Wall Street Experts

Vanguard International Dividend Appreciation Index Fund VIGI

Cena: 86.565
NASDAQ 05-09 17:38

Indeks koncentruje się na wysokiej jakości firm zlokalizowanych na rynkach rozwiniętych i wschodzących, z wyłączeniem USA, które mają zarówno zdolność, jak i zaangażowanie w zwiększenie dywidend z czasem. Menedżer próbuje powtórzyć indeks docelowy, inwestując wszystkie lub zasadniczo wszystkie jego aktywów w gromadzenie papierów wartościowych, które składają się na indeks, utrzymując każdy akcje w około takim samym odsetku, jak jego ważenie w indeksie.
Wartość aktywów (mln USD): 7 600
Liczba spółek: 327
Stopa dywidendy: - %
Opłata za zarządzanie:: 0.1 %
Klasa aktywów: International/Global Stock

ISIN: US9219468108

Wystawca ETF: Vanguard

https://investor.vanguard.com/investment-products/etfs/profile/VIGI

None


NOTOWANIA
ZMIANA CEN

Nazwa Symbol Klasa_aktywów Wartość_aktywów 5D 1M 3M 6M 2024 1R 3L 5L 10L

STRUKTURA SEKTOROWA PORTFELA ETF







Sektor Udział %
Technologie Medyczne 21.8
Finanse 14.4
Usługi Technologiczne 11.7
Dobra Nietrwałego Użytku 11.0
Technologia Elektroniczna 7.1
Produkcja Przemysłowa 5.2
Przemysł Procesowy 5.1
Minerały Energetyczne 4.8
Handel Detaliczny 4.1
Minerały Nienergetyczne 3.2
Transport 3.0
Usługi Komercyjne 2.6

STRUKTURA PORTFELA ETF
Aktualizacja danych: 2025-04-06 12:04:04
Nazwa firmy Symbol Wartość Udział % w portfelu Ilość akcji
SAP SE SAP 452 517 730 5.9 1 630 688
Roche Holding AG ROG 370 556 517 4.8 1 112 682
Novartis AG NOVN 307 517 612 4.0 2 825 934
Nestle SA NESN 275 229 939 3.6 2 851 133
Sony Group Corp. 6758 272 564 995 3.5 10 895 500
Schneider Electric SE SU 231 961 498 3.0 944 144
Novo Nordisk A/S Class B NOVO B 219 864 292 2.9 2 423 639
Sanofi SA SAN 210 485 867 2.7 1 926 518
Hitachi Ltd. 6501 205 659 450 2.7 8 091 700
Sumitomo Mitsui Financial Group Inc. 8316 174 361 771 2.3 6 849 200
Reliance Industries Ltd. RELIANCE 165 956 395 2.2 12 045 054
RELX plc REL 157 075 569 2.0 3 250 174
Brookfield Corp. Class A BN 147 865 983 1.9 2 555 245
AIA Group Ltd. 1299 146 563 150 1.9 19 087 760
Infosys Ltd. INFY 123 290 651 1.6 6 305 320
Tokio Marine Holdings Inc. 8766 122 937 140 1.6 3 452 200
London Stock Exchange Group plc LSEG 120 621 820 1.6 806 686
Mitsubishi Corp. 8058 117 334 624 1.5 7 023 400
Diageo plc DGE 106 435 200 1.4 3 887 419
Shin-Etsu Chemical Co. Ltd. 4063 105 436 433 1.4 3 497 020
Canadian Natural Resources Ltd. CNQ 104 019 333 1.4 3 683 965
Canadian National Railway Co. CNR 97 879 231 1.3 965 413
BAE Systems plc BA. 94 310 190 1.2 5 274 159
Deutsche Boerse AG DB1 85 695 064 1.1 328 557
Sika AG SIKA 71 457 953 0.9 280 273
DSV A/S DSV 69 158 768 0.9 344 088
Alimentation Couche-Tard Inc. ATD 67 488 760 0.9 1 357 422
Wolters Kluwer NV WKL 64 128 440 0.8 416 994
Givaudan SA GIVN 62 393 785 0.8 13 845
Intact Financial Corp. IFC 61 258 313 0.8 310 912
Seven & i Holdings Co. Ltd. 3382 59 688 884 0.8 4 183 902
Fujitsu Ltd. 6702 57 879 237 0.8 3 000 500
Partners Group Holding AG PGHN 56 579 923 0.7 38 210
Chugai Pharmaceutical Co. Ltd. 4519 55 963 424 0.7 1 114 100
Murata Manufacturing Co. Ltd. 6981 55 333 630 0.7 3 234 600
Assa Abloy AB Class B ASSA B 53 124 372 0.7 1 731 472
Sompo Holdings Inc. 8630 51 431 440 0.7 1 727 500
Dollarama Inc. DOL 51 102 673 0.7 490 173
Nippon Telegraph & Telephone Corp. 9432 50 541 114 0.7 52 204 043
Franco-Nevada Corp. FNV 47 922 452 0.6 335 731
Ashtead Group plc AHT 46 548 766 0.6 763 858
Terumo Corp. 4543 46 444 097 0.6 2 601 052
Bank Central Asia Tbk PT BBCA 46 044 258 0.6 90 354 500
FUJIFILM Holdings Corp. 4901 44 158 122 0.6 2 169 700
Hexagon AB Class B HEXA B 41 253 968 0.5 3 577 416
Ucb SA UCB 39 774 612 0.5 210 493
Hindustan Unilever Ltd. HINDUNILVR 39 061 695 0.5 1 558 262
Fortis Inc./Canada FTS 37 945 429 0.5 865 346
NAVER Corp. 035420 37 105 284 0.5 261 168
Restaurant Brands International Inc. QSR 36 890 951 0.5 565 501
Brookfield Asset Management Ltd. Class A BAM 36 701 865 0.5 649 522
Kweichow Moutai Co. Ltd. Class A 600519 36 409 945 0.5 175 985
Kao Corp. 4452 34 975 384 0.5 812 900
Geberit AG GEBN 34 248 213 0.4 58 242
Sandoz Group AG SDZ 33 692 798 0.4 767 427
Asahi Group Holdings Ltd. 2502 33 111 290 0.4 2 669 529
Loblaw Cos. Ltd. L 32 618 490 0.4 249 120
Astellas Pharma Inc. 4503 30 746 586 0.4 3 160 900
Sumitomo Realty & Development Co. Ltd. 8830 29 078 714 0.4 833 700
Sage Group plc SGE 28 090 192 0.4 1 752 462
Kerry Group plc Class A KRZ 27 800 506 0.4 264 386
Logitech International SA LOGN 26 958 847 0.4 272 062
Sekisui House Ltd. 1928 26 194 083 0.3 1 158 500
Nomura Research Institute Ltd. 4307 25 352 125 0.3 771 600
Evolution AB EVO 25 220 800 0.3 329 925
Computershare Ltd. CPU 25 015 214 0.3 975 183
Pan Pacific International Holdings Corp. 7532 24 854 932 0.3 932 964
Bunzl plc BNZL 24 896 117 0.3 585 159
Nitto Denko Corp. 6988 24 408 959 0.3 1 238 900
ITC Ltd. ITC 23 749 366 0.3 5 241 093
America Movil SAB de CV Class B AMXB 23 617 004 0.3 33 225 456
Halma plc HLMA 23 550 057 0.3 664 236
Metro Inc./CN MRU 23 465 376 0.3 354 665
Symrise AG Class A SY1 23 291 987 0.3 231 488
Chocoladefabriken Lindt & Spruengli AG LISP 23 146 439 0.3 1 829
Coloplast A/S Class B COLO B 23 033 546 0.3 216 287
Northern Star Resources Ltd. NST 21 673 059 0.3 2 006 249
Chocoladefabriken Lindt & Spruengli AG LISN 21 260 142 0.3 174
Shionogi & Co. Ltd. 4507 21 155 737 0.3 1 412 200
Carlsberg AS Class B CARL B 20 465 703 0.3 163 398
Asian Paints Ltd. ASIANPAINT 19 675 884 0.3 787 963
Fisher & Paykel Healthcare Corp. Ltd. FPH 19 549 031 0.3 1 022 449
Imperial Oil Ltd. IMO 19 239 267 0.3 283 764
NTT Data Group Corp. 9613 18 737 211 0.2 1 005 067
TMX Group Ltd. X 17 148 037 0.2 482 570
Wistron Corp. 3231 16 996 110 0.2 5 081 000
Stantec Inc. STN 16 901 550 0.2 198 380
Obic Co. Ltd. 4684 16 465 699 0.2 573 000
Magna International Inc. MG 16 433 707 0.2 451 233
Unicharm Corp. 8113 16 087 871 0.2 2 142 185
Roche Holding AG (Bearer) RO 16 020 417 0.2 45 651
Nitori Holdings Co. Ltd. 9843 15 411 892 0.2 150 601
CAR Group Ltd. CAR 15 386 343 0.2 661 491
Pro Medicus Ltd. PME 15 126 489 0.2 94 885
George Weston Ltd. WN 15 044 739 0.2 94 054
Brenntag SE BNR 14 875 849 0.2 224 966
Sonic Healthcare Ltd. SHL 14 344 228 0.2 837 385
Diploma plc DPLM 13 371 871 0.2 234 616
CCL Industries Inc. Class B CCL.B 13 257 501 0.2 258 390
FirstService Corp. FSV 12 731 756 0.2 72 217
Lifco AB Class B LIFCO B 12 745 201 0.2 372 019
TFI International Inc. TFII 12 609 709 0.2 139 048
Open Text Corp. OTEX 12 025 956 0.2 465 700
Spirax Group plc SPX 11 968 086 0.2 129 613
Toromont Industries Ltd. TIH 11 996 122 0.2 142 878
PSP Swiss Property AG PSPN 11 747 212 0.2 79 726
DCC plc DCC 11 692 902 0.2 172 429
Nemetschek SE NEM 11 581 452 0.2 98 773
Chiba Bank Ltd. 8331 11 422 991 0.1 1 258 500
Nippon Sanso Holdings Corp. 4091 11 375 535 0.1 372 100
Persistent Systems Ltd. PERSISTENT 11 240 589 0.1 184 276
Recordati Industria Chimica e Farmaceutica SPA REC 10 924 331 0.1 193 356
Hulic Co. Ltd. 3003 10 759 481 0.1 1 152 475
Yakult Honsha Co. Ltd. 2267 10 759 416 0.1 534 700
Advantech Co. Ltd. 2395 10 499 447 0.1 857 727
Chailease Holding Co. Ltd. 5871 10 239 843 0.1 2 697 788
Hikari Tsushin Inc. 9435 10 093 565 0.1 39 800
Wuliangye Yibin Co. Ltd. Class A 000858 9 972 901 0.1 550 065
TIS Inc. 3626 9 872 061 0.1 354 860
Technology One Ltd. TNE 9 716 034 0.1 526 213
Croda International plc CRDA 9 369 718 0.1 224 581
Washington H Soul Pattinson & Co. Ltd. SOL 9 232 184 0.1 434 132
Temenos AG TEMN 8 951 673 0.1 108 691
AAK AB AAK 8 864 205 0.1 317 082
International Container Terminal Services Inc. ICT 8 527 051 0.1 1 414 620
Pidilite Industries Ltd. PIDILITIND 8 045 028 0.1 264 531
CSPC Pharmaceutical Group Ltd. 1093 7 902 920 0.1 13 028 678
Empire Co. Ltd. EMP.A 7 605 938 0.1 244 368
Saputo Inc. SAP 7 592 099 0.1 430 909
Hikma Pharmaceuticals plc HIK 7 360 823 0.1 269 950
MonotaRO Co. Ltd. 3064 7 196 169 0.1 428 367
Finning International Inc. FTT 7 121 005 0.1 241 272
Siegfried Holding AG SFZN 6 988 816 0.1 6 527
Nissan Chemical Corp. 4021 7 013 232 0.1 243 032
Buzzi SPA BZU 6 804 437 0.1 150 799
Steadfast Group Ltd. SDF 6 763 294 0.1 1 931 206
Sofina SA SOF 6 700 263 0.1 27 154
Azbil Corp. 6845 6 576 263 0.1 857 860
SCSK Corp. 9719 6 422 087 0.1 257 000
Lotus Bakeries NV LOTB 6 406 027 0.1 707
Spectris plc SXS 6 355 558 0.1 174 218
Reply SPA REY 6 320 535 0.1 39 281
Boyd Group Services Inc. BYD 6 275 353 0.1 37 485
Huhtamaki Oyj HUH1V 6 236 239 0.1 167 781
Kyowa Kirin Co. Ltd. 4151 6 156 953 0.1 434 700
EBOS Group Ltd. EBO 6 148 379 0.1 278 028
Sundaram Finance Ltd. SUNDARMFIN 6 177 578 0.1 118 713
TOMRA Systems ASA TOM 6 143 561 0.1 410 212
Kurita Water Industries Ltd. 6370 6 094 192 0.1 188 800
Tokyo Tatemono Co. Ltd. 8804 5 929 132 0.1 371 300
Parkland Corp. PKI 5 892 620 0.1 239 336
Kobe Bussan Co. Ltd. 3038 5 854 646 0.1 264 900
Cranswick plc CWK 5 782 853 0.1 93 735
Lion Corp. 4912 5 673 988 0.1 498 734
Oracle Corp. Japan 4716 5 500 636 0.1 57 700
FUCHS PETROLUB SE Preference Shares FPE3 5 545 055 0.1 113 741
Interpump Group SPA IP 5 506 601 0.1 145 216
Nomura Real Estate Holdings Inc. 3231 5 483 199 0.1 192 080
Fortnox AB FNOX 5 428 755 0.1 843 952
Nisshin Seifun Group Inc. 2002 5 145 858 0.1 458 700
Raia Drogasil SA RADL3 5 075 928 0.1 1 719 522
Bechtle AG BC8 4 954 843 0.1 144 929
Air Water Inc. 4088 4 992 272 0.1 401 800
DKSH Holding AG DKSH 4 936 630 0.1 62 290
Rinnai Corp. 5947 4 733 114 0.1 206 852
Stella-Jones Inc. SJ 4 683 630 0.1 97 948
Wihlborgs Fastigheter AB WIHL 4 632 968 0.1 478 186
Softcat plc SCT 4 449 649 0.1 234 308
DiaSorin SPA DIA 4 327 020 0.1 40 914
Alfresa Holdings Corp. 2784 4 260 480 0.1 320 100
Open House Group Co. Ltd. 3288 4 221 663 0.1 115 300
EXEO Group Inc. 1951 4 122 999 0.1 356 500
Yamaguchi Financial Group Inc. 8418 4 137 554 0.1 375 667
Elia Group SA/NV ELI 3 976 405 0.1 60 330
AUB Group Ltd. AUB 3 937 230 0.1 203 434
GMO Payment Gateway Inc. 3769 3 936 287 0.1 78 500
KEI Industries Ltd. KEI 3 755 688 0.0 106 434
Tata Elxsi Ltd. TATAELXSI 3 799 349 0.0 61 224
Mouwasat Medical Services Co. 4002 3 715 694 0.0 164 568
Hisamitsu Pharmaceutical Co. Inc. 4530 3 643 828 0.0 129 400
Goldwin Inc. 8111 3 576 755 0.0 74 400
Emmi AG EMMN 3 579 065 0.0 3 915
Sinbon Electronics Co. Ltd. 3023 3 564 799 0.0 390 000
Zenkoku Hosho Co. Ltd. 7164 3 484 021 0.0 93 100
Premium Brands Holdings Corp. Class A PBH 3 467 276 0.0 64 543
Kobayashi Pharmaceutical Co. Ltd. 4967 3 478 343 0.0 95 020
China National Nuclear Power Co. Ltd. Class A 601985 3 480 347 0.0 2 641 000
Maruwa Co. Ltd./Aichi 5344 3 297 218 0.0 14 600
Tokyo Century Corp. 8439 3 334 613 0.0 337 800
Sundrug Co. Ltd. 9989 3 337 032 0.0 121 624
Astral Ltd. ASTRAL 3 323 743 0.0 217 044
Fuyo General Lease Co. Ltd. 8424 3 187 812 0.0 42 100
Nichias Corp. 5393 3 165 648 0.0 105 400
Interroll Holding AG INRN 3 173 329 0.0 1 318
Kandenko Co. Ltd. 1942 3 091 989 0.0 183 534
Fuji Soft Inc. 9749 3 058 385 0.0 47 040
ALSO Holding AG ALSN 3 088 047 0.0 9 969
Catena AB CATE 3 099 046 0.0 74 917
Nippon Gas Co. Ltd. 8174 2 903 961 0.0 196 267
Yaoko Co. Ltd. 8279 2 914 566 0.0 47 500
Berger Paints India Ltd. BERGEPAINT 2 868 022 0.0 511 321
Summerset Group Holdings Ltd. SUM 2 822 532 0.0 408 457
Luzhou Laojiao Co. Ltd. Class A 000568 2 743 850 0.0 157 396
SHO-BOND Holdings Co. Ltd. 1414 2 614 234 0.0 83 584
Clarkson plc CKN 2 611 785 0.0 46 819
goeasy Ltd. GSY 2 620 106 0.0 23 035
Grupo Comercial Chedraui SA de CV CHDRAUIB 2 574 277 0.0 449 700
Brickworks Ltd. BKW 2 558 348 0.0 157 678
Zhangzhou Pientzehuang Pharmaceutical Co. Ltd. Class A 600436 2 439 015 0.0 86 700
Morinaga & Co. Ltd./Japan 2201 2 418 094 0.0 147 600
China Railway Group Ltd. Class A 601390 2 362 359 0.0 2 904 900
Maple Leaf Foods Inc. MFI 2 321 219 0.0 131 902
Takeuchi Manufacturing Co. Ltd. 6432 2 327 159 0.0 67 600
Nojima Corp. 7419 2 040 759 0.0 123 200
Mizuho Leasing Co. Ltd. 8425 2 110 551 0.0 306 435
TS Tech Co. Ltd. 7313 2 020 058 0.0 175 800
Fujitsu General Ltd. 6755 1 928 141 0.0 105 000
FUCHS SE FPE 1 810 513 0.0 49 047
Pilot Corp. 7846 1 834 818 0.0 66 800
DTS Corp. 9682 1 872 424 0.0 66 700
CRISIL Ltd. CRISIL 1 814 791 0.0 36 156
Rakus Co. Ltd. 3923 1 856 806 0.0 146 200
Welcia Holdings Co. Ltd. 3141 1 812 641 0.0 123 001
Ship Healthcare Holdings Inc. 3360 1 881 100 0.0 146 467
Kissei Pharmaceutical Co. Ltd. 4547 1 795 018 0.0 73 000
Dentsu Soken Inc. 4812 1 729 783 0.0 43 700
Kato Sangyo Co. Ltd. 9869 1 693 040 0.0 56 000
Atoss Software SE AOF 1 701 786 0.0 13 965
GB Group plc GBG 1 692 006 0.0 418 378
Badger Infrastructure Solutions Ltd. BDGI 1 608 131 0.0 59 963
Hilton Food Group plc HFG 1 546 272 0.0 143 188
Jiangsu King's Luck Brewery JSC Ltd. Class A 603369 1 455 548 0.0 199 400
Riken Keiki Co. Ltd. 7734 1 447 347 0.0 76 900
China Overseas Property Holdings Ltd. 2669 1 480 589 0.0 2 265 000
Shanghai Baosight Software Co. Ltd. Class A 600845 1 450 938 0.0 321 840
Mani Inc. 7730 1 380 144 0.0 153 800
TKC Corp. 9746 1 377 267 0.0 54 400
Enghouse Systems Ltd. ENGH 1 364 817 0.0 77 677
Grindwell Norton Ltd. GRINDWELL 1 344 305 0.0 81 702
ZF Commercial Vehicle Control Systems India Ltd. ZFCVINDIA 1 399 962 0.0 11 159
PALTAC Corp. 8283 1 338 026 0.0 51 154
Valor Holdings Co. Ltd. 9956 1 301 009 0.0 86 312
Tokyo Steel Manufacturing Co. Ltd. 5423 1 317 026 0.0 122 900
Raito Kogyo Co. Ltd. 1926 1 317 161 0.0 78 100
Savaria Corp. SIS 1 227 693 0.0 98 348
StorageVault Canada Inc. SVI 1 213 985 0.0 434 736
Hogy Medical Co. Ltd. 3593 1 170 506 0.0 36 700
Yokogawa Bridge Holdings Corp. 5911 1 154 033 0.0 67 200
Japan Material Co. Ltd. 6055 1 153 479 0.0 122 700
Maruzen Showa Unyu Co. Ltd. 9068 1 169 162 0.0 29 900
Funai Soken Holdings Inc. 9757 1 178 874 0.0 74 000
Yellow Hat Ltd. 9882 1 130 641 0.0 60 300
Kohnan Shoji Co. Ltd. 7516 1 111 413 0.0 46 200
Okinawa Cellular Telephone Co. 9436 1 048 271 0.0 38 067
Komeri Co. Ltd. 8218 1 043 762 0.0 54 767
Takara Standard Co. Ltd. 7981 1 052 001 0.0 93 467
JCU Corp. 4975 1 112 819 0.0 48 800
MCJ Co. Ltd. 6670 1 052 626 0.0 116 600
Nomura Micro Science Co. Ltd. 6254 1 078 039 0.0 59 200
Tri Chemical Laboratories Inc. 4369 1 089 720 0.0 46 600
Ai Holdings Corp. 3076 992 437 0.0 76 870
Revenio Group Oyj REG1V 1 029 864 0.0 38 584
ADENTRA Inc. ADEN 936 867 0.0 40 448
Svolder AB Class B SVOL B 943 539 0.0 181 981
Cewe Stiftung & Co. KGAA CWC 885 886 0.0 8 756
Elecom Co. Ltd. 6750 887 527 0.0 80 632
AZ-COM MARUWA Holdings Inc. 9090 900 575 0.0 112 600
Future Corp. 4722 947 780 0.0 80 547
Kameda Seika Co. Ltd. 2220 815 269 0.0 31 500
Create SD Holdings Co. Ltd. 3148 865 453 0.0 46 300
Noevir Holdings Co. Ltd. 4928 817 016 0.0 29 800
Tsurumi Manufacturing Co. Ltd. 6351 854 050 0.0 39 067
Chief Telecom Inc. 6561 848 883 0.0 62 000
Caplin Point Laboratories Ltd. CAPLIPOINT 819 163 0.0 39 110
eGuarantee Inc. 8771 764 452 0.0 65 800
Keihanshin Building Co. Ltd. 8818 799 205 0.0 84 300
Shin-Etsu Polymer Co. Ltd. 7970 749 326 0.0 71 134
Ricoh Leasing Co. Ltd. 8566 800 890 0.0 23 200
Fujimi Inc. 5384 766 021 0.0 56 611
Mitsubishi Research Institute Inc. 3636 672 988 0.0 21 500
Sekisui Jushi Corp. 4212 705 731 0.0 56 800
Retail Partners Co. Ltd. 8167 633 159 0.0 74 300
CTI Engineering Co. Ltd. 9621 581 607 0.0 37 200
Shizuoka Gas Co. Ltd. 9543 589 637 0.0 83 500
Osaka Organic Chemical Industry Ltd. 4187 649 687 0.0 38 900
Zhejiang Dingli Machinery Co. Ltd. Class A 603338 606 535 0.0 75 200
Kyung Dong Navien Co. Ltd. 009450 625 611 0.0 10 880
RS Technologies Co. Ltd. 3445 559 949 0.0 25 600
Avant Group Corp. 3836 545 397 0.0 44 134
G-Tekt Corp. 5970 521 831 0.0 47 800
Insource Co. Ltd. 6200 528 971 0.0 90 900
Matsuda Sangyo Co. Ltd. 7456 568 621 0.0 27 700
Aoyama Zaisan Networks Co. Ltd. 8929 506 155 0.0 37 300
Adesso SE ADN1 537 973 0.0 6 202
Nippon Parking Development Co. Ltd. 2353 490 256 0.0 358 400
Celsys Inc. 3663 427 378 0.0 52 334
Intage Holdings Inc. 4326 423 372 0.0 37 100
Siix Corp. 7613 476 297 0.0 67 300
Transaction Co. Ltd. 7818 429 324 0.0 29 934
Gakken Holdings Co. Ltd. 9470 438 225 0.0 66 400
Digital Information Technologies Corp. 3916 407 835 0.0 25 200
Lao Feng Xiang Co. Ltd. Class A 600612 398 023 0.0 57 300
FULLCAST Holdings Co. Ltd. 4848 400 080 0.0 37 400
MarkLines Co. Ltd. 3901 418 869 0.0 26 351
JW Pharmaceutical Corp. 001060 408 271 0.0 26 991
Valiant Co. Ltd. Class A 002643 353 656 0.0 231 700
Value HR Co. Ltd. 6078 335 485 0.0 34 500
Balaji Amines Ltd. BALAMINES 318 983 0.0 21 472
GSI Creos Corp. 8101 339 732 0.0 24 800
G-7 Holdings Inc. 7508 337 768 0.0 38 800
YAKUODO Holdings Co. Ltd. 7679 304 955 0.0 24 967
Charm Care Corp. KK 6062 288 094 0.0 35 300
Business Engineering Corp. 4828 270 618 0.0 10 900
Creek & River Co. Ltd. 4763 275 294 0.0 24 700
Densan System Holdings Co. Ltd. 4072 319 611 0.0 19 367
Lacto Japan Co. Ltd. 3139 321 037 0.0 16 800
SMS Co. Ltd. 2175 244 832 0.0 31 760
S-Pool Inc. 2471 242 478 0.0 118 900
WDB Holdings Co. Ltd. 2475 235 063 0.0 19 700
Digital Hearts Holdings Co. Ltd. 3676 236 932 0.0 33 500
Elan Corp. 6099 259 545 0.0 52 100
ITC Hotels Ltd. ITCHOTELS 222 992 0.0 119 118
Nextage Co. Ltd. 3186 100 166 0.0 10 062