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Watchlist
Mon compte
Vanguard International Dividend Appreciation Index Fund ETF Shares
VIGI
#268
ETF rang
€7.89 Md
Capitalisation boursière
🇺🇸 US
Marché
80,86 €
Prix de l'action
0.32%
Changement (1 jour)
1.33%
Changement (1 an)
% ETFs de Dividendes et de Revenus
Catégories
Capitalisation boursière
Historique des prix
Actions en circulation
Coût d'emprunt
Frais (Ratio des dépenses)
Composition
Plus
Coût d'emprunt
Frais (Ratio des dépenses)
Distributions
Vanguard International Dividend Appreciation Index Fund ETF Shares - Composition
Composition de l'ETF au
31 Janvier, 2026
Nombre de participations :
331
Liste complète de la composition
Poids %
Nom
Symbole
ISIN
Actions détenues
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