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Watchlist
Konto
Vanguard International Dividend Appreciation Index Fund ETF Shares
VIGI
#272
ETF Rang
€7.88 Mrd.
Marktkapitalisierung
🇺🇸 US
Markt
80,76 €
Aktienkurs
-0.01%
Veränderung (1 Tag)
0.82%
Veränderung (1 Jahr)
% Dividenden- und Einkommens-ETFs
Kategorien
Marktkapitalisierung
Preisverlauf
Ausstehende Aktien
Leihgebühren
Gebühren (Kostenquote)
Bestände (Holdings)
Mehr
Leihgebühren
Gebühren (Kostenquote)
Ausschüttungen
Vanguard International Dividend Appreciation Index Fund ETF Shares - Bestände
ETF-Bestände zum Stand
31. Januar 2026
Anzahl der Bestände:
331
Vollständige Bestandsliste
Gewichtung %
Name
Ticker
ISIN
Gehaltene Aktien
4.74%
Roche Holding AG
ROG
CH0012032048
979594
4.72%
Novartis AG
NOVN
CH0012005267
2990042
4.61%
Royal Bank of Canada
RY
CA7800871021
2604911
4.31%
Mitsubishi UFJ Financial Group Inc.
8306
JP3902900004
22395900
3.51%
Nestle SA
NESN
CH0038863350
3458944
3.14%
Hitachi Ltd.
6501
JP3788600009
8502900
3.06%
Schneider Electric SE
SU
FR0000121972
1003980
2.68%
Sumitomo Mitsui Financial Group Inc.
8316
JP3890350006
7158100
2.68%
Sony Group Corp.
6758
JP3435000009
11412900
2.60%
SAP SE
SAP
DE0007164600
1223305
2.44%
Novo Nordisk A/S Class B
NOVO B
DK0062498333
3868743
2.39%
AIA Group Ltd.
1299
HK0000069689
19489160
2.11%
Mitsubishi Corp.
8058
JP3898400001
7474900
2.03%
Reliance Industries Ltd.
RELIANCE
INE002A01018
12551505
2.01%
Sanofi SA
SAN
FR0000120578
2004750
1.98%
Brookfield Corp. Class A
BN
CA11271J1075
4094229
1.61%
BAE Systems plc
BA.
GB0002634946
5571354
1.42%
Tokio Marine Holdings Inc.
8766
JP3910660004
3589100
1.28%
RELX plc
REL
GB00B2B0DG97
3386017
1.25%
Infosys Ltd.
INFY
INE009A01021
6551452
1.09%
DSV A/S
DSV
DK0060079531
365861
1.04%
Canadian National Railway Co.
CNR
CA1363751027
1014730
1.02%
London Stock Exchange Group plc
LSEG
GB00B0SWJX34
860084
1.01%
Diageo plc
DGE
GB0002374006
4132230
0.95%
Fujitsu Ltd.
6702
JP3818000006
3228700
0.94%
Deutsche Boerse AG
DB1
DE0005810055
349359
0.92%
National Bank of Canada
NA
CA6330671034
726508
0.89%
Franco-Nevada Corp.
FNV
CA3518581051
357647
0.84%
Waste Connections Inc.
WCN
CA94106B1013
473803
0.79%
Assa Abloy AB Class B
ASSA B
SE0007100581
1842003
0.77%
Alimentation Couche-Tard Inc.
ATD
CA01626P1484
1396522
0.74%
Murata Manufacturing Co. Ltd.
6981
JP3914400001
3423000
0.73%
Dollarama Inc.
DOL
CA25675T1075
508100
0.73%
Ucb SA
UCB
BE0003739530
223720
0.72%
Chugai Pharmaceutical Co. Ltd.
4519
JP3519400000
1184300
0.69%
Sandoz Group AG
SDZ
CH1243598427
816304
0.68%
Seven & i Holdings Co. Ltd.
3382
JP3422950000
4445302
0.64%
Intact Financial Corp.
IFC
CA45823T1066
330069
0.64%
Sompo Holdings Inc.
8630
JP3165000005
1733400
0.62%
Givaudan SA
GIVN
CH0010645932
15077
0.61%
Sika AG
SIKA
CH0418792922
297796
0.59%
NTT Inc.
9432
JP3735400008
55433743
0.58%
Partners Group Holding AG
PGHN
CH0024608827
40173
0.53%
Fortis Inc./Canada
FTS
CA3495531079
939150
0.53%
Ashtead Group plc
AHT
GB0000536739
776436
0.52%
Northern Star Resources Ltd.
NST
AU000000NST8
2654819
0.51%
Sumitomo Realty & Development Co. Ltd.
8830
JP3409000001
1736200
0.50%
Loblaw Cos. Ltd.
L
CA5394811015
1053767
0.49%
TDK Corp.
6762
JP3538800008
3604200
0.49%
FUJIFILM Holdings Corp.
4901
JP3814000000
2307800
0.48%
Bank Central Asia Tbk PT
BBCA
ID1000109507
101907400
0.48%
Geberit AG
GEBN
CH0030170408
58590
0.47%
Hexagon AB Class B
HEXA B
SE0015961909
3899571
0.46%
Hindustan Unilever Ltd.
HINDUNILVR
INE030A01027
1659530
0.43%
Restaurant Brands International Inc.
QSR
CA76131D1033
609908
0.43%
Wolters Kluwer NV
WKL
NL0000395903
430018
0.40%
Kweichow Moutai Co. Ltd. Class A
600519
CNE0000018R8
185403
0.38%
Terumo Corp.
4543
JP3546800008
2746052
0.37%
Brookfield Asset Management Ltd. Class A
BAM
CA1130041058
699672
0.37%
America Movil SAB de CV Class B
AMXB
MX01AM050019
33594156
0.37%
Kao Corp.
4452
JP3205800000
863900
0.36%
Halma plc
HLMA
GB0004052071
704725
0.33%
Shionogi & Co. Ltd.
4507
JP3347200002
1486100
0.31%
Asahi Group Holdings Ltd.
2502
JP3116000005
2821329
0.31%
Pan Pacific International Holdings Corp.
7532
JP3639650005
4945020
0.31%
Imperial Oil Ltd.
IMO
CA4530384086
285327
0.30%
Chocoladefabriken Lindt & Spruengli AG
LISN
CH0010570759
190
0.30%
Nitto Denko Corp.
6988
JP3684000007
1258700
0.30%
Chocoladefabriken Lindt & Spruengli AG
LISP
CH0010570767
1944
0.29%
Sekisui House Ltd.
1928
JP3420600003
1231500
0.28%
Kerry Group plc Class A
KRZ
IE0004906560
298992
0.27%
Fisher & Paykel Healthcare Corp. Ltd.
FPH
NZFAPE0001S2
1089962
0.26%
Nomura Research Institute Ltd.
4307
JP3762800005
808800
0.26%
Wistron Corp.
3231
TW0003231007
5894000
0.25%
Metro Inc./CN
MRU
CA59162N1096
360116
0.25%
Sage Group plc
SGE
GB00B8C3BL03
1789710
0.25%
Hydro One Ltd.
H
CA4488112083
590200
0.24%
Computershare Ltd.
CPU
AU000000CPU5
1007841
0.24%
Logitech International SA
LOGN
CH0025751329
262560
0.22%
Stantec Inc.
STN
CA85472N1096
212051
0.22%
Symrise AG Class A
SY1
DE000SYM9999
246505
0.22%
George Weston Ltd.
WN
CA9611485090
291719
0.21%
ITC Ltd.
ITC
INE154A01025
5591262
0.21%
Toromont Industries Ltd.
TIH
CA8911021050
151481
0.20%
TMX Group Ltd.
X
CA87262K1057
516918
0.20%
Coloplast A/S Class B
COLO B
DK0060448595
222646
0.20%
Roche Holding AG (Bearer)
RO
CH0012032113
40473
0.19%
Diploma plc
DPLM
GB0001826634
250063
0.19%
Chiba Bank Ltd.
8331
JP3511800009
1315500
0.19%
Washington H Soul Pattinson & Co. Ltd.
SOL
AU000000SOL3
663707
0.19%
Evolution AB
EVO
SE0012673267
268459
0.18%
PSP Swiss Property AG
PSPN
CH0018294154
85260
0.18%
Obic Co. Ltd.
4684
JP3173400007
609100
0.18%
Bunzl plc
BNZL
GB00B0744B38
599543
0.17%
CCL Industries Inc. Class B
CCL.B
CA1249003098
268274
0.17%
Capcom Co. Ltd.
9697
JP3218900003
632900
0.16%
Finning International Inc.
FTT
CA3180714048
244283
0.16%
TFI International Inc.
TFII
CA87241L1094
142507
0.16%
Hulic Co. Ltd.
3003
JP3360800001
1253075
0.16%
Sonic Healthcare Ltd.
SHL
AU000000SHL7
918458
0.15%
Unicharm Corp.
8113
JP3951600000
2382185
0.15%
Lifco AB Class B
LIFCO B
SE0015949201
418508
0.15%
Brenntag SE
BNR
DE000A1DAHH0
228977
0.15%
Saputo Inc.
SAP
CA8029121057
457222
0.15%
Spirax Group plc
SPX
GB00BWFGQN14
137412
0.14%
Elia Group SA/NV Class B
ELI
BE0003822393
92994
0.14%
CAR Group Ltd.
CAR
AU000000CAR3
701724
0.14%
Pro Medicus Ltd.
PME
AU000000PME8
102727
0.14%
Persistent Systems Ltd.
PERSISTENT
INE262H01021
194924
0.13%
Nippon Sanso Holdings Corp.
4091
JP3711600001
393100
0.13%
Hikari Tsushin Inc.
9435
JP3783420007
43100
0.13%
Open Text Corp.
OTEX
CA6837151068
465811
0.13%
FirstService Corp.
FSV
CA33767E2024
76442
0.12%
MEIJI Holdings Co. Ltd.
2269
JP3918000005
492800
0.12%
Recordati Industria Chimica e Farmaceutica SPA
REC
IT0003828271
202533
0.12%
TIS Inc.
3626
JP3104890003
376060
0.11%
Sony Financial Group Inc.
8729
JP3435350008
10587500
0.11%
Nemetschek SE
NEM
DE0006452907
113639
0.11%
Kurita Water Industries Ltd.
6370
JP3270000007
198200
0.10%
Technology One Ltd.
TNE
AU000000TNE8
564148
0.10%
DCC plc
DCC
IE0002424939
155355
0.10%
Croda International plc
CRDA
GB00BJFFLV09
260038
0.10%
AAK AB
AAK
SE0011337708
337352
0.10%
Buzzi SPA
BZU
IT0001347308
161354
0.10%
Tokyo Tatemono Co. Ltd.
8804
JP3582600007
387800
0.10%
Temenos AG
TEMN
CH0012453913
102658
0.10%
Lotus Bakeries NV
LOTB
BE0003604155
763
0.09%
Pidilite Industries Ltd.
PIDILITIND
INE318A01026
564073
0.09%
Yakult Honsha Co. Ltd.
2267
JP3931600005
541000
0.09%
Interpump Group SPA
IP
IT0001078911
150126
0.09%
Wuliangye Yibin Co. Ltd. Class A
000858
CNE000000VQ8
574105
0.09%
Siegfried Holding AG
SFZN
CH1429326825
70451
0.09%
BOYD GROUP Inc.
BYD
CA1033101082
51684
0.09%
Sofina SA
SOF
BE0003717312
28793
0.09%
CGN Power Co. Ltd. Class H
1816
CNE100001T80
19660000
0.08%
Empire Co. Ltd.
EMP.A
CA2918434077
244015
0.08%
Bechtle AG
BC8
DE0005158703
152242
0.08%
Drax Group plc
DRX
GB00B1VNSX38
638059
0.08%
Lotes Co. Ltd.
3533
TW0003533006
171000
0.08%
Azbil Corp.
6845
JP3937200008
867660
0.08%
Steadfast Group Ltd.
SDF
AU000000SDF8
2069664
0.08%
Mphasis Ltd.
MPHASIS
INE356A01018
245370
0.08%
NAURA Technology Group Co. Ltd. Class A
002371
CNE100000ML7
107695
0.08%
Cranswick plc
CWK
GB0002318888
101261
0.08%
Sundaram Finance Ltd.
SUNDARMFIN
INE660A01013
125360
0.08%
Kyowa Kirin Co. Ltd.
4151
JP3256000005
438000
0.07%
Kandenko Co. Ltd.
1942
JP3230600003
194134
0.07%
Stella-Jones Inc.
SJ
CA85853F1053
101365
0.07%
Kobe Bussan Co. Ltd.
3038
JP3291200008
275100
0.07%
Nomura Real Estate Holdings Inc.
3231
JP3762900003
975300
0.07%
Air Water Inc.
4088
JP3160670000
424900
0.07%
Open House Group Co. Ltd.
3288
JP3173540000
105600
0.07%
Huhtamaki Oyj
HUH1V
FI0009000459
176988
0.07%
Yamaguchi Financial Group Inc.
8418
JP3935300008
388667
0.07%
Hikma Pharmaceuticals plc
HIK
GB00B0LCW083
294793
0.07%
MonotaRO Co. Ltd.
3064
JP3922950005
456467
0.06%
EXEO Group Inc.
1951
JP3254200003
359600
0.06%
EBOS Group Ltd.
EBO
NZEBOE0001S6
381682
0.06%
Nisshin Seifun Group Inc.
2002
JP3676800000
463100
0.06%
Lion Corp.
4912
JP3965400009
518434
0.06%
Rinnai Corp.
5947
JP3977400005
207752
0.06%
TOMRA Systems ASA
TOM
NO0012470089
407314
0.06%
Nichias Corp.
5393
JP3660400007
106700
0.06%
FUCHS PETROLUB SE Preference Shares
FPE3
DE000A3E5D64
121558
0.06%
Alfresa Holdings Corp.
2784
JP3126340003
325300
0.06%
Wihlborgs Fastigheter AB
WIHL
SE0018012635
503622
0.05%
Premium Brands Holdings Corp.
PBH
CA74061A1084
75192
0.05%
Hisamitsu Pharmaceutical Co. Inc.
4530
JP3784600003
124900
0.05%
KEI Industries Ltd.
KEI
INE878B01027
115915
0.05%
Organo Corp.
6368
JP3201600008
47900
0.05%
DKSH Holding AG
DKSH
CH0126673539
67455
0.05%
Softcat plc
SCT
GB00BYZDVK82
250830
0.05%
GMO Payment Gateway Inc.
3769
JP3385890003
84600
0.05%
Maruwa Co. Ltd./Aichi
5344
JP3879250003
15700
0.05%
Tokyo Century Corp.
8439
JP3424950008
337800
0.05%
AUB Group Ltd.
AUB
AU000000AUB9
216824
0.05%
Catena AB
CATE
SE0001664707
86263
0.05%
Grupo de Inversiones Suramericana SA Preference Shares
PFGRUPSURA
COT13PA00060
303596
0.05%
Oracle Corp. Japan
4716
JP3689500001
62600
0.04%
Tecan Group AG
TECN
CH0012100191
23826
0.04%
Emmi AG
EMMN
CH0012829898
3989
0.04%
Nippon Gas Co. Ltd.
8174
JP3695600001
208967
0.04%
Tata Elxsi Ltd.
TATAELXSI
INE670A01012
68014
0.04%
Goldwin Inc.
8111
JP3306600002
232500
0.04%
Luzhou Laojiao Co. Ltd. Class A
000568
CNE000000GF2
220396
0.04%
China National Nuclear Power Co. Ltd. Class A
601985
CNE1000022N7
3077400
0.04%
Bravida Holding AB
BRAV
SE0007491303
383268
0.04%
PPB Group Bhd.
PPB
MYL4065OO008
1315300
0.04%
DiaSorin SPA
DIA
IT0003492391
43800
0.04%
Fuyo General Lease Co. Ltd.
8424
JP3826270005
130500
0.04%
Zenkoku Hosho Co. Ltd.
7164
JP3429250008
180800
0.04%
Badger Infrastructure Solutions Ltd.
BDGI
CA0565331026
62905
0.04%
Kusuri no Aoki Holdings Co. Ltd.
3549
JP3266190002
135500
0.04%
Kobayashi Pharmaceutical Co. Ltd.
4967
JP3301100008
99820
0.04%
Chemring Group plc
CHG
GB00B45C9X44
504258
0.04%
Sundrug Co. Ltd.
9989
JP3336600006
124424
0.03%
ITC Hotels Ltd.
ITCHOTELS
INE379A01028
1655877
0.03%
Mouwasat Medical Services Co.
4002
SA12C051UH11
169923
0.03%
Summerset Group Holdings Ltd.
SUM
NZSUME0001S0
451312
0.03%
Sinbon Electronics Co. Ltd.
3023
TW0003023008
416000
0.03%
Yaoko Co. Ltd.
8279
JP3930200005
53100
0.03%
SHO-BOND Holdings Co. Ltd.
1414
JP3360250009
332136
0.03%
Takeuchi Manufacturing Co. Ltd.
6432
JP3462660006
68800
0.03%
Shandong Weigao Group Medical Polymer Co. Ltd. Class H
1066
CNE100000171
4442000
0.03%
Clarkson plc
CKN
GB0002018363
47970
0.03%
Japan Elevator Service Holdings Co. Ltd.
6544
JP3389510003
261000
0.03%
Berger Paints India Ltd.
BERGEPAINT
INE463A01038
545448
0.03%
Mizuho Leasing Co. Ltd.
8425
JP3286500008
293635
0.03%
ALSO Holding AG
ALSN
CH0024590272
10519
0.03%
Nojima Corp.
7419
JP3761600000
375000
0.03%
Maple Leaf Foods Inc.
MFI
CA5649051078
139935
0.03%
Ship Healthcare Holdings Inc.
3360
JP3274150006
152467
0.03%
Kato Sangyo Co. Ltd.
9869
JP3213300001
59100
0.03%
Morinaga & Co. Ltd./Japan
2201
JP3926400007
138200
0.03%
ZF Commercial Vehicle Control Systems India Ltd.
ZFCVINDIA
INE342J01019
14465
0.02%
Pilot Corp.
7846
JP3780610006
72100
0.02%
Kissei Pharmaceutical Co. Ltd.
4547
JP3240600001
73300
0.02%
goeasy Ltd.
GSY
CA3803551074
23608
0.02%
Dentsu Soken Inc.
4812
JP3551530003
136900
0.02%
TS Tech Co. Ltd.
7313
JP3539230007
170900
0.02%
Zhangzhou Pientzehuang Pharmaceutical Co. Ltd. Class A
600436
CNE000001F21
90200
0.02%
DTS Corp.
9682
JP3548500002
254400
0.02%
Fujimi Inc.
5384
JP3820900003
113611
0.02%
Nextage Co. Ltd.
3186
JP3758210003
94562
0.02%
Jamieson Wellness Inc.
JWEL
CA4707481046
78454
0.02%
Valor Holdings Co. Ltd.
9956
JP3778400006
87112
0.02%
CRISIL Ltd.
CRISIL
INE007A01025
38196
0.02%
Atoss Software SE
AOF
DE0005104400
16606
0.02%
Savaria Corp.
SIS
CA8051121090
108916
0.02%
Hogy Medical Co. Ltd.
3593
JP3840800001
42500
0.02%
FUCHS SE
FPE
DE000A3E5D56
51471
0.02%
Takara Standard Co. Ltd.
7981
JP3460000007
94467
0.02%
Maruzen Showa Unyu Co. Ltd.
9068
JP3876000005
32600
0.02%
Raito Kogyo Co. Ltd.
1926
JP3965800000
77500
0.02%
JCU Corp.
4975
JP3166200000
46800
0.02%
Okinawa Cellular Telephone Co.
9436
JP3194650002
81234
0.02%
Rakus Co. Ltd.
3923
JP3967170006
298400
0.02%
PALTAC Corp.
8283
JP3782200004
53154
0.02%
Honeywell Automation India Ltd.
HONAUT
INE671A01010
4301
0.02%
TKC Corp.
9746
JP3539400006
58900
0.02%
StorageVault Canada Inc.
SVI
CA86212H1055
412336
0.02%
Mani Inc.
7730
JP3869920003
152000
0.02%
Totech Corp.
9960
JP3595300009
56800
0.02%
Yokogawa Bridge Holdings Corp.
5911
JP3955200005
72500
0.02%
Grindwell Norton Ltd.
GRINDWELL
INE536A01023
86951
0.01%
Nomura Micro Science Co. Ltd.
6254
JP3762950008
61300
0.01%
Yellow Hat Ltd.
9882
JP3131350005
126500
0.01%
SMS Co. Ltd.
2175
JP3162350007
129460
0.01%
China Overseas Property Holdings Ltd.
2669
KYG2118M1096
2435000
0.01%
Heiwa Real Estate Co. Ltd.
8803
JP3834800009
89200
0.01%
Matsuda Sangyo Co. Ltd.
7456
JP3868500004
31700
0.01%
ADENTRA Inc.
ADEN
CA00686A1084
47036
0.01%
Komeri Co. Ltd.
8218
JP3305600003
55967
0.01%
Kohnan Shoji Co. Ltd.
7516
JP3283750002
46500
0.01%
MCJ Co. Ltd.
6670
JP3167420003
114700
0.01%
Svolder AB Class B
SVOL B
SE0017161458
188753
0.01%
Tokyo Steel Manufacturing Co. Ltd.
5423
JP3579800008
118900
0.01%
Create SD Holdings Co. Ltd.
3148
JP3269940007
55200
0.01%
Cewe Stiftung & Co. KGAA
CWC
DE0005403901
9666
0.01%
Tsurumi Manufacturing Co. Ltd.
6351
JP3536200003
77134
0.01%
Enghouse Systems Ltd.
ENGH
CA2929491041
78317
0.01%
Funai Soken Holdings Inc.
9757
JP3825800000
146600
0.01%
JCHX Mining Management Co. Ltd. Class A
603979
CNE1000022P2
94300
0.01%
Hilton Food Group plc
HFG
GB00B1V9NW54
156812
0.01%
Senshu Electric Co. Ltd.
9824
JP3424400004
27000
0.01%
Future Corp.
4722
JP3826200002
81747
0.01%
Keihanshin Building Co. Ltd.
8818
JP3279000008
79900
0.01%
Osaka Organic Chemical Industry Ltd.
4187
JP3187000009
37500
0.01%
Revenio Group Oyj
REG1V
FI0009010912
40341
0.01%
Kirloskar Pneumatic Co. Ltd.
KIRLPNU
INE811A01020
76675
0.01%
Zuken Inc.
6947
JP3412000006
30300
0.01%
Jiangsu King's Luck Brewery JSC Ltd. Class A
603369
CNE100001TH8
193800
0.01%
Shin-Etsu Polymer Co. Ltd.
7970
JP3371600002
70534
0.01%
Caplin Point Laboratories Ltd.
CAPLIPOINT
INE475E01026
46937
0.01%
Elecom Co. Ltd.
6750
JP3168200008
82732
0.01%
Chong Kun Dang Pharmaceutical Corp.
185750
KR7185750007
14323
0.01%
Sekisui Jushi Corp.
4212
JP3420200002
61700
0.01%
Guangdong Hongda Holdings Group Co. Ltd. Class A
002683
CNE100001F37
115100
0.01%
SBS Holdings Inc.
2384
JP3163500006
32300
0.01%
Kameda Seika Co. Ltd.
2220
JP3219800004
31300
0.01%
Thunder Software Technology Co. Ltd. Class A
300496
CNE1000021D0
71400
0.01%
eGuarantee Inc.
8771
JP3130300001
66200
0.01%
Mitsubishi Research Institute Inc.
3636
JP3902200009
23300
0.01%
Kwality Wall's India Ltd.
INE2KCE01013
1668057
0.01%
AZ-COM MARUWA Holdings Inc.
9090
JP3879170003
112900
0.01%
S Foods Inc.
2292
JP3399300007
34800
0.01%
Nippon Parking Development Co. Ltd.
2353
JP3728000005
368400
0.01%
RS Technologies Co. Ltd.
3445
JP3100350002
26700
0.01%
Chief Telecom Inc.
6561
TW0006561004
64000
0.01%
G-Tekt Corp.
5970
JP3236750000
51100
0.01%
Shizuoka Gas Co. Ltd.
9543
JP3351150002
81700
0.01%
Borusan Yatirim ve Pazarlama AS
BRYAT.E
TRABRYAT91Q2
11927
0.01%
Zhejiang Dingli Machinery Co. Ltd. Class A
603338
CNE1000023M7
76600
0.01%
Retail Partners Co. Ltd.
8167
JP3873200004
69300
0.01%
Adesso SE
ADN1
DE000A0Z23Q5
6090
0.01%
Belluna Co. Ltd.
9997
JP3835650007
90700
0.01%
Siix Corp.
7613
JP3346700002
66700
0.01%
AUB Group Ltd.
AUBXX
AU0000452260
25293
0.01%
JW Pharmaceutical Corp.
001060
KR7001060003
24464
0.01%
FIEM Industries Ltd.
FIEMIND
INE737H01014
21906
0.01%
Strike Co. Ltd.
6196
JP3399780000
18000
0.01%
Avant Group Corp.
3836
JP3548680002
44434
0.00%
Insource Co. Ltd.
6200
JP3152670000
97900
0.00%
Kyung Dong Navien Co. Ltd.
009450
KR7009450008
11179
0.00%
Celsys Inc.
3663
JP3100260003
46734
0.00%
JSB Co. Ltd.
3480
JP3386630002
20800
0.00%
Transaction Co. Ltd.
7818
JP3635670007
54768
0.00%
Digital Information Technologies Corp.
3916
JP3549060006
50800
0.00%
Universal Vision Biotechnology Co. Ltd.
3218
TW0003218004
92000
0.00%
Loadstar Capital KK
3482
JP3982600003
21200
0.00%
GSI Creos Corp.
8101
JP3276000001
25100
0.00%
G-7 Holdings Inc.
7508
JP3172450003
42100
0.00%
Aoyama Zaisan Networks Co. Ltd.
8929
JP3825750007
39300
0.00%
Weaver Network Technology Co. Ltd. Class A
603039
CNE100002ZC4
39200
0.00%
Lacto Japan Co. Ltd.
3139
JP3967250006
15900
0.00%
Intage Holdings Inc.
4326
JP3152790006
32800
0.00%
Densan System Holdings Co. Ltd.
4072
JP3551440005
16867
0.00%
FULLCAST Holdings Co. Ltd.
4848
JP3827800008
31400
0.00%
NJS Co. Ltd.
2325
JP3718600004
10900
0.00%
Dian Diagnostics Group Co. Ltd. Class A
300244
CNE1000015N1
98600
0.00%
Canada Packers Inc.
CPKR
CA1351801073
28000
0.00%
Southern Publishing & Media Co. Ltd.
601900
CNE1000025H2
136300
0.00%
Value HR Co. Ltd.
6078
JP3778410005
31700
0.00%
Charm Care Corp. KK
6062
JP3512740006
32600
0.00%
YAKUODO Holdings Co. Ltd.
7679
JP3931410009
20867
0.00%
Balaji Amines Ltd.
BALAMINES
INE050E01027
20308
0.00%
Rianlon Corp. Class A
300596
CNE100002MQ2
34200
0.00%
MarkLines Co. Ltd.
3901
JP3860210008
22151
0.00%
Creek & River Co. Ltd.
4763
JP3269700005
20300
0.00%
Elan Corp.
6099
JP3167680002
42100
0.00%
China Testing & Certification International Group Co. Ltd. Class A
CNE100002G19
152900