd. Class A 2,213,800 2,009
  Guangzhou Guangri Stock Co. Ltd. Class A 961,200 2,007
^ Yashili International Holdings Ltd. 9,882,000 2,007
  Zoomlion Heavy Industry Science and Technology Co. Ltd. Class A 2,973,591 2,005
  Suzhou Gold Mantis Construction Decoration Co. Ltd. Class A 1,219,705 2,002
  Jilin Aodong Pharmaceutical Group Co. Ltd. Class A 502,212 2,000
  Huadian Heavy Industries Co. Ltd. Class A (XSSC) 1,526,509 1,997
^ China Electronics Corp. Holdings Co. Ltd. 8,296,000 1,996
  Infore Environment Technology Group Co. Ltd. Class A 861,399 1,992
  Haining China Leather Market Co. Ltd. Class A 1,252,410 1,987
  Jiangxi Changyun Co. Ltd. Class A 961,933 1,987
  TianGuang ZhongMao Co. Ltd. Class A 1,060,320 1,986
* Guangxi Wuzhou Communications Co. Ltd. Class A 2,330,405 1,984
* Harbin Pharmaceutical Group Co. Ltd. Class A (XSSC) 1,447,577 1,978
* Jilin Jian Yisheng Pharmaceutical Co. Ltd. Class A 1,042,700 1,978
* Shenzhen Hifuture Electric Co. Ltd. Class A 924,162 1,966
  Shenzhen Sunlord Electronics Co. Ltd. Class A 725,578 1,965
* Xinjiang Beixin Road & Bridge Group Co. Ltd. Class A 1,497,200 1,964
*,^ China Water Industry Group Ltd. 11,548,000 1,964
  Joyoung Co. Ltd. Class A 682,392 1,961
* Shenzhen Neptunus Bioengineering Co. Ltd. Class A 1,950,950 1,960
  Xiamen Comfort Science & Technology Group Co. Ltd. Class A 865,200 1,958
  INESA Intelligent Tech Inc. Class A 1,230,500 1,957
*,^ Lianhua Supermarket Holdings Co. Ltd. 4,804,000 1,953
  SooChow Securities Co. Ltd. Class A (XSSC) 913,430 1,952
* Jianxin Mining Co. Ltd. Class A 1,433,400 1,952
  Shanghai Aerospace Automobile Electromechanical Co. Class A 1,189,771 1,949
  Shanghai East China Computer Co. Ltd. Class A (XSSC) 474,730 1,949
  Jiangsu Akcome Science & Technology Co. Ltd. Class A 3,458,800 1,948
  Zhonglu Co. Ltd. Class B 1,084,642 1,946
  Jiangsu Holly Corp. Class A 846,694 1,944
  Eternal Asia Supply Chain Management Ltd. Class A 1,037,500 1,942
  Harbin High-Tech Group Co. Class A 1,175,501 1,938
* Tonghua Golden-Horse Pharmaceutical Industry Co. Ltd. Class A 677,183 1,937
  Nanjing Pharmaceutical Co. Ltd. Class A 1,494,262 1,936
  Bank of Nanjing Co. Ltd. Class A (XSHG) 1,248,840 1,932
  Insigma Technology Co. Ltd. Class A 728,100 1,929
  Shenzhen Agricultural Products Co. Ltd. Class A 1,056,629 1,924
  Suzhou New District Hi-Tech Industrial Co. Ltd. Class A (XSSC) 1,415,906 1,923
  Contemporary Eastern Investment Co. Ltd. Class A 980,025 1,920
* Hainan Yedao Co. Ltd. Class A 919,500 1,919
  Guangzhou Tinci Materials Technology Co. Ltd. Class A 215,982 1,915
* Shenzhen Laibao Hi-tech Co. Ltd. Class A 961,687 1,914
  Yonyou Network Technology Co. Ltd. Class A (XSSC) 570,162 1,913
  Shanghai Baosteel Packaging Co. Ltd. Class A 1,258,200 1,912
  Future Land Holdings Co. Ltd. Class A 1,159,973 1,911
* Jiangsu Shagang Co. Ltd. Class A 801,300 1,908
  China CAMC Engineering Co. Ltd. Class A 553,597 1,906

 

16

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Shenzhen Bauing Construction Holding Group Co. Ltd. Class A 1,084,024 1,905
  Accelink Technologies Co. Ltd. Class A 171,316 1,903
  Hangzhou Liaison Interactive Information Technology Co. Ltd. Class A 698,130 1,899
* Inner Mongolia Xingye Mining Co. Ltd. Class A 1,276,772 1,896
  Shimge Pump Industry Group Co. Ltd. Class A 855,724 1,894
*,^ National Agricultural Holdings Ltd. 12,904,000 1,894
  Shenzhen Tagen Group Co. Ltd. Class A 1,262,881 1,891
  Zhejiang NHU Co. Ltd. Class A 586,751 1,891
  Hunan Mendale Hometextile Co. Ltd. Class A 1,520,254 1,883
  Fujian Funeng Co. Ltd. Class A (XSHG) 1,105,261 1,883
  Jiangsu SINOJIT Wind Energy Technology Co. Ltd. Class A (XSSC) 2,323,427 1,878
* Shandong Hi-Speed Road & Bridge Co. Ltd. Class A 1,782,000 1,877
* Shanghai Datun Energy Resources Co. Ltd. Class A 1,156,850 1,877
  Shenergy Co. Ltd. Class A (XSHG) 2,163,979 1,877
  Youngor Group Co. Ltd. Class A (XSSC) 891,750 1,876
  Anhui Honglu Steel Construction Group Co. Ltd. Class A 650,805 1,874
* Yibin Tianyuan Group Co. Ltd. Class A 1,500,329 1,870
  Guangdong Advertising Group Co. Ltd. Class A 959,325 1,865
  Anhui Water Resources Development Co. Ltd. Class A 1,325,165 1,864
  Foshan Nationstar Optoelectronics Co. Ltd. Class A 850,525 1,860
* Beijing Shougang Co. Ltd. Class A 1,993,600 1,857
*,^ Loudong General Nice Resources China Holdings Ltd. 26,283,000 1,855
  Shanghai Oriental Pearl Media Co. Ltd. Class A (XSHG) 524,612 1,850
  Hilong Holding Ltd. 7,749,000 1,849
  Sunny Loan Top Co. Ltd. Class A (XSSC) 1,074,547 1,848
  Avic Aviation Engine Corp. plc Class A (XSHG) 357,386 1,847
  Shanxi Xinghuacun Fen Wine Factory Co. Ltd. Class A 548,676 1,846
  Hubei Fuxing Science And Technology Co. Ltd. Class A 987,200 1,846
  Shanxi Guoxin Energy Corp. Ltd. Class A (XSSC) 1,083,730 1,844
  Shanghai Zhixin Electric Co. Ltd. Class A (XSSC) 1,131,046 1,842
* Shenzhen Kondarl Group Co. Ltd. Class A 359,999 1,839
  Shanghai Shyndec Pharmaceutical Co. Ltd. Class A 415,769 1,835
  Beijing SPC Environment Protection Tech Co. Ltd. Class A 697,821 1,834
* Tianjin Guangyu Development Co. Ltd. Class A 1,360,000 1,827
  Tianjin Port Co. Ltd. Class A (XSSC) 1,213,783 1,825
* Shenyang Chemical Industry Class A 1,716,100 1,824
* Dalian Dafu Enterprises Holdings Co. Ltd. Class A 2,377,436 1,823
  Beyondsoft Corp. Class A 320,300 1,819
  NavInfo Co. Ltd. Class A 557,650 1,816
  Kuangda Technology Group Co. Ltd. Class A 1,736,483 1,815
  Hongfa Technology Co. Ltd. Class A (XSHG) 372,024 1,814
* Hengdeli Holdings Ltd. 16,760,000 1,813
  Yingkou Port Liability Co. Ltd. Class A 3,501,300 1,813
  Norinco International Cooperation Ltd. Class A 483,900 1,812
  Shenzhen Grandland Group Co. Ltd. Class A 1,277,051 1,809
  Zhejiang Sanhua Co. Ltd. Class A 1,148,411 1,808
  GEM Co. Ltd. Class A 1,676,426 1,808
  Guangdong Baolihua New Energy Stock Co. Ltd. Class A 1,475,460 1,805
  Guangdong Goworld Co. Ltd. Class A 943,044 1,804
  Xiamen Tungsten Co. Ltd. Class A (XSSC) 467,438 1,804
  Guizhou Guihang Automotive Components Co. Ltd. Class A 549,703 1,803
* China Eastern Airlines Corp. Ltd. Class A (XSHG) 1,928,700 1,802
  Shenzhen Yan Tian Port Holding Co. Ltd. Class A 1,679,432 1,799
* CITIC Guoan Wine Co. Ltd. Class A 1,041,500 1,798
  AVIC Jonhon OptronicTechnology Co. Ltd. Class A 316,868 1,797
  Hangzhou Binjiang Real Estate Group Co. Ltd. Class A 1,801,683 1,797
  Shandong Gold Mining Co. Ltd. Class A (XSHG) 293,000 1,795
  Shinva Medical Instrument Co. Ltd. Class A (XSSC) 493,041 1,792
  China Gezhouba Group Co. Ltd. Class A (XSHG) 1,409,100 1,786
  Zhejiang Xianju Pharmaceutical Co. Ltd. Class A 863,300 1,785
  Nanjing Gaoke Co. Ltd. Class A (XSSC) 713,193 1,785
* China Huiyuan Juice Group Ltd. 4,829,500 1,784
  Tsinghua Tongfang Co. Ltd. Class A (XSSC) 863,708 1,783
* China Wuyi Co. Ltd. Class A 642,570 1,780

 

17

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
* Baoding Tianwei Baobian Electric Co. Ltd. Class A 1,886,301 1,779
Air China Ltd. Class A (XSHG) 1,626,099 1,778
Tianjin Lisheng Pharmaceutical Co. Ltd. Class A 270,403 1,778
* Kingnet Network Co. Ltd. Class A 326,546 1,777
Eastcompeace Technology Co. Ltd. Class A 767,109 1,777
Yunnan Wenshan Electric Power Co. Ltd. Class A 1,008,527 1,774
BOE Technology Group Co. Ltd. Class A 4,866,500 1,773
* Sinopec Oilfield Service Corp. Class A 3,057,700 1,772
Changchai Co. Ltd. Class A 1,196,785 1,770
Jiangsu Chengxing Phosph-Chemicals Co. Ltd. Class A 1,678,333 1,770
Wuhan Guide Infrared Co. Ltd. Class A 448,972 1,767
Optics Valley Union Holding Co. Ltd. 16,508,000 1,762
Zhejiang Baoxiniao Garment Co. Ltd. Class A 2,412,700 1,762
Xinjiang Joinworld Co. Ltd. Class A (XSSC) 1,496,964 1,756
* Ningbo Joyson Electronic Corp. Class A (XSHG) 349,503 1,755
* Shandong Denghai Seeds Co. Ltd. Class A 683,618 1,754
* Wuxi Commercial Mansion Grand Orient Co. Ltd. Class A (XSSC) 1,240,338 1,754
Guangshen Railway Co. Ltd. Class A (XSSC) 2,686,634 1,752
* Create Technology & Science Co. Ltd. Class A 1,136,256 1,744
* Ningxia Western Venture Industrial Co. Ltd. Class A 2,071,451 1,734
Hesteel Co. Ltd. Class A 3,757,200 1,734
* Aotecar New Energy Technology Co. Ltd. Class A 744,200 1,733
Chuying Agro-pastora Group Co. Ltd. Class A 2,227,192 1,732
Zhejiang Dragon Pipe Manufacturing Co. Ltd. Class A 459,525 1,731
Tiangong International Co. Ltd. 13,708,000 1,730
* HPGC Renmintongtai Pharmaceutical Corp. Class A 729,534 1,730
Shenzhen Hepalink Pharmaceutical Co. Ltd. Class A 634,480 1,725
Beijing Jingyuntong Technology Co. Ltd. Class A (XSSC) 1,596,888 1,725
Beijing SDL Technology Co. Ltd. Class A 716,927 1,724
Zhejiang Huahai Pharmaceutical Co. Ltd. Class A (XSHG) 464,144 1,723
Shenzhen Fuanna Bedding and Furnishing Co. Ltd. Class A 1,309,240 1,722
* Sinopec Oilfield Equipment Corp. Class A 1,040,893 1,721
* Hangzhou Iron & Steel Co. Class A 1,294,374 1,720
* Shaanxi Fenghuo Electronics Co. Ltd. Class A 864,429 1,720
Guangzhou Pearl River Piano Group Co. Ltd. Class A 768,101 1,717
* Hainan Airlines Co. Ltd. Class A (XSSC) 3,609,400 1,717
Guangdong Zhongsheng Pharmaceutical Co. Ltd. Class A 852,417 1,716
* Shanghai SMI Holding Co. Ltd. Class A (XSHG) 637,700 1,715
Beijing Shouhang Resources Saving Co. Ltd. Class A 1,272,541 1,714
Zhejiang Yankon Group Co. Ltd. Class A (XSSC) 1,473,339 1,713
* Hainan Airlines Co. Ltd. Class A (XSHG) 3,599,600 1,712
Fujian Newland Computer Co. Ltd. Class A 618,095 1,712
* Datang Huayin Electric Power Co. Ltd. Class A 2,052,700 1,712
Hubei Xinyangfeng Fertilizer Co. Ltd. Class A 1,008,156 1,708
Glodon Co. Ltd. Class A 732,431 1,704
Beijing Zhong Ke San Huan High-Tech Co. Ltd. Class A 689,408 1,704
* Luoniushan Co. Ltd. Class A 1,769,907 1,703
Zhejiang Crystal-Optech Co. Ltd. Class A 485,204 1,701
Myhome Real Estate Development Group Co. Ltd. Class A 2,899,500 1,701
UTour Group Co. Ltd. Class A 622,600 1,699
Shanghai Shibei Hi-Tech Co. Ltd. Class A 570,865 1,698
Gemdale Corp. Class A (XSHG) 953,400 1,697
* Jiangsu Broadcasting Cable Information Network Corp. Ltd. Class A 1,112,150 1,695
Muyuan Foodstuff Co. Ltd. Class A 464,814 1,694
Jiangsu Yuyue Medical Equipment & Supply Co. Ltd. Class A 332,610 1,694
Anhui Quanchai Engine Co. Ltd. Class A 1,043,078 1,692
Shanghai Pharmaceuticals Holding Co. Ltd. Class A (XSSC) 578,794 1,691
Beijing Urban & Rural Trade Centre Co. Ltd. Class A 740,548 1,690
* Shangying Global Co. Ltd. Class A 337,100 1,690
* Langold Real Estate Co. Ltd. Class A 1,962,979 1,689
Yonghui Superstores Co. Ltd. Class A (XSSC) 2,549,284 1,689
Zhejiang Haiyue Co. Ltd. Class A (XSSC) 893,841 1,687
Tianma Microelectronics Co. Ltd. Class A 606,603 1,686
Dare Power Dekor Home Co. Ltd. Class A 562,739 1,686

 

18

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* PCI-Suntek Technology Co. Ltd. Class A 1,186,910 1,679
* Tianjin Jinbin Development Co. Ltd. Class A 2,589,100 1,677
  China Northern Rare Earth Group High-Tech Co. Ltd. Class A (XSSC) 905,240 1,677
* Jilin Liyuan Precision Manufacturing Co. Ltd. Class A 943,730 1,676
  Xi'an LONGi Silicon Materials Corp. Class A (XSSC) 819,659 1,676
  China Spacesat Co. Ltd. Class A (XSSC) 358,897 1,676
  First Tractor Co. Ltd. Class A (XSSC) 935,289 1,673
* CPT Technology Group Co. Ltd. Class A 815,956 1,672
  Suzhou Hailu Heavy Industry Co. Ltd. Class A 1,456,715 1,672
^ China Energy Engineering Corp. Ltd. 12,130,000 1,671
  Spring Airlines Co. Ltd. Class A (XSSC) 260,939 1,666
  Haisco Pharmaceutical Group Co. Ltd. Class A 636,064 1,665
* Hunan Valin Steel Co. Ltd. Class A 2,165,000 1,662
  Fiberhome Telecommunication Technologies Co. Ltd. Class A (XSSC) 395,854 1,660
  Zhejiang Zheneng Electric Power Co. Ltd. Class A (XSHG) 2,095,862 1,660
* Shanghai Electric Group Co. Ltd. Class A (XSSC) 1,331,527 1,656
  Shandong Hualu Hengsheng Chemical Co. Ltd. Class A (XSSC) 973,203 1,651
* Yangguang Co. Ltd. Class A 1,520,002 1,651
  Guorui Properties Ltd. 4,925,000 1,645
* Beijing UniStrong Science & Technology Co. Ltd. Class A 252,800 1,642
* Yechiu Metal Recycling China Ltd. Class A 2,802,500 1,642
  Suzhou Anjie Technology Co. Ltd. Class A 308,433 1,641
  Zhejiang Chint Electrics Co. Ltd. Class A (XSHG) 520,558 1,640
  Yunnan Chihong Zinc & Germanium Co. Ltd. Class A (XSSC) 1,868,124 1,640
  Sany Heavy Industry Co. Ltd. Class A (XSHG) 1,887,126 1,637
* Nanjing Keyuan Automatic Corp. Co. Ltd. Class A 359,646 1,637
  Shanghai Industrial Development Co. Ltd. Class A (XSSC) 1,323,492 1,637
  Guangdong Fenghua Advanced Technology Holding Co. Ltd. Class A 1,084,395 1,636
  Wanxiang Qianchao Co. Ltd. Class A 752,015 1,635
* Guangdong Sunwill Precising Plastic Co. Ltd. Class A 343,700 1,634
  Shanghai Shenqi Pharmaceutical Investment Management Co. Ltd. Class A 742,781 1,634
* Teamax Smart City Technology Corp. Ltd. Class A 432,700 1,632
  Qingling Motors Co. Ltd. 5,278,000 1,630
  Foshan Haitian Flavouring & Food Co. Ltd. Class A (XSSC) 352,711 1,630
* Sinolink Worldwide Holdings Ltd. 13,918,000 1,627
  Beijing Oriental Yuhong Waterproof Technology Co. Ltd. Class A 466,881 1,626
  Talkweb Information System Co. Ltd. Class A 841,500 1,625
* Guangzhou Baiyunshan Pharmaceutical Holdings Co. Ltd. Class A (XSSC) 445,228 1,624
  Guilin Sanjin Pharmaceutical Co. Ltd. Class A 563,464 1,623
* Shanghai Lingang Holdings Corp. Ltd. Class A 454,300 1,622
* Chongqing Taiji Industry Group Co. Ltd. Class A 554,600 1,621
  Suzhou Dongshan Precision Manufacturing Co. Ltd. Class A 549,760 1,615
* Henan Dayou Energy Co. Ltd. Class A 1,855,470 1,612
  Hunan Friendship & Apollo Cmmericial Co. Ltd. Class A 820,500 1,612
* Hubei Sanxia New Building Material Co. Ltd. Class A 728,550 1,612
  Huawen Media Investment Corp. Class A 962,720 1,606
* Shanxi Coking Co. Ltd. Class A 1,104,367 1,602
  Huafu Top Dyed Melange Yarn Co. Ltd. Class A 907,007 1,601
  Jinling Pharmaceutical Co. Ltd. Class A 758,131 1,601
* Meisheng Cultural & Creative Corp. Ltd. Class A 307,379 1,601
  Hang Zhou Great Star Industrial Co. Ltd. Class A 601,900 1,599
  Shandong Hi-speed Co. Ltd. Class A (XSSC) 1,735,154 1,598
*,^ V1 Group Ltd. 32,212,000 1,597
  Shanghai International Port Group Co. Ltd. Class A (XSSC) 2,086,522 1,595
  Everbright Securities Co. Ltd. Class A (XSHG) 640,900 1,594
  North Electro-Optic Co. Ltd. Class A 494,561 1,593
  Sunflower Pharmaceutical Group Co. Ltd. Class A 302,054 1,592
  Beijing Sevenstar Electronics Co. Ltd. Class A 317,300 1,592
  DongFeng Automobile Co. Ltd. Class A 1,412,412 1,592
  Yifan Pharmaceutical Co. Ltd. Class A 740,303 1,591
  Guangxi Liugong Machinery Co. Ltd. Class A 1,498,378 1,591
  People.cn Co. Ltd. Class A (XSSC) 556,581 1,589
  Guangshen Railway Co. Ltd. Class A (XSHG) 2,437,700 1,589
* China Fiber Optic Network System Group Ltd. 17,564,000 1,585

 

19

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Shanghai Fosun Pharmaceutical Group Co. Ltd. Class A (XSHG) 452,300 1,585
Henan Hengxing Science & Technology Co. Ltd. Class A 1,720,395 1,585
Sinodata Co. Ltd. Class A 212,735 1,585
Sanan Optoelectronics Co. Ltd. Class A (XSHG) 882,400 1,584
Guangdong Xinbao Electrical Appliances Holdings Co. Ltd. Class A 619,009 1,582
Shandong Sinobioway Biomedicine Co. Ltd. Class A 424,560 1,581
* Sinosteel Engineering & Technology Co. Ltd. Class A 668,330 1,579
* Eastern Gold Jade Co. Ltd. Class A 1,062,360 1,579
* Goldenmax International Technology Ltd. Class A 538,100 1,579
* Xi'an Minsheng Group Co. Ltd. Class A 1,140,210 1,578
Zhejiang Hisoar Pharmaceutical Co. Ltd. Class A 1,073,398 1,575
LianChuang Electronic Technology Co. Ltd. Class A 442,403 1,575
* Dongxing Securities Co. Ltd. Class A (XSSC) 459,313 1,571
* Anyang Iron & Steel Inc. Class A 3,620,980 1,568
Jiangsu Phoenix Publishing & Media Corp. Ltd. Class A (XSSC) 949,415 1,567
Taiji Computer Corp. Ltd. Class A 281,700 1,566
* Guangdong Kaiping Chunhui Co. Ltd. Class A 1,116,230 1,566
Yuan Longping High-tech Agriculture Co. Ltd. Class A 547,439 1,565
Guangdong Homa Appliances Co. Ltd. Class A 140,452 1,564
Shandong Shanda WIT Science & Tech Co. Ltd. Class A 210,115 1,563
Juli Sling Co. Ltd. Class A 1,748,726 1,560
Huafa Industrial Co. Ltd. Zhuhai Class A (XSSC) 798,459 1,558
* Hangzhou Advance Gearbox Group Co. Ltd. Class A 942,109 1,557
* Inner Mongolia Lantai Industrial Co. Ltd. Class A 802,400 1,556
Changchun Sinoenergy Corp. Class A 823,800 1,556
China Oilfield Services Ltd. Class A 862,777 1,554
Kunming Yunnei Power Co. Ltd. Class A 1,323,027 1,554
Beijing BDStar Navigation Co. Ltd. Class A 339,651 1,553
Gree Real Estate Co. Ltd. Class A (XSSC) 1,721,028 1,552
Sichuan Chuantou Energy Co. Ltd. Class A (XSHG) 1,208,700 1,552
* Xin Jiang Ready Health Industry Co. Ltd. Class A 816,421 1,547
Markor International Home Furnishings Co. Ltd. Class A 745,928 1,544
Shenzhen Kingdom Sci-Tech Co. Ltd. Class A (XSSC) 340,049 1,543
Bros Eastern Co. Ltd. Class A (XSSC) 1,661,679 1,542
Xinjiang Zhongtai Chemical Co. Ltd. Class A 961,315 1,541
Hunan TV & Broadcast Intermediary Co. Ltd. Class A 650,700 1,541
Jiangsu Zhongtian Technology Co. Ltd. Class A (XSSC) 965,100 1,538
Shanghai Construction Group Co. Ltd. Class A (XSSC) 2,317,800 1,535
Shenzhen Woer Heat-Shrinkable Material Co. Ltd. Class A 695,362 1,534
Zhejiang Weixing New Building Materials Co. Ltd. Class A 646,316 1,532
Beijing SL Pharmaceutical Co. Ltd. Class A 345,900 1,529
Luyang Energy-Saving Materials Co. Ltd. 543,817 1,528
* Datang Telecom Technology Co. Ltd. Class A 561,507 1,527
Linewell Software Co. Ltd. Class A 137,694 1,527
Glarun Technology Co. Ltd. Class A (XSSC) 302,032 1,527
* HNA Innovation Hainan Co. Ltd. Class A 1,456,300 1,523
Tecon Biology Co. Ltd. Class A 1,063,904 1,521
Oriental Energy Co. Ltd. Class A 779,070 1,518
* Guangdong Macro Co. Ltd. Class A 864,971 1,516
Tellhow Sci-Tech Co. Ltd. Class A 515,100 1,512
* Angang Steel Co. Ltd. Class A 2,266,055 1,510
TBEA Co. Ltd. Class A (XSHG) 1,155,500 1,510
* Shandong Qixing Iron Tower Co. Ltd. Class A 373,812 1,507
Founder Technology Group Corp. Class A (XSSC) 2,014,872 1,506
Founder Securities Co. Ltd. Class A (XSHG) 1,362,890 1,505
* Yiwu Huading Nylon Co. Ltd. Class A 990,139 1,502
Suzhou Good-Ark Electronics Co. Ltd. Class A 925,800 1,502
* China Resource and Environment Co. Ltd. Class A 1,207,900 1,501
* Genimous Technology Co. Ltd. Class A 531,565 1,501
Xinjiang Goldwind Science & Technology Co. Ltd. Class A 654,509 1,500
^ First Tractor Co. Ltd. 2,686,000 1,499
Foshan Haitian Flavouring & Food Co. Ltd. Class A (XSHG) 324,216 1,498
Suzhou New Sea Union Telecom Technology Co. Ltd. Class A 607,200 1,497
Tongwei Co. Ltd. Class A (XSSC) 1,668,122 1,495

 

20

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Henan Mingtai Al Industrial Co. Ltd. Class A 616,254 1,495
  Shanghai Runda Medical Technology Co. Ltd. Class A 322,400 1,493
  Wenfeng Great World Chain Development Corp. Class A (XSSC) 1,921,613 1,492
* Guangdong Shirongzhaoye Co. Ltd. Class A 916,961 1,491
  Anhui Liuguo Chemical Co. Ltd. Class A 1,319,100 1,488
* Sunsea Telecommunications Co. Ltd. Class A 407,845 1,487
  Zhejiang Jiuzhou Pharmaceutical Co. Ltd. Class A 413,228 1,487
* Shenzhen Mason Technologies Co. Ltd. Class A 759,451 1,486
  Shenzhen Kaifa Technology Co. Ltd. Class A 958,400 1,484
  Wuhan Fingu Electronic Technology Co. Ltd. Class A 553,215 1,481
  SDIC Power Holdings Co. Ltd. Class A (XSHG) 1,529,000 1,479
  Xiamen International Airport Co. Ltd. Class A (XSSC) 440,255 1,479
  Puyang Refractories Group Co. Ltd. Class A 1,516,881 1,476
* Hunan Dakang International Food & Agriculture Co. Ltd. Class A 2,827,500 1,476
  Fujian Longxi Bearing Group Co. Ltd. Class A 804,399 1,474
  Hongda Xingye Co. Ltd. Class A 1,392,018 1,473
* Shandong Yisheng Livestock & Poultry Breeding Co. Ltd. Class A 237,005 1,472
* Fujian Dongbai Group Co. Ltd. Class A 992,900 1,471
  MYS Group Co. Ltd. 789,767 1,469
  Shanghai Electric Power Co. Ltd. Class A (XSSC) 844,723 1,463
* Liaoning Cheng Da Co. Ltd. Class A (XSSC) 510,220 1,463
  Stanley Agricultural Group Co. Ltd. Class A 860,128 1,462
*,^ Capital Environment Holdings Ltd. 42,118,000 1,462
* Zhongjin Gold Corp. Ltd. Class A (XSHG) 781,160 1,460
  Huangshan Novel Co. Ltd. Class A 584,144 1,460
  Jiangsu Nhwa Pharmaceutical Co. Ltd. Class A 530,809 1,458
  Huaxin Cement Co. Ltd. Class A (XSSC) 1,334,003 1,458
  Shenzhen Rainbow Fine Chemical Industry Co. Ltd. Class A 1,309,200 1,458
  Avic Capital Co. Ltd. Class A (XSHG) 1,493,800 1,456
  Anxin Trust Co. Ltd. Class A (XSHG) 428,200 1,452
  Zhejiang Zhongcheng Packing Material Co. Ltd. Class A 524,621 1,451
  Jiangsu Changjiang Electronics Technology Co. Ltd. Class A (XSSC) 500,550 1,450
  Anhui Golden Seed Winery Co. Ltd. Class A 984,601 1,449
  New China Life Insurance Co. Ltd. Class A (XSSC) 232,493 1,449
  Guangxi Liuzhou Pharmaceutical Co. Ltd. Class A 114,822 1,447
  Jiangsu Sainty Corp. Ltd. Class A 797,700 1,442
  CECEP Wind-Power Corp. Class A (XSSC) 969,347 1,441
  Shenzhen SDG Information Co. Ltd. Class A 327,081 1,439
  Sany Heavy Industry Co. Ltd. Class A (XSSC) 1,657,301 1,438
  Chongqing Department Store Co. Ltd. Class A 374,760 1,437
  Qingdao Doublestar Co. Ltd. Class A 1,264,900 1,435
^ Shanghai Fudan-Zhangjiang Bio-Pharmaceutical Co. Ltd. 1,526,000 1,434
* Royal Group Co. Ltd. Class A 593,878 1,432
  Shanghai Chinafortune Co. Ltd. Class A (XSSC) 812,561 1,432
  Maoming Petro-Chemical Shihua Co. Ltd. Class A 1,284,209 1,428
  Baida Group Co. Ltd. Class A 767,300 1,428
  China Resources Double Crane Pharmaceutical Co. Ltd. Class A (XSHG) 426,071 1,427
* Hainan Haiyao Co. Ltd. Class A 681,800 1,426
  Eastern Communications Co. Ltd. Class B 1,942,674 1,426
  Shijiazhuang Changshan Textile Co. Ltd. Class A 768,673 1,426
* MCC Meili Cloud Computing Industry Investment Co. Ltd. Class A 399,728 1,426
  Shenzhen Huaqiang Industry Co. Ltd. Class A 372,600 1,425
  Shandong New Beiyang Information Technology Co. Ltd. Class A 721,300 1,425
* Zhejiang Dilong Culture Development Co. Ltd. Class A 587,836 1,421
  Hubei Jumpcan Pharmaceutical Co. Ltd. Class A (XSSC) 294,047 1,421
  Nanjing Chixia Development Co. Ltd. Class A 1,765,800 1,419
  Focus Technology Co. Ltd. Class A 137,700 1,419
  Macrolink Culturaltainment Development Co. Ltd. Class A 1,056,632 1,419
* Anyuan Coal Industry Group Co. Ltd. Class A (XSSC) 1,812,542 1,418
* Nuode Investment Co. Ltd. Class A 773,000 1,417
* Qingdao Haili Metal One Co. Ltd. Class A 332,977 1,416
  Jiangsu Etern Co. Ltd. Class A 796,900 1,413
  Changchun High & New Technology Industries Inc. Class A 81,381 1,413
* Inner Mongolia Yuan Xing Energy Co. Ltd. Class A 3,088,732 1,412

 

21

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Sichuan Languang Development Co. Ltd. Class A (XSHG) 1,219,900 1,412
Changjiang Publishing & Media Co. Ltd. Class A 1,105,865 1,411
* Beijing Lier High-temperature Materials Co. Ltd. Class A 1,731,571 1,410
Better Life Commercial Chain Share Co. Ltd. Class A 672,220 1,409
* Beijing Sanyuan Foods Co. Ltd. Class A 1,155,178 1,409
Changzhou Qianhong Biopharma Co. Ltd. Class A 1,146,300 1,408
* Hna-Caissa Travel Group Co. Ltd. Class A 531,976 1,407
Zhuzhou Qianjin Pharmaceutical Co. Ltd. Class A (XSSC) 563,667 1,405
Xuchang Yuandong Drive Shaft Co. Ltd. Class A 1,033,700 1,401
Zhejiang Huafeng Spandex Co. Ltd. Class A 1,999,101 1,401
* Palm Eco-Town Development Co. Ltd. Class A 908,403 1,401
Hefei Department Store Group Co. Ltd. Class A 1,084,817 1,400
* Henan Ancai Hi-Tech Co. Ltd. Class A 1,024,750 1,400
Shenzhen Topway Video Communication Co. Ltd. Class A 625,920 1,398
China Nonferrous Metal Industry's Foreign Engineering and Construction Co. Ltd. Class A 1,132,500 1,397
Zhejiang IDC Fluid Control Co. Ltd. Class A 266,921 1,396
Guangzhou Zhujiang Brewery Co. Ltd. Class A 717,800 1,394
Huapont Life Sciences Co. Ltd. Class A 971,200 1,394
* Zhuzhou Kibing Group Co. Ltd. Class A (XSSC) 2,479,714 1,393
Wuhan Yangtze Communications Industry Group Co. Ltd. Class A 375,860 1,393
Westone Information Industry Inc. Class A 268,237 1,388
Shenzhen Guangju Energy Co. Ltd. Class A 684,388 1,386
* Rising Nonferrous Metals Share Co. Ltd. Class A 181,820 1,385
* Gosun Holding Co. Ltd. 363,924 1,383
Guangxi Nanning Waterworks Co. Ltd. Class A 730,159 1,382
Maoye Commericial Co. Ltd. Class A (XSSC) 1,210,937 1,381
Changchun Gas Co. Ltd. Class A 1,091,800 1,380
Shanghai Jiao Yun Co. Ltd. Class A (XSSC) 1,006,690 1,380
Zhejiang Longsheng Group Co. Ltd. Class A (XSSC) 1,021,850 1,375
Jiangsu Linyang Energy Co. Ltd. Class A (XSSC) 998,525 1,375
Beijing Join-Cheer Software Co. Ltd. Class A 489,300 1,374
* Tech Pro Technology Development Ltd. 49,862,000 1,374
Da An Gene Co. Ltd. of Sun Yat-Sen University Class A 352,200 1,373
Jiangsu Kanion Pharmaceutical Co. Ltd. Class A (XSHG) 505,566 1,372
* Yantai Tayho Advanced Materials Co. Ltd. Class A 668,261 1,371
Humanwell Healthcare Group Co. Ltd. Class A (XSSC) 452,907 1,368
Hangzhou First Pv Material Co. Ltd. Class A 196,490 1,368
* LingNan Landscape Co. Ltd. Class A 316,500 1,367
Anhui Conch Cement Co. Ltd. Class A (XSHG) 544,000 1,367
* Zhejiang Red Dragonfly Footwear Co. Ltd. Class A 404,701 1,366
* Shanxi Lu'an Environmental Energy Development Co. Ltd. Class A (XSHG) 1,066,800 1,366
Shanghai Highly Group Co. Ltd. Class B 1,732,974 1,366
TangShan Port Group Co. Ltd. Class A (XSSC) 2,313,147 1,365
Henan Rebecca Hair Products Co. Ltd. Class A (XSSC) 1,201,912 1,365
* Fujian Qingshan Paper Industry Co. Ltd. Class A 1,432,300 1,364
Dalian Refrigeration Co. Ltd. Class A 852,300 1,364
Anhui Sierte Fertilizer Industry Ltd. Co. Class A 798,125 1,358
Haitong Securities Co. Ltd. Class A 564,115 1,354
C&S Paper Co. Ltd. Class A 451,800 1,353
TBEA Co. Ltd. Class A (XSSC) 1,035,190 1,352
Jiangxi Zhengbang Technology Co. Ltd. Class A 1,210,308 1,350
Shuangliang Eco-Energy Systems Co. Ltd. Class A (XSSC) 1,412,260 1,350
* Jinzhou Cihang Group Co. Ltd. Class A 594,864 1,350
China Automotive Engineering Research Institute Co. Ltd. Class A 850,441 1,347
* Guangdong Chaohua Technology Co. Ltd. Class A 809,488 1,347
* Taiyuan Heavy Industry Co. Ltd. Class A (XSSC) 2,206,513 1,347
Huagong Tech Co. Ltd. Class A 536,500 1,346
Sinoma Science & Technology Co. Ltd. Class A 515,740 1,345
Sundiro Holding Co. Ltd. Class A 1,009,900 1,344
* Jiangsu Sihuan Bioengineering Co. Ltd. Class A 1,119,200 1,344
* Wintime Energy Co. Ltd. Class A (XSHG) 2,148,110 1,343
* Tangshan Jidong Cement Co. Ltd. Class A 851,877 1,343
* Jiangsu Rainbow Heavy Industries Co. Ltd. Class A 708,960 1,338
Hengdian Group DMEGC Magnetics Co. Ltd. Class A 620,700 1,338

 

22

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* China Shipbuilding Industry Group Power Co. Ltd. Class A (XSHG) 279,700 1,337
* Shanxi Meijin Energy Co. Ltd. Class A 508,015 1,337
  Der Future Science & Technology Holding Group Co. Ltd. Class A 405,040 1,335
* Anhui Wanjiang Logistics Group Co. Ltd. Class A 2,035,500 1,334
  Shenyang Jinshan Energy Co. Ltd. Class A 1,680,158 1,331
  Bright Dairy & Food Co. Ltd. Class A (XSSC) 624,067 1,331
  Zhejiang Yongtai Technology Co. Ltd. Class A 502,960 1,330
* Zhejiang People Culture Co. Ltd. Class A 493,970 1,329
* Aurora Optoelectronics Co. Ltd. Class A (XSHG) 320,749 1,329
  Shandong Wohua Pharmaceutical Co. Ltd. Class A 584,500 1,328
  Cangzhou Mingzhu Plastic Co. Ltd. Class A 378,189 1,327
  Zhongshan Broad Ocean Motor Co. Ltd. Class A 893,700 1,327
* Dongfang Electronics Co. Ltd. Class A 1,727,250 1,327
  Shenzhen Danbond Technology Co. Ltd. Class A 297,762 1,324
  Hangxiao Steel Structure Co. Ltd. Class A 880,885 1,323
  Yabao Pharmaceutical Group Co. Ltd. Class A (XSSC) 870,083 1,323
  Shenzhen MTC Co. Ltd. Class A 894,902 1,323
  Tianjin Port Co. Ltd. Class A (XSHG) 878,396 1,321
  Shenzhen Feima International Supply Chain Co. Ltd. Class A 527,615 1,318
  Maoye Communication and Network Co. Ltd. Class A 532,830 1,317
  Guangdong Ellington Electronics Technology Co. Ltd. Class A (XSSC) 281,082 1,317
* Shaanxi Coal Industry Co. Ltd. Class A 1,366,534 1,316
* Anhui Tongfeng Electronics Co. Ltd. Class A 924,200 1,316
  Anhui Huamao Textile Co. Class A 1,495,364 1,311
  Tonghua Dongbao Pharmaceutical Co. Ltd. Class A (XSHG) 375,986 1,311
* Shandong Xinchao Energy Co. Ltd. Class A 551,500 1,309
  Shandong Sun Paper Industry JSC Ltd. Class A 1,277,100 1,308
  Black Peony Group Co. Ltd. Class A (XSSC) 983,187 1,307
* Tibet Summit Industry Co. Ltd. Class A 285,589 1,307
  East China Engineering Science and Technology Co. Ltd. Class A 589,564 1,306
  China Gezhouba Group Co. Ltd. Class A (XSSC) 1,029,175 1,305
  Sieyuan Electric Co. Ltd. Class A 787,700 1,303
* Topchoice Medical Investment Corp. Class A 263,079 1,302
  Zhejiang Hailide New Material Co. Ltd. Class A 474,767 1,302
  Shenzhen World Union Properties Consultancy Inc. Class A 1,106,550 1,301
  Shanghai Xin Nanyang Co. Ltd. Class A 266,349 1,301
* Shanghai Electric Group Co. Ltd. Class A (XSHG) 1,045,430 1,300
2 Kangda International Environmental Co. Ltd. 5,524,000 1,298
  An Hui Wenergy Co. Ltd. Class A 1,093,644 1,298
  Chengdu Santai Holding Group Co. Ltd. Class A 800,731 1,297
* Shenghe Resources Holding Co. Ltd. Class A 621,900 1,297
* Jilin Power Share Co. Ltd. Class A 1,452,680 1,295
* China Eastern Airlines Corp. Ltd. Class A (XSSC) 1,386,700 1,295
  North Navigation Control Technology Co. Ltd. Class A (XSSC) 597,204 1,295
  Xiamen Kehua Hengsheng Co. Ltd. Class A 207,200 1,295
  Fujian Septwolves Industry Co. Ltd. Class A 824,109 1,292
  Baosheng Science and Technology Innovation Co. Ltd. Class A (XSSC) 1,077,300 1,290
  EGing Photovoltaic Technology Co. Ltd. Class A (XSSC) 1,137,674 1,288
  Jihua Group Corp. Ltd. Class A (XSSC) 1,027,040 1,288
* Zhejiang NetSun Co. Ltd. Class A 170,500 1,288
  NARI Technology Co. Ltd. Class A (XSHG) 570,200 1,286
*,^ China Rare Earth Holdings Ltd. 17,838,800 1,285
  Baotou Huazi Industry Co. Ltd. Class A 606,000 1,283
  Chengdu Xingrong Environment Co. Ltd. Class A 1,448,400 1,282
* Sailun Jinyu Group Co. Ltd. (XSSC) 2,021,815 1,281
* Shenzhen Infinova Ltd. Class A 1,076,307 1,280
  Shenzhen Zhenye Group Co. Ltd. Class A 878,400 1,279
  Org Packaging Co. Ltd. Class A 897,007 1,278
  Jiangnan Mould and Plastic Technology Co. Ltd. Class A 977,300 1,277
  Chongqing Brewery Co. Ltd. Class A 464,151 1,276
  Guangdong Vanward New Electric Co. Ltd. Class A 498,189 1,275
* Jiangxi Special Electric Motor Co. Ltd. Class A 704,500 1,274
  Henan Pinggao Electric Co. Ltd. Class A 498,800 1,274
* China Union Holdings Ltd. Class A 937,300 1,274

 

23

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Shandong Hualu Hengsheng Chemical Co. Ltd. Class A (XSHG) 750,451 1,273
* China Security & Fire Co. Ltd. Class A (XSSC) 421,300 1,273
* Zhongzhu Healthcare Holding Co. Ltd. Class A 378,843 1,272
  Beijing Tongrentang Co. Ltd. Class A (XSHG) 274,800 1,272
  Henan Splendor Science & Technology Co. Ltd. Class A 514,800 1,271
  Chongqing Road & Bridge Co. Class A 1,191,800 1,271
  Gansu Gangtai Holding Group Co. Ltd. Class A (XSSC) 523,462 1,269
  Zhejiang Hailiang Co. Ltd. Class A 1,087,716 1,269
* Jiangsu Aoyang Technology Corp. Ltd. Class A 784,900 1,269
* Zhongfu Straits Pingtan Development Co. Ltd. Class A 1,084,944 1,268
* Shanghai Potevio Co. Ltd. Class B 887,700 1,267
  Zhongxing Shenyang Commercial Building Group Co. Ltd. Class A 568,538 1,266
* Chengdu Taihe Health Technology Group Inc. Ltd. Class A 630,400 1,264
  GreatWall Information Industry Co. Ltd. Class A 422,100 1,264
* CASIN Guoxing Property Development Co. Ltd. 849,801 1,263
  Jinyu Bio-Technology Co. Ltd. Class A (XSSC) 279,700 1,263
  Jiangsu Yabang Dyestuff Co. Ltd. Class A (XSSC) 469,788 1,262
  Ningbo Huaxiang Electronic Co. Ltd. Class A 354,700 1,262
* Hanwang Technology Co. Ltd. Class A 333,500 1,260
  Dongguan Kingsun Optoelectronic Co. Ltd. Class A 806,250 1,259
  Ningbo Ligong Environment And Energy Technology Co. Ltd. Class A 408,869 1,258
  Zhejiang Shuanghuan Driveline Co. Ltd. Class A 635,080 1,258
  Zhangzhou Pientzehuang Pharmaceutical Co. Ltd. Class A (XSSC) 177,127 1,257
  Chenzhou City Jingui Silver Industry Co. Ltd. Class A 363,400 1,255
* Maanshan Dingtai Rare Earth&New Material Co. Ltd. Class A 172,600 1,255
  Canny Elevator Co. Ltd. Class A 578,496 1,255
  Guangdong Shenglu Telecommunication Tech Co. Ltd. Class A 325,610 1,254
  Shanghai Huayi Group Corp. Ltd. Class A 449,976 1,253
  Hengbao Co. Ltd. Class A 620,300 1,253
  Jiangsu Hengli Hydraulic Co. Ltd. Class A 583,100 1,252
* Xiamen Xiangyu Co. Ltd. Class A 749,419 1,252
* Liuzhou Liangmianzhen Co. Ltd. Class A 1,080,093 1,251
* Shenzhen Click Technology Co. Ltd. Class A 257,800 1,251
  Guangdong Tapai Group Co. Ltd. Class A 931,036 1,251
* Zhongtong Bus & Holding Co. Ltd. Class A 470,700 1,250
  Fujian Torch Electron Technology Co. Ltd. Class A 108,405 1,248
  Jiangsu Hongdou Industrial Co. Ltd. Class A 984,300 1,247
* XCMG Construction Machinery Co. Ltd. Class A 2,593,215 1,247
*,^ Greenland Hong Kong Holdings Ltd. 4,864,000 1,245
* Shandong Iron and Steel Co. Ltd. Class A 3,416,700 1,244
  China Molybdenum Co. Ltd. Class A (XSSC) 2,195,400 1,243
  Harbin Boshi Automation Co. Ltd. Class A 489,986 1,242
* AUCMA Co. Ltd. Class A 1,103,101 1,240
  Songz Automobile Air Conditioning Co. Ltd. Class A 552,297 1,240
  Qinghai Huzhu Barley Wine Co. Ltd. Class A 433,000 1,239
  China XD Electric Co. Ltd. Class A (XSHG) 1,531,400 1,238
  Materials Industry Zhongda Group Co. Ltd. Class A (XSSC) 808,971 1,238
* Vatti Corp. Ltd. Class A 320,312 1,236
  China CYTS Tours Holding Co. Ltd. Class A (XSSC) 367,868 1,236
* Tongling Nonferrous Metals Group Co. Ltd. Class A 3,066,100 1,235
  Inspur Software Co. Ltd. Class A (XSSC) 312,726 1,234
* Jiajia Food Group Co. Ltd. Class A 1,089,263 1,233
* Ground Food Tech Co. Ltd. Class A 730,743 1,231
* China Greatwall Computer Shenzhen Co. Ltd. Class A 716,877 1,224
* Zhejiang Rifa Precision Machinery Co. Ltd. Class A 561,702 1,224
  Tibet Galaxy Science & Technology Development Co. Ltd. Class A 469,400 1,224
  China Zhenhua Group Science & Technology Co. Ltd. Class A 432,542 1,223
  Rongsheng Petro Chemical Co. Ltd. Class A 560,754 1,222
* JiangSu Yabaite Technology Co. Ltd. Class A 611,343 1,221
* Jilin Yatai Group Co. Ltd. Class A (XSSC) 1,597,167 1,219
* Hunan Gold Corp. Ltd. Class A 665,040 1,219
  Offshore Oil Engineering Co. Ltd. Class A (XSHG) 1,162,500 1,218
  Digital China Information Service Co. Ltd. Class A 311,643 1,217
  Leaguer Stock Co. Ltd. Class A 381,017 1,217

 

24

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
* Kailuan Energy Chemical Co. Ltd. Class A (XSHG) 1,071,969 1,217
Fantasia Holdings Group Co. Ltd. 9,369,000 1,216
Wuhan DDMC Culture Co. Ltd. Class A 437,950 1,215
Zijin Mining Group Co. Ltd. Class A (XSSC) 2,486,600 1,213
* China Calxon Group Co. Ltd. Class A 788,400 1,212
Angel Yeast Co. Ltd. Class A (XSHG) 484,792 1,212
Xinhu Zhongbao Co. Ltd. Class A (XSSC) 1,746,518 1,211
Shenzhen Zhengtong Electronics Co. Ltd. Class A 449,500 1,209
China Oil HBP Science & Technology Co. Ltd. Class A 1,184,212 1,209
Lanpec Technologies Ltd. Class A 638,300 1,209
* GuangYuYuan Chinese Herbal Medicine Co. Ltd. Class A 242,100 1,208
Shanghai Construction Group Co. Ltd. Class A (XSHG) 1,823,522 1,208
* Huaming Power Equipement Co. Ltd. Class A 505,362 1,208
Xiamen Port Development Co. Ltd. Class A 739,716 1,206
JPMF Guangdong Co. Ltd. Class A 794,500 1,206
Sichuan Expressway Co. Ltd. Class A (XSSC) 1,682,510 1,202
Zhejiang Hisun Pharmaceutical Co. Ltd. Class A (XSSC) 568,100 1,201
* Shenzhen Deren Electronic Co. Ltd. Class A 253,591 1,197
* Shandong Lukang Pharma Class A 816,700 1,196
Shanghai Jinfeng Wine Co. Ltd. Class A 758,496 1,195
Jishi Media Co. Ltd. Class A (XSHG) 1,827,200 1,193
Shenzhen Desay Battery Technology Co. Class A 184,400 1,193
Jiangxi Lianchuang Optoelectronic Science & Technology Co. Ltd. Class A (XSSC) 443,776 1,193
Jiangsu High Hope International Group Corp. Class A 916,300 1,193
* Yihua Healthcare Co. Ltd. Class A 253,040 1,193
China Jushi Co. Ltd. Class A (XSSC) 742,638 1,193
Tianjin Development Holdings Ltd. 2,492,000 1,192
* Shenzhen Huakong SEG Co. Ltd. Class A 858,900 1,192
Sanquan Food Co. Ltd. Class A 896,000 1,192
Suzhou Chunxing Precision Mechanical Co. Ltd. Class A 781,900 1,190
Inner Mongolia MengDian HuaNeng Thermal Power Corp. Ltd. Class A (XSHG) 2,555,201 1,190
Ningbo Boway Alloy Material Co. Ltd. Class A 623,270 1,188
* Hunan Aihua Group Co. Ltd. Class A 225,620 1,188
* Xinjiang Youhao Group Co. Ltd. Class A 767,100 1,187
Shanghai Hile Bio-Technology Co. Ltd. Class A 433,341 1,186
Shanghai Fudan Forward S & T Co. Ltd. Class A (XSSC) 912,010 1,186
Zhejiang Fuchunjiang Environmental Thermoelectric Co. Ltd. Class A 585,500 1,186
Hangzhou Zhongheng Electric Co. Ltd. Class A 325,667 1,185
Sichuan Jiuzhou Electric Co. Ltd. Class A 711,368 1,185
Shenzhen Fenda Technology Co. Ltd. Class A 568,791 1,185
* Shenzhen Glory Medical Co. Ltd. Class A 351,886 1,184
* DeHua TB New Decoration Materials Co. Ltd. Class A 595,750 1,183
* Jiangsu Dagang Co. Ltd. Class A 423,089 1,182
Wanxiang Doneed Co. Ltd. Class A 459,048 1,180
Jiangsu Leike Defense Technology Co. Ltd. Class A 602,323 1,178
* Fujian Rongji Software Co. Ltd. Class A 500,500 1,177
Shenzhen Clou Electronics Co. Ltd. Class A 826,100 1,176
* Dasheng Times Cultural Investment Co. Ltd. Class A 116,000 1,176
* Hunan Jinjian Cereals Industry Co. Class A 1,176,000 1,175
Valiant Co. Ltd. Class A 204,100 1,174
Zhejiang Vie Science & Technology Co. Ltd. Class A 336,000 1,174
Sinochem International Corp. Class A (XSSC) 794,851 1,173
Yonghui Superstores Co. Ltd. Class A (XSHG) 1,770,600 1,173
Gohigh Data Networks Technology Co. Ltd. Class A 612,100 1,172
Anhui Xinhua Media Co. Ltd. Class A (XSSC) 490,455 1,172
HeiLongJiang ZBD Pharmaceutical Co. Ltd. Class A 370,400 1,171
Dalian Yi Qiao Sea Cucumber Co. Ltd. Class A 815,775 1,171
* Guangdong Ronsen Super Micro-Wire Co. Ltd. Class A 873,334 1,171
United Electronics Co. Ltd. Class A 324,587 1,171
Shenzhen H&T Intelligent Control Co. Ltd. Class A 708,842 1,171
YUD Yangtze River Investment Industry Co. Ltd. Class A (XSSC) 347,125 1,170
* Anhui Guofeng Plastic Industry Co. Ltd. Class A 1,347,300 1,170
* Far East Smarter Energy Co. Ltd. Class A (XSSC) 901,200 1,170
China Avionics Systems Co. Ltd. Class A (XSSC) 411,820 1,169

 

25

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Huadian Power International Corp. Ltd. Class A (XSHG) 1,581,717 1,169
  Anhui Jinhe Industrial Co. Ltd. Class A 513,300 1,168
  Hangzhou Hangyang Co. Ltd. Class A 926,150 1,168
* Wuhan Iron & Steel Co. Ltd. Class A (XSHG) 2,526,701 1,168
* Western Mining Co. Ltd. Class A (XSSC) 1,053,500 1,165
* Hangzhou Sunyard System Engineering Co. Ltd. Class A (XSSC) 334,854 1,164
  Fujian Longma Environmental Sanitation Equipment Co. Ltd. Class A 229,300 1,161
  Shenzhen New Nanshan Holding Group Co. Ltd. Class A 898,744 1,160
* CNNC Hua Yuan Titanium Dioxide Co. Ltd. Class A 1,148,100 1,160
* Laobaixing Pharmacy Chain JSC Class A (XSSC) 153,900 1,158
  Avic Real Estate Holding Co. Ltd. Class A 744,416 1,157
  Shenzhen Zhongjin Lingnan Nonfemet Co. Ltd. Class A 721,700 1,157
  Xiamen Xindeco Co. Ltd. Class A 486,051 1,156
  Hainan Ruize New Building Material Co. Ltd. Class A 255,568 1,156
  Taihai Manoir Nuclear Equipment Co. Ltd. Class A 147,498 1,155
  Vtron Technologies Ltd. Class A 468,923 1,155
  Ningbo Shanshan Co. Ltd. Class A (XSSC) 497,723 1,155
  Guangxi Guiguan Electric Power Co. Ltd. Class A (XSSC) 1,175,359 1,153
* Shanghai Yatong Co. Ltd. Class A 511,000 1,152
  NARI Technology Co. Ltd. Class A (XSSC) 508,699 1,148
  Sichuan Chengfei Integration Technology Corp. Class A 216,379 1,147
* Hunan Corun New Energy Co. Ltd. Class A 690,330 1,147
  Integrated Electronic Systems Lab Co. Ltd. Class A 423,130 1,147
  Jingwei Textile Machinery Class A 359,700 1,147
  Spring Airlines Co. Ltd. Class A (XSHG) 179,600 1,147
  COFCO Property Group Co. Ltd. Class A 844,131 1,146
  Tsinghua Tongfang Co. Ltd. Class A (XSHG) 554,900 1,146
  Guangdong Hongda Blasting Co. Ltd. Class A 759,658 1,145
* Huaxun Fangzhou Co. Ltd. 408,600 1,144
  Tianjin Port Development Holdings Ltd. 7,468,000 1,143
  XJ Electric Co. Ltd. Class A 443,400 1,143
  Qiaqia Food Co. Ltd. Class A 440,621 1,142
  Datang International Power Generation Co. Ltd. Class A (XSSC) 1,974,340 1,140
  Zhongnan Red Culture Group Co. Ltd. Class A 429,800 1,140
  Dalian Tianbao Green Foods Co. Ltd. Class A 679,700 1,138
  Beijing Shunxin Agriculture Co. Ltd. Class A 384,118 1,138
  HNA Investment Group Co. Ltd. Class A 1,371,500 1,138
* Nanjing Xinlian Electronics Co. Ltd. Class A 771,541 1,136
* Chengdu Qian Feng Electronics Co. Ltd. Class A 153,129 1,135
* Shenzhen Coship Electronics Co. Ltd. Class A 640,400 1,132
  Guangdong Chj Industry Co. Ltd. Class A 727,900 1,129
*,^ China Dynamics Holdings Ltd. 30,680,000 1,128
  Zhejiang Weiming Environment Protection Co. Ltd. Class A 289,800 1,127
  Shanghai Kehua Bio-Engineering Co. Ltd. Class A 352,700 1,126
  Zhejiang Aokang Shoes Co. Ltd. Class A 359,876 1,126
* Zhengzhou Coal Industry & Electric Power Co. Ltd. Class A 1,363,912 1,125
  China National Complete Plant Import & Export Corp. Ltd. Class A 410,475 1,124
* Guomai Technologies Inc. Class A 680,179 1,121
  Lianhe Chemical Technology Co. Ltd. Class A 457,600 1,121
* Sichuan Jiuyuan Yinhai Software Co. Ltd. Class A 78,500 1,119
* China Shipping Haisheng Co. Ltd. Class A 605,722 1,118
  Hefei Meiya Optoelectronic Technology Inc. Class A 358,050 1,118
  Changzhou Xingyu Automotive Lighting Systems Co. Ltd. Class A 194,117 1,118
  Shandong Chenming Paper Holdings Ltd. Class A 794,900 1,116
  Nantong Fujitsu Microelectronics Co. Ltd. Class A 644,588 1,116
  Xiwang Foodstuffs Co. Ltd. Class A 306,500 1,115
  Jiangsu Huaxicun Co. Ltd. Class A 704,200 1,114
* Mingfa Group International Co. Ltd. 4,570,000 1,114
  GEPIC Energy Development Co. Ltd. Class A 551,040 1,113
* Chifeng Jilong Gold Mining Co. Ltd. Class A 427,494 1,113
  Tianjin Zhonghuan Semiconductor Co. Ltd. Class A 910,252 1,112
  Dawning Information Industry Co. Ltd. Class A (XSSC) 232,582 1,112
* Guangzhou Holike Creative Home Co. Ltd. Class A 220,658 1,108
* Sansteel Minguang Co. Ltd. Fujian Class A 945,704 1,108

 

26

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Zhangzhou Pientzehuang Pharmaceutical Co. Ltd. Class A (XSHG) 155,775 1,105
  Joincare Pharmaceutical Group Industry Co. Ltd. Class A (XSSC) 720,954 1,105
* Shijiazhuang Dongfang Energy Co. Ltd. Class A 493,128 1,105
  Shanghai STEP Electric Corp. Class A 503,347 1,104
* Join. in Holding Co. Ltd. Class A 348,500 1,103
  Shunfa Hengye Corp. Class A 1,413,801 1,103
  Sailun Jinyu Group Co. Ltd. (XSHG) 1,737,560 1,101
  YGSOFT Inc. Class A 546,115 1,099
* Gem-Year Industrial Co. Ltd. Class A (XSSC) 746,111 1,099
  China Aerospace Times Electronics Co. Ltd. Class A 462,080 1,098
  Zhejiang China Commodities City Group Co. Ltd. Class A (XSHG) 976,000 1,094
  Fangda Special Steel Technology Co. Ltd. Class A (XSSC) 1,179,649 1,094
* Yantai Dongcheng Pharmaceutical Co. Ltd. Class A 426,300 1,094
* Shandong Tyan Home Co. Ltd. Class A (XSHG) 576,500 1,094
  Zhejiang Conba Pharmaceutical Co. Ltd. Class A (XSHG) 982,257 1,094
  Chengdu Leejun Industrial Co. Ltd. Class A 718,961 1,094
  Neusoft Corp. Class A (XSSC) 411,814 1,093
* Guangdong Guanghong Holdings Co. Ltd. Class A 720,203 1,092
*,^ Wisdom Sports Group 3,382,000 1,091
* China Dalian International Cooperation Group Holdings Ltd. Class A 295,100 1,091
  Han's Laser Technology Industry Group Co. Ltd. Class A 327,400 1,089
* Wisesoft Co. Ltd. Class A 247,414 1,088
* Jiangsu Sopo Chemical Co. Class A 571,400 1,086
  Zhejiang Daily Media Group Co. Ltd. Class A (XSHG) 477,200 1,086
  Nantong Jiangshan Agrochemical & Chemical LLC Class A 391,062 1,086
* Shenzhen Silver Basis Technology Co. Ltd. Class A 266,346 1,085
  Jiangsu King's Luck Brewery JSC Ltd. Class A (XSSC) 552,395 1,084
  Fujian Expressway Development Co. Ltd. Class A (XSHG) 2,156,400 1,081
  Nanjing Redsun Co. Ltd. Class A 462,551 1,081
  Tianjin Capital Environmental Protection Group Co. Ltd. Class A (XSSC) 839,436 1,081
* Visual China Group Co. Ltd. Class A 323,812 1,080
* Nanjing Kangni Mechanical & Electrical Co. Ltd. Class A 476,985 1,079
* Pangang Group Vanadium Titanium & Resources Co. Ltd. Class A 2,797,700 1,079
  Shanghai Tunnel Engineering Co. Ltd. Class A (XSHG) 711,300 1,077
  Fujian Star-net Communication Co. Ltd. Class A 369,581 1,075
  Xiamen Kingdomway Group Co. Class A 462,900 1,075
  Wangfujing Group Co. Ltd. Class A (XSSC) 446,851 1,074
  Changyuan Group Ltd. Class A (XSHG) 522,960 1,074
  China Resources Double Crane Pharmaceutical Co. Ltd. Class A (XSSC) 319,689 1,071
* Kee Ever Bright Decorative Technology Co. Ltd. Class A 117,217 1,071
* Shenzhen Tellus Holding Co. Ltd. Class A 110,007 1,070
  China Zhonghua Geotechnical Engineering Co. Ltd. Class A 853,506 1,069
  Shanghai Xinhua Media Co. Ltd. Class A (XSSC) 805,781 1,068
  Skyworth Digital Co. Ltd. Class A 423,200 1,067
  Guangxi Guidong Electric Power Co. Ltd. Class A 616,200 1,066
* Zhejiang Jingxin Pharmaceutical Co. Ltd. Class A 582,116 1,065
  Hubei Shuanghuan Science and Technology Stock Co. Ltd. Class A 885,700 1,065
  Tungkong Inc. Class A 245,184 1,064
  China Shenhua Energy Co. Ltd. Class A (XSHG) 427,130 1,064
  Shenzhen Invt Electric Co. Ltd. Class A 844,252 1,062
  Guizhou Space Appliance Co. Ltd. Class A 285,320 1,062
  Metallurgical Corp. of China Ltd. Class A (XSHG) 1,714,400 1,062
* Jiangsu Fengdong Thermal Technology Co. Ltd. Class A 198,000 1,061
* Harbin Air Conditioning Co. Ltd. Class A 590,300 1,059
* Montnets Rongxin Technology Group Co. Ltd. Class A 437,000 1,058
  Datang International Power Generation Co. Ltd. Class A (XSHG) 1,831,400 1,058
  Beijing Homyear Capital Holdings Co. Ltd. Class A (XSSC) 647,616 1,058
  China Spacesat Co. Ltd. Class A (XSHG) 226,387 1,057
  CCS Supply Chain Management Co. Ltd. Class A (XSSC) 459,628 1,057
  China TransInfo Technology Co. Ltd. Class A 425,300 1,056
  Shanghai Guangdian Electric Group Co. Ltd. Class A 1,095,200 1,056
  KPC Pharmaceuticals Inc. Class A (XSSC) 523,308 1,055
  Guangzhou Development Group Inc. Class A (XSSC) 858,971 1,054
* Yunnan Tin Co. Ltd. Class A 476,300 1,054

 

27

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Addsino Co. Ltd. Class A 464,700 1,054
Guodian Nanjing Automation Co. Ltd. Class A 851,900 1,053
Lier Chemical Co. Ltd. Class A 707,644 1,053
Wolong Electric Group Co. Ltd. Class A (XSSC) 724,255 1,051
Metallurgical Corp. of China Ltd. Class A (XSSC) 1,696,933 1,051
Shenzhen Properties & Resources Development Group Ltd. Class A 389,552 1,051
Cosmos Group Co. Ltd. Class A 876,400 1,050
Sundy Land Investment Co. Ltd. Class A 1,220,600 1,050
* Jiangsu Zongyi Co. Ltd. Class A 611,800 1,049
Beijing Capital Co. Ltd. Class A (XSSC) 1,674,743 1,049
Henan Huanghe Whirlwind Co. Ltd. Class A (XSSC) 369,100 1,048
Shenzhen Jieshun Science And Technology Industry Co. Ltd. Class A 386,900 1,048
Sanlux Co. Ltd. Class A 412,600 1,045
* Zhonghe Co. Ltd. Class A 404,301 1,043
China Southern Airlines Co. Ltd. Class A (XSSC) 983,183 1,043
* SDIC Essence Holdings Co. Ltd. Class A (XSHG) 439,500 1,043
* MIE Holdings Corp. 10,522,000 1,043
Fujian Yanjing Huiquan Brewery Co. Ltd. Class A 485,543 1,042
Zhejiang Longsheng Auto Parts Co. Ltd. Class A 159,900 1,041
Xinzhi Motor Co. Ltd. Class A 262,300 1,040
Zhejiang Yasha Decoration Co. Ltd. Class A 617,600 1,039
Zhe Jiang Kangsheng Co. Ltd. Class A 688,800 1,037
* Ningbo Bird Co. Ltd. Class A 774,100 1,036
* Jiangsu Sunshine Co. Ltd. Class A 1,561,100 1,036
* Shenzhen Kstar Science And Technology Co. Ltd. Class A 330,003 1,034
Jiangsu Expressway Co. Ltd. Class A (XSSC) 766,800 1,033
China Northern Rare Earth Group High-Tech Co. Ltd. Class A (XSHG) 557,700 1,033
Huaxin Cement Co. Ltd. Class B 1,445,800 1,033
Sinomach Automobile Co. Ltd. Class A (XSSC) 531,194 1,033
Jizhong Energy Resources Co. Ltd. Class A 1,049,951 1,032
* Renhe Pharmacy Co. Ltd. Class A 941,747 1,031
Yotrio Group Co. Ltd. Class A 994,750 1,030
Dongfeng Electronic Technology Co. Ltd. Class A (XSSC) 451,788 1,029
* Pengxin International Mining Co. Ltd. Class A 879,207 1,027
* Shaanxi Xinghua Chemistry Co. Ltd. Class A 913,772 1,025
* Fangda Carbon New Material Co. Ltd. Class A (XSSC) 652,100 1,024
263 Network Communications Co. Ltd. Class A 545,388 1,024
* Guanghui Energy Co. Ltd. Class A (XSHG) 1,637,925 1,024
Anhui Jianghuai Automobile Co. Ltd. Class A (XSHG) 534,301 1,023
South Huiton Co. Ltd. Class A 423,300 1,017
* Guangdong Highsun Group Co. Ltd. Class A 1,356,380 1,017
Shanghai 2345 Network Holding Group Co. Ltd. Class A 577,276 1,016
Jangho Group Co. Ltd. Class A (XSSC) 616,507 1,016
* Jilin Zixin Pharmaceutical Industrial Co. Ltd. Class A 833,200 1,015
Hainan Strait Shipping Co. Ltd. Class A 382,400 1,015
Dr Peng Telecom & Media Group Co. Ltd. Class A (XSSC) 312,079 1,015
Changshu Fengfan Power Equipment Co. Ltd. Class A (XSSC) 845,828 1,015
Citychamp Dartong Co. Ltd. Class A (XSSC) 925,633 1,014
Camel Group Co. Ltd. Class A (XSSC) 367,658 1,014
* Shanghai Zhongyida Co. Ltd. Class A 527,500 1,013
Shandong Oriental Ocean Sci-Tech Co. Ltd. Class A 660,600 1,012
* Shanghai AJ Group Co. Ltd. Class A (XSHG) 566,300 1,011
Harbin Pharmaceutical Group Co. Ltd. Class A (XSHG) 739,354 1,010
Jiangsu Aucksun Co. Ltd. Class A 653,250 1,010
* Hangzhou Cable Co. Ltd. Class A 505,100 1,010
* Fujian Funeng Co. Ltd. Class A (XSSC) 592,188 1,009
* Henan Senyuan Electric Co. Ltd. Class A 379,562 1,008
Shanghai Lansheng Corp. Class A (XSSC) 238,891 1,008
* Avic Aviation High-Technology Co. Ltd. Class A (XSHG) 510,148 1,008
Universal Scientific Industrial Shanghai Co. Ltd. Class A (XSSC) 576,952 1,007
Daye Special Steel Co. Ltd. Class A 556,300 1,005
* Ningxia Zhongyin Cashmere Co. Ltd. Class A 1,130,400 1,004
Shanghai Zhangjiang High-Tech Park Development Co. Ltd. Class A (XSSC) 369,100 1,004
* Sinopec Shandong Taishan Petroleum Co. Ltd. Class A 728,500 1,003

 

28

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Wuxi Taiji Industry Co. Ltd. Class A (XSSC) 784,831 1,001
* PKU Healthcare Corp. Ltd. Class A 476,696 999
* Yunnan Aluminium Co. Ltd. Class A 943,800 999
Guangdong Mingzhu Group Co. Ltd. Class A 387,024 998
Meidu Energy Corp. Class A (XSSC) 1,276,581 997
Shenzhen Hongtao Decoration Co. Ltd. Class A 691,360 996
* China First Heavy Industries Class A (XSHG) 1,200,650 995
* Zhongrun Resources Investment Corp. Class A 867,700 995
Shenzhen Gas Corp. Ltd. Class A (XSHG) 722,397 994
Zhejiang China Light & Textile Industrial City Group Co. Ltd. Class A (XSSC) 1,001,432 994
* Dalian Friendship Group Class A 491,252 992
Jointown Pharmaceutical Group Co. Ltd. Class A (XSHG) 303,520 990
FAW CAR Co. Ltd. Class A 589,943 989
* JS Corrugating Machinery Co. Ltd. Class A 441,096 988
Nanjing Yunhai Special Metals Co. Ltd. Class A 307,617 988
^ Phoenix Satellite Television Holdings Ltd. 4,886,000 988
Shanghai Join Buy Co. Ltd. Class A 421,900 988
Shandong Polymer Biochemicals Co. Ltd. Class A 587,400 987
Whirlpool China Co. Ltd. Class A 599,150 987
* Guangzhou KingTeller Technology Co. Ltd. Class A 817,028 986
Hundsun Technologies Inc. Class A (XSHG) 113,400 986
Jiangsu Wuzhong Industrial Co. Class A (XSSC) 359,939 985
Harbin Hatou Investment Co. Ltd. Class A 585,669 985
* Shandong Humon Smelting Co. Ltd. Class A 550,100 984
Hangzhou Jiebai Group Co. Ltd. Class A (XSSC) 693,786 984
* New Huadu Supercenter Co. Ltd. Class A 589,800 983
* Harbin Churin Group Jointstock Co. Ltd. Class A 631,198 982
Jilin Sino-Microelectronics Co. Ltd. Class A 673,700 981
Zhejiang Wanma Co. Ltd. Class A 383,972 980
Hangzhou Boiler Group Co. Ltd. Class A 539,015 980
* Zhejiang Founder Motor Co. Ltd. Class A 222,698 980
Anhui Truchum Advanced Materials & Technology Co. Ltd. Class A 372,500 980
Guangdong Nan Yang Cable Group Holding Co. Ltd. Class A 386,300 979
Fiberhome Telecommunication Technologies Co. Ltd. Class A (XSHG) 233,300 979
Dalian Refrigeration Co. Ltd. Class B 1,259,701 977
Zhonghong Holding Co. Ltd. Class A 2,423,300 977
* Gansu Dunhuang Seed Co. Ltd. Class A 819,370 977
China National Software & Service Co. Ltd. Class A (XSSC) 242,434 977
Beijing New Building Materials plc Class A 623,500 977
* Zhejiang Satellite Petrochemical Co. Ltd. Class A 601,905 976
Suzhou Tianma Specialty Chemicals Co. Ltd. Class A 681,900 976
* Jinfa Labi Maternity & Baby Articles Co. Ltd. Class A 197,340 975
Henan Yuguang Gold & Lead Co. Ltd. Class A 710,800 975
Chongqing Water Group Co. Ltd. Class A (XSSC) 846,450 975
Shandong Hi-speed Co. Ltd. Class A (XSHG) 1,057,400 973
Hunan Huasheng Co. Ltd. Class A 610,598 973
Hebei Chengde Lolo Co. Class A 559,720 973
* Eastern Pioneer Driving School Co. Ltd. Class A 160,654 972
Zhejiang Medicine Co. Ltd. Class A (XSHG) 463,550 972
* Tongyu Communication Inc. Class A 121,650 972
China South Publishing & Media Group Co. Ltd. Class A (XSHG) 361,000 971
Long Yuan Construction Group Co. Ltd. Class A (XSSC) 566,024 971
* Beijing Bewinner Communications Co. Ltd. Class A 316,232 969
Shanghai Hanbell Precise Machinery Co. Ltd. Class A 560,880 969
Shanghai Shimao Co. Ltd. Class A (XSHG) 871,306 968
Daheng New Epoch Technology Inc. Class A 518,400 968
Chongqing Zaisheng Technology Corp. Ltd. Class A 346,702 965
Shanghai Yanhua Smartech Group Co. Ltd. Class A 704,400 964
Zhongli Science & Technology Group Co. Ltd. Class A 436,400 964
Jiangling Motors Corp. Ltd. Class A 234,298 964
* TOP Energy Co. Ltd-A Class A (XSSC) 1,166,372 964
Yunnan Hongxiang Yixintang Pharmaceutical Co. Ltd. Class A 286,400 963
Jihua Group Corp. Ltd. Class A (XSHG) 768,000 963
* Zhejiang Huayou Cobalt Co. Ltd. Class A 206,889 963

 

29

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
JCHX Mining Management Co. Ltd. Class A (XSHG) 337,920 961
CMST Development Co. Ltd. Class A (XSSC) 779,838 961
Sichuan Road & Bridge Co. Ltd. Class A (XSHG) 1,487,624 961
* Haoxiangni Jujube Co. Ltd. Class A 173,175 960
^ Boer Power Holdings Ltd. 2,395,000 960
* Harbin Electric Corp. Jiamusi Electric Machine Co. Ltd. Class A 566,508 960
China Railway Construction Corp. Ltd. Class A (XSHG) 631,100 959
* Dynavolt Renewable Power Technology Co. Ltd. Class A 220,922 957
* Shenzhen Zowee Tech Co. Ltd. Class A 575,635 956
* Guangzhou Baiyunshan Pharmaceutical Holdings Co. Ltd. Class A (XSHG) 262,000 956
* Steyr Motors Co. Ltd. Class A 519,800 955
* China CIFCO Investment Co. Ltd. Class A 263,200 955
* Shanghai Luxin Packing Materials Science & Technology Co. Ltd. Class A 826,600 955
Qianjiang Water Resources Development Co. Ltd. Class A 521,300 954
Nantong Jianghai Capacitor Co. Ltd. Class A 449,345 954
Jilin Forest Industry Co. Ltd. Class A 535,502 953
* Ciwen Media Co. Ltd. 147,292 952
* Yunnan Yuntianhua Co. Ltd. Class A 747,100 951
China Railway Erju Co. Ltd. Class A (XSHG) 498,900 950
* Changchun Eurasia Group Co. Ltd. Class A (XSSC) 193,201 950
Shanghai Yuyuan Tourist Mart Co. Ltd. Class A (XSSC) 580,256 949
Yueyang Xingchang Petrochemical Class A 218,050 947
* Tianjin Quanye Bazaar (Group) Co. Ltd. Class A 505,939 946
Qiming Information Technology Co. Ltd. Class A 478,073 946
Hunan Nanling Industry Explosive Material Co. Ltd. Class A 413,559 945
* Ningbo Jifeng Auto Parts Co. Ltd. Class A 323,344 942
Xi'an LONGi Silicon Materials Corp. Class A (XSHG) 460,600 942
* Shandong Longlive Bio-Technology Co. Ltd. Class A 564,000 941
Shenzhen Batian Ecotypic Engineering Co. Ltd. Class A 651,251 940
Zhejiang Asia-Pacific Mechanical & Electronic Co. Ltd. Class A 385,700 939
* Nanning Sugar Industry Co. Ltd. Class A 296,059 936
Qingdao Hanhe Cable Co. Ltd. Class A 1,438,384 935
Jiangxi Ganyue Expressway Co. Ltd. Class A (XSHG) 1,305,500 934
Shenzhen Jinjia Group Co. Ltd. Class A 597,600 934
Zibo Qixiang Tengda Chemical Co. Ltd. Class A 945,420 933
Shanghai Tongji Science & Technology Industrial Co. Ltd. Class A (XSSC) 642,481 932
* Beijing Soft Rock Investment Group Corp. Class A 440,067 930
Shanghai Jahwa United Co. Ltd. Class A (XSHG) 232,700 930
Jiaozuo Wanfang Aluminum Manufacturing Co. Ltd. Class A 763,986 930
China Animal Husbandry Industry Co. Ltd. Class A (XSHG) 291,800 929
Xinxing Ductile Iron Pipes Co. Ltd. Class A 1,266,700 928
Tian Di Science & Technology Co. Ltd. Class A (XSSC) 1,340,984 928
ENN Ecological Holdings Co. Ltd. Class A (XSHG) 505,614 927
* China First Heavy Industries Class A (XSSC) 1,118,300 927
Zhejiang Xinan Chemical Industrial Group Co. Ltd. Class A (XSSC) 727,579 927
Zhejiang Runtu Co. Ltd. Class A 385,101 926
* Shen Zhen Mindata Holding Co. Ltd. Class A 424,200 926
Lanzhou LS Heavy Equipment Co. Ltd. Class A (XSSC) 489,203 925
YanTai Shuangta Food Co. Ltd. Class A 815,400 925
* Zhejiang Guyuelongshan Shaoxing Wine Co. Ltd. Class A (XSHG) 609,690 925
* Hengyi Petrochemical Co. Ltd. Class A 500,114 924
Bright Oceans Inter-Telecom Corp. Class A (XSSC) 413,502 923
* Bus Online Co. Ltd. 222,694 923
* Jiangsu Youli Investment Holding Co. Ltd. Class A 527,000 922
Lingyun Industrial Corp. Ltd. Class A (XSSC) 415,941 922
Beijing Urban Construction Investment & Development Co. Ltd. Class A (XSSC) 471,011 921
* Weichai Heavy Machinery Co. Ltd. Class A 398,324 921
Jiangsu Yulong Steel Pipe Co. Ltd. Class A 601,600 919
Orient Securities Co. Ltd. Class A (XSHG) 390,100 918
Guoguang Electric Co. Ltd. Class A 459,400 918
Zhejiang Feida Environmental Science & Technology Co. Ltd. Class A (XSSC) 474,799 917
GITI Tire Corp. Class A 219,400 917
* Gansu Mogao Industrial Development Co. Ltd. Class A 425,300 917
* Anhui Wanwei Updated High-Tech Material Industry Co. Ltd. Class A (XSSC) 1,344,100 916

 

30

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
* Sichuan Hongda Co. Ltd. Class A 972,800 916
* Yifeng Pharmacy Chain Co. Ltd. Class A (XSHG) 185,452 915
Chengzhi Co. Ltd. Class A 357,628 915
Chongqing Dima Industry Co. Ltd. Class A 868,700 914
* Beijing Jingxi Tourism Development Co. Ltd. Class A 286,245 913
* Baotailong New Materials Co. Ltd. Class A 820,700 912
Sanxiang Impression Co. Ltd. Class A 645,800 910
Beijing Sifang Automation Co. Ltd. Class A (XSSC) 617,639 909
Invengo Information Technology Co. Ltd. Class A 473,000 907
* Guangdong Kinlong Hardware Products Co. Ltd. Class A 102,400 907
* DEA General Aviation Holding Co. Ltd. Class A 240,200 906
* Hongbaoli Group Corp. Ltd. Class A 714,859 905
* Shandong Minhe animal Husbandry Co. Ltd. Class A 222,583 905
China CYTS Tours Holding Co. Ltd. Class A (XSHG) 269,300 905
Shanxi Lanhua Sci-Tech Venture Co. Ltd. Class A 779,000 904
Shanghai Electric Power Co. Ltd. Class A (XSHG) 521,400 903
* Orient Group Inc. Class A (XSSC) 861,300 903
Sichuan Swellfun Co. Ltd. Class A 347,502 901
PetroChina Jinhong Energy Investment Co. Ltd. Class A 372,375 900
Jiangsu Fasten Co. Ltd. Class A 505,700 900
* North Huajin Chemical Industries Co. Ltd. Class A 687,903 896
* Advanced Technology & Materials Co. Ltd. Class A 501,000 896
Xinhu Zhongbao Co. Ltd. Class A (XSHG) 1,292,000 896
Chengdu Wintrue Holding Co. Ltd. Class A 479,170 896
Changchun Eurasia Group Co. Ltd. Class A (XSHG) 182,041 895
Cinda Real Estate Co. Ltd. Class A (XSHG) 837,122 895
Zhejiang Golden Eagle Co. Ltd. Class A 492,600 894
Jiangsu Zhongtian Technology Co. Ltd. Class A (XSHG) 560,500 893
Youngor Group Co. Ltd. Class A (XSHG) 424,800 893
* Zhejiang Guyuelongshan Shaoxing Wine Co. Ltd. Class A (XSSC) 588,398 892
Guangdong Shaoneng Group Co. Ltd. Class A 591,240 892
* WUS Printed Circuit Kunshan Co. Ltd. Class A 1,164,076 889
* Guangbo Group Stock Co. Ltd. Class A 341,195 887
Weihai Guangtai Airport Equipment Co. Ltd. Class A 245,902 887
Yihua Lifestyle Technology Co. Ltd. Class A 526,699 886
Jiangsu Guotai International Group Guomao Co. Ltd. Class A 423,300 886
* Shenzhen Center Power Tech Co. Ltd. Class A 252,250 885
China National Medicines Corp. Ltd. Class A (XSHG) 185,586 884
Industrial Securities Co. Ltd. Class A (XSHG) 760,890 884
* Liaoning SG Automotive Group Co. Ltd. Class A 578,328 884
* Beijing Tiantan Biological Products Corp. Ltd. Class A (XSSC) 146,821 882
Sichuan Tuopai Shede Wine Co. Ltd. Class A 254,113 881
Hubei Xingfa Chemicals Group Co. Ltd. Class A (XSSC) 442,875 880
Humanwell Healthcare Group Co. Ltd. Class A (XSHG) 291,000 879
* Ningxia Xinri Hengli Steel Wire Co. Ltd. Class A 480,200 879
Juneyao Airlines Co. Ltd. Class A 233,528 878
* Elec-Tech International Co. Ltd. Class A 968,445 877
* Shaanxi Broadcast & TV Network Intermediary Co. Ltd. Class A (XSSC) 416,916 872
Xiamen Faratronic Co. Ltd. Class A (XSSC) 148,115 871
Sinolink Securities Co. Ltd. Class A (XSHG) 441,000 871
Yonyou Network Technology Co. Ltd. Class A (XSHG) 259,500 870
* Shenzhen Wongtee International Enterprise Co. Ltd. Class B 1,247,940 870
Yunnan Lincang Xinyuan Germanium Industrial Co. Ltd. Class A 396,095 870
Xiamen King Long Motor Group Co. Ltd. Class A 458,046 869
Beiqi Foton Motor Co. Ltd. Class A (XSHG) 2,096,576 869
* Andon Health Co. Ltd. Class A 324,156 868
* Hainan Expressway Co. Ltd. Class A 1,056,400 867
Shanghai Jiaoda Onlly Co. Ltd. Class A 651,750 866
* Fujian Cement Inc. Class A (XSHG) 612,500 865
China Security & Fire Co. Ltd. Class A (XSHG) 286,000 864
* Shanghai Shenhua Holdings Co. Ltd. Class A 1,337,862 863
Haima Automobile Group Co. Ltd. Class A 1,131,800 863
* Tibet Mineral Development Co. Class A 291,700 861
* Chengdu Xinzhu Road&Bridge Machinery Co. Ltd. Class A 482,514 860

 

31

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Jiangsu Huifeng Agrochemical Co. Ltd. Class A 1,096,279 860
* IRICO Display Devices Co. Ltd. Class A 574,500 859
  Shaanxi Aerospace Power Hi-Tech Co. Ltd. Class A (XSSC) 236,600 859
* Yinchuan Xinhua Commercial Group Co. Ltd. Class A 212,170 858
* Shandong Jinjing Science & Technology Co. Ltd. Class A (XSSC) 1,271,196 858
  Hengtong Optic-electric Co. Ltd. Class A (XSHG) 309,400 857
  Xian International Medical Investment Co. Ltd. Class A 860,950 856
  Shenzhen Kingdom Sci-Tech Co. Ltd. Class A (XSHG) 188,500 855
  Shanghai Dragon Corp. Class A 364,000 855
  Yantai Jereh Oilfield Services Group Co. Ltd. Class A 319,400 854
  Wolong Real Estate Group Co. Ltd. Class A (XSSC) 662,901 853
  Chongqing Gangjiu Co. Ltd. Class A 802,300 852
  Guangxi Guiguan Electric Power Co. Ltd. Class A (XSHG) 868,300 852
  Chengtun Mining Group Co. Ltd. Class A (XSSC) 757,325 847
* China Hi-Tech Group Co. Class A (XSHG) 449,600 847
  China Meheco Co. Ltd. Class A (XSSC) 281,360 846
  Zhejiang Jingu Co. Ltd. Class A 327,907 843
* Hongbo Co. Ltd. Class A 239,100 843
* Shanghai Bairun Investment Holding Group Co. Ltd. Class A 237,800 841
* Launch Tech Co. Ltd. 794,500 841
* Sichuan Golden Summit Group Class A 314,600 841
  Mingsheng Holdings Co. Ltd. Class A 642,355 841
  AVIC Helicopter Co. Ltd. Class A (XSSC) 131,603 839
* Guangdong Guanghua Sci-Tech Co. Ltd. Class A 267,742 838
* Shanghai DZH Ltd. Class A 678,900 838
* Zhejiang Dun'An Artificial Environment Co. Ltd. Class A 534,864 836
  Dr Peng Telecom & Media Group Co. Ltd. Class A (XSHG) 257,100 836
  Anhui Sinonet & Xonglong Science & Technology Co. Ltd. 375,002 835
*,^ China Public Procurement Ltd. 88,812,000 835
* Aerospace Hi-Tech Holdings Grp Ltd. Class A 162,987 835
  Chongqing Three Gorges Water Conservancy & Electric Power Co. Ltd. Class A (XSHG) 613,200 833
  Shanghai New Huangpu Real Estate Co. Ltd. Class A (XSHG) 395,400 833
* Saturday Co. Ltd. Class A 413,568 833
* Chongqing Yukaifa Co. Ltd. Class A 731,800 833
  Shenzhen Gongjin Electronics Co. Ltd. Class A (XSHG) 139,200 832
  Bright Dairy & Food Co. Ltd. Class A (XSHG) 389,800 831
  Beijing GeoEnviron Engineering & Technology Inc. Class A 163,200 829
  Inner Mongolia Junzheng Energy & Chemical Industry Group Co. Ltd. Class A (XSHG) 1,085,600 829
* China Minsheng Drawin Technology Group Ltd. 19,800,000 828
  China CSSC Holdings Ltd. Class A (XSHG) 249,270 828
  Xinjiang Guannong Fruit & Antler Group Co. Ltd. Class A (XSSC) 687,142 828
  Zhejiang Huahai Pharmaceutical Co. Ltd. Class A (XSSC) 222,945 828
* Guangdong Guangzhou Daily Media Co. Ltd. Class A 730,428 825
  Shanghai New Huangpu Real Estate Co. Ltd. Class A (XSSC) 391,430 825
  Pubang Landscape Architecture Co. Ltd. Class A 897,097 825
  Shantou Dongfeng Printing Co. Ltd. Class A (XSSC) 457,042 825
  ZhongYeDa Electric Co. Ltd. Class A 395,000 824
  Xinjiang International Industry Co. Ltd. Class A 688,237 823
  Jishi Media Co. Ltd. Class A (XSSC) 1,259,300 823
  Anshan Heavy Duty Mining Machinery Co. Ltd. Class A 164,300 822
  Zhefu Holding Group Co. Ltd. Class A 862,700 821
  Zhuzhou Times New Material Technology Co. Ltd. Class A (XSSC) 348,522 821
  SooChow Securities Co. Ltd. Class A (XSHG) 382,200 817
  Lanzhou Great Wall Electrical Co. Ltd. Class A 584,000 816
* EverChina International Holdings Co. Ltd. 15,675,669 816
  Minmetals Land Ltd. 6,472,000 816
  Xinyu Iron & Steel Co. Ltd. Class A 1,870,600 815
* ZYNP Corp. Class A 447,900 814
* Jiangsu Wanlin Modern Logistics Co. Ltd. Class A 329,200 814
  Sichuan Hebang Biotechnology Co. Ltd. Class A (XSSC) 1,041,300 813
  Shengyi Technology Co. Ltd. Class A (XSHG) 421,392 813
* Yang Quan Coal Industry Group Co. Ltd. Class A (XSHG) 729,300 812
* Datong Coal Industry Co. Ltd. Class A (XSHG) 721,035 812
  China CSSC Holdings Ltd. Class A (XSSC) 244,280 812

 

32

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Hubei Broadcasting & Television Information Network Co. Ltd. Class A 372,800 811
* Shenzhen Selen Science & Technology Co. Ltd. Class A 275,000 811
Hubei Jumpcan Pharmaceutical Co. Ltd. Class A (XSHG) 167,500 809
Heilongjiang Agriculture Co. Ltd. Class A 517,150 809
Jiangxi Copper Co. Ltd. Class A 374,244 809
* Blackcow Food Co. Ltd. Class A 273,150 808
Wangfujing Group Co. Ltd. Class A (XSHG) 335,920 808
Beijing Aerospace Changfeng Co. Ltd. Class A 188,987 807
* Telling Telecommunication Holding Co. Ltd. Class A 483,900 806
* Huludao Zinc Industry Co. Class A 943,200 806
* Shenzhen Aisidi Co. Ltd. Class A 352,100 804
Yintai Resources Co. Ltd. Class A 362,735 804
Mesnac Co. Ltd. Class A 438,189 803
* Kaidi Ecological and Environmental Technology Co. Ltd. Class A 583,600 803
* Chunghsin Technology Group Co. Ltd. Class A 225,463 800
Guirenniao Co. Ltd. Class A (XSSC) 191,699 799
* Pingdingshan Tianan Coal Mining Co. Ltd. Class A (XSHG) 1,035,882 798
Anhui Huilong Agricultural Means of Production Co. Ltd. Class A 591,250 798
* Sichuan Guodong Construction Co. Ltd. 757,300 798
Beijing Hualian Department Store Co. Ltd. Class A 1,344,700 798
Guangdong Delian Group Co. Ltd. Class A 634,135 797
Shijiazhuang Yiling Pharmaceutical Co. Ltd. Class A 329,061 797
Hubei Chutian Expressway Co. Ltd. Class A 1,026,400 797
Nanjing Panda Electronics Co. Ltd. Class A (XSSC) 375,700 796
* Tian Jin Global Magnetic Card Co. Ltd. Class A 557,171 795
AVIC Aero-Engine Controls Co. Ltd. Class A 196,500 792
Changshouhua Food Co. Ltd. 1,536,000 791
Shandong Homey Aquatic Development Co. Ltd. Class A 1,296,098 791
Changchun Faway Automobile Components Co. Ltd. Class A (XSHG) 342,800 791
Wuxi Huaguang Boiler Co. Ltd. Class A 283,300 790
Guizhou Jiulian Industrial Explosive Material Development Co. Ltd. Class A 303,301 790
Beijing Teamsun Technology Co. Ltd. Class A (XSSC) 420,486 788
Shanghai Yaoji Playing Card Co. Ltd. Class A 262,459 788
Loncin Motor Co. Ltd. Class A (XSSC) 258,000 787
Materials Industry Zhongda Group Co. Ltd. Class A (XSHG) 511,810 783
Beijing WKW Automotive Parts Co. Ltd. Class A 326,488 783
Zhejiang Longsheng Group Co. Ltd. Class A (XSHG) 581,200 782
China Meheco Co. Ltd. Class A (XSHG) 260,100 782
Mayinglong Pharmaceutical Group Co. Ltd. Class A (XSSC) 259,926 782
Jiangsu Yangnong Chemical Co. Ltd. Class A (XSSC) 166,900 780
V V Food & Beverage Co. Ltd. Class A (XSSC) 772,770 779
Xinjiang Yilite Industry Co. Ltd. Class A (XSHG) 342,900 778
* Henan Zhongfu Industry Co. Ltd. Class A 861,000 778
Shenzhen Special Economic Zone Real Estate & Properties Group Co. Ltd. Class A 471,000 777
* Guangxi Guitang Group Co. Class A 489,148 776
Shanghai Belling Co. Ltd. Class A (XSSC) 350,844 773
Greatoo Intelligent Equipment Inc. 1,407,600 771
Lingyuan Iron & Steel Co. Ltd. Class A 2,019,700 771
* Befar Group Co. Ltd. Class A (XSSC) 827,456 767
Jilin Yongda Group Co. Ltd. Class A 395,857 767
Liaoning Wellhope Agri-Tech JSC Ltd. Class A (XSHG) 371,300 765
* Qinqin Foodstuffs Group Cayman Co. Ltd. 2,215,980 764
* Xining Special Steel Co. Class A 906,600 764
Colour Life Services Group Co. Ltd. 1,054,000 764
* Beijing Tiantan Biological Products Corp. Ltd. Class A (XSHG) 127,100 763
Shandong Shengli Co. Class A 821,977 762
Tangshan Sanyou Chemical Industries Co. Ltd. Class A (XSSC) 620,352 760
* Grinm Advanced Materials Co. Ltd. Class A (XSSC) 474,000 760
* Shandong Jinling Mining Co. Ltd. Class A 584,300 760
Xi'An Shaangu Power Co. Ltd. Class A (XSHG) 728,545 760
Keda Clean Energy Co. Ltd. Class A (XSHG) 591,200 759
Kingfa Sci & Tech Co. Ltd. Class A (XSSC) 755,423 758
Qingdao Citymedia Co. Ltd. Class A 424,800 757
Befar Group Co. Ltd. Class A (XSHG) 814,262 755

 

33

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Shenzhen ESUN Display Co. Ltd. Class A 90,126 755
* Jinduicheng Molybdenum Co. Ltd. Class A (XSSC) 636,492 752
Innuovo Technology Co. Ltd. Class A 676,055 752
Jiangsu Kanion Pharmaceutical Co. Ltd. Class A (XSSC) 276,418 750
Changzheng Engineering Co. Ltd. Class A (XSSC) 171,551 750
China Wafer Level CSP Co. Ltd. Class A (XSHG) 157,400 750
Zhengzhou Coal Mining Machinery Group Co. Ltd. Class A (XSSC) 819,425 749
Zhejiang China Light & Textile Industrial City Group Co. Ltd. Class A (XSHG) 753,800 748
Beijing Capital Development Co. Ltd. Class A (XSHG) 428,652 747
* Zhejiang Guangsha Co. Ltd. Class A 706,650 746
China Avionics Systems Co. Ltd. Class A (XSHG) 262,584 746
Sino-Platinum Metals Co. Ltd. Class A (XSSC) 190,878 745
Hisense Electric Co. Ltd. Class A (XSSC) 295,362 743
Shandong Sunway Petrochemical Engineering Co. Ltd. Class A 577,700 743
* Yunnan Tourism Co. Ltd. Class A 586,599 742
Guangdong Rongtai Industry Co. Ltd. Class A 540,200 741
CITIC Securities Co. Ltd. Class A (XSHG) 302,500 741
Shanxi Guoxin Energy Corp. Ltd. Class A (XSHG) 434,126 739
AVIC Helicopter Co. Ltd. Class A (XSHG) 115,800 738
China CITIC Bank Corp. Ltd. Class A (XSHG) 824,050 738
Qingdao East Steel Tower Stock Co. Ltd. Class A 480,481 738
Real Nutriceutical Group Ltd. 8,797,000 736
* Qinchuan Machine Tool & Tool Group Co. Ltd. Class A 549,605 736
Ningbo Tuopu Group Co. Ltd. Class A (XSHG) 159,900 734
* Inner Mongolia Pingzhuang Energy Co. Ltd. Class A 711,300 733
Beijing Capital Co. Ltd. Class A (XSHG) 1,167,800 731
Neusoft Corp. Class A (XSHG) 275,400 731
* Linzhou Heavy Machinery Group Co. Ltd. Class A 695,460 730
Youngy Co. Ltd. Class A 183,076 729
Ningbo Marine Co. Ltd. Class A 938,000 728
Wanhua Chemical Group Co. Ltd. Class A (XSSC) 236,439 728
Zhejiang Yankon Group Co. Ltd. Class A (XSHG) 625,675 728
Time Publishing and Media Co. Ltd. Class A (XSSC) 239,408 728
Grandblue Environment Co. Ltd. Class A (XSHG) 316,000 727
* Western Region Gold Co. Ltd. Class A 194,400 727
Suzhou New District Hi-Tech Industrial Co. Ltd. Class A (XSHG) 534,800 726
* Tianjin Tianhai Investment Co. Ltd. Class A 527,800 724
Jiangsu King's Luck Brewery JSC Ltd. Class A (XSHG) 368,662 724
COFCO Tunhe Co. Ltd. Class A 421,800 723
Bros Eastern Co. Ltd. Class A (XSHG) 778,810 723
CSSC Offshore and Marine Engineering Group Co. Ltd. Class A (XSSC) 177,401 722
Shenzhen Prolto Supply Chain Management Co. Ltd. Class A 193,328 721
Aerosun Corp. Class A (XSSC) 276,162 720
* Sichuan Haite High-tech Co. Ltd. Class A 302,880 718
Zhonglu Co. Ltd. Class A (XSSC) 189,037 716
Aerospace Communications Holding Group Co. Ltd. Class A 256,319 716
* Luyin Investment Group Co. Ltd. Class A 515,800 715
* Great Wall Movie and Television Co. Ltd. Class A 354,700 715
Zhejiang JIULI Hi-tech Metals Co. Ltd. Class A 449,450 713
Zijin Mining Group Co. Ltd. Class A (XSHG) 1,461,400 713
* Shenzhen Textile Holdings Co. Ltd. Class A 361,875 711
FSPG Hi-Tech Co. Ltd. Class A 556,700 711
* SDIC Essence Holdings Co. Ltd. Class A (XSSC) 298,900 709
* Aurora Optoelectronics Co. Ltd. Class A (XSSC) 170,889 708
Zhejiang Zheneng Electric Power Co. Ltd. Class A (XSSC) 891,301 706
Nanjing Central Emporium Class A (XSSC) 693,445 705
* Hareon Solar Technology Co. Ltd. Class A 2,013,300 705
* Yunnan Copper Co. Ltd. Class A 447,200 705
China Southern Airlines Co. Ltd. Class A (XSHG) 663,500 704
Jinzhou Port Co. Ltd. Class A 1,144,371 703
China Jushi Co. Ltd. Class A (XSHG) 437,360 702
Simei Media Co. Ltd. Class A 144,198 702
China Merchants Land Ltd. 4,948,000 700
* Minmetals Development Co. Ltd. Class A (XSHG) 283,000 700

 

34

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
* JiuGui Liquor Co. Ltd. Class A 217,000 696
* Shenzhen Comix Group Co. Ltd. Class A 197,593 696
CTS International Logistics Corp. Ltd. Class A 450,986 696
* Shandong Molong Petroleum Machinery Co. Ltd. Class A 377,928 695
Shanghai Zhangjiang High-Tech Park Development Co. Ltd. Class A (XSHG) 254,200 692
Jiangsu Jiangnan High Polymer Fiber Co. Ltd. Class A (XSSC) 707,781 690
Fiyta Holdings Ltd. Class B 681,898 690
Air China Ltd. Class A (XSSC) 630,438 689
* Anhui Jiangnan Chemical Industry Co. Ltd. Class A 532,600 688
* Huawei Culture Co. Ltd. Class A 348,240 687
Asian Star Anchor Chain Co. Ltd. Jiangsu Class A 529,350 687
Neway Valve Suzhou Co. Ltd. Class A (XSHG) 251,288 687
* Guizhou Red Star Developing Co. Ltd. Class A 321,100 687
Besttone Holdings Co. Ltd. Class A (XSSC) 218,900 685
* Tianjin Faw Xiali Automobile Co. Ltd. Class A 865,700 684
Shaanxi Ligeance Mineral Resources Co. Ltd. Class A 205,566 684
Shanghai Wanye Enterprises Co. Ltd. Class A (XSHG) 357,600 683
Jiangxi Hongdu Aviation Industry Co. Ltd. Class A (XSSC) 240,800 683
Zhejiang Hisun Pharmaceutical Co. Ltd. Class A (XSHG) 322,800 682
Xiangtan Electric Manufacturing Co. Ltd. Class A (XSSC) 344,549 679
Western Mining Co. Ltd. Class A (XSHG) 613,700 679
Shenzhen Expressway Co. Ltd. Class A (XSSC) 526,804 679
* Shenzhen Rapoo Technology Co. Ltd. Class A 120,590 676
Jiangsu Shuangxing Color Plastic New Materials Co. Ltd. Class A 432,373 675
Ningbo Yunsheng Group Co. Ltd. Class A (XSSC) 210,795 674
Suzhou Hesheng Special Material Co. Ltd. Class A 182,800 674
Shaanxi Jinye Science Technology And Education Co. Ltd. Group Class A 435,808 673
* Hunan Jiangnan Red Arrow Co. Ltd. Class A 329,544 673
* Beingmate Baby & Child Food Co. Ltd. Class A 387,500 671
Shinva Medical Instrument Co. Ltd. Class A (XSHG) 184,248 670
Tibet Cheezheng Tibetan Medicine Co. Ltd. Class A 120,960 669
Jinyu Bio-Technology Co. Ltd. Class A (XSHG) 147,800 667
* Jiangsu Phoenix Property Investment Co. Ltd. Class A (XSSC) 533,520 666
Xilong Scientific Co. Ltd. 282,775 663
* Orient Group Inc. Class A (XSHG) 631,900 663
Chongqing Water Group Co. Ltd. Class A (XSHG) 575,000 662
Xiamen International Port Co. Ltd. 3,084,000 662
* Shandong Hongda Mining Co. Ltd. Class A (XSHG) 250,782 661
Baoji Titanium Industry Co. Ltd. Class A 233,400 661
* Pingdingshan Tianan Coal Mining Co. Ltd. Class A (XSSC) 856,653 660
Xiamen International Airport Co. Ltd. Class A (XSHG) 196,455 660
* TDG Holdings Co. Ltd. Class A 320,500 659
* Xinjiang Sailimu Modern Agriculture Co. Ltd. Class A 580,800 658
Shanghai U9 Game Co. Ltd. Class A 318,000 657
* China Soft Power Technology Holdings Ltd. 27,440,000 656
* Tianjin Songjiang Co. Ltd. Class A 685,700 656
Beijing Gehua CATV Network Co. Ltd. Class A (XSHG) 270,900 654
* Guangxi Wuzhou Zhongheng Group Co. Ltd. Class A (XSSC) 983,303 653
* Shenzhen Fountain Corp. Class A 599,700 652
* Lander Sports Development Co. Ltd. Class A 299,300 652
DHC Software Co. Ltd. Class A 205,645 651
* P2P Financial Information Service Co. Ltd. Class A 348,000 651
* Zhejiang Qianjiang Motorcycle Co. Ltd. Class A 231,200 650
Xiangtan Electric Manufacturing Co. Ltd. Class A (XSHG) 328,934 648
* Baotou Beifang Chuangye Co. Ltd. Class A 352,000 648
CITIC Heavy Industries Co. Ltd. Class A (XSSC) 831,227 647
Tongkun Group Co. Ltd. Class A (XSSC) 347,785 647
* Shenzhen Capstone Industrial Co. Ltd. Class A 88,900 646
Dongfang Electric Corp. Ltd. Class A (XSSC) 448,691 643
China Grand Automotive Services Co. Ltd. Class A (XSHG) 492,900 643
Shanghai New World Co. Ltd. Class A (XSSC) 314,400 642
Sufa Technology Industry Co. Ltd. CNNC Class A 190,700 641
Huayi Electric Co. Ltd. Class A (XSHG) 364,092 641
* Nanjing Huadong Electronics Information & Technology Co. Ltd. Class A 1,322,852 640

 

35

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Hebei Hengshui Laobaigan Liquor Co. Ltd. Class A (XSHG) 167,497 635
Jiangzhong Pharmaceutical Co. Ltd. Class A (XSSC) 128,400 635
* Yifeng Pharmacy Chain Co. Ltd. Class A (XSSC) 128,377 634
Zhejiang Ming Jewelry Co. Ltd. Class A 328,100 632
Sichuan EM Technology Co. Ltd. Class A (XSHG) 537,500 631
Sichuan Tianyi Science & Technology Co. Ltd. Class A 270,800 631
First Tractor Co. Ltd. Class A (XSHG) 352,300 630
* Guangdong Weihua Corp. Class A 366,774 629
Guangdong HEC Technology Holding Co. Ltd. Class A (XSSC) 622,738 628
Pacific Securities Co. Ltd. Class A (XSHG) 821,535 627
China Shenhua Energy Co. Ltd. Class A (XSSC) 251,550 626
Jiangsu Yueda Investment Co. Ltd. Class A (XSSC) 486,700 626
Shanghai Tunnel Engineering Co. Ltd. Class A (XSSC) 412,700 625
* China Tungsten And Hightech Materials Co. Ltd. Class A 259,900 624
Sinoma International Engineering Co. Class A (XSSC) 595,223 624
Zhejiang Juhua Co. Ltd. Class A (XSSC) 388,725 623
Xiamen ITG Group Corp. Ltd. Class A (XSSC) 478,674 622
Deluxe Family Co. Ltd. Class A (XSSC) 437,436 620
* Sunward Intelligent Equipment Co. Ltd. Class A 424,600 620
Hangzhou Silan Microelectronics Co. Ltd. Class A (XSSC) 632,600 619
* Ingenious Ene-Carbon New Materials Co. Ltd. Class A 469,900 619
Shanghai Wanye Enterprises Co. Ltd. Class A (XSSC) 323,932 619
Tibet Urban Development and Investment Co. Ltd. Class A (XSSC) 267,344 619
Shanghai Jinjiang International Industrial Investment Co. Ltd. Class A (XSHG) 161,800 617
* Star Lake Bioscience Co. Inc. Zhaoqing Guangdong Class A 621,400 615
* Shanghai SK Petroleum & Chemical Equipment Corp. Ltd. Class A 253,600 613
Sinochem International Corp. Class A (XSHG) 414,700 612
SDIC Power Holdings Co. Ltd. Class A (XSSC) 631,993 611
* Nanjing Iron & Steel Co. Ltd. Class A 1,601,500 611
* China Hainan Rubber Industry Group Co. Ltd. Class A (XSHG) 655,100 610
* Guangdong Meiyan Jixiang Hydropower Co. Ltd. Class A 586,600 608
Hubei Xingfa Chemicals Group Co. Ltd. Class A (XSHG) 306,000 608
Xingmin Intelligent Transportation Systems Group Co. Ltd. Class A 245,226 608
Changchai Co. Ltd. Class B 954,342 606
* Shantui Construction Machinery Co. Ltd. Class A 722,635 606
* Dongyue Group Ltd. 3,428,000 606
* Xiamen XGMA Machinery Co. Ltd. Class A 600,000 602
Sichuan Chengfa Aero-Science & Technology Co. Ltd. Class A (XSSC) 103,600 602
* Sichuan Guodong Construction Co. Ltd. Class A 570,200 601
Luxin Venture Capital Group Co. Ltd. Class A (XSSC) 165,708 598
Kingfa Sci & Tech Co. Ltd. Class A (XSHG) 596,600 598
* Sichuan Western Resources Holding Co. Ltd. Class A 315,200 598
China Sports Industry Group Co. Ltd. Class A (XSSC) 219,000 597
Zhangjiagang Freetrade Science and Technology Co. Ltd. Class A (XSSC) 696,286 597
Xinjiang Xuefeng Sci-Tech Group Co. Ltd. Class A 458,800 596
* Liaoning Wellhope Agri-Tech JSC Ltd. Class A (XSSC) 289,101 596
Aeolus Tyre Co. Ltd. Class A 398,304 595
Hubei Kaile Science & Technology Co. Ltd. Class A (XSHG) 265,300 594
* Avic Aviation High-Technology Co. Ltd. Class A (XSSC) 300,067 593
* Jinduicheng Molybdenum Co. Ltd. Class A (XSHG) 501,200 592
* Hunan Investment Group Co. Ltd. Class A 490,600 591
* Far East Smarter Energy Co. Ltd. Class A (XSHG) 455,060 591
Zhejiang Juhua Co. Ltd. Class A (XSHG) 367,800 590
* Ningbo Fuda Co. Ltd. Class A 692,700 589
Southwest Securities Co. Ltd. Class A (XSHG) 547,606 589
* Anhui Hengyuan Coal Industry and Electricity Power Co. Ltd. Class A (XSHG) 547,500 588
* Shanghai Metersbonwe Fashion & Accessories Co. Ltd. Class A 926,300 588
Hefei Meiling Co. Ltd. Class B 962,200 587
Gansu Yasheng Industrial Group Co. Ltd. Class A (XSSC) 721,600 587
* Tianjin Benefo Tejing Electric Co. Ltd. Class A (XSSC) 286,889 586
Jonjee High-Tech Industrial And Commercial Holding Co. Ltd. Class A (XSHG) 234,200 586
* Zhejiang Great Southeast Co. Ltd. Class A 1,101,400 585
Shenzhen Noposion Agrochemicals Co. Ltd. Class A 383,200 585
Guizhou Yibai Pharmaceutical Co. Ltd. Class A (XSSC) 237,100 584

 

36

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Henan Zhongyuan Expressway Co. Ltd. Class A (XSHG) 876,400 582
Nanjing Gaoke Co. Ltd. Class A (XSHG) 232,200 581
* Guizhou Changzheng Tiancheng Holding Co. Ltd. Class A (XSSC) 351,094 581
* Sichuan Changhong Electric Co. Ltd. Class A (XSHG) 917,600 581
Anhui Xinli Finance Co. Ltd. Class A 119,900 580
* Henan Thinker Automatic Equipment Co. Ltd. Class A (XSSC) 47,539 578
Jiangsu Expressway Co. Ltd. Class A (XSHG) 428,998 578
Hisense Electric Co. Ltd. Class A (XSHG) 229,200 577
CMST Development Co. Ltd. Class A (XSHG) 467,300 576
Zhejiang Hangmin Co. Ltd. Class A (XSHG) 318,100 573
Shanghai ShenTong Metro Co. Ltd. Class A 262,401 573
Time Publishing and Media Co. Ltd. Class A (XSHG) 187,800 571
* Anhui Jianghuai Automobile Co. Ltd. Class A (XSSC) 296,100 567
Shanghai Jielong Industry Group Corp. Ltd. Class A 418,400 566
KPC Pharmaceuticals Inc. Class A (XSHG) 280,088 565
* Shanghai Maling Aquarius Co. Ltd. Class A (XSHG) 323,200 565
* YunNan Metropolitan Real Estate Development Co. Ltd. Class A (XSHG) 644,700 564
Eastern Communications Co. Ltd. Class A (XSHG) 392,200 562
* Shenyang Machine Tool Co. Ltd. Class A 262,000 560
Sichuan Yahua Industrial Group Co. Ltd. Class A 545,100 558
Citic Offshore Helicopter Co. Ltd. Class A 296,000 557
North Navigation Control Technology Co. Ltd. Class A (XSHG) 256,600 556
Lifan Industry Group Co. Ltd. Class A (XSSC) 388,900 553
Beiqi Foton Motor Co. Ltd. Class A (XSSC) 1,333,710 553
Chongqing Zongshen Power Machinery Co. Ltd. Class A 367,200 553
* Shandong Mining Machinery Group Co. Ltd. Class A 368,800 551
Zhejiang Daily Media Group Co. Ltd. Class A (XSSC) 241,888 550
Rongan Property Co. Ltd. Class A 814,200 550
Chongqing Three Gorges Water Conservancy & Electric Power Co. Ltd. Class A (XSSC) 404,858 550
Gansu Gangtai Holding Group Co. Ltd. Class A (XSHG) 226,680 550
Jinxi Axle Co. Ltd. Class A (XSSC) 501,211 549
* China Hainan Rubber Industry Group Co. Ltd. Class A (XSSC) 589,600 549
Loncin Motor Co. Ltd. Class A (XSHG) 179,300 547
Anhui Shanying Paper Industry Co. Ltd. Class A (XSHG) 1,176,000 546
Anhui Xinhua Media Co. Ltd. Class A (XSHG) 227,560 544
* Rizhao Port Co. Ltd. Class A (XSSC) 912,650 543
Laobaixing Pharmacy Chain JSC Class A (XSHG) 72,121 543
Huadian Heavy Industries Co. Ltd. Class A (XSHG) 414,676 543
* Henan Shenhuo Coal & Power Co. Ltd. Class A 644,700 542
Chengdu B-Ray Media Co. Ltd. Class A (XSSC) 439,200 542
* SRE Group Ltd. 18,474,000 542
Mayinglong Pharmaceutical Group Co. Ltd. Class A (XSHG) 179,100 539
Shenguan Holdings Group Ltd. 6,646,000 539
Jiangsu Yangnong Chemical Co. Ltd. Class A (XSHG) 114,900 537
V V Food & Beverage Co. Ltd. Class A (XSHG) 532,402 537
* Wuhan Iron & Steel Co. Ltd. Class A (XSSC) 1,161,460 537
* Pang Da Automobile Trade Co. Ltd. Class A (XSHG) 1,316,800 536
Glarun Technology Co. Ltd. Class A (XSHG) 105,660 534
* Qingdao Kingking Applied Chemistry Co. Ltd. Class A 141,100 534
Tangshan Sanyou Chemical Industries Co. Ltd. Class A (XSHG) 435,200 533
Yunnan Chihong Zinc & Germanium Co. Ltd. Class A (XSHG) 604,980 531
Sichuan Hebang Biotechnology Co. Ltd. Class A (XSHG) 679,700 530
Shanghai Yuyuan Tourist Mart Co. Ltd. Class A (XSHG) 324,100 530
Guangdong Guanhao High-Tech Co. Ltd. Class A 423,300 529
Dongfang Electric Corp. Ltd. Class A (XSHG) 368,700 529
* Chongqing Iron & Steel Co. Ltd. Class A (XSHG) 1,419,100 528
* Zhejiang Jingxing Paper JSC Ltd. Class A 490,500 528
* Lotus Health Group Co. Class A 614,500 527
Jiangsu Phoenix Publishing & Media Corp. Ltd. Class A (XSHG) 319,000 526
Fangda Special Steel Technology Co. Ltd. Class A (XSHG) 565,690 525
Guangzhou Development Group Inc. Class A (XSHG) 427,000 524
Dashang Group Co. Ltd. Class A (XSHG) 84,700 524
Shanghai Feilo Acoustics Co. Ltd. Class A (XSHG) 301,800 520
Xiamen Tungsten Co. Ltd. Class A (XSHG) 134,000 517

 

37

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Huayi Electric Co. Ltd. Class A (XSSC) 293,437 517
* Zhongyuan Union Cell & Gene Engineering Corp. Ltd. Class A (XSHG) 115,300 516
People.cn Co. Ltd. Class A (XSHG) 180,600 516
* Jiangsu Phoenix Property Investment Co. Ltd. Class A (XSHG) 409,000 510
* Shanghai Maling Aquarius Co. Ltd. Class A (XSSC) 291,998 510
Beijing Urban Construction Investment & Development Co. Ltd. Class A (XSHG) 260,600 510
Guizhou Panjiang Refined Coal Co. Ltd. Class A (XSHG) 385,200 507
China Railway Tielong Container Logistics Co. Ltd. Class A (XSHG) 450,150 506
* Wuxi Commercial Mansion Grand Orient Co. Ltd. Class A (XSHG) 357,771 506
* Liaoning Cheng Da Co. Ltd. Class A (XSHG) 176,400 506
* Henan Thinker Automatic Equipment Co. Ltd. Class A (XSHG) 41,500 505
Lucky Film Co. Class A (XSSC) 219,191 502
China World Trade Center Co. Ltd. Class A (XSHG) 172,500 502
* Shanghai AJ Group Co. Ltd. Class A (XSSC) 280,727 501
* China Minmetals Rare Earth Co. Ltd. Class A 287,300 501
Beijing Bashi Media Co. Ltd. Class A (XSSC) 219,717 500
* Sichuan Changhong Electric Co. Ltd. Class A (XSSC) 787,438 498
* Gansu Jiu Steel Group Hongxing Iron & Steel Co. Ltd. Class A (XSHG) 1,253,300 497
Shanghai Pudong Road & Bridge Construction Co. Ltd. Class A (XSHG) 301,900 496
China Western Power Industrial Co. Ltd. Class A 249,800 496
* Zhejiang Hangmin Co. Ltd. Class A (XSSC) 274,993 496
* Ningbo Sanxing Electric Co. Ltd. Class A (XSHG) 258,500 491
* Cofco Biochemical Co. Ltd. Class A 292,300 488
* Cangzhou Dahua Co. Ltd. Class A 168,483 487
Beijing Jingyuntong Technology Co. Ltd. Class A (XSHG) 450,160 486
Shanghai Zi Jiang Enterprise Group Co. Ltd. Class A (XSSC) 597,218 486
CITIC Heavy Industries Co. Ltd. Class A (XSHG) 624,200 486
Xinjiang Tianfu Energy Co. Ltd. Class A (XSHG) 425,800 485
* Daphne International Holdings Ltd. 3,682,000 483
Long Yuan Construction Group Co. Ltd. Class A (XSHG) 281,700 483
Anhui Heli Co. Ltd. Class A (XSHG) 277,700 482
Tianrun Crankshaft Co. Ltd. Class A 361,300 482
Dashang Group Co. Ltd. Class A (XSSC) 77,700 481
* Shangdong Geo-Mineral Co. Ltd. Class A 181,000 480
COSCO Shipping Co. Ltd. Class A (XSHG) 557,401 480
GD Power Development Co. Ltd. Class A (XSSC) 1,075,915 477
Changyuan Group Ltd. Class A (XSSC) 231,783 476
* Shenji Group Kunming Machine Tool Co. Ltd. Class A 395,120 475
Orient International Enterprise Ltd. Class A (XSSC) 151,830 474
* Taiyuan Coal Gasification Co. Ltd. Class A 315,231 474
Shanghai Shenda Co. Ltd. Class A (XSSC) 280,493 473
Tongwei Co. Ltd. Class A (XSHG) 526,200 472
* China National Medicines Corp. Ltd. Class A (XSSC) 98,552 470
Shanghai Lansheng Corp. Class A (XSHG) 110,800 468
* Maanshan Iron & Steel Co. Ltd. Class A (XSHG) 1,120,600 467
Fujian Longking Co. Ltd. Class A (XSHG) 245,222 466
Shanghai Feilo Acoustics Co. Ltd. Class A (XSSC) 270,600 466
* Zhongyuan Union Cell & Gene Engineering Corp. Ltd. Class A (XSSC) 103,883 465
Anhui Xinke New Materials Co. Ltd. Class A (XSSC) 714,400 464
Fushun Special Steel Co. Ltd. Class A (XSSC) 440,720 463
Maoye Commericial Co. Ltd. Class A (XSHG) 402,600 459
Shaanxi Aerospace Power Hi-Tech Co. Ltd. Class A (XSHG) 126,100 458
* Yueyang Forest & Paper Co. Ltd. Class A (XSSC) 402,600 458
Sinotrans Air Transportation Development Co. Ltd. Class A (XSSC) 161,950 456
Xinjiang Urban Construction Group Co. Ltd. Class A (XSHG) 449,600 456
* Guangxi Wuzhou Zhongheng Group Co. Ltd. Class A (XSHG) 683,200 454
Xiamen ITG Group Corp. Ltd. Class A (XSHG) 348,100 453
Zhangjiagang Freetrade Science and Technology Co. Ltd. Class A (XSHG) 525,800 451
* BYD Co. Ltd. Class A 54,300 450
Shanghai Yimin Commerce Group Co. Ltd. Class A (XSHG) 457,500 448
Shanghai Jahwa United Co. Ltd. Class A (XSSC) 110,843 443
Shanghai Industrial Development Co. Ltd. Class A (XSHG) 357,890 443
* Shanxi Coal International Energy Group Co. Ltd. Class A 745,199 443
Guangdong Xinhui Meida Nylon Co. Ltd. Class A 337,800 442

 

38

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Guizhou Yibai Pharmaceutical Co. Ltd. Class A (XSHG) 178,600 440
China Television Media Ltd. Class A (XSSC) 129,531 440
Beijing Homyear Capital Holdings Co. Ltd. Class A (XSHG) 269,440 440
* Shanghai M&G Stationery Inc. Class A 162,050 439
Guizhou Panjiang Refined Coal Co. Ltd. Class A (XSSC) 333,800 439
* Maanshan Iron & Steel Co. Ltd. Class A (XSSC) 1,053,172 439
CSSC Offshore and Marine Engineering Group Co. Ltd. Class A (XSHG) 107,500 437
Dalian Huarui Heavy Industry Group Co. Ltd. Class A 683,920 436
* Jilin Ji En Nickel Industry Co. Ltd. Class A 409,662 435
* Zhejiang Qianjiang Biochem Class A 299,800 434
Great Wall Motor Co. Ltd. Class A 277,400 433
CCS Supply Chain Management Co. Ltd. Class A (XSHG) 188,300 433
Jiangzhong Pharmaceutical Co. Ltd. Class A (XSHG) 87,100 431
Shanghai Qiangsheng Holding Co. Ltd. Class A (XSHG) 250,900 429
Anhui Yingliu Electromechanical Co. Ltd. Class A (XSSC) 138,800 426
China Sports Industry Group Co. Ltd. Class A (XSHG) 156,000 425
Gansu Yasheng Industrial Group Co. Ltd. Class A (XSHG) 519,200 423
* Triumph Science & Technology Co. Ltd. Class A (XSSC) 154,775 421
Beijing Gehua CATV Network Co. Ltd. Class A (XSSC) 173,800 420
Guangdong HEC Technology Holding Co. Ltd. Class A (XSHG) 414,200 418
* Yueyang Forest & Paper Co. Ltd. Class A (XSHG) 365,300 415
Hainan Mining Co. Ltd. Class A (XSHG) 239,100 415
Ningbo Yunsheng Group Co. Ltd. Class A (XSHG) 129,300 414
* Xinjiang Qingsong Building Materials and Chemicals Group Co. Ltd. Class A (XSHG) 627,400 412
Yabao Pharmaceutical Group Co. Ltd. Class A (XSHG) 270,400 411
Hangzhou Silan Microelectronics Co. Ltd. Class A (XSHG) 419,500 411
Welling Holding Ltd. 2,038,000 406
Camel Group Co. Ltd. Class A (XSHG) 146,600 404
Xinjiang Joinworld Co. Ltd. Class A (XSHG) 343,200 403
Shanghai Jiao Yun Co. Ltd. Class A (XSHG) 293,500 402
* JCHX Mining Management Co. Ltd. Class A (XSSC) 141,210 402
Founder Technology Group Corp. Class A (XSHG) 533,300 399
Dawning Information Industry Co. Ltd. Class A (XSHG) 83,200 398
Shuangliang Eco-Energy Systems Co. Ltd. Class A (XSHG) 412,005 394
China National Software & Service Co. Ltd. Class A (XSHG) 97,500 393
Jiangsu Linyang Energy Co. Ltd. Class A (XSHG) 284,900 392
Beijing Sifang Automation Co. Ltd. Class A (XSHG) 266,300 392
* Chongqing Iron & Steel Co. Ltd. 1,228,000 391
Jiangsu Yabang Dyestuff Co. Ltd. Class A (XSHG) 145,500 391
Beibuwan Port Co. Ltd. Class A 154,067 390
Jonjee High-Tech Industrial And Commercial Holding Co. Ltd. Class A (XSSC) 155,047 388
Meidu Energy Corp. Class A (XSHG) 496,400 388
* Grinm Advanced Materials Co. Ltd. Class A (XSHG) 241,500 387
^ Hydoo International Holding Ltd. 3,864,000 387
* Konka Group Co. Ltd. Class A 535,900 385
Fujian Longking Co. Ltd. Class A (XSSC) 202,180 384
Changjiang & Jinggong Steel Building Group Co. Ltd. Class A (XSHG) 590,400 384
Zhejiang Chint Electrics Co. Ltd. Class A (XSSC) 121,826 384
* Liuzhou Iron & Steel Co. Ltd. Class A 711,900 383
* Zhangzidao Group Co. Ltd. Class A 238,100 382
Tianjin Capital Environmental Protection Group Co. Ltd. Class A (XSHG) 294,500 379
Shanghai Jinjiang International Industrial Investment Co. Ltd. Class A (XSSC) 99,400 379
Sinoma International Engineering Co. Class A (XSHG) 361,650 379
* Fangda Carbon New Material Co. Ltd. Class A (XSHG) 240,900 378
* Yunnan Yunwei Co. Ltd. Class A 448,200 377
Jiangsu Nonghua Intelligent Agriculture Technology Co. Ltd. Class A 447,000 377
Wasu Media Holding Co. Ltd. Class A 133,500 377
Citychamp Dartong Co. Ltd. Class A (XSHG) 343,700 377
* Jilin Yatai Group Co. Ltd. Class A (XSHG) 492,000 376
Besttone Holdings Co. Ltd. Class A (XSHG) 119,700 374
* Taiyuan Heavy Industry Co. Ltd. Class A (XSHG) 613,100 374
Beijing Haohua Energy Resource Co. Ltd. Class A (XSSC) 386,714 373
Ningbo Shanshan Co. Ltd. Class A (XSHG) 159,200 369
Shanghai Dingli Technology Development Group Co. Ltd. Class A (XSHG) 228,600 369

 

39

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Bright Oceans Inter-Telecom Corp. Class A (XSHG) 164,500 367
^ China Resources and Transportation Group Ltd. 21,035,000 367
  HNA Infrastructure Company Ltd. 328,000 367
  Deluxe Family Co. Ltd. Class A (XSHG) 257,500 365
  Nanjing Central Emporium Class A (XSHG) 358,100 364
  Joincare Pharmaceutical Group Industry Co. Ltd. Class A (XSHG) 237,600 364
* Chang Jiang Shipping Group Phoenix Co. Ltd. Class A 341,600 364
*,^ Universal Health International Group Holding Ltd. 8,078,000 364
  Henan Huanghe Whirlwind Co. Ltd. Class A (XSHG) 128,000 364
* Neoglory Prosperity Inc. Class A 152,829 362
  Gansu Jingyuan Coal Industry and Electricity Power Co. Ltd. Class A 600,400 361
  Wenfeng Great World Chain Development Corp. Class A (XSHG) 460,200 357
  Jiangsu SINOJIT Wind Energy Technology Co. Ltd. Class A (XSHG) 441,600 357
  Zhuzhou Times New Material Technology Co. Ltd. Class A (XSHG) 151,400 357
  Lifan Industry Group Co. Ltd. Class A (XSHG) 250,700 356
* China Coal Energy Co. Ltd. Class A (XSHG) 361,900 355
  Hebei Hengshui Laobaigan Liquor Co. Ltd. Class A (XSSC) 93,500 354
  Tianjin ZhongXin Pharmaceutical Group Corp. Ltd. Class A (XSHG) 141,500 353
  Jinxi Axle Co. Ltd. Class A (XSHG) 321,000 351
  Luxin Venture Capital Group Co. Ltd. Class A (XSHG) 97,300 351
  Jiangxi Hongdu Aviation Industry Co. Ltd. Class A (XSHG) 123,000 349
* Ningbo Tuopu Group Co. Ltd. Class A (XSSC) 75,737 348
* Rizhao Port Co. Ltd. Class A (XSHG) 580,400 345
  Shanghai Zhongji Investment Holding Co. Ltd. Class A (XSSC) 129,600 345
  Huolinhe Opencut Coal Industry Corp. Ltd. of Inner Mongolia Class A 251,700 345
  Hangzhou Jiebai Group Co. Ltd. Class A (XSHG) 243,100 345
  Sinomach Automobile Co. Ltd. Class A (XSHG) 177,150 344
  Dalian Port PDA Co. Ltd. Class A 958,410 344
  Sichuan Chengfa Aero-Science & Technology Co. Ltd. Class A (XSHG) 59,100 343
  Xiamen Faratronic Co. Ltd. Class A (XSHG) 58,248 343
  Chongqing Machinery & Electric Co. Ltd. 2,886,000 341
  Shanghai Zhixin Electric Co. Ltd. Class A (XSHG) 209,544 341
  Guangzhou Pearl River Industrial Development Co. Ltd. Class A (XSHG) 285,100 341
  Guirenniao Co. Ltd. Class A (XSHG) 81,674 340
* Shenzhen Gongjin Electronics Co. Ltd. Class A (XSSC) 56,840 340
* Pang Da Automobile Trade Co. Ltd. Class A (XSSC) 833,600 339
  Fushun Special Steel Co. Ltd. Class A (XSHG) 322,000 339
  Gansu Qilianshan Cement Group Co. Ltd. Class A (XSHG) 306,100 338
  Beijing Teamsun Technology Co. Ltd. Class A (XSHG) 180,320 338
  Xinjiang Yilite Industry Co. Ltd. Class A (XSSC) 148,688 338
  Sinopec Shanghai Petrochemical Co. Ltd. Class A 388,400 337
  Tianjin Benefo Tejing Electric Co. Ltd. Class A (XSHG) 165,000 337
* Anyuan Coal Industry Group Co. Ltd. Class A (XSHG) 422,000 330
  Shanghai Shenda Co. Ltd. Class A (XSHG) 195,100 329
* Wanda Hotel Development Co. Ltd. 3,326,000 329
  Jiangsu Hongtu High Technology Co. Ltd. Class A 190,750 329
* Hubei Kaile Science & Technology Co. Ltd. Class A (XSSC) 146,423 328
  Shanghai Dazhong Public Utilities Group Co. Ltd. Class A (XSHG) 345,800 325
  Chengtun Mining Group Co. Ltd. Class A (XSHG) 286,400 320
  Bright Real Estate Group Co. Ltd. Class A (XSHG) 229,900 320
  Zhuzhou Qianjin Pharmaceutical Co. Ltd. Class A (XSHG) 128,300 320
  Avic Heavy Machinery Co. Ltd. Class A (XSHG) 147,200 319
  Jangho Group Co. Ltd. Class A (XSHG) 193,400 319
* China Enterprise Co. Ltd. Class A 427,200 319
  Hangzhou Sunyard System Engineering Co. Ltd. Class A (XSHG) 91,600 318
* SDIC Xinji Energy Co. Ltd. Class A 474,302 317
  China Molybdenum Co. Ltd. Class A (XSHG) 558,700 316
* Chongyi Zhangyuan Tungsten Co. Ltd. Class A 201,600 316
  Changshu Fengfan Power Equipment Co. Ltd. Class A (XSHG) 263,500 316
  Tian Di Science & Technology Co. Ltd. Class A (XSHG) 456,100 316
  Shanghai Belling Co. Ltd. Class A (XSHG) 143,000 315
  Shanghai Dazhong Public Utilities Group Co. Ltd. Class A (XSSC) 333,600 314
  Universal Scientific Industrial Shanghai Co. Ltd. Class A (XSHG) 178,938 312
* Shaanxi Broadcast & TV Network Intermediary Co. Ltd. Class A (XSHG) 149,200 312

 

40

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Huayuan Property Co. Ltd. Class A (XSHG) 440,570 309
  Yanzhou Coal Mining Co. Ltd. Class A (XSSC) 165,800 309
  EGing Photovoltaic Technology Co. Ltd. Class A (XSHG) 271,800 308
* Yuanda China Holdings Ltd. 11,820,000 306
  Shanghai New World Co. Ltd. Class A (XSHG) 149,800 306
  Jiangsu Changjiang Electronics Technology Co. Ltd. Class A (XSHG) 105,300 305
  Orient International Enterprise Ltd. Class A (XSHG) 97,700 305
  Zhengzhou Coal Mining Machinery Group Co. Ltd. Class A (XSHG) 332,200 304
* Shanghai Jinjiang International Hotels Development Co. Ltd. Class A 66,900 303
  Shanghai Dingli Technology Development Group Co. Ltd. Class A (XSSC) 187,432 302
  YUD Yangtze River Investment Industry Co. Ltd. Class A (XSHG) 89,650 302
* Beijing Kingee Culture Development Co. Ltd. Class A 105,455 302
  Anhui Yingliu Electromechanical Co. Ltd. Class A (XSHG) 98,400 302
* Chongqing Jianfeng Chemical Co. Ltd. Class A 233,300 302
  Huafa Industrial Co. Ltd. Zhuhai Class A (XSHG) 153,800 300
  Shanghai Xinhua Media Co. Ltd. Class A (XSHG) 226,400 300
  Black Peony Group Co. Ltd. Class A (XSHG) 225,400 300
  Shanghai East China Computer Co. Ltd. Class A (XSHG) 72,280 297
*,^ Skyway Securities Group Ltd. 13,290,000 292
  Shanghai Chinafortune Co. Ltd. Class A (XSHG) 165,500 292
  Shenzhen Heungkong Holding Co. Ltd. Class A (XSHG) 454,350 291
* Huadian Energy Co. Ltd. Class A 382,900 290
* Gem-Year Industrial Co. Ltd. Class A (XSHG) 196,000 289
  Shanghai Qiangsheng Holding Co. Ltd. Class A (XSSC) 168,000 287
* Guanghui Energy Co. Ltd. Class A (XSSC) 455,853 285
  Wolong Real Estate Group Co. Ltd. Class A (XSHG) 220,900 284
  Shanghai Zhongji Investment Holding Co. Ltd. Class A (XSHG) 105,700 281
  Anhui Expressway Co. Ltd. Class A 144,600 279
* SGIS Songshan Co. Ltd. Class A 459,790 277
  Beijing Haohua Energy Resource Co. Ltd. Class A (XSHG) 286,200 276
  Lucky Film Co. Class A (XSHG) 120,000 275
* Shanxi Lu'an Environmental Energy Development Co. Ltd. Class A (XSSC) 212,502 272
* Infotmic Co. Ltd. Class A 245,000 271
  Sinotrans Air Transportation Development Co. Ltd. Class A (XSHG) 96,100 271
  China CITIC Bank Corp. Ltd. Class A (XSSC) 301,100 270
  Shenzhen Expressway Co. Ltd. Class A (XSHG) 206,700 266
* Hainan Mining Co. Ltd. Class A (XSSC) 153,262 266
  China Pacific Insurance Group Co. Ltd. Class A (XSHG) 61,300 265
  Jiangxi Lianchuang Optoelectronic Science & Technology Co. Ltd. Class A (XSHG) 98,300 264
  Sino-Platinum Metals Co. Ltd. Class A (XSHG) 67,500 263
  Nanjing Panda Electronics Co. Ltd. Class A (XSHG) 124,000 263
  Tongkun Group Co. Ltd. Class A (XSHG) 141,000 262
  Wolong Electric Group Co. Ltd. Class A (XSHG) 180,200 262
  Jiangsu Yueda Investment Co. Ltd. Class A (XSHG) 202,800 261
  Wuxi Taiji Industry Co. Ltd. Class A (XSHG) 204,420 261
* Minmetals Development Co. Ltd. Class A (XSSC) 104,800 259
* Shougang Concord International Enterprises Co. Ltd. 8,074,000 259
* Renrenle Commercial Group Co. Ltd. Class A 150,000 259
  Inspur Software Co. Ltd. Class A (XSHG) 64,900 256
  Elion Clean Energy Co. Ltd. Class A 255,600 253
  MeiHua Holdings Group Co. Ltd. Class A 270,800 251
* Shanghai 3F New Materials Co. Class A (XSHG) 121,500 249
  Lanzhou LS Heavy Equipment Co. Ltd. Class A (XSHG) 129,885 246
  Xinjiang Guannong Fruit & Antler Group Co. Ltd. Class A (XSHG) 203,200 245
  Gree Real Estate Co. Ltd. Class A (XSHG) 271,320 245
  BBMG Corp. Class A (XSHG) 377,414 244
* Anhui Wanwei Updated High-Tech Material Industry Co. Ltd. Class A (XSHG) 357,950 244
* China Shipping Container Lines Co. Ltd. Class A (XSSC) 399,076 243
  Tibet Urban Development and Investment Co. Ltd. Class A (XSHG) 104,570 242
  Guangzhou Automobile Group Co. Ltd. Class A 72,086 239
  Tongling Jingda Special Magnet Wire Co. Ltd. Class A (XSSC) 385,000 238
  Aerosun Corp. Class A (XSHG) 90,800 237
  Guangdong Ellington Electronics Technology Co. Ltd. Class A (XSHG) 50,500 237
* Qinghai Spring Medicinal Resources Technology Co. Ltd. Class A 132,500 236

 

41

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
* Sichuan Languang Development Co. Ltd. Class A (XSSC) 202,266 234
Henan Rebecca Hair Products Co. Ltd. Class A (XSHG) 206,100 234
CPI Yuanda Environmental-Protection Group Co. Ltd. Class A (XSHG) 123,400 233
Shantou Dongfeng Printing Co. Ltd. Class A (XSHG) 129,000 233
Changzheng Engineering Co. Ltd. Class A (XSHG) 53,100 232
Avic Heavy Machinery Co. Ltd. Class A (XSSC) 107,075 232
Tongling Jingda Special Magnet Wire Co. Ltd. Class A (XSHG) 374,934 231
Yanzhou Coal Mining Co. Ltd. Class A (XSHG) 123,865 231
* Ningxia Orient Tantalum Industry Co. Ltd. Class A 144,700 229
Beijing Bashi Media Co. Ltd. Class A (XSHG) 100,118 228
Anhui Xinke New Materials Co. Ltd. Class A (XSHG) 348,200 226
Shanghai Lujiazui Finance & Trade Zone Development Co. Ltd. Class A 63,720 225
Oriental Times Media Corp. Class A 84,500 221
Zhejiang Nanyang Technology Co. Ltd. Class A 114,600 219
Lingyun Industrial Corp. Ltd. Class A (XSHG) 98,200 218
China Railway Tielong Container Logistics Co. Ltd. Class A (XSSC) 189,300 213
Lawton Development Co. Ltd. Class A 129,400 213
Zhejiang Haiyue Co. Ltd. Class A (XSHG) 112,600 212
* Ningbo Joyson Electronic Corp. Class A (XSSC) 42,100 211
* Triumph Science & Technology Co. Ltd. Class A (XSHG) 76,800 209
* Angel Yeast Co. Ltd. Class A (XSSC) 81,788 204
Sichuan Expressway Co. Ltd. Class A (XSHG) 284,100 203
China Television Media Ltd. Class A (XSHG) 59,700 203
Baosheng Science and Technology Innovation Co. Ltd. Class A (XSHG) 167,828 201
Lancy Co. Ltd. Class A 63,200 201
* Zhuzhou Kibing Group Co. Ltd. Class A (XSHG) 356,400 200
* Beijing Enterprises Clean Energy Group Ltd. 6,800,579 198
* Kunwu Jiuding Investment Holdings Co. Ltd. Class A (XSSC) 29,200 196
Zhejiang Feida Environmental Science & Technology Co. Ltd. Class A (XSHG) 101,500 196
Dongfeng Electronic Technology Co. Ltd. Class A (XSHG) 86,000 196
Ningxia Building Materials Group Co. Ltd. Class A (XSHG) 129,000 193
* Shandong Jinjing Science & Technology Co. Ltd. Class A (XSHG) 275,100 186
* Zhongyuan Special Steel Co. Ltd. Class A 109,700 185
* Global Bio-Chem Technology Group Co. Ltd. 10,418,000 182
Keda Clean Energy Co. Ltd. Class A (XSSC) 140,100 180
TangShan Port Group Co. Ltd. Class A (XSHG) 300,960 178
Shanghai Zi Jiang Enterprise Group Co. Ltd. Class A (XSHG) 217,600 177
* Zhejiang Medicine Co. Ltd. Class A (XSSC) 83,700 176
Zhejiang Xinan Chemical Industrial Group Co. Ltd. Class A (XSHG) 136,600 174
* China COSCO Holdings Co. Ltd. Class A 221,002 171
* Fujian Cement Inc. Class A (XSSC) 119,800 169
CECEP Wind-Power Corp. Class A (XSHG) 112,900 168
Xinjiang Urban Construction Group Co. Ltd. Class A (XSSC) 162,900 165
Shenzhen Chiwan Wharf Holdings Ltd. Class A 65,700 164
Jiangsu Jiangnan High Polymer Fiber Co. Ltd. Class A (XSHG) 167,900 164
Sunny Loan Top Co. Ltd. Class A (XSHG) 94,700 163
Beijing Jingneng Power Co. Ltd. Class A (XSHG) 252,800 160
* Chengdu Huaze Cobalt & Nickel Material Co. Ltd. Class A 84,700 156
Beijing North Star Co. Ltd. Class A (XSHG) 247,700 156
China Shipping Development Co. Ltd. Class A (XSHG) 153,200 154
Shanghai Fudan Forward S & T Co. Ltd. Class A (XSHG) 117,520 153
* China Shipping Container Lines Co. Ltd. Class A (XSHG) 242,900 148
China Wafer Level CSP Co. Ltd. Class A (XSSC) 29,828 142
Chengdu B-Ray Media Co. Ltd. Class A (XSHG) 115,100 142
* Datong Coal Industry Co. Ltd. Class A (XSSC) 125,300 141
* China Animal Husbandry Industry Co. Ltd. Class A (XSSC) 44,200 141
* Kailuan Energy Chemical Co. Ltd. Class A (XSSC) 121,600 138
* Gansu Jiu Steel Group Hongxing Iron & Steel Co. Ltd. Class A (XSSC) 348,000 138
* Kingray New Materials Science & Technology Co. Ltd. Class A 61,600 136
Shanghai Tongji Science & Technology Industrial Co. Ltd. Class A (XSHG) 93,600 136
* Guizhou Changzheng Tiancheng Holding Co. Ltd. Class A (XSHG) 81,200 134
CPI Yuanda Environmental-Protection Group Co. Ltd. Class A (XSSC) 68,861 130
* Sinovel Wind Group Co. Ltd. Class A 321,200 127
Jiangsu Wuzhong Industrial Co. Class A (XSHG) 45,400 124

 

42

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* China Coal Energy Co. Ltd. Class A (XSSC) 125,594 123
  New China Life Insurance Co. Ltd. Class A (XSHG) 19,000 118
* Xinjiang Dushanzi Tianli High & New Tech Co. Ltd. Class A 126,600 116
* Xinjiang Ba Yi Iron & Steel Co. Ltd. Class A 149,000 116
  Sichuan EM Technology Co. Ltd. Class A (XSSC) 97,800 115
* Yang Quan Coal Industry Group Co. Ltd. Class A (XSSC) 100,700 112
  Qingdao Haier Co. Ltd. Class A (XSHG) 75,300 111
  Inzone Group Co. Ltd. Class A (XSSC) 78,132 103
* Shandong Tyan Home Co. Ltd. Class A (XSSC) 51,734 98
* Shanghai Jinqiao Export Processing Zone Development Co. Ltd. Class A 31,100 88
  Huatai Securities Co. Ltd. Class A (XSHG) 28,800 87
* Hongfa Technology Co. Ltd. Class A (XSSC) 17,100 83
* Anhui Hengyuan Coal Industry and Electricity Power Co. Ltd. Class A (XSSC) 74,500 80
* Maoye International Holdings Ltd. 824,000 78
* Chongqing Iron & Steel Co. Ltd. Class A (XSSC) 206,200 77
* Shandong Hongda Mining Co. Ltd. Class A (XSSC) 27,800 73
  Zhonglu Co. Ltd. Class A (XSHG) 19,300 73
  Huaxin Cement Co. Ltd. Class A (XSHG) 65,900 72
* Harbin Gong Da High-Tech Enterprise Development Co. Ltd. Class A 33,000 70
* Xinjiang Qingsong Building Materials and Chemicals Group Co. Ltd. Class A (XSSC) 102,800 68
  China Railway Erju Co. Ltd. Class A (XSSC) 35,100 67
  China International Marine Containers Group Co. Ltd. Class A 30,200 62
  COSCO Shipping Co. Ltd. Class A (XSSC) 67,400 58
* Jiangsu Protruly Vision Technology Group Co. Ltd. Class A (XSSC) 23,500 56
  China Shipping Development Co. Ltd. Class A (XSSC) 53,000 53
* Anhui Kouzi Distillery Co. Ltd. Class A 10,400 53
* Xinjiang Xinxin Mining Industry Co. Ltd. 447,000 49
* China Hi-Tech Group Co. Class A (XSSC) 16,500 31
* Shanghai 3F New Materials Co. Class A (XSSC) 9,500 19
* ENN Ecological Holdings Co. Ltd. Class A (XSSC) 8,300 15
* Hidili Industry International Development Ltd. 260,000 7
* Ya Hsin Industrial Co. Ltd. 5,306,018
      17,329,780
Colombia (0.5%)    
  Bancolombia SA ADR 1,288,230 49,313
  Grupo de Inversiones Suramericana SA 3,667,942 47,307
  Grupo Argos SA 4,938,011 32,025
  Cementos Argos SA 6,441,098 25,492
  Grupo Aval Acciones y Valores Preference Shares 47,266,226 19,493
  Interconexion Electrica SA ESP 5,746,145 19,092
  Almacenes Exito SA 3,582,707 17,873
* Ecopetrol SA 39,691,902 17,293
  Grupo de Inversiones Suramericana SA Preference Shares 1,337,685 16,906
* Ecopetrol SA ADR 1,789,080 15,547
  Bancolombia SA Preference Shares 1,634,187 15,512
* Cemex Latam Holdings SA 2,972,031 11,051
  Cementos Argos SA Preference Shares 2,793,403 10,182
  Banco Davivienda SA Preference Shares 782,466 7,963
  Grupo Aval Acciones y Valores SA ADR 823,448 6,744
  Avianca Holdings SA Preference Shares 2,953,922 2,358
  Corp Financiera Colombiana SA 161,335 2,000
      316,151
Czech Republic (0.2%)    
  CEZ AS 2,593,039 48,908
  Komercni banka as 1,238,304 45,310
*,2 Moneta Money Bank AS 5,763,019 20,097
  Philip Morris CR AS 6,286 3,105
  Pegas Nonwovens SA 88,501 2,839
  O2 Czech Republic AS 303,894 2,788
      123,047
Egypt (0.3%)    
  Commercial International Bank Egypt SAE 15,899,970 92,504
* Global Telecom Holding SAE GDR 8,512,261 17,453

 

43

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* Egyptian Financial Group-Hermes Holding Co. 8,528,045 15,040
  Talaat Moustafa Group 15,788,519 10,069
  ElSewedy Electric Co. 1,282,551 9,058
  Telecom Egypt Co. 5,842,749 5,763
* Orascom Construction Ltd. 1,026,438 5,444
* Medinet Nasr Housing 3,147,100 4,941
* Six of October Development & Investment 3,326,445 4,906
* Pioneers Holding for Financial Investments SAE 5,084,348 4,807
  Palm Hills Developments SAE 14,681,272 3,782
  Sidi Kerir Petrochemicals Co. 2,204,960 3,443
  Juhayna Food Industries 7,113,045 3,140
  Heliopolis Housing 448,201 2,948
* Ezz Steel 3,558,889 2,796
  Oriental Weavers 2,557,341 2,571
  Arab Cotton Ginning 6,767,369 2,072
* Egyptian Resorts Co. 20,803,825 1,638
* Orascom Telecom Media And Technology Holding SAE 20,422,680 1,288
* South Valley Cement 2,865,683 1,232
* Citadel Capital SAE 10,567,754 844
  Porto Holding SAE 30,202,474 782
* Global Telecom Holding SAE 768,520 416
* Abu Dhabi Islamic Bank 831,929 309
  Amer Group Holding 10,889,545 294
* Maridive & Oil Services SAE 1,026,881 226
      197,766
Greece (0.3%)    
  Alpha Bank AE 20,355,342 34,805
  Hellenic Telecommunications Organization SA 3,502,003 32,114
  OPAP SA 3,008,039 25,656
  JUMBO SA 1,425,560 20,258
  National Bank of Greece SA 80,676,423 16,500
  Eurobank Ergasias SA 26,385,256 15,583
  Piraeus Bank SA 74,494,293 12,320
  Titan Cement Co. SA 491,547 11,417
* FF Group 418,106 10,014
  Motor Oil Hellas Corinth Refineries SA 811,543 9,717
* Mytilineos Holdings SA 950,076 5,421
* Public Power Corp. SA 1,446,108 4,725
  Hellenic Exchanges SA 635,911 3,140
  Grivalia Properties REIC AE 387,135 2,983
  Aegean Airlines SA 405,951 2,615
* Hellenic Petroleum SA 548,583 2,508
* GEK Terna Holding Real Estate Construction SA 744,358 1,723
  Metka Industrial - Construction SA 201,292 1,692
* Fourlis Holdings SA 382,299 1,632
* Ellaktor SA 1,135,206 1,543
  Athens Water Supply & Sewage Co. SA 212,470 1,258
  Terna Energy SA 109,542 334
      217,958
Hong Kong (0.1%)    
  Tongda Group Holdings Ltd. 43,310,000 11,428
* HengTen Networks Group Ltd. 162,208,000 10,860
*,^ China Minsheng Financial Holding Corp. Ltd. 87,470,000 8,670
^ SMI Holdings Group Ltd. 73,680,000 7,027
*,^ FDG Electric Vehicles Ltd. 128,745,000 6,738
*,^ Huayi Tencent Entertainment Co. Ltd. 100,190,000 6,060
* Rentian Technology Holdings Ltd. 38,510,000 2,575
*,^ China Beidahuang Industry Group Holdings Ltd. 33,798,000 1,957
      55,315
Hungary (0.3%)    
  OTP Bank plc 2,994,631 83,922
  MOL Hungarian Oil & Gas plc 813,495 52,178
  Richter Gedeon Nyrt 2,365,131 50,773

 

44

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Magyar Telekom Telecommunications plc 7,676,580 12,692
    199,565
India (11.7%)    
Housing Development Finance Corp. Ltd. 23,773,814 496,037
Infosys Ltd. 28,474,195 424,940
Reliance Industries Ltd. 23,839,604 376,526
Tata Consultancy Services Ltd. 7,092,451 254,795
Sun Pharmaceutical Industries Ltd. 16,777,713 186,915
ITC Ltd. 44,004,353 160,290
ICICI Bank Ltd. 34,656,503 144,047
Oil & Natural Gas Corp. Ltd. 31,588,075 135,468
Hindustan Unilever Ltd. 10,802,167 135,342
HDFC Bank Ltd. 7,043,645 132,765
Tata Motors Ltd. 15,761,766 126,918
Axis Bank Ltd. 15,456,448 112,879
Maruti Suzuki India Ltd. 1,178,168 103,798
Coal India Ltd. 20,478,617 99,705
Bharat Petroleum Corp. Ltd. 9,639,505 96,752
Bharti Airtel Ltd. 19,988,351 95,499
Mahindra & Mahindra Ltd. 4,842,155 95,165
HCL Technologies Ltd. 8,274,860 94,594
Kotak Mahindra Bank Ltd. 7,299,840 89,626
State Bank of India 22,903,690 88,613
Indian Oil Corp. Ltd. 17,539,844 85,083
Hero MotoCorp Ltd. 1,602,892 80,449
Larsen & Toubro Ltd. 3,472,130 77,065
Lupin Ltd. 3,427,519 76,420
Asian Paints Ltd. 4,642,200 74,375
IndusInd Bank Ltd. 4,091,688 73,590
NTPC Ltd. 31,905,779 72,764
Eicher Motors Ltd. 196,141 70,585
Zee Entertainment Enterprises Ltd. 8,704,522 67,843
UltraTech Cement Ltd. 1,071,193 63,932
Adani Ports & Special Economic Zone Ltd. 12,998,878 59,825
* Vedanta Ltd. 19,160,933 58,348
Indiabulls Housing Finance Ltd. 4,552,986 57,926
Aurobindo Pharma Ltd. 4,382,589 53,289
UPL Ltd. 4,864,792 50,907
Yes Bank Ltd. 2,659,022 50,718
Bajaj Auto Ltd. 1,169,529 49,930
Tech Mahindra Ltd. 7,559,679 49,348
JSW Steel Ltd. 1,968,749 48,954
Godrej Consumer Products Ltd. 2,029,588 48,923
Power Grid Corp. of India Ltd. 18,063,876 47,604
Cipla Ltd. 5,386,148 46,426
Bharti Infratel Ltd. 8,695,993 45,053
Shriram Transport Finance Co. Ltd. 2,741,860 44,382
Wipro Ltd. 6,386,594 44,336
Ambuja Cements Ltd. 11,993,940 43,385
* Bajaj Finance Ltd. 2,570,950 41,286
Bosch Ltd. 125,077 41,066
Nestle India Ltd. 381,703 39,939
Hindustan Petroleum Corp. Ltd. 5,690,848 39,817
Dabur India Ltd. 8,766,299 38,293
LIC Housing Finance Ltd. 4,182,064 36,531
Piramal Enterprises Ltd. 1,368,209 36,382
Shree Cement Ltd. 141,201 35,364
Bajaj Finserv Ltd. 657,359 33,314
^ Dr Reddy's Laboratories Ltd. ADR 674,556 33,249
Dr Reddy's Laboratories Ltd. 657,542 33,033
Marico Ltd. 7,750,244 32,732
GAIL India Ltd. 5,021,506 32,587
Glenmark Pharmaceuticals Ltd. 2,321,573 32,438
* United Spirits Ltd. 953,616 32,143

 

45

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
^ Wipro Ltd. ADR 3,155,047 30,509
Hindalco Industries Ltd. 13,399,063 30,115
Divi's Laboratories Ltd. 1,376,704 26,387
Idea Cellular Ltd. 23,069,581 26,352
NMDC Ltd. 13,353,067 26,275
Motherson Sumi Systems Ltd. 5,267,733 26,174
Tata Motors Ltd. Class A 4,996,770 26,123
Cairn India Ltd. 7,715,842 26,010
Cadila Healthcare Ltd. 4,096,861 25,959
Siemens Ltd. 1,454,891 25,800
Mahindra & Mahindra Financial Services Ltd. 4,687,666 25,415
Britannia Industries Ltd. 493,683 24,491
Rural Electrification Corp. Ltd. 11,913,992 24,078
Pidilite Industries Ltd. 2,194,623 23,638
Tata Steel Ltd. 3,803,643 23,150
Titan Co. Ltd. 4,101,897 22,951
IDFC Bank Ltd. 17,924,597 21,166
Bharat Forge Ltd. 1,584,414 21,004
Power Finance Corp. Ltd. 10,930,581 20,345
Apollo Hospitals Enterprise Ltd. 1,009,675 20,271
Bharat Heavy Electricals Ltd. 9,719,991 20,240
Tata Power Co. Ltd. 16,983,188 19,924
Bharat Electronics Ltd. 1,014,910 19,788
Ashok Leyland Ltd. 14,609,773 19,761
Havells India Ltd. 3,149,556 19,206
* Bank of Baroda 7,464,745 17,498
Reliance Infrastructure Ltd. 2,145,559 17,464
ACC Ltd. 765,173 17,383
Oracle Financial Services Software Ltd. 355,560 17,022
Reliance Capital Ltd. 2,147,623 16,726
GlaxoSmithKline Consumer Healthcare Ltd. 181,276 16,503
Colgate-Palmolive India Ltd. 1,131,937 16,501
* Bharat Financial Inclusion Ltd. 1,220,217 16,155
Page Industries Ltd. 65,425 16,122
HDFC Bank Ltd. ADR 226,520 16,033
DLF Ltd. 7,017,271 15,850
Max Financial Services Ltd. 1,878,069 15,836
United Breweries Ltd. 1,214,918 15,823
NHPC Ltd. 39,309,568 15,779
Emami Ltd. 860,462 15,633
Cummins India Ltd. 1,204,093 15,339
Bajaj Holdings & Investment Ltd. 469,192 15,316
Hindustan Zinc Ltd. 4,020,579 15,263
ABB India Ltd. 873,110 14,244
Vakrangee Ltd. 3,698,604 13,973
Castrol India Ltd. 1,989,431 13,662
* Steel Authority of India Ltd. 17,399,502 13,586
Rajesh Exports Ltd. 1,854,406 13,289
Torrent Pharmaceuticals Ltd. 624,629 13,244
Petronet LNG Ltd. 2,236,469 13,039
Oil India Ltd. 2,089,320 12,995
GlaxoSmithKline Pharmaceuticals Ltd. 297,408 12,956
Tata Communications Ltd. 1,356,425 12,909
* Reliance Communications Ltd. 17,418,059 12,212
Mindtree Ltd. 1,808,259 11,815
Mphasis Ltd. 1,534,206 11,776
Sun TV Network Ltd. 1,417,363 11,616
Federal Bank Ltd. 9,348,344 11,486
Exide Industries Ltd. 3,831,430 11,261
* Punjab National Bank 4,964,487 10,724
Berger Paints India Ltd. 2,757,853 10,636
Aditya Birla Nuvo Ltd. 514,467 10,621
Info Edge India Ltd. 768,977 10,386
Jubilant Life Sciences Ltd. 982,555 10,154

 

46

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
* IDFC Ltd. 9,420,309 9,881
Dewan Housing Finance Corp. Ltd. 1,806,145 8,889
* Alkem Laboratories Ltd. 357,250 8,735
Indian Hotels Co. Ltd. 5,013,642 8,669
* Canara Bank 1,829,788 8,614
Dalmia Bharat Ltd. 269,216 8,295
Manappuram Finance Ltd. 5,407,453 8,286
* Kajaria Ceramics Ltd. 890,401 8,282
Edelweiss Financial Services Ltd. 4,522,797 8,271
AIA Engineering Ltd. 417,400 8,079
Cholamandalam Investment and Finance Co. Ltd. 454,513 8,072
* Crompton Greaves Ltd. 7,009,878 8,061
MRF Ltd. 11,116 7,986
Strides Shasun Ltd. 500,832 7,847
PI Industries Ltd. 593,652 7,682
Reliance Power Ltd. 10,309,458 7,271
* Wockhardt Ltd. 558,075 7,268
Biocon Ltd. 523,235 7,256
L&T Finance Holdings Ltd. 4,425,383 7,094
* Jindal Steel & Power Ltd. 6,245,625 7,061
Sintex Industries Ltd. 5,207,292 6,998
Apollo Tyres Ltd. 2,309,270 6,995
Godrej Industries Ltd. 1,066,448 6,981
Ajanta Pharma Ltd. 225,867 6,909
Muthoot Finance Ltd. 1,281,428 6,888
CRISIL Ltd. 208,397 6,855
Credit Analysis & Research Ltd. 310,041 6,849
Balkrishna Industries Ltd. 429,408 6,834
Ramco Cements Ltd. 736,811 6,786
TVS Motor Co. Ltd. 1,093,111 6,638
* GMR Infrastructure Ltd. 31,692,066 6,511
JSW Energy Ltd. 6,606,976 6,469
2 InterGlobe Aviation Ltd. 457,558 6,374
* IDBI Bank Ltd. 5,680,208 6,266
* Suzlon Energy Ltd. 27,214,546 6,184
Amara Raja Batteries Ltd. 406,672 6,168
* Gillette India Ltd. 96,146 6,144
Gujarat Pipavav Port Ltd. 2,513,203 6,127
Blue Dart Express Ltd. 79,221 6,033
Jubilant Foodworks Ltd. 400,282 5,999
Bayer CropScience Ltd. 93,274 5,958
eClerx Services Ltd. 257,482 5,856
Natco Pharma Ltd. 657,143 5,743
NCC Ltd. 3,938,656 5,522
Arvind Ltd. 881,563 5,469
Tata Chemicals Ltd. 667,933 5,451
* Mangalore Refinery & Petrochemicals Ltd. 3,978,304 5,380
Torrent Power Ltd. 2,046,836 5,312
* Adani Power Ltd. 12,963,323 5,311
Cyient Ltd. 709,292 5,202
GRUH Finance Ltd. 1,032,218 5,165
* Grasim Industries Ltd. 352,395 5,095
Persistent Systems Ltd. 523,122 5,054
Voltas Ltd. 871,445 5,048
Union Bank of India 2,209,377 4,900
Sundaram Finance Ltd. 236,509 4,860
Adani Enterprises Ltd. 4,842,463 4,854
Kansai Nerolac Paints Ltd. 852,781 4,844
Great Eastern Shipping Co. Ltd. 844,532 4,721
Alembic Pharmaceuticals Ltd. 464,671 4,700
Supreme Industries Ltd. 347,181 4,693
* Aditya Birla Fashion and Retail Ltd. 1,904,129 4,567
* Sun Pharma Advanced Research Co. Ltd. 868,914 4,567
Welspun India Ltd. 5,328,695 4,534

 

47

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
CESC Ltd. 480,716 4,523
Oberoi Realty Ltd. 855,568 4,517
* PC Jeweller Ltd. 586,186 4,496
* Bank of India 2,581,349 4,446
* Indiabulls Real Estate Ltd. 3,300,024 4,339
Repco Home Finance Ltd. 382,399 4,324
KPIT Technologies Ltd. 1,968,212 4,229
2 Syngene International Ltd. 480,067 4,213
KRBL Ltd. 1,176,355 4,212
2 Dr Lal PathLabs Ltd. 235,639 4,159
Indian Bank 1,188,005 4,142
Redington India Ltd. 2,628,285 4,136
Jain Irrigation Systems Ltd. 2,538,172 4,091
Abbott India Ltd. 54,410 4,069
National Aluminium Co. Ltd. 5,087,835 4,067
GE T&D India Ltd. 771,465 3,960
Sanofi India Ltd. 60,235 3,938
Pfizer Ltd. 141,461 3,869
Karur Vysya Bank Ltd. 530,428 3,804
Sadbhav Engineering Ltd. 907,585 3,792
Cox & Kings Ltd. 1,150,952 3,792
Thermax Ltd. 295,547 3,767
* Ipca Laboratories Ltd. 410,902 3,754
* Just Dial Ltd. 590,831 3,749
Balrampur Chini Mills Ltd. 2,120,918 3,667
Prestige Estates Projects Ltd. 1,255,429 3,649
Symphony Ltd. 188,209 3,602
* Whirlpool of India Ltd. 208,097 3,504
* Fortis Healthcare Ltd. 1,301,207 3,480
Tube Investments of India Ltd. 366,577 3,428
Hexaware Technologies Ltd. 1,093,453 3,351
Gujarat State Petronet Ltd. 1,405,451 3,318
Coromandel International Ltd. 772,749 3,315
* RattanIndia Power Ltd. 26,162,911 3,268
* Housing Development & Infrastructure Ltd. 2,566,960 3,203
* Dish TV India Ltd. 2,225,665 3,200
* Jaiprakash Associates Ltd. 18,964,999 3,169
Bajaj Corp. Ltd. 510,032 3,110
IRB Infrastructure Developers Ltd. 853,064 3,001
Srei Infrastructure Finance Ltd. 2,739,949 2,991
WABCO India Ltd. 33,107 2,807
IFCI Ltd. 7,003,134 2,729
* Hindustan Construction Co. Ltd. 4,991,013 2,714
South Indian Bank Ltd. 7,346,952 2,616
Engineers India Ltd. 644,768 2,602
Ceat Ltd. 139,708 2,540
Gateway Distriparks Ltd. 667,619 2,472
* Bajaj Hindusthan Sugar Ltd. 9,513,634 2,388
Radico Khaitan Ltd. 1,118,798 2,362
Gujarat Gas Ltd. 270,663 2,320
PTC India Ltd. 2,099,648 2,317
Oriental Bank of Commerce 1,126,646 2,169
* Unitech Ltd. 23,992,617 2,166
Jammu & Kashmir Bank Ltd. 2,077,681 2,097
India Cements Ltd. 890,500 2,096
* Videocon Industries Ltd. 1,311,966 2,047
* Central Bank of India 1,473,550 2,017
* Corp Bank 3,188,493 1,991
* Rolta India Ltd. 2,063,604 1,943
* TV18 Broadcast Ltd. 2,888,744 1,926
Sobha Ltd. 433,029 1,812
Tata Global Beverages Ltd. 846,029 1,774
VA Tech Wabag Ltd. 232,883 1,728
Indraprastha Gas Ltd. 130,931 1,688

 

48

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Gujarat Fluorochemicals Ltd. 216,152 1,641
Marksans Pharma Ltd. 2,039,697 1,591
* Mahindra CIE Automotive Ltd. 499,211 1,485
* Kaveri Seed Co. Ltd. 220,029 1,424
* Vijaya Bank 2,143,889 1,421
* Jindal Saw Ltd. 1,400,889 1,342
Raymond Ltd. 140,225 1,268
Karnataka Bank Ltd. 642,033 1,173
Welspun Corp. Ltd. 1,062,129 1,131
* Shipping Corp. of India Ltd. 1,047,395 1,065
* Polaris Consulting & Services Ltd. 442,462 1,064
* DEN Networks Ltd. 883,509 1,031
* Amtek Auto Ltd. 1,547,517 1,002
* Shree Renuka Sugars Ltd. 4,292,932 1,000
Gujarat Mineral Development Corp. Ltd. 576,191 957
* Indian Overseas Bank 2,108,758 842
* Jet Airways India Ltd. 121,910 838
Multi Commodity Exchange of India Ltd. 40,959 790
* Punj Lloyd Ltd. 2,195,684 747
* Future Retail Ltd. 296,734 739
* Syndicate Bank 657,322 727
Chambal Fertilizers and Chemicals Ltd. 759,913 718
* GE Power India Ltd. 77,455 596
Future Enterprises Ltd. 1,766,689 420
* UCO Bank 800,000 418
* Reliance Defence and Engineering Ltd. 465,415 413
* Allahabad Bank 287,312 325
Century Textiles & Industries Ltd. 23,694 323
McLeod Russel India Ltd. 126,557 322
* Karnataka Bank Ltd Rights Exp. 11/21/2016 321,016 249
Andhra Bank 286,108 242
Gujarat State Fertilizers & Chemicals Ltd. 58,475 83
* JITF Infralogistics Ltd. 93,891 58
    7,322,093
Indonesia (2.7%)    
Telekomunikasi Indonesia Persero Tbk PT 760,083,605 245,411
Bank Central Asia Tbk PT 187,880,124 223,379
Astra International Tbk PT 302,692,000 190,971
Bank Rakyat Indonesia Persero Tbk PT 164,527,800 153,631
Bank Mandiri Persero Tbk PT 142,274,080 125,322
Unilever Indonesia Tbk PT 17,139,730 58,408
Bank Negara Indonesia Persero Tbk PT 123,025,361 52,521
Indofood Sukses Makmur Tbk PT 72,478,096 47,124
Kalbe Farma Tbk PT 311,493,390 41,507
United Tractors Tbk PT 24,170,801 39,984
Gudang Garam Tbk PT 7,384,880 38,424
Semen Indonesia Persero Tbk PT 47,967,204 36,156
Charoen Pokphand Indonesia Tbk PT 122,000,532 34,527
Perusahaan Gas Negara Persero Tbk 165,598,604 32,437
Indofood CBP Sukses Makmur Tbk PT 39,247,300 28,271
Indocement Tunggal Prakarsa Tbk PT 22,134,531 27,870
Adaro Energy Tbk PT 214,024,280 25,983
Surya Citra Media Tbk PT 96,863,000 19,672
Summarecon Agung Tbk PT 144,585,464 18,264
Ciputra Development Tbk PT 148,401,548 17,958
Lippo Karawaci Tbk PT 250,600,011 17,335
Pakuwon Jati Tbk PT 309,707,300 17,088
Bank Danamon Indonesia Tbk PT 53,280,196 15,757
Bumi Serpong Damai Tbk PT 93,990,300 15,595
Tower Bersama Infrastructure Tbk PT 33,896,300 15,517
Media Nusantara Citra Tbk PT 83,987,850 13,509
Tambang Batubara Bukit Asam Persero Tbk PT 14,277,925 13,028
Jasa Marga Persero Tbk PT 34,702,700 12,038
AKR Corporindo Tbk PT 20,816,800 11,300

 

49

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
* Aneka Tambang Persero Tbk PT 162,408,891 11,146
* XL Axiata Tbk PT 60,188,105 10,148
Waskita Karya Persero Tbk PT 48,058,000 9,646
Astra Agro Lestari Tbk PT 7,084,908 8,278
Indo Tambangraya Megah Tbk PT 7,199,800 7,902
Global Mediacom Tbk PT 116,748,489 7,597
* Vale Indonesia Tbk PT 34,128,127 7,116
Bank Tabungan Negara Persero Tbk PT 35,960,000 5,260
Ace Hardware Indonesia Tbk PT 79,848,200 5,227
Link Net Tbk PT 13,254,700 5,078
Perusahaan Perkebunan London Sumatra Indonesia Tbk PT 37,460,200 4,374
Wijaya Karya Persero Tbk PT 21,869,500 4,308
* Alam Sutera Realty Tbk PT 124,989,500 4,291
Matahari Putra Prima Tbk PT 28,172,700 3,893
Bank Pembangunan Daerah Jawa Barat Dan Banten Tbk PT 29,896,700 3,643
* Mitra Adiperkasa Tbk PT 7,795,800 3,286
Ramayana Lestari Sentosa Tbk PT 27,021,139 2,836
* Siloam International Hospitals Tbk PT 3,085,800 2,455
* Panin Financial Tbk PT 163,660,900 2,395
Wijaya Karya Beton Tbk PT 34,608,000 2,357
* Krakatau Steel Persero Tbk PT 40,419,400 2,045
* Gajah Tunggal Tbk PT 19,993,600 1,912
Intiland Development Tbk PT 40,073,600 1,767
* Eagle High Plantations Tbk PT 112,479,900 1,644
* Lippo Cikarang Tbk PT 3,536,800 1,640
* Agung Podomoro Land Tbk PT 66,241,600 1,462
* Medco Energi Internasional Tbk PT 13,574,800 1,360
Salim Ivomas Pratama Tbk PT 32,805,500 1,257
Surya Semesta Internusa Tbk PT 28,156,000 1,218
Timah Persero Tbk PT 16,286,100 1,161
BISI International Tbk PT 7,525,100 1,152
* Bumi Resources Tbk PT 66,496,700 1,091
* Bank CIMB Niaga Tbk PT 13,135,261 961
Bekasi Fajar Industrial Estate Tbk PT 40,037,600 956
Adhi Karya Persero Tbk PT 5,388,200 936
* Sigmagold Inti Perkasa Tbk PT 41,608,500 363
Sampoerna Agro PT 1,691,500 248
* Energi Mega Persada Tbk PT 59,051,800 226
Holcim Indonesia Tbk PT 1,986,200 147
* MNC Investama Tbk PT 2,645,200 28
    1,721,797
Malaysia (3.6%)    
Public Bank Bhd. (Local) 46,755,000 221,304
Tenaga Nasional Bhd. 52,309,907 178,736
Malayan Banking Bhd. 82,818,388 155,932
CIMB Group Holdings Bhd. 86,013,748 103,042
Sime Darby Bhd. 50,039,913 97,722
Axiata Group Bhd. 69,269,594 81,213
Petronas Chemicals Group Bhd. 43,583,622 72,705
DiGi.Com Bhd. 57,745,050 69,251
IHH Healthcare Bhd. 43,789,176 66,785
Genting Bhd. 34,382,390 64,250
Petronas Gas Bhd. 12,108,596 63,405
Maxis Bhd. 40,779,250 57,932
IOI Corp. Bhd. 53,517,478 57,362
Genting Malaysia Bhd. 46,665,790 52,961
Kuala Lumpur Kepong Bhd. 8,975,012 51,243
IJM Corp. Bhd. 53,865,300 42,388
Gamuda Bhd. 35,571,116 41,664
MISC Bhd. 22,838,591 40,938
PPB Group Bhd. 10,170,208 39,076
AMMB Holdings Bhd. 33,154,558 33,196
Hong Leong Bank Bhd. 10,185,400 32,313
YTL Corp. Bhd. 84,670,956 32,103

 

50

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Telekom Malaysia Bhd. 19,225,140 29,952
Petronas Dagangan Bhd. 5,063,300 28,194
British American Tobacco Malaysia Bhd. 2,270,587 26,809
* SapuraKencana Petroleum Bhd. 63,176,462 24,291
2 Astro Malaysia Holdings Bhd. 34,528,300 23,462
Malaysia Airports Holdings Bhd. 14,779,000 23,338
Westports Holdings Bhd. 18,216,824 19,153
RHB Bank Bhd. 16,394,230 18,878
Alliance Financial Group Bhd. 19,483,117 18,533
Dialog Group Bhd. 50,191,600 18,532
IOI Properties Group Bhd. 31,728,794 18,490
YTL Power International Bhd. 46,496,368 16,952
UMW Holdings Bhd. 11,250,020 15,937
KLCCP Stapled Group 8,057,100 15,331
Hong Leong Financial Group Bhd. 4,059,515 15,208
Felda Global Ventures Holdings Bhd. 30,639,957 14,673
Lafarge Malaysia Bhd. 7,330,820 14,144
AirAsia Bhd. 20,160,148 13,310
Top Glove Corp. Bhd. 10,274,600 12,116
My EG Services Bhd. 20,501,900 11,903
Berjaya Sports Toto Bhd. 14,391,598 10,943
Hartalega Holdings Bhd. 8,649,700 10,100
Sunway REIT 22,109,100 9,701
Bumi Armada Bhd. 57,481,740 9,638
HAP Seng Consolidated Bhd. 4,980,400 9,253
Genting Plantations Bhd. 3,438,800 9,014
MMC Corp. Bhd. 15,540,000 8,860
Malakoff Corp. Bhd. 22,020,400 8,124
Press Metal Bhd. 7,809,400 8,114
KPJ Healthcare Bhd. 7,639,400 7,649
BIMB Holdings Bhd. 6,984,600 7,328
Inari Amertron Bhd. 8,750,700 6,988
UEM Sunrise Bhd. 25,265,400 6,733
TIME dotCom Bhd. 3,374,900 6,438
Mah Sing Group Bhd. 17,559,966 6,398
Sunway Bhd. 8,566,000 6,371
Bursa Malaysia Bhd. 3,055,800 6,299
Pos Malaysia Bhd. 5,594,600 5,334
Kossan Rubber Industries 3,135,000 5,043
Malaysia Building Society Bhd. 22,659,900 4,940
WCT Holdings Bhd. 11,838,300 4,791
Cahya Mata Sarawak Bhd. 5,025,800 4,601
SP Setia Bhd Group 5,193,124 4,339
Yinson Holdings Bhd. 5,248,900 3,915
DRB-Hicom Bhd. 12,241,400 3,705
Unisem M Bhd. 5,458,200 3,314
Bermaz Auto Bhd. 5,954,700 3,234
Capitaland Malaysia Mall Trust 8,451,400 3,226
QL Resources Bhd. 2,847,000 3,000
VS Industry Bhd. 8,426,100 2,849
* Syarikat Takaful Malaysia Bhd. 2,519,400 2,549
Pavilion REIT 5,469,300 2,290
Malaysian Resources Corp. Bhd. 7,012,600 2,255
Supermax Corp. Bhd. 4,344,400 2,246
Eastern & Oriental Bhd. 5,385,600 2,015
Berjaya Corp. Bhd. 24,116,300 1,867
* AirAsia X Bhd. 18,549,600 1,856
Aeon Co. M Bhd. 2,707,200 1,824
Gas Malaysia Bhd. 2,845,000 1,742
* Gamuda Bhd. Warrants Exp. 03/06/2021 5,563,852 1,724
Datasonic Group Bhd. 4,951,100 1,687
* Malaysia Marine and Heavy Engineering Holdings Bhd. 6,575,735 1,564
Media Prima Bhd. 5,400,100 1,546
* Eco World Development Group Bhd. 3,797,300 1,230

 

51

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
* Parkson Holdings Bhd. 6,829,816 1,229
* UMW Oil & Gas Corp. Bhd. 5,334,400 1,077
* Mulpha International Bhd. 18,703,900 936
Sunway Construction Group Bhd. 2,138,100 851
Muhibbah Engineering M Bhd. 1,441,800 790
Coastal Contracts Bhd. 1,712,100 624
OSK Holdings Bhd. 1,575,200 567
TA Enterprise Bhd. 4,262,300 487
Puncak Niaga Holdings Bhd. 1,686,100 437
* Dayang Enterprise Holdings Bhd. 2,094,500 428
* Mudajaya Group Bhd. 1,277,400 295
* KNM Group Bhd. 2,961,000 281
* RHB Captial BHD 11,952,935 138
* Malaysian Bulk Carriers Bhd. 578,700 104
    2,259,608
Mexico (4.3%)    
Fomento Economico Mexicano SAB de CV 32,549,470 312,217
America Movil SAB de CV 434,326,703 287,697
Grupo Financiero Banorte SAB de CV 34,803,555 204,962
Grupo Televisa SAB 37,976,940 186,861
* Cemex SAB de CV 209,551,603 181,380
Wal-Mart de Mexico SAB de CV 83,359,054 176,368
Grupo Mexico SAB de CV Class B 59,915,463 147,625
Grupo Bimbo SAB de CV Class A 29,379,790 79,135
Fibra Uno Administracion SA de CV 41,328,611 78,870
Alfa SAB de CV Class A 44,989,936 68,219
Grupo Aeroportuario del Sureste SAB de CV Class B 3,705,329 58,935
Grupo Financiero Inbursa SAB de CV 32,956,147 53,477
Grupo Aeroportuario del Pacifico SAB de CV Class B 5,520,278 53,357
Coca-Cola Femsa SAB de CV 6,992,719 52,528
Industrias Penoles SAB de CV 1,988,623 48,228
Grupo Financiero Santander Mexico SAB de CV Class B 24,430,070 44,217
Mexichem SAB de CV 18,237,814 43,614
Gruma SAB de CV Class B 2,703,693 37,514
Gentera SAB de CV 18,694,002 36,891
Promotora y Operadora de Infraestructura SAB de CV 3,250,735 36,341
Grupo Carso SAB de CV 7,887,371 34,427
Alsea SAB de CV 8,887,390 33,168
El Puerto de Liverpool SAB de CV 3,036,434 31,828
Kimberly-Clark de Mexico SAB de CV Class A 13,130,708 28,316
Arca Continental SAB de CV 4,477,735 27,865
Infraestructura Energetica Nova SAB de CV 6,089,747 26,961
Megacable Holdings SAB de CV 5,399,879 19,633
* Genomma Lab Internacional SAB de CV Class B 13,593,218 16,261
* OHL Mexico SAB de CV 12,367,253 14,565
Grupo Lala SAB de CV 7,786,595 14,497
Banregio Grupo Financiero SAB de CV 2,126,480 13,933
* Telesites SAB de CV 23,713,499 13,700
* Industrias CH SAB de CV Class B 2,783,686 13,178
Grupo Aeroportuario del Centro Norte SAB de CV Class B 2,261,577 13,158
Industrias Bachoco SAB de CV Class B 2,741,712 12,141
* Organizacion Soriana SAB de CV Class B 4,285,650 11,711
Bolsa Mexicana de Valores SAB de CV 7,036,012 11,272
Grupo Comercial Chedraui SA de CV 4,971,340 11,089
Macquarie Mexico Real Estate Management SA de CV 8,599,537 10,833
* Controladora Vuela Cia de Aviacion SAB de CV Class A 5,653,423 10,798
PLA Administradora Industrial S de RL de CV 6,123,400 10,147
Alpek SAB de CV 5,602,963 8,342
Grupo Elektra SAB DE CV 583,748 8,139
Grupo Sanborns SAB de CV 6,452,602 8,047
Corp Inmobiliaria Vesta SAB de CV 5,311,811 8,038
Prologis Property Mexico SA de CV 4,528,469 7,614
Promotora y Operadora de Infraestructura SAB de CV Class L 796,486 7,500
* La Comer SAB de CV 8,092,700 7,377

 

52

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Concentradora Fibra Danhos SA de CV 3,831,214 7,015
* Minera Frisco SAB de CV 8,620,576 6,709
* Grupo Aeromexico SAB de CV 3,051,546 6,025
2 Nemak SAB de CV 4,532,840 4,705
  Credito Real SAB de CV SOFOM ER 2,430,178 4,464
  Grupo Financiero Interacciones SA de CV 820,000 4,012
  Grupo Herdez SAB de CV 1,556,926 3,776
  Concentradora Fibra Hotelera Mexicana SA de CV 4,661,706 3,663
* Hoteles City Express SAB de CV 3,544,273 3,642
  Unifin Financiera SAB de CV SOFOM ENR 1,095,163 3,266
  Qualitas Controladora SAB de CV 1,468,600 2,695
* Grupo GICSA SA de CV 2,857,700 1,932
  TV Azteca SAB de CV 10,120,079 1,928
* Axtel SAB de CV 5,582,300 1,385
  Grupo Rotoplas SAB de CV 752,000 1,185
*,2 Elementia SAB de CV 975,000 1,124
* Grupo Simec SAB de CV Class B 267,900 941
  Consorcio ARA SAB de CV 2,366,068 891
  Rassini SAB de CV 182,141 843
* Empresas ICA SAB de CV 2,617,509 427
* Grupo Famsa SAB de CV Class A 243,000 105
      2,683,707
Pakistan (0.1%)    
  Oil & Gas Development Co. Ltd. 10,550,100 14,106
  Hub Power Co. Ltd. 10,697,343 10,893
  United Bank Ltd. 4,752,600 9,132
  Pakistan Petroleum Ltd. 6,408,989 9,058
  Fauji Fertilizer Co. Ltd. 8,497,174 8,411
  National Bank of Pakistan 8,697,900 5,960
  Lucky Cement Ltd. 638,254 4,086
  Engro Corp. Ltd. 1,354,742 3,608
  Pakistan State Oil Co. Ltd. 794,351 3,060
  DG Khan Cement Co. Ltd. 1,711,414 2,801
  Pakistan Oilfields Ltd. 494,400 1,863
  Kot Addu Power Co. Ltd. 1,954,721 1,378
* SUI Southern Gas Co. Ltd. 1,052,000 387
  Pakistan Telecommunication Co. Ltd. 1,185,000 186
  Fauji Fertilizer Bin Qasim Ltd. 158,000 71
      75,000
Peru (0.3%)    
  Credicorp Ltd. (XNYS) 438,623 65,214
  Credicorp Ltd. (XLIM) 357,268 53,090
* Cia de Minas Buenaventura SAA ADR 2,777,424 36,912
* Cia de Minas Buenaventura SAA 461,011 6,045
      161,261
Philippines (1.6%)    
  SM Investments Corp. 7,319,346 101,462
  SM Prime Holdings Inc. 128,543,297 71,377
  Ayala Corp. 3,876,767 66,836
  JG Summit Holdings Inc. 42,651,420 66,819
  Aboitiz Equity Ventures Inc. 35,018,927 56,375
  BDO Unibank Inc. 24,145,442 56,234
  Bank of the Philippine Islands 26,061,105 54,381
  Universal Robina Corp. 13,572,899 51,004
  Ayala Land Inc. 60,560,427 45,299
  Metropolitan Bank & Trust Co. 21,361,401 35,874
  Jollibee Foods Corp. 7,155,189 35,139
  Manila Electric Co. 4,964,115 28,316
* PLDT Inc. 878,137 27,713
  Aboitiz Power Corp. 27,435,926 25,987
  Metro Pacific Investments Corp. 163,887,500 24,405
  GT Capital Holdings Inc. 823,876 22,267
  Alliance Global Group Inc. 69,723,534 20,525

 

53

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Security Bank Corp. 4,002,720 18,221
  DMCI Holdings Inc. 70,459,650 18,169
  Megaworld Corp. 198,824,713 16,480
  LT Group Inc. 48,595,727 14,488
  International Container Terminal Services Inc. 8,651,720 13,890
  Semirara Mining & Power Corp. Class A 5,296,222 13,777
  Energy Development Corp. 106,690,953 12,994
  Robinsons Land Corp. 16,865,900 10,781
  Globe Telecom Inc. 279,227 10,270
* DoubleDragon Properties Corp. 7,865,400 9,051
  Puregold Price Club Inc. 10,325,600 8,692
  Petron Corp. 39,895,900 8,526
  First Gen Corp. 15,911,700 7,549
  Manila Water Co. Inc. 10,723,200 6,700
* Bloomberry Resorts Corp. 51,994,472 6,346
  Robinsons Retail Holdings Inc. 3,432,040 5,475
  Vista Land & Lifescapes Inc. 48,085,005 5,191
  D&L Industries Inc. 21,111,000 4,783
  Cebu Air Inc. 2,173,300 4,715
  Emperador Inc. 26,142,000 3,909
  Filinvest Land Inc. 104,908,000 3,821
  Cosco Capital Inc. 19,061,900 3,342
  Lopez Holdings Corp. 19,349,300 3,175
  First Philippine Holdings Corp. 1,744,570 2,498
  Nickel Asia Corp. 12,761,400 1,811
  Belle Corp. 27,554,000 1,660
* Melco Crown Philippines Resorts Corp. 17,985,000 1,597
  Travellers International Hotel Group Inc. 18,929,400 1,311
* Atlas Consolidated Mining & Development Corp. 1,211,000 99
      1,009,334
Poland (1.2%)    
  Polski Koncern Naftowy ORLEN SA 4,797,575 95,051
  Powszechna Kasa Oszczednosci Bank Polski SA 12,960,961 90,795
  Bank Pekao SA 2,343,695 72,336
  Powszechny Zaklad Ubezpieczen SA 8,491,789 58,961
  KGHM Polska Miedz SA 2,102,036 38,153
  Bank Zachodni WBK SA 445,105 35,965
  Polskie Gornictwo Naftowe i Gazownictwo SA 26,585,047 34,034
^ LPP SA 20,408 30,652
  PGE Polska Grupa Energetyczna SA 11,020,070 28,874
* Cyfrowy Polsat SA 3,619,649 22,370
^ CCC SA 408,873 20,748
* mBank SA 204,046 18,426
  Asseco Poland SA 1,354,737 18,108
* Alior Bank SA 1,444,273 17,388
  Orange Polska SA 11,143,545 15,910
* Bank Millennium SA 10,199,155 15,011
* Grupa Lotos SA 1,693,043 14,680
* Jastrzebska Spolka Weglowa SA 741,376 13,749
  Eurocash SA 1,305,860 13,225
  Grupa Azoty SA 786,473 12,526
  Kernel Holding SA 750,041 12,002
* Tauron Polska Energia SA 17,446,122 11,789
  KRUK SA 201,181 11,678
  Energa SA 5,348,694 10,968
  Bank Handlowy w Warszawie SA 540,098 10,697
* Enea SA 3,715,040 9,516
*,^ Synthos SA 7,417,403 8,978
* CD Projekt SA 825,944 8,389
  Ciech SA 285,785 4,661
* PKP Cargo SA 356,591 3,905
  Budimex SA 73,264 3,802
* Globe Trade Centre SA 1,021,896 2,089
* Getin Noble Bank SA 5,875,428 1,964

 

54

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Neuca SA 18,116 1,803
*,^ Lubelski Wegiel Bogdanka SA 99,693 1,769
  Warsaw Stock Exchange 154,826 1,544
*,^ Boryszew SA 498,060 1,018
* Getin Holding SA 1,036,950 304
* Bioton SA 120,975 272
* Integer.pl SA 27,128 241
      774,351
Qatar (0.4%)    
  Qatar National Bank SAQ 1,360,638 59,722
  Industries Qatar QSC 791,885 22,148
  Ooredoo QSC 770,820 20,515
  Masraf Al Rayan QSC 1,795,227 17,042
  Commercial Bank QSC 1,163,656 11,391
  Qatar Islamic Bank SAQ 387,194 10,879
  Qatar Electricity & Water Co. QSC 139,090 8,017
  United Development Co. QSC 1,428,783 7,829
* Aamal Co. 1,973,037 7,358
  Qatar Gas Transport Co. Ltd. 1,176,465 7,295
  Barwa Real Estate Co. 826,768 7,242
* Qatar Insurance Co. SAQ 247,861 5,966
* Qatar Navigation QSC 214,387 5,533
* Qatar International Islamic Bank QSC 312,385 5,400
* Doha Bank QSC 518,949 5,181
* Qatari Investors Group QSC 244,068 3,882
* Al Meera Consumer Goods Co. QSC 73,299 3,756
* Gulf International Services QSC 441,770 3,697
* Salam International Investment Ltd. QSC 929,340 2,830
* Vodafone Qatar QSC 956,782 2,757
* Ezdan Holding Group QSC 597,450 2,569
* Medicare Group 141,812 2,406
      223,415
Russia (3.8%)    
  Sberbank of Russia PJSC 161,438,168 375,771
  Gazprom PJSC 88,022,453 192,884
  Lukoil PJSC ADR 3,636,459 176,886
  Gazprom PJSC ADR 38,808,778 167,339
  Magnit PJSC GDR 4,190,963 166,204
  Lukoil PJSC 3,228,521 157,545
  Novatek OJSC GDR 847,610 90,374
  NOVATEK OAO 8,189,140 85,385
  Tatneft PJSC ADR 2,076,022 69,292
  VTB Bank PJSC 58,129,231,072 62,180
  MMC Norilsk Nickel PJSC ADR 3,885,531 58,607
  AK Transneft OAO Preference Shares 23,793 56,979
  Rosneft PJSC GDR 10,469,019 56,932
  Alrosa PJSC 37,195,700 52,028
  Tatneft PAO 9,061,292 50,760
  Mobile TeleSystems PJSC ADR 6,515,982 50,238
  Surgutneftegas OAO Preference Shares 105,393,010 47,787
  MMC Norilsk Nickel PJSC 317,850 46,867
  Moscow Exchange MICEX-RTS PJSC 21,284,428 39,206
  Surgutneftegas OJSC ADR 9,095,544 39,011
  Rosneft PJSC 6,996,815 38,383
  Severstal PAO 2,476,571 34,617
  Novolipetsk Steel PJSC GDR 1,425,530 23,103
  Rostelecom PJSC 18,256,325 22,779
  RusHydro PJSC 1,579,839,418 19,830
  VTB Bank PJSC GDR 9,086,137 18,991
  Bashneft PJSC 340,785 17,868
  PhosAgro PJSC GDR 1,284,168 15,923
  Sistema PJSC FC GDR 2,018,772 15,080
  Inter RAO UES PJSC 266,733,670 14,310
  MegaFon PJSC GDR 1,492,678 14,216

 

55

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* Aeroflot PJSC 6,789,524 13,910
  Surgutneftegas OJSC 32,516,249 13,858
  Magnitogorsk Iron & Steel OJSC 23,953,284 12,035
  Federal Grid Co. Unified Energy System JSC 4,093,494,717 11,048
* Uralkali PJSC 4,137,243 10,823
  E.ON Russia JSC 230,721,198 10,612
^ LSR Group PJSC GDR 2,987,742 8,446
  Bashneft PAO Preference Shares 300,228 7,009
  Rosseti PJSC 450,217,605 6,934
  Tatneft PAO Preference Shares 2,069,850 6,631
  Acron JSC 117,629 5,568
* Mechel PJSC 1,634,230 3,833
  TMK PJSC GDR 731,402 3,089
  M.Video PJSC 332,264 1,780
* DIXY Group PJSC 245,032 1,250
* Raspadskaya OAO 1,001,239 1,092
  Mobile TeleSystems PJSC 278,073 981
  Mosenergo OAO 28,759,534 777
* Sollers PJSC 76,039 611
  OGK-2 PJSC 97,144,880 561
  Novolipetsk Steel PJSC 180,757 293
      2,398,516
Singapore (0.0%)    
*,^ Blue Sky Power Holdings Ltd. 58,408,000 4,882
 
South Africa (7.8%)    
  Naspers Ltd. 6,441,259 1,078,784
  Sasol Ltd. 8,256,486 228,003
  MTN Group Ltd. 26,228,732 226,546
* Steinhoff International Holdings NV (XJSE) 37,181,472 200,582
  Standard Bank Group Ltd. 18,067,927 191,796
  FirstRand Ltd. 45,503,002 163,163
  Remgro Ltd. 8,151,601 135,335
  Sanlam Ltd. 26,759,445 129,615
  Aspen Pharmacare Holdings Ltd. 5,376,263 117,120
  Shoprite Holdings Ltd. 6,614,905 97,619
  Bid Corp. Ltd. 4,898,822 86,026
  Woolworths Holdings Ltd. 14,428,766 83,565
* AngloGold Ashanti Ltd. 6,102,884 83,095
  Growthpoint Properties Ltd. 41,541,195 77,464
  Tiger Brands Ltd. 2,590,113 73,757
  Barclays Africa Group Ltd. 6,346,243 73,645
  Vodacom Group Ltd. 6,772,889 73,072
  Bidvest Group Ltd. 5,156,418 64,064
  Netcare Ltd. 24,074,517 61,825
  Redefine Properties Ltd. 70,268,344 60,128
^ Nedbank Group Ltd. 3,130,096 51,237
  Gold Fields Ltd. 12,309,761 50,769
  RMB Holdings Ltd. 10,783,132 47,500
* Sappi Ltd. 8,455,861 47,051
  Life Healthcare Group Holdings Ltd. 17,174,621 45,884
  Discovery Ltd. 5,227,919 44,688
  Capitec Bank Holdings Ltd. 856,389 43,473
  Mr Price Group Ltd. 3,563,312 40,595
  SPAR Group Ltd. 2,846,780 40,361
  Mondi Ltd. 1,935,463 37,806
  Clicks Group Ltd. 4,037,145 37,661
^ Truworths International Ltd. 7,043,662 37,371
* Impala Platinum Holdings Ltd. 9,136,822 36,919
  AVI Ltd. 5,160,156 36,247
  Hyprop Investments Ltd. 4,034,130 35,795
  New Europe Property Investments plc 2,903,616 35,786
  Resilient REIT Ltd. 4,214,471 34,865
  Brait SE 5,217,717 34,630

 

56

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
  Imperial Holdings Ltd. 2,738,634 34,591
  Foschini Group Ltd. 3,243,230 33,339
  Sibanye Gold Ltd. 11,005,589 30,615
  MMI Holdings Ltd. 16,770,117 28,092
  Pioneer Foods Group Ltd. 2,193,643 26,428
^ Pick n Pay Stores Ltd. 5,336,671 26,147
  Investec Ltd. 4,160,872 25,626
  PSG Group Ltd. 1,574,770 24,579
  Coronation Fund Managers Ltd. 4,396,326 23,662
  Telkom SA SOC Ltd. 5,063,148 23,339
* EOH Holdings Ltd. 1,859,752 22,063
  Barloworld Ltd. 3,330,701 21,514
* Anglo American Platinum Ltd. 908,242 21,474
  Fortress Income Fund Ltd. Class B 8,840,736 21,007
* Northam Platinum Ltd. 5,709,780 20,803
  Harmony Gold Mining Co. Ltd. 5,691,907 17,670
  Tongaat Hulett Ltd. 1,926,809 17,413
  JSE Ltd. 1,436,910 16,740
  Exxaro Resources Ltd. 2,119,230 15,620
  Massmart Holdings Ltd. 1,773,281 15,350
  Liberty Holdings Ltd. 1,717,807 14,790
  AECI Ltd. 1,957,126 14,782
  Nampak Ltd. 9,764,582 13,618
  Omnia Holdings Ltd. 1,111,488 13,461
  Tsogo Sun Holdings Ltd. 5,859,996 13,324
* Attacq Ltd. 10,255,689 13,042
  Fortress Income Fund Ltd. Class A 10,457,608 12,652
  Reunert Ltd. 2,703,596 12,355
  Wilson Bayly Holmes-Ovcon Ltd. 1,044,668 11,776
  African Rainbow Minerals Ltd. 1,593,367 11,544
  Santam Ltd. 616,112 11,061
  DataTec Ltd. 3,324,762 11,057
* Super Group Ltd. 3,670,144 10,832
  Sun International Ltd. 1,639,242 10,125
  Famous Brands Ltd. 854,446 9,984
  Distell Group Ltd. 786,132 9,650
*,^ Kumba Iron Ore Ltd. 914,528 9,313
  KAP Industrial Holdings Ltd. 15,782,593 9,072
  Vukile Property Fund Ltd. 6,123,117 8,350
  PPC Ltd. 20,183,650 8,241
  SA Corporate Real Estate Fund Nominees Pty Ltd. 20,051,131 8,199
  Assore Ltd. 559,737 7,546
  Blue Label Telecoms Ltd. 4,740,137 7,167
  Grindrod Ltd. 8,096,205 6,670
  Cashbuild Ltd. 217,262 6,335
  Alexander Forbes Group Holdings Ltd. 13,214,889 6,000
  Steinhoff International Holdings NV (XETR) 1,075,902 5,732
  Murray & Roberts Holdings Ltd. 7,628,400 5,238
  Mpact Ltd. 2,068,640 5,061
  Zeder Investments Ltd. 9,578,820 4,737
* Ascendis Health Ltd. 2,246,717 4,527
  Emira Property Fund Ltd. 4,335,924 4,486
  Astral Foods Ltd. 491,579 4,458
* ArcelorMittal South Africa Ltd. 5,192,748 4,446
* Curro Holdings Ltd. 987,922 3,635
  Peregrine Holdings Ltd. 1,858,639 3,584
  Oceana Group Ltd. 413,917 3,525
  Adcock Ingram Holdings Ltd. 1,006,734 3,494
  Advtech Ltd. 2,667,199 3,446
* Royal Bafokeng Platinum Ltd. 1,124,719 3,432
  Metair Investments Ltd. 2,270,826 3,200
  Raubex Group Ltd. 1,582,762 2,950
* Consolidated Infrastructure Group Ltd. 1,530,158 2,661
* Aveng Ltd. 4,804,954 2,519

 

57

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
City Lodge Hotels Ltd. 230,233 2,497
Trencor Ltd. 1,170,312 2,489
DRDGOLD Ltd. 4,552,954 2,309
^ Lewis Group Ltd. 776,037 2,300
Group Five Ltd. 881,090 1,511
* Pinnacle Holdings Ltd. 995,391 1,322
Invicta Holdings Ltd. 309,248 1,274
Delta Property Fund Ltd. 2,139,935 1,217
Rebosis Property Fund Ltd. 1,404,264 1,191
Adcorp Holdings Ltd. 1,089,842 1,096
Hudaco Industries Ltd. 96,998 786
Clover Industries Ltd. 491,093 634
Merafe Resources Ltd. 3,628,696 341
* Adcock Ingram Holdings Ltd. Warrants Exp. 07/26/2019 73,897 17
* African Bank Investments Ltd. 23,997,414
    4,870,975
Taiwan (15.4%)    
Taiwan Semiconductor Manufacturing Co. Ltd. 237,443,845 1,424,985
Taiwan Semiconductor Manufacturing Co. Ltd. ADR 24,605,789 765,240
Hon Hai Precision Industry Co. Ltd. 225,418,779 608,893
Formosa Plastics Corp. 77,331,616 208,977
Formosa Chemicals & Fibre Corp. 68,355,830 202,949
Nan Ya Plastics Corp. 90,671,253 188,299
Delta Electronics Inc. 33,733,767 177,594
Largan Precision Co. Ltd. 1,499,135 176,861
MediaTek Inc. 22,341,143 169,344
Cathay Financial Holding Co. Ltd. 126,855,966 164,174
Fubon Financial Holding Co. Ltd. 114,859,336 162,515
CTBC Financial Holding Co. Ltd. 287,790,395 154,772
Uni-President Enterprises Corp. 75,281,698 145,448
China Steel Corp. 195,172,385 140,967
Mega Financial Holding Co. Ltd. 170,861,636 116,816
Chunghwa Telecom Co. Ltd. 32,708,913 112,001
Asustek Computer Inc. 11,341,958 99,291
Taiwan Mobile Co. Ltd. 26,933,796 94,237
Chunghwa Telecom Co. Ltd. ADR 2,712,993 92,649
Catcher Technology Co. Ltd. 11,389,259 89,155
Quanta Computer Inc. 43,293,165 87,581
First Financial Holding Co. Ltd. 162,378,813 85,059
Pegatron Corp. 30,877,897 83,147
Hotai Motor Co. Ltd. 6,894,000 80,081
E.Sun Financial Holding Co. Ltd. 139,125,815 79,010
Advanced Semiconductor Engineering Inc. 66,075,717 77,638
Formosa Petrochemical Corp. 22,234,894 74,240
Hua Nan Financial Holdings Co. Ltd. 136,896,688 69,517
President Chain Store Corp. 9,090,647 67,922
Yuanta Financial Holding Co. Ltd. 177,060,634 66,089
Taiwan Cooperative Financial Holding Co. Ltd. 149,333,078 65,449
Far EasTone Telecommunications Co. Ltd. 27,092,343 64,022
Taiwan Cement Corp. 52,146,877 62,460
Cheng Shin Rubber Industry Co. Ltd. 30,366,883 61,784
China Development Financial Holding Corp. 238,878,649 59,775
Pou Chen Corp. 43,864,531 59,185
Taishin Financial Holding Co. Ltd. 154,309,694 56,412
Foxconn Technology Co. Ltd. 18,473,849 53,552
Far Eastern New Century Corp. 68,865,322 53,284
Lite-On Technology Corp. 36,227,288 51,935
SinoPac Financial Holdings Co. Ltd. 170,694,098 49,197
Innolux Corp. 145,453,575 48,964
Advantech Co. Ltd. 5,882,619 47,808
Chang Hwa Commercial Bank Ltd. 90,200,111 46,088
China Life Insurance Co. Ltd. (XTAI) 48,845,720 45,024
Compal Electronics Inc. 71,496,629 42,513
Inventec Corp. 50,572,489 39,483

 

58

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
^ United Microelectronics Corp. ADR 20,674,888 39,282
Hermes Microvision Inc. 842,369 37,134
Advanced Semiconductor Engineering Inc. ADR 6,259,619 36,619
United Microelectronics Corp. 98,295,970 36,586
* Inotera Memories Inc. 38,932,000 36,408
Giant Manufacturing Co. Ltd. 5,057,721 35,775
Asia Cement Corp. 40,802,529 35,573
Novatek Microelectronics Corp. 9,473,817 35,472
AU Optronics Corp. 92,924,669 35,295
Eclat Textile Co. Ltd. 2,995,950 33,947
* HTC Corp. 11,417,225 33,349
Wistron Corp. 43,650,878 32,891
Siliconware Precision Industries Co. Ltd. 21,475,906 32,483
Vanguard International Semiconductor Corp. 15,264,000 31,076
* Shin Kong Financial Holding Co. Ltd. 131,707,583 28,545
Teco Electric and Machinery Co. Ltd. 32,103,000 28,461
Micro-Star International Co. Ltd. 9,860,000 28,365
Powertech Technology Inc. 9,668,000 27,585
Realtek Semiconductor Corp. 7,940,241 26,895
Synnex Technology International Corp. 23,915,907 25,481
Chicony Electronics Co. Ltd. 9,900,199 25,295
Feng TAY Enterprise Co. Ltd. 5,743,390 23,956
Siliconware Precision Industries Co. Ltd. ADR 3,071,933 23,009
Acer Inc. 50,140,632 22,976
Nien Made Enterprise Co. Ltd. 1,923,000 22,274
Walsin Lihwa Corp. 63,196,770 22,109
Chailease Holding Co. Ltd. 12,212,000 21,081
WPG Holdings Ltd. 17,206,000 20,141
Taiwan Business Bank 78,163,215 19,743
AU Optronics Corp. ADR 5,117,492 19,344
Highwealth Construction Corp. 12,325,000 18,253
Taiwan Fertilizer Co. Ltd. 13,279,100 17,764
Formosa Taffeta Co. Ltd. 18,757,868 17,090
Eternal Materials Co. Ltd. 15,330,232 16,158
Airtac International Group 2,017,000 16,039
Merida Industry Co. Ltd. 3,418,000 15,751
Phison Electronics Corp. 2,224,000 15,743
Win Semiconductors Corp. 5,641,292 15,667
Eva Airways Corp. 32,541,854 15,666
* Ruentex Development Co. Ltd. 13,538,000 15,624
* TaiMed Biologics Inc. 2,469,000 15,503
Ruentex Industries Ltd. 9,534,000 15,348
Tong Yang Industry Co. Ltd. 6,509,000 15,146
Poya International Co. Ltd. 1,038,320 15,094
Tripod Technology Corp. 6,182,000 14,635
Transcend Information Inc. 5,175,981 14,295
St. Shine Optical Co. Ltd. 678,000 14,249
Taiwan Secom Co. Ltd. 4,729,805 13,559
Tung Thih Electronic Co. Ltd. 874,000 12,752
Hiwin Technologies Corp. 2,882,580 12,708
Yulon Motor Co. Ltd. 14,477,584 12,668
China Airlines Ltd. 41,314,050 12,499
LCY Chemical Corp. 10,153,000 12,387
Nanya Technology Corp. 9,530,246 12,354
Winbond Electronics Corp. 38,069,000 11,953
King Yuan Electronics Co. Ltd. 13,561,000 11,928
PChome Online Inc. 1,081,134 11,739
Zhen Ding Technology Holding Ltd. 5,152,000 11,720
Chroma ATE Inc. 4,615,000 11,698
Simplo Technology Co. Ltd. 3,688,000 11,375
Kenda Rubber Industrial Co. Ltd. 7,442,571 11,369
Yageo Corp. 5,610,387 11,291
Accton Technology Corp. 7,067,000 11,285
CTCI Corp. 7,678,000 11,267

 

59

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
* Taiwan Glass Industry Corp. 26,836,818 11,211
Feng Hsin Steel Co. Ltd. 8,311,310 11,015
Silergy Corp. 752,000 10,956
Standard Foods Corp. 4,415,580 10,912
* Epistar Corp. 15,971,732 10,844
Capital Securities Corp. 43,349,422 10,837
* Evergreen Marine Corp. Taiwan Ltd. 28,819,358 10,763
Chipbond Technology Corp. 7,746,000 10,693
eMemory Technology Inc. 992,000 10,509
Hota Industrial Manufacturing Co. Ltd. 2,507,000 10,477
Far Eastern International Bank 36,423,522 10,358
King Slide Works Co. Ltd. 842,000 10,313
Taiwan Paiho Ltd. 3,028,000 10,293
China Motor Corp. 12,467,000 9,763
Parade Technologies Ltd. 866,000 9,744
Chin-Poon Industrial Co. Ltd. 4,908,000 9,399
Unimicron Technology Corp. 22,457,754 9,275
E Ink Holdings Inc. 10,931,000 9,265
Radiant Opto-Electronics Corp. 5,388,291 9,084
King's Town Bank Co. Ltd. 11,002,000 8,999
TSRC Corp. 8,623,000 8,899
Walsin Technology Corp. 7,329,300 8,889
Land Mark Optoelectronics Corp. 990,900 8,881
Everlight Electronics Co. Ltd. 5,758,000 8,685
Grape King Bio Ltd. 1,029,000 8,640
Makalot Industrial Co. Ltd. 2,193,987 8,635
Wistron NeWeb Corp. 3,078,350 8,566
* HannStar Display Corp. 34,192,000 8,558
Merry Electronics Co. Ltd. 2,182,000 8,413
Cheng Uei Precision Industry Co. Ltd. 6,874,473 8,412
Voltronic Power Technology Corp. 558,355 8,372
Elite Material Co. Ltd. 3,005,000 8,366
Ennoconn Corp. 522,085 8,273
Kinsus Interconnect Technology Corp. 3,459,000 7,982
WT Microelectronics Co. Ltd. 5,509,050 7,802
Oriental Union Chemical Corp. 12,479,000 7,791
Gigabyte Technology Co. Ltd. 5,895,000 7,747
FLEXium Interconnect Inc. 2,686,278 7,639
Qisda Corp. 17,862,000 7,515
TTY Biopharm Co. Ltd. 1,994,000 7,498
Gourmet Master Co. Ltd. 834,500 7,489
* TPK Holding Co. Ltd. 4,694,667 7,484
* Tatung Co. Ltd. 28,344,000 7,451
Nan Kang Rubber Tire Co. Ltd. 8,078,000 7,447
* Chunghwa Precision Test Tech Co. Ltd. 217,000 7,212
AmTRAN Technology Co. Ltd. 9,088,000 7,198
YFY Inc. 23,890,000 7,035
Sino-American Silicon Products Inc. 6,413,000 6,894
* China Petrochemical Development Corp. 23,899,000 6,824
Clevo Co. 7,433,000 6,802
Wan Hai Lines Ltd. 13,807,450 6,794
Cub Elecparts Inc. 737,270 6,763
* Asia Pacific Telecom Co. Ltd. 20,446,000 6,564
Taichung Commercial Bank Co. Ltd. 22,356,485 6,365
Mitac Holdings Corp. 6,710,691 6,351
Great Wall Enterprise Co. Ltd. 6,933,000 6,308
Cathay Real Estate Development Co. Ltd. 12,278,700 6,294
Tong Hsing Electronic Industries Ltd. 1,812,000 6,248
Kinpo Electronics 16,414,000 6,153
ITEQ Corp. 5,657,000 6,122
Ardentec Corp. 8,178,317 6,091
Sinbon Electronics Co. Ltd. 2,707,315 6,086
Topco Scientific Co. Ltd. 2,303,300 5,907
* Center Laboratories Inc. 2,827,568 5,808

 

60

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
* Egis Technology Inc. 801,000 5,801
China Bills Finance Corp. 14,469,000 5,799
U-Ming Marine Transport Corp. 8,276,356 5,731
Greatek Electronics Inc. 4,539,000 5,730
* Yang Ming Marine Transport Corp. 25,629,195 5,687
Sanyang Motor Co. Ltd. 8,864,000 5,674
* Macronix International 40,742,541 5,634
Ginko International Co. Ltd. 602,000 5,613
President Securities Corp. 16,063,953 5,588
Getac Technology Corp. 4,253,000 5,524
Depo Auto Parts Ind Co. Ltd. 1,748,000 5,460
Coretronic Corp. 5,227,400 5,409
Compeq Manufacturing Co. Ltd. 10,044,000 5,290
Primax Electronics Ltd. 3,343,000 5,287
Elan Microelectronics Corp. 4,670,000 5,282
Ton Yi Industrial Corp. 12,278,000 5,268
Grand Pacific Petrochemical 9,430,000 5,257
Yungtay Engineering Co. Ltd. 3,727,000 5,254
Flytech Technology Co. Ltd. 1,588,000 5,229
OptoTech Corp. 12,024,000 5,065
Huaku Development Co. Ltd. 2,832,000 4,985
Sercomm Corp. 2,100,000 4,933
* Yieh Phui Enterprise Co. Ltd. 12,767,000 4,932
TA Chen Stainless Pipe 9,358,860 4,920
* Orient Semiconductor Electronics Ltd. 13,438,000 4,849
Pihsiang Machinery Manufacturing Co. Ltd. 2,056,000 4,820
Sigurd Microelectronics Corp. 6,451,000 4,817
Li Cheng Enterprise Co. Ltd. 1,241,920 4,814
PharmaEngine Inc. 701,764 4,782
Far Eastern Department Stores Ltd. 8,983,000 4,761
Waterland Financial Holdings Co. Ltd. 18,701,166 4,735
Long Chen Paper Co. Ltd. 9,891,523 4,695
Shin Zu Shing Co. Ltd. 1,559,000 4,694
Pan-International Industrial Corp. 5,099,000 4,678
* Neo Solar Power Corp. 9,116,242 4,656
China General Plastics Corp. 5,816,160 4,649
Tung Ho Steel Enterprise Corp. 7,269,000 4,634
Lien Hwa Industrial Corp. 6,739,874 4,567
* Pharmally International Holding Co. Ltd. 303,000 4,566
Namchow Chemical Industrial Co. Ltd. 2,118,000 4,510
China Steel Chemical Corp. 1,307,000 4,486
General Interface Solution Holding Ltd. 1,663,000 4,431
Taiwan PCB Techvest Co. Ltd. 4,534,000 4,426
TXC Corp. 3,168,000 4,419
Yeong Guan Energy Technology Group Co. Ltd. 1,123,000 4,412
Posiflex Technology Inc. 746,799 4,395
* Iron Force Industrial Co. Ltd. 717,000 4,367
A-DATA Technology Co. Ltd. 2,805,000 4,358
Holtek Semiconductor Inc. 2,742,000 4,329
FocalTech Systems Co. Ltd. 3,945,000 4,267
IEI Integration Corp. 2,850,000 4,240
Hu Lane Associate Inc. 961,000 4,235
* Ritek Corp. 24,366,586 4,203
* Mercuries Life Insurance Co. Ltd. 8,664,745 4,168
Chaun-Choung Technology Corp. 945,000 4,166
Casetek Holdings Ltd. 1,291,000 4,144
Taiwan Hon Chuan Enterprise Co. Ltd. 2,526,000 4,140
Farglory Land Development Co. Ltd. 3,593,000 4,130
Cleanaway Co. Ltd. 776,000 4,126
* Gintech Energy Corp. 5,733,000 4,093
Elite Advanced Laser Corp. 1,125,600 4,093
Advanced Ceramic X Corp. 509,000 4,070
Aten International Co. Ltd. 1,620,000 4,064
YungShin Global Holding Corp. 2,723,000 4,047

 

61

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
USI Corp. 8,301,000 4,044
Lung Yen Life Service Corp. 2,366,000 4,027
Taiwan Shin Kong Security Co. Ltd. 3,151,000 3,976
Taiwan Acceptance Corp. 1,707,000 3,923
Sitronix Technology Corp. 1,056,000 3,908
Tainan Spinning Co. Ltd. 10,168,000 3,900
Firich Enterprises Co. Ltd. 1,839,210 3,803
Taiwan Semiconductor Co. Ltd. 3,364,000 3,771
Zeng Hsing Industrial Co. Ltd. 777,000 3,750
Sampo Corp. 6,018,000 3,743
Taiwan Land Development Corp. 11,881,201 3,710
Taiwan TEA Corp. 8,437,000 3,676
United Integrated Services Co. Ltd. 2,439,000 3,653
* CMC Magnetics Corp. 30,868,000 3,632
AcBel Polytech Inc. 4,909,000 3,631
Formosa International Hotels Corp. 647,000 3,628
Wah Lee Industrial Corp. 2,518,000 3,591
Test Research Inc. 2,827,000 3,579
Taiwan Surface Mounting Technology Corp. 4,263,000 3,550
* Motech Industries Inc. 3,644,000 3,515
Taiwan FamilyMart Co. Ltd. 497,000 3,511
Cheng Loong Corp. 9,612,000 3,484
ScinoPharm Taiwan Ltd. 2,732,400 3,472
International Games System Co. Ltd. 617,000 3,465
Taiwan Styrene Monomer 6,543,000 3,454
Basso Industry Corp. 1,277,000 3,434
Pan Jit International Inc. 7,277,000 3,425
Globalwafers Co. Ltd. 1,376,000 3,391
Chong Hong Construction Co. Ltd. 2,030,000 3,333
Pixart Imaging Inc. 1,539,000 3,331
Prince Housing & Development Corp. 10,472,000 3,316
Lextar Electronics Corp. 7,921,000 3,281
Elite Semiconductor Memory Technology Inc. 3,063,000 3,263
Sunplus Technology Co. Ltd. 9,365,000 3,215
China Synthetic Rubber Corp. 4,095,000 3,214
Rechi Precision Co. Ltd. 2,803,000 3,196
YC INOX Co. Ltd. 4,400,200 3,195
CyberTAN Technology Inc. 5,333,000 3,189
Bizlink Holding Inc. 629,191 3,185
Everlight Chemical Industrial Corp. 5,019,200 3,175
Adlink Technology Inc. 1,630,790 3,154
Nan Ya Printed Circuit Board Corp. 4,144,521 3,130
ITE Technology Inc. 3,336,000 3,091
Career Technology MFG. Co. Ltd. 4,794,000 3,057
* Microbio Co. Ltd. 4,124,000 3,052
Mercuries & Associates Holding Ltd. 4,874,800 2,995
Syncmold Enterprise Corp. 1,791,000 2,993
Xxentria Technology Materials Corp. 1,140,000 2,985
TYC Brother Industrial Co. Ltd. 2,895,000 2,983
China Man-Made Fiber Corp. 12,238,050 2,960
Shinkong Synthetic Fibers Corp. 11,091,000 2,955
* Taigen Biopharmaceuticals Holdings Ltd. 3,076,820 2,927
Sporton International Inc. 604,313 2,887
Test Rite International Co. Ltd. 4,674,000 2,879
Gloria Material Technology Corp. 5,351,640 2,864
Chung-Hsin Electric & Machinery Manufacturing Corp. 5,105,000 2,863
Unitech Printed Circuit Board Corp. 9,089,000 2,855
Systex Corp. 1,694,000 2,848
BES Engineering Corp. 16,353,000 2,784
San Shing Fastech Corp. 1,590,000 2,774
Hung Poo Real Estate Development Corp. 3,326,000 2,735
Lite-On Semiconductor Corp. 3,846,000 2,700
Visual Photonics Epitaxy Co. Ltd. 2,005,500 2,684
* Asia Optical Co. Inc. 2,905,000 2,680

 

62

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
* Medigen Biotechnology Corp. 1,206,000 2,674
Long Bon International Co. Ltd. 5,163,000 2,666
Brogent Technologies Inc. 386,000 2,659
Wowprime Corp. 725,000 2,652
Darwin Precisions Corp. 6,784,000 2,624
Yulon Nissan Motor Co. Ltd. 416,188 2,621
Lingsen Precision Industries Ltd. 7,333,000 2,587
Hung Sheng Construction Ltd. 4,785,000 2,581
Soft-World International Corp. 1,286,000 2,577
Universal Cement Corp. 3,308,700 2,570
* Gigastorage Corp. 3,580,000 2,570
Taiflex Scientific Co. Ltd. 2,698,920 2,563
Goldsun Building Materials Co. Ltd. 11,099,000 2,560
Chlitina Holding Ltd. 583,000 2,552
Toung Loong Textile Manufacturing 930,000 2,547
Dynapack International Technology Corp. 1,939,000 2,537
* Etron Technology Inc. 6,578,000 2,525
Faraday Technology Corp. 2,536,000 2,523
* Unity Opto Technology Co. Ltd. 5,295,000 2,514
Darfon Electronics Corp. 4,273,000 2,502
* Sunny Friend Environmental Technology Co. Ltd. 698,000 2,496
Advanced Wireless Semiconductor Co. 1,586,000 2,471
Global Unichip Corp. 966,000 2,461
China Metal Products 2,497,000 2,460
Jih Sun Financial Holdings Co. Ltd. 11,724,647 2,443
D-Link Corp. 7,598,000 2,438
Lealea Enterprise Co. Ltd. 9,464,000 2,421
Nan Liu Enterprise Co. Ltd. 563,000 2,387
UPC Technology Corp. 6,777,000 2,379
Gigasolar Materials Corp. 188,000 2,369
* Wei Chuan Foods Corp. 4,174,000 2,366
* Unizyx Holding Corp. 5,295,000 2,361
MIN AIK Technology Co. Ltd. 2,008,000 2,357
Taiyen Biotech Co. Ltd. 2,457,000 2,346
Sunrex Technology Corp. 3,865,363 2,321
Gemtek Technology Corp. 3,989,000 2,296
Kinik Co. 1,381,000 2,281
Tyntek Corp. 5,985,000 2,270
Formosan Rubber Group Inc. 4,864,704 2,263
KEE TAI Properties Co. Ltd. 7,078,000 2,263
* Solartech Energy Corp. 4,499,000 2,254
Global Mixed Mode Technology Inc. 1,014,000 2,242
Vivotek Inc. 902,518 2,228
* Radium Life Tech Co. Ltd. 7,847,000 2,225
Federal Corp. 5,135,040 2,197
Taiwan Cogeneration Corp. 3,013,000 2,195
* Ho Tung Chemical Corp. 8,945,550 2,195
Jess-Link Products Co. Ltd. 2,649,000 2,193
Kindom Construction Corp. 4,431,000 2,182
Sonix Technology Co. Ltd. 2,123,000 2,172
Quanta Storage Inc. 2,255,000 2,150
WUS Printed Circuit Co. Ltd. 3,816,000 2,126
* Gold Circuit Electronics Ltd. 6,265,000 2,111
Hsin Kuang Steel Co. Ltd. 3,541,000 2,093
* HannsTouch Solution Inc. 8,494,000 2,083
Senao International Co. Ltd. 1,290,000 2,042
Green Seal Holding Ltd. 384,000 2,037
Asia Vital Components Co. Ltd. 2,703,000 2,023
* Wafer Works Corp. 7,227,647 1,997
Wisdom Marine Lines Co. Ltd. 2,202,725 1,994
Asia Polymer Corp. 3,414,740 1,975
CHC Healthcare Group 1,412,899 1,958
Globe Union Industrial Corp. 3,939,000 1,939
Huang Hsiang Construction Corp. 1,545,000 1,888

 

63

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
* Ichia Technologies Inc. 4,266,000 1,888
* Swancor Holding Co. Ltd. 796,000 1,882
Masterlink Securities Corp. 7,376,670 1,873
Tong-Tai Machine & Tool Co. Ltd. 2,617,000 1,865
Weltrend Semiconductor 2,617,000 1,862
Alpha Networks Inc. 3,138,000 1,805
* Shining Building Business Co. Ltd. 5,676,000 1,794
Kuoyang Construction Co. Ltd. 4,558,000 1,791
* Global Brands Manufacture Ltd. 5,173,000 1,786
Ability Enterprise Co. Ltd. 3,587,491 1,760
Jentech Precision Industrial Co. Ltd. 1,093,000 1,708
Zinwell Corp. 1,493,000 1,700
China Chemical & Pharmaceutical Co. Ltd. 3,009,000 1,696
Cyberlink Corp. 852,000 1,694
* AGV Products Corp. 7,062,369 1,683
* E-Ton Solar Tech Co. Ltd. 5,429,000 1,680
* TWi Pharmaceuticals Inc. 514,000 1,666
Tsann Kuen Enterprise Co. Ltd. 1,773,000 1,648
Continental Holdings Corp. 5,021,000 1,637
* Green Energy Technology Inc. 2,940,000 1,612
* Silicon Integrated Systems Corp. 8,164,000 1,609
GeoVision Inc. 1,068,079 1,606
* Lotus Pharmaceutical Co. Ltd. 862,000 1,563
* ALI Corp. 2,977,000 1,563
ACES Electronic Co. Ltd. 2,045,000 1,561
Sinyi Realty Inc. 1,703,000 1,558
Sheng Yu Steel Co. Ltd. 1,687,000 1,548
Yung Chi Paint & Varnish Manufacturing Co. Ltd. 626,000 1,541
* Li Peng Enterprise Co. Ltd. 6,786,000 1,525
Rich Development Co. Ltd. 5,537,000 1,525
L&K Engineering Co. Ltd. 1,906,000 1,491
Chimei Materials Technology Corp. 3,740,000 1,469
Infortrend Technology Inc. 2,953,000 1,458
FSP Technology Inc. 1,896,120 1,448
* Eastern Media International Corp. 6,024,000 1,431
CSBC Corp. Taiwan 3,374,000 1,399
Elitegroup Computer Systems Co. Ltd. 3,216,000 1,375
Holy Stone Enterprise Co. Ltd. 1,347,000 1,358
* G Tech Optoelectronics Corp. 2,016,481 1,322
Evergreen International Storage & Transport Corp. 3,228,000 1,308
Nien Hsing Textile Co. Ltd. 1,625,000 1,216
Chun Yuan Steel 3,524,000 1,205
ENG Electric Co. Ltd. 2,203,560 1,164
Johnson Health Tech Co. Ltd. 787,000 1,143
Sincere Navigation Corp. 2,046,000 1,143
Chung Hwa Pulp Corp. 4,020,000 1,140
Topkey Corp. 367,000 1,140
* Taiwan Liposome Co. Ltd. 271,000 1,110
* Genius Electronic Optical Co. Ltd. 691,000 1,102
Concord Securities Co. Ltd. 5,500,000 1,080
Ambassador Hotel 1,375,000 1,076
Altek Corp. 1,504,000 1,075
* China Electric Manufacturing Corp. 4,502,000 1,060
Lotes Co. Ltd. 397,000 1,009
Bank of Kaohsiung Co. Ltd. 3,595,284 1,007
Young Optics Inc. 1,091,000 922
* Genesis Photonics Inc. 6,093,000 885
* King's Town Construction Co. Ltd. 1,429,000 860
Kuo Toong International Co. Ltd. 1,573,950 859
Microlife Corp. 351,000 807
* LES Enphants Co. Ltd. 2,016,000 798
* Phihong Technology Co. Ltd. 2,490,000 779
* Dynamic Electronics Co. Ltd. 2,613,000 772
* Shih Wei Navigation Co. Ltd. 2,581,000 733

 

64

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
* Ta Ya Electric Wire & Cable 4,319,000 717
Taiwan Fire & Marine Insurance Co. Ltd. 1,186,000 695
Chinese Maritime Transport Ltd. 755,370 578
* Solar Applied Materials Technology Co. 1,855,000 514
Taiwan Mask Corp. 1,774,000 470
* Champion Building Materials Co. Ltd. 1,863,000 410
Great China Metal Industry 543,000 399
Chia Hsin Cement Corp. 1,405,000 397
Silitech Technology Corp. 801,000 397
XPEC Entertainment Inc. 988,965 366
Advanced International Multitech Co. Ltd. 561,000 357
KYE Systems Corp. 1,175,838 335
Taiwan Sanyo Electric Co. Ltd. 221,000 171
* Chung Hung Steel Corp. 126,000 29
    9,613,998
Thailand (3.9%)    
* PTT PCL 14,347,200 141,267
* CP ALL PCL (Local) 76,796,341 133,124
^ Siam Cement PCL NVDR 7,876,300 112,471
* Siam Commercial Bank PCL (Local) 26,192,909 107,243
* Bangkok Dusit Medical Services PCL 126,633,600 82,482
* Advanced Info Service PCL (Local) 18,791,993 82,365
* Airports of Thailand PCL 7,058,144 76,788
PTT PCL (Foreign) 7,072,642 69,639
Siam Cement PCL (Foreign) 4,610,017 66,357
* Kasikornbank PCL 12,218,600 59,976
* Central Pattana PCL 35,100,228 55,776
* PTT Exploration and Production PCL (Local) 22,367,406 52,920
* Minor International PCL 48,019,530 52,756
^ Kasikornbank PCL NVDR 10,035,900 49,262
^ Intouch Holdings PCL NVDR 26,127,250 39,577
^ Kasikornbank PCL (Foreign) 7,715,687 37,873
^ Siam Commercial Bank PCL 9,000,000 36,849
* Bangkok Bank PCL (Local) 7,923,343 36,087
* Charoen Pokphand Foods PCL 38,403,200 34,537
* Bumrungrad Hospital PCL 5,983,401 31,258
PTT Global Chemical PCL (Foreign) 18,259,607 31,188
Krung Thai Bank PCL (Foreign) 61,198,451 30,056
* Thai Oil PCL 14,620,200 29,208
* BTS Group Holdings PCL 102,269,000 24,987
* Banpu PCL (Local) 45,470,000 23,789
* Electricity Generating PCL 4,231,400 23,550
* Bangkok Expressway & Metro PCL 107,984,503 22,961
* TMB Bank PCL 382,769,800 22,940
* Home Product Center PCL 78,955,079 22,736
* Thai Union Group PCL 36,158,600 22,407
^ Land & Houses PCL NVDR 83,881,780 21,987
Charoen Pokphand Foods PCL (Foreign) 22,500,100 20,235
^ IRPC PCL (Foreign) 146,911,760 20,053
* KCE Electronics PCL 6,199,100 19,843
* Delta Electronics Thailand PCL 8,637,400 19,345
* Digital Telecommunications Infrastructure Fund 44,800,600 19,199
* True Corp. PCL 95,406,577 18,382
* PTT Global Chemical PCL 10,659,100 18,206
* OBI Pharma Inc. 1,732,000 18,100
* BTS Rail Mass Transit Growth Infrastructure Fund 43,912,900 15,304
* Kiatnakin Bank PCL 8,896,700 14,858
* Thanachart Capital PCL 12,920,400 14,558
^ Berli Jucker PCL (Foreign) 9,440,887 14,230
^ Indorama Ventures PCL (Foreign) 16,907,864 14,105
Jasmine International PCL 59,170,400 14,100
Glow Energy PCL (Foreign) 6,332,855 13,908
* Jasmine Broadband Internet Infrastructure Fund 39,901,300 13,792
^ Ratchaburi Electricity Generating Holding PCL 9,557,300 13,656

 

65

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
      Market
      Value
    Shares ($000)
* Bangchak Petroleum PCL 14,950,100 12,912
^ True Corp. PCL (Foreign) 66,381,242 12,789
* Thai Airways International PCL 15,708,800 12,551
* CH Karnchang PCL 14,305,900 12,047
* Group Lease PCL 9,173,179 12,041
* Robinson Department Store PCL 7,086,100 11,711
* Central Plaza Hotel PCL 10,799,200 11,699
* Sino-Thai Engineering & Construction PCL 15,923,200 11,590
  Bangkok Life Assurance PCL 8,094,600 11,497
* Supalai PCL 15,932,200 11,103
^ Krung Thai Bank PCL NVDR 21,822,300 10,717
* Berli Jucker PCL 7,077,700 10,662
* Total Access Communication PCL (Local) 11,718,600 10,433
* Siam City Cement PCL (Local) 1,223,283 10,098
* Siam Global House PCL 21,625,995 9,515
* Hana Microelectronics PCL 10,129,000 9,250
* Krungthai Card PCL 2,154,800 9,229
* Superblock PCL 189,271,400 8,592
* Bangkok Land PCL 187,479,900 8,462
^ Banpu PCL 15,566,070 8,144
* Srisawad Power 1979 PCL 6,956,044 7,947
*,2 Star Petroleum Refining PCL 21,960,900 7,884
* TPI Polene PCL 125,336,000 7,865
* AP Thailand PCL 36,970,000 7,488
* VGI Global Media PCL 44,745,600 7,276
* Italian-Thai Development PCL 51,169,200 7,236
* Tisco Financial Group PCL NVDR 4,883,800 7,222
* Carabao Group PCL 3,664,500 7,221
* Pruksa Real Estate PCL 10,923,600 7,201
* Major Cineplex Group PCL 8,611,600 7,120
* Quality Houses PCL 99,468,100 7,098
* Chularat Hospital PCL 86,973,100 7,003
* Sansiri PCL (Local) 146,997,900 6,964
* PTG Energy PCL 8,272,700 6,784
* Thai Vegetable Oil PCL 7,024,800 6,721
* Bangkok Chain Hospital PCL 17,709,100 6,671
^ BEC World PCL (Foreign) 11,334,325 6,636
* Esso Thailand PCL 22,062,900 6,362
* Tisco Financial Group PCL 4,272,700 6,319
* Thaicom PCL 10,220,400 6,067
* Gunkul Engineering PCL 42,745,660 6,057
  TTW PCL 19,738,100 5,916
* Muangthai Leasing PCL 10,915,900 5,858
* Thoresen Thai Agencies PCL 22,003,000 5,722
* Vibhavadi Medical Center PCL 66,953,700 5,660
* Bangkok Airways PCL 7,626,800 5,422
* CK Power PCL 53,360,100 5,407
* Amata Corp. PCL 16,196,000 5,355
* LPN Development PCL 16,212,400 5,283
* Indorama Ventures PCL 6,225,400 5,193
* Unique Engineering & Construction PCL 10,317,800 5,007
* Global Power Synergy Co. Ltd. 4,830,800 4,899
* SPCG PCL 8,234,300 4,794
* WHA Corp. PCL 49,274,300 4,639
* Dynasty Ceramic PCL 35,753,300 4,556
* TICON Industrial Connection PCL 10,273,500 4,358
* Tipco Asphalt PCL 8,253,900 4,264
* Samart Corp. PCL 10,190,600 4,104
* GFPT PCL 9,078,800 3,940
*,^ Group Lease PCL NVDR 2,827,000 3,711
* Sri Trang Agro-Industry PCL 9,290,800 3,582
* IRPC PCL 26,076,500 3,559
* IMPACT Growth REIT 7,823,100 3,485
* BEC World PCL 5,752,100 3,368

 

66

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
* Inter Far East Energy Corp. 25,054,900 3,089
^ Thai Union Frozen Products PCL (Foreign) 4,379,800 2,714
* Univentures PCL 15,533,000 2,571
* Cal-Comp Electronics Thailand PCL 34,399,700 2,473
momo.com Inc. 380,000 2,466
* Thai Reinsurance PCL 33,312,300 2,149
* U City PCL 2,339,863,000 2,006
* Precious Shipping PCL 11,004,100 1,900
* Glow Energy PCL 837,700 1,840
Minor International PCL (Foreign) 1,575,491 1,731
Bangkok Bank PCL (Foreign) 282,900 1,288
* Krung Thai Bank PCL 2,591,100 1,273
* Maybank Kim Eng Securities Thailand PCL 1,540,800 969
* Intouch Holdings PCL 307,800 465
* Indorama Ventures PCL Warrants Exp. 08/24/2017 2,633,776 184
* Land & Houses PCL 534,600 140
* Indorama Ventures Warrants Exp. 08/24/2018 2,025,981 139
* TPI Polene PCL Rights Exp. 10/12/2016 768,093 71
BCPG PCL 133,955 52
* Siam Cement PCL 700 10
Bank of Ayudhya PCL 558 1
    2,414,087
Turkey (1.3%)    
Turkiye Garanti Bankasi AS 31,075,644 84,561
Akbank TAS 30,786,800 82,390
BIM Birlesik Magazalar AS 3,436,794 56,027
KOC Holding AS 9,652,502 40,261
* Turkcell Iletisim Hizmetleri AS 12,259,053 39,529
Haci Omer Sabanci Holding AS (Bearer) 13,041,916 39,436
Tupras Turkiye Petrol Rafinerileri AS 1,831,868 37,359
Turkiye Is Bankasi 21,912,436 35,581
Emlak Konut Gayrimenkul Yatirim Ortakligi AS 31,689,035 32,380
Turkiye Halk Bankasi AS 9,974,129 30,334
Eregli Demir ve Celik Fabrikalari TAS 20,884,882 28,397
Turkiye Vakiflar Bankasi TAO 17,247,356 25,564
Anadolu Efes Biracilik Ve Malt Sanayii AS 3,219,345 19,677
Arcelik AS 2,944,133 19,451
* Yapi ve Kredi Bankasi AS 14,741,339 17,648
Turk Telekomunikasyon AS 8,992,278 16,637
Ulker Biskuvi Sanayi AS 2,665,446 16,551
* Turk Hava Yollari AO 9,077,964 15,970
Tofas Turk Otomobil Fabrikasi AS 2,073,888 15,628
Petkim Petrokimya Holding AS 10,084,985 13,703
Enka Insaat ve Sanayi AS 8,904,175 13,600
Ford Otomotiv Sanayi AS 1,252,081 12,792
Coca-Cola Icecek AS 1,116,436 12,631
TAV Havalimanlari Holding AS 2,520,817 10,364
Turkiye Sise ve Cam Fabrikalari AS 9,780,885 10,289
Aselsan Elektronik Sanayi Ve Ticaret AS 3,013,471 9,164
Turkiye Sinai Kalkinma Bankasi AS 16,460,164 7,296
Turk Traktor ve Ziraat Makineleri AS 207,913 5,399
Aygaz AS 1,402,955 4,958
* Koza Altin Isletmeleri AS 716,950 4,084
Tekfen Holding AS 1,430,040 3,628
Yazicilar Holding AS Class A 757,359 3,330
Dogus Otomotiv Servis ve Ticaret AS 990,395 3,196
* Migros Ticaret AS 524,261 3,018
Soda Sanayii AS 2,126,115 2,954
Akcansa Cimento AS 692,742 2,891
Otokar Otomotiv Ve Savunma Sanayi A.S. 78,593 2,598
* Dogan Sirketler Grubu Holding AS 9,568,011 2,469
Is Gayrimenkul Yatirim Ortakligi AS 4,609,935 2,343
Cimsa Cimento Sanayi VE Ticaret AS 462,453 2,299
Kardemir Karabuk Demir Celik Sanayi ve Ticaret AS 5,005,029 2,041

 

67

 

Vanguard® Emerging Markets Stock Index Fund    
Schedule of Investments    
October 31, 2016    
 
    Market
    Value
  Shares ($000)
Trakya Cam Sanayii AS 2,401,094 1,979
* Pegasus Hava Tasimaciligi AS 463,032 1,956
* Besiktas Futbol Yatirimlari Sanayi ve Ticaret AS 1,267,381 1,790
* Koza Anadolu Metal Madencilik Isletmeleri AS 2,387,318 1,783
* Aksa Enerji Uretim AS Class B 1,354,867 1,231
Torunlar Gayrimenkul Yatirim Ortakligi AS 737,083 1,169
Aksa Akrilik Kimya Sanayii AS 409,272 1,153
* NET Holding AS 976,703 975
* Afyon Cimento Sanayi TAS 313,425 805
* Vestel Elektronik Sanayi ve Ticaret AS 372,155 791
EIS Eczacibasi Ilac ve Sinai ve Finansal Yatirimlar Sanayi ve Ticaret AS 625,122 791
* Ipek Dogal Enerji Kaynaklari Arastirma Ve Uretim AS 1,045,405 762
* Sekerbank TAS 2,009,847 760
Gubre Fabrikalari TAS 402,761 665
* Aksigorta AS 966,287 632
* Vakif Gayrimenkul Yatirim Ortakligi AS 751,150 581
Tat Gida Sanayi AS 313,998 579
Brisa Bridgestone Sabanci Sanayi ve Ticaret AS 248,138 559
* Zorlu Enerji Elektrik Uretim AS 985,517 523
Albaraka Turk Katilim Bankasi AS 1,150,710 461
* Bagfas Bandirma Gubre Fabrikalari AS 130,234 455
Anadolu Hayat Emeklilik AS 283,018 452
Bizim Toptan Satis Magazalari AS 101,958 427
AvivaSA Emeklilik ve Hayat AS 62,550 422
* Ihlas Holding AS 3,395,589 374
Konya Cimento Sanayii AS 4,231 368
* Anadolu Cam Sanayii AS 471,162 341
Alarko Holding AS 269,472 338
Kardemir Karabuk Demir Celik Sanayi ve Ticaret AS Class A 736,815 331
Turcas Petrol AS 633,476 315
Adana Cimento Sanayii TAS Class A 146,658 295
* Akenerji Elektrik Uretim AS 914,448 284
* Asya Katilim Bankasi AS 6,317,442
    812,775
United Arab Emirates (1.0%)    
Emirates Telecommunications Group Co. PJSC 24,042,891 123,352
Emaar Properties PJSC 55,647,770 105,374
First Gulf Bank PJSC 18,010,321 56,317
Abu Dhabi Commercial Bank PJSC 29,687,057 49,545
DP World Ltd. 2,687,229 48,214
Aldar Properties PJSC 53,109,256 38,019
Dubai Islamic Bank PJSC 21,492,261 30,618
Emaar Malls PJSC 35,172,322 24,570
* DXB Entertainments PJSC 55,751,076 23,753
Union National Bank PJSC 18,736,799 19,979
DAMAC Properties Dubai Co. PJSC 29,301,414 17,499
Air Arabia PJSC 39,937,251 14,115
* Arabtec Holding PJSC 37,027,872 13,371
Dubai Investments PJSC 21,828,914 11,914
Al Waha Capital PJSC 18,546,769 9,485
* Dana Gas PJSC 60,857,631 8,762
Dubai Financial Market PJSC 27,013,604 8,434
Amanat Holdings PJSC 20,243,279 4,819
* Deyaar Development PJSC 32,005,618 4,640
* Eshraq Properties Co. PJSC 20,648,392 4,429
* Union Properties PJSC 21,192,380 4,077
National Central Cooling Co. PJSC 8,318,553 4,063
RAK Properties PJSC 20,584,860 3,459
Aramex PJSC 2,913,203 2,805
* Drake & Scull International PJSC 16,931,558 2,090
* Amlak Finance PJSC 901,901 303

 

68

 

Vanguard® Emerging Markets Stock Index Fund
Schedule of Investments
October 31, 2016

          Market
          Value
        Shares ($000)
  Agthia Group PJSC     86,000 140
 
          634,146
 
Total Common Stocks (Cost $61,426,171)       61,977,966
 
 
    Coupon      
 
Temporary Cash Investments (2.1%)1        
Money Market Fund (2.0%)        
3,4 Vanguard Market Liquidity Fund 0.718%   12,180,663 1,218,188
 
 
        Face  
      Maturity Amount  
      Date ($000)  
U.S. Government and Agency Obligations (0.1%)        
5 Federal Home Loan Bank Discount Notes 0.339% 11/4/16 5,000 5,000
  United States Treasury Bill 0.321% 12/1/16 10,000 9,998
6 United States Treasury Bill 0.275%–0.365% 12/8/16 31,600 31,595
6 United States Treasury Bill 0.291%–0.300% 12/22/16 9,200 9,197
6 United States Treasury Bill 0.255% 12/29/16 1,100 1,099
  United States Treasury Bill 0.360% 1/12/17 10,000 9,995
 
          66,884
 
Total Temporary Cash Investments (Cost $1,284,948)       1,285,072
 
Total Investments (101.1%) (Cost $62,711,119)       63,263,038
Other Assets and Liabilities—Net (-1.1%)4       (674,714)
Net Assets (100%)       62,588,324

__________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________
* Non-income-producing security.
^ Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $619,217,000.
1 The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts and swap contracts. After giving
effect to futures and swap investments, the fund's effective common stock and temporary cash investment positions represent 100.0% and
1.1%, respectively, of net assets.
2 Security exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in transactions exempt from
registration, normally to qualified institutional buyers. At October 31, 2016, the aggregate value of these securities was $486,064,000,
representing 0.8% of net assets.
3 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day
yield.
4 Includes $698,123,000 of collateral received for securities on loan.
5 The issuer operates under a congressional charter; its securities are generally neither guaranteed by the U.S. Treasury nor backed by the full
faith and credit of the U.S. government.
6 Securities with a value of $27,394,000 have been segregated as initial margin for open futures contracts.
ADR—American Depositary Receipt.
GDR—Global Depositary Receipt.
NVDR—Non-Voting Depository Receipt.
REIT—Real Estate Investment Trust.

69

 

© 2016 The Vanguard Group, Inc.
All rights reserved.
Vanguard Marketing Corporation, Distributor.

SNA5330 122016



Report of Independent Registered Public Accounting Firm

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

In our opinion, the accompanying statements of net assets investments summary and the related statements of operations and of changes in net assets and the financial highlights (included in Item 1 of this Form N-CSR) and the schedules of investments (included in Item 6 of this Form N-CSR) present fairly, in all material respects, the financial position of Vanguard European Stock Index Fund and Vanguard Pacific Stock Index Fund (constituting separate portfolios of Vanguard International Equity Index Funds, hereafter referred to as the "Funds") at October 31, 2016, the results of each of their operations for the year then ended, the changes in each of their net assets for each of the two years in the period then ended, and the financial highlights for each of the periods indicated, in conformity with accounting principles generally accepted in the United States of America. These financial statements, financial highlights, and schedules of investments (hereafter referred to as "financial statements") are the responsibility of the Funds’ management. Our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these financial statements in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits, which included confirmation of securities at October 31, 2016 by correspondence with the custodian and brokers and by agreement to the underlying ownership records of the transfer agent, provide a reasonable basis for our opinion.


December 15, 2016

PricewaterhouseCoopers LLP, Two Commerce Square, Suite 1800, 2001 Market Street, Philadelphia, PA 19103-7042
T: (267) 330 3000, F: (267) 330 3300, www.pwc.com/us



Report of Independent Registered Public Accounting Firm

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

In our opinion, the accompanying statement of net assetsinvestments summary and the related statements of operations and of changes in net assets and the financial highlights (included in Item 1 of this Form N-CSR) and the schedule of investments (included in Item 6 of this Form N-CSR) present fairly, in all material respects, the financial position of Vanguard Total World Stock Index Fund (constituting a separate portfolio of Vanguard International Equity Index Funds, hereafter referred to as the "Fund") at October 31, 2016, the results of its operations for the year then ended, the changes in its net assets for each of the two years in the period then ended, and the financial highlights for each of the five years in the period then ended, in conformity with accounting principles generally accepted in the United States of America. These financial statements, financial highlights, and schedule of investments (hereafter referred to as "financial statements") are the responsibility of the Fund's management. Our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these financial statements in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits, which included confirmation of securities at October 31, 2016 by correspondence with the custodian and brokers and by agreement to the underlying ownership records of the transfer agent, provide a reasonable basis for our opinion.


December 15, 2016

PricewaterhouseCoopers LLP, Two Commerce Square, Suite 1800, 2001 Market Street, Philadelphia, PA 19103-7042
T: (267) 330 3000, F: (267) 330 3300, www.pwc.com/us



Report of Independent Registered Public Accounting Firm

To the Board of Trustees of Vanguard International Equity Index Funds and the Shareholders of Vanguard FTSE All-World ex-US Index Fund and Vanguard FTSE All-World ex-US Small-Cap Index Fund:

In our opinion, the accompanying statements of net assetsinvestments summary, statement of assets and liabilities and the related statements of operations and of changes in net assets and the financial highlights (included in Item 1 of this Form N-CSR) and the schedules of investments (included in Item 6 of this Form N-CSR) present fairly, in all material respects, the financial position of Vanguard FTSE All-World ex-US Index Fund and Vanguard FTSE All-World ex-US Small-Cap Index Fund (constituting separate portfolios of Vanguard International Equity Index Funds, hereafter referred to as the "Funds") at October 31, 2016, the results of each of their operations for the year then ended, the changes in each of their net assets for each of the two years in the period then ended, and the financial highlights for each of the five years in the period then ended, in conformity with accounting principles generally accepted in the United States of America. These financial statements, financial highlights, and schedules of investments (hereafter referred to as "financial statements") are the responsibility of the Funds’ management. Our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these financial statements in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits, which included confirmation of securities at October 31, 2016 by correspondence with the custodian and brokers and by agreement to the underlying ownership records of the transfer agent, provide a reasonable basis for our opinion.


December 15, 2016

PricewaterhouseCoopers LLP, Two Commerce Square, Suite 1800, 2001 Market Street, Philadelphia, PA 19103-7042
T: (267) 330 3000, F: (267) 330 3300, www.pwc.com/us



Report of Independent Registered Public Accounting Firm

To the Board of Trustees of Vanguard International Equity Index Funds and the Shareholders of Vanguard Emerging Markets Stock Index Fund:

In our opinion, the accompanying statement of net assetsinvestments summary and the related statements of operations and of changes in net assets and the financial highlights (included in Item 1 of this Form N-CSR) and the schedule of investments (included in Item 6 of this Form N-CSR) present fairly, in all material respects, the financial position of Vanguard Emerging Markets Stock Index Fund (constituting a separate portfolio of Vanguard International Equity Index Funds, hereafter referred to as the "Fund") at October 31, 2016, the results of its operations for the year then ended, the changes in its net assets for each of the two years in the period then ended, and the financial highlights for each of the five years in the period then ended, in conformity with accounting principles generally accepted in the United States of America. These financial statements, financial highlights, and schedule of investments (hereafter referred to as "financial statements") are the responsibility of the Fund’s management. Our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these financial statements in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits, which included confirmation of securities at October 31, 2016 by correspondence with the custodian and brokers and by agreement to the underlying ownership records of the transfer agent, provide a reasonable basis for our opinion.


December 15, 2016

PricewaterhouseCoopers LLP, Two Commerce Square, Suite 1800, 2001 Market Street, Philadelphia, PA 19103-7042
T: (267) 330 3000, F: (267) 330 3300, www.pwc.com/us


Item 7: Disclosure of Proxy Voting Policies and Procedures for Closed-End Management
Investment Companies.

Not Applicable.

Item 8: Portfolio Managers of Closed-End Management Investment Companies.

Not Applicable.

Item 9: Purchase of Equity Securities by Closed-End Management Investment Company and
Affiliated Purchasers.

Not Applicable.

Item 10: Submission of Matters to a Vote of Security Holders.

Not Applicable.

Item 11: Controls and Procedures.

     (a) Disclosure Controls and Procedures. The Principal Executive and Financial Officers concluded that the Registrant’s Disclosure Controls and Procedures are effective based on their evaluation of the Disclosure Controls and Procedures as of a date within 90 days of the filing date of this report.

     (b) Internal Control Over Financial Reporting. There were no significant changes in Registrant’s Internal Control Over Financial Reporting or in other factors that could significantly affect this control subsequent to the date of the evaluation, including any corrective actions with regard to significant deficiencies and material weaknesses.

Item 12: Exhibits.

(a) Code of Ethics.
(b) Certifications.

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

  VANGUARD INTERNATIONAL EQUITY INDEX FUNDS
 
 
BY: /s/ F. WILLIAM MCNABB III*
  F. WILLIAM MCNABB III
  CHIEF EXECUTIVE OFFICER
 
Date: December 19, 2016

 

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

  VANGUARD INTERNATIONAL EQUITY INDEX FUNDS
 
BY: /s/ F. WILLIAM MCNABB III*
  F. WILLIAM MCNABB III
  CHIEF EXECUTIVE OFFICER
Date: December 19, 2016

 

 

VANGUARD INTERNATIONAL EQUITY INDEX FUNDS
 
BY: /s/ THOMAS J. HIGGINS*
  THOMAS J. HIGGINS
  CHIEF FINANCIAL OFFICER
Date: December 19, 2016

 

* By: /s/ Anne E. Robinson
Anne E. Robinson, pursuant to a Power of Attorney filed on October 4, 2016 see file Number
33-32548, Incorporated by Reference.

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M EX-99.CERT 60 interstock_cert302.htm interstock_cert302.htm - Generated by SEC Publisher for SEC Filing

    CERTIFICATIONS

     

    I, F. William McNabb III, certify that:

     

    1. I have reviewed this report on Form N-CSR of Vanguard International Equity Index Funds;

     

    2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

     

    3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;

     

    4. The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

     

    (a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

     

    (b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

     

    (c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

     

    (d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

     

    5. The registrant’s other certifying officer(s) and I have disclosed to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

     

    (a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize, and report financial information; and

     

    (b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

     

    Date:   December 19,  2016    

    /s/ F. William McNabb III

     

    F. William McNabb III

     

    Chief Executive Officer

     

     

     

     

     


     

    CERTIFICATIONS

     

    I, Thomas J. Higgins, certify that:

     

    1. I have reviewed this report on Form N-CSR of Vanguard International Equity Index Funds;

     

    2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

     

    3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;

     

    4. The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

     

    (a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

     

    (b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

     

    (c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

     

    (d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

     

    5. The registrant’s other certifying officer(s) and I have disclosed to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

     

    (a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize, and report financial information; and

     

    (b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

     

    Date:    December 19, 2016           

    /s/  Thomas J Higgins

     

    Thomas J. Higgins

     

    Chief Financial Officer

     

    EX-99.906 CERT 61 interstock_cert906.htm interstock_cert906.htm - Generated by SEC Publisher for SEC Filing

     

    Certification Pursuant to 18 U.S.C. Section 1350,

    As Adopted Pursuant to

    Section 906 of the Sarbanes-Oxley Act of 2002

     

     

    Name of Issuer: Vanguard International Equity Index Funds

     

                In connection with the Report on Form N-CSR of the above-named issuer that is accompanied by this certification, the undersigned hereby certifies, to his knowledge, that:

     

    1.            The Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

     

    2.            The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the issuer.

     

     

    Date:   December 19,  2016    

    /s/ F. William McNabb III

     

    F. William McNabb III

     

    Chief Executive Officer

     

     

     

    0322296, v0.225


     

     

     

    Certification Pursuant to 18 U.S.C. Section 1350,

    As Adopted Pursuant to

    Section 906 of the Sarbanes-Oxley Act of 2002

     

     

    Name of Issuer:  Vanguard International Equity Index Funds

     

                In connection with the Report on Form N-CSR of the above-named issuer that is accompanied by this certification, the undersigned hereby certifies, to his knowledge, that:

     

    1.The Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

     

    2.The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the issuer.

     

     

    Date:    December 19, 2016           

    /s/  Thomas J Higgins

     

    Thomas J. Higgins

     

    Chief Financial Officer

     

     

     

     

     

     

     

                                                     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

                                                                

    0322296, v0.225

    EX-99.CODE ETH 62 coe2016.htm coe2016.htm - Generated by SEC Publisher for SEC Filing

    THE VANGUARD FUNDS’
    CODE OF ETHICS
    FOR
    SENIOR EXECUTIVE AND FINANCIAL OFFICERS

    I. Introduction

         The Board of Trustees of each registered investment company that is managed, sponsored, and distributed by The Vanguard Group, Inc. (“VGI”) (each a “Vanguard Fund” and collectively the “Vanguard Funds”) has adopted this code of ethics (the “Code”) as required by Section 406 of the Sarbanes-Oxley Act. The Code applies to the individuals in positions listed on Exhibit A (the “Covered Officers”). All Covered Officers, along with employees of The Vanguard Group, Inc., are subject to separate and distinct obligations from this Code under a Code of Ethics adopted pursuant to Rule 17j-1 under the Investment Company Act of 1940 (“17j-1 Code of Ethics”), policies to prevent the misuse of non-public information, and other internal compliance guidelines and policies that may be in effect from time to time.

    This Code is designed to promote:

    · Honest and ethical conduct, including the ethical handling of conflicts of interest;

    · Full, fair, accurate, timely, and understandable disclosure in reports and documents that
    a Vanguard Fund files with, or submits to, the U.S. Securities and Exchange
    Commission (“SEC”), and in other public communications made by the Vanguard
    Funds or VGI;

    · Compliance with applicable laws, governmental rules, and regulations;

    · Prompt internal reporting to those identified in the Code of violations of the Code; and

    · Accountability for adherence to the Code.

    II. Actual or Apparent Conflicts of Interest

    A. Covered Officers should conduct all activities in accordance with the following principles:

    1. Clients’ interests come first. In the course of fulfilling their duties and responsibilities to Vanguard clients, Covered Officers must at all times place the interests of Vanguard clients first. In particular, Covered Officers must avoid serving their own personal interests ahead of the interests of Vanguard clients.

    2. Conflicts of interest must be avoided. Covered Officers must avoid any situation involving an actual or potential conflict of interest or possible impropriety with respect to their duties and responsibilities to Vanguard clients. Covered Officers must disclose any situation that may present the potential for a conflict of interest to Vanguard’s Compliance Department, consistent with the 17j-1 Code of Ethics.

    III.14b.1

     

    3. Compromising situations must be avoided. Covered Officers must not take advantage of their position of trust and responsibility. Covered Officers must avoid any situation that might compromise or call into question their exercise of full independent judgment in the best interests of Vanguard clients.

    All activities of Covered Officers should be guided by and adhere to these fiduciary standards regardless of whether the activity is specifically described in this Code.

    B. Restricted Activities

    1. Prohibition on secondary employment. Covered Officers are prohibited from accepting or serving in any form of secondary employment. Secondary employment that does not create a potential conflict of interest may be approved by the General Counsel of VGI.

    2. Prohibition on service as director or public official. Unless approved by the General Counsel of VGI, Covered Officers are prohibited from serving on the board of directors of any publicly traded company or in an official capacity for any federal, state, or local government (or governmental agency or instrumentality).

    3. Prohibition on misuse of Vanguard time or property. Covered Officers are prohibited from making use of time, equipment, services, personnel or property of any Vanguard entity for any purposes other than the performance of their duties and responsibilities in connection with the Vanguard Funds or other Vanguard-related entities.

    III. Disclosure and Compliance

    A. Each Covered Officer should be familiar with the disclosure requirements generally applicable to the Vanguard Funds.

    B. Each Covered Officer should not knowingly misrepresent, or cause others to misrepresent, facts about the Vanguard Funds to others, including to the Vanguard Funds’ directors and auditors, or to government regulators and self-regulatory organizations.

    C. Each Covered Officer should, to the extent appropriate within the Covered Officer’s area of responsibility, consult with other officers and employees of VGI and advisers to a Vanguard Fund with the goal of promoting full, fair, accurate, timely and understandable disclosure in the reports and documents the fund files with, or submits to, the SEC and in other public communications made by a Vanguard Fund.

    D. It is the responsibility of each Covered Officer to promote compliance with the standards and restrictions imposed by applicable laws, rules, regulations, and the 17j-1 Code of Ethics.

    III.14b.2

     

    IV. Reporting and Accountability

    A. Each Covered Officer must:

    1. Upon adoption or amendment of the Code (or thereafter as applicable, upon becoming a Covered Officer), affirm in writing that he or she has received, read, and understands the Code;

    2. Affirm at least annually in writing that he or she has complied with the requirements of the Code;

    3. Not retaliate against any other Covered Officer or any employee of VGI for reports of potential violations of the Code that are made in good faith; and

    4. Notify the General Counsel of VGI promptly if the Covered Officer knows of any violations of this Code.

    B. The Vanguard Funds will use the following procedures in investigating and enforcing this Code:

    1. The General Counsel of VGI is responsible for applying this Code to specific situations and has the authority to interpret this Code in any particular situation. The General Counsel will report on an as-needed basis to the Board of Trustees regarding activities subject to the Code.

    2. The General Counsel will take all appropriate action to investigate any potential violations of the Code that are reported to him or her.

    3. If, after investigation, the General Counsel believes that no material violation of the Code has occurred, the General Counsel is not required to take any further action.

    4. Any matter that the General Counsel believes is a material violation of the Code will be reported to the Chief Compliance Officer and the Board of Trustees of the Vanguard Funds.

    5. If the Board of Trustees of the Vanguard Funds concurs that a material violation of the Code has occurred, the Board will consider appropriate action. Appropriate action may include reassignment, suspension, or dismissal of the applicable Covered Officer(s), or any other sanctions the Board deems appropriate. Appropriate action may also include review of, and appropriate modifications to, applicable policies and procedures.

    6. Any changes to or waiver of this Code will, to the extent required, be disclosed as provided by SEC rules.

    III.14b.3

     

    Other Policies and Procedures

         This Code shall be the sole code of conduct adopted by the Vanguard Funds for purposes of Section 406 of the Sarbanes-Oxley Act and the rules and forms applicable to registered investment companies thereunder. Insofar as other policies or procedures of the Vanguard Funds, VGI, or other service providers govern or purport to govern the behavior or activities of the Covered Officers, they are superseded by this Code to the extent that they overlap or conflict with the provisions of this Code.

         VGI’s and the Vanguard Funds’ 17j-1 Code of Ethics, policies to prevent the misuse of non-public information, and other internal compliance guidelines and policies that may be in effect from time to time are separate requirements applying to the Covered Officers and others, and are not part of this Code.

    VI. Amendments

         This Code may not be materially amended except by the approval of a majority vote of the independent trustees of the Vanguard Funds’ Board of Trustees. Non-material, technical, and administrative revisions of the Code do not have to be approved by the Board of Trustees. Amendments must be in writing and communicated promptly to the Covered Officers, who shall affirm receipt of the amended Code in accordance with Section IV. A. 1.

    VII. Confidentiality

         All reports and records prepared or maintained pursuant to this Code shall be considered confidential and shall be maintained and protected accordingly. Except as otherwise required by law or this Code, such matters shall not be disclosed to anyone other than the Vanguard Funds’ Board of Trustees, VGI’s General Counsel and the Chief Compliance Officer of VGI and the Vanguard Funds.

    Last Reviewed: July 21, 2016

     

    EXHIBIT A
    TO THE VANGUARD FUNDS’
    CODE OF ETHICS
    FOR
    SENIOR EXECUTIVE AND FINANCIAL OFFICERS

    Covered Officers:

    Chairman, President and Chief Executive Officer of The Vanguard Group, Inc. and the Vanguard
    Funds

    Managing Director of Strategy of The Vanguard Group, Inc.

    Managing Director of Finance and Chief Financial Officer of The Vanguard Group, Inc.

    Controller of The Vanguard Group, Inc.

    Director of Domestic Finance of The Vanguard Group, Inc.

    Director of International Finance of The Vanguard Group, Inc.

    Assistant Controller(s) of The Vanguard Group, Inc.

    Director of Enterprise Financial Planning & Analysis of The Vanguard Group, Inc.

    Chief Audit Executive and Head of Internal Audit, The Vanguard Group, Inc.

    Chief Financial Officer of the Vanguard Funds

    Treasurer of the Vanguard Funds

    Controller of the Vanguard Funds

    Assistant Treasurer(s) of the Vanguard Funds

    III.14b.5