Schwab Capital Trust
Schwab S&P 500 Index Fund
Portfolio Holdings as of July 31, 2026 (Unaudited)
 
SECURITY
NUMBER
OF SHARES
VALUE ($)
COMMON STOCKS 99.6% OF NET ASSETS
 
Automobiles & Components 1.6%
Aptiv PLC *
476,608
26,914,053
Ford Motor Co.
8,719,894
128,008,044
General Motors Co.
2,013,937
178,958,442
Tesla, Inc. *
6,288,190
1,956,947,610
 
2,290,828,149
 
Banks 3.6%
Bank of America Corp.
14,582,708
903,398,761
Citigroup, Inc.
3,809,534
504,572,778
Citizens Financial Group, Inc.
939,777
67,335,022
Fifth Third Bancorp
2,026,619
114,503,973
Huntington Bancshares, Inc.
4,524,208
77,092,504
JPMorgan Chase & Co.
5,984,889
2,105,424,101
KeyCorp
2,048,105
46,266,692
M&T Bank Corp.
328,309
80,859,224
PNC Financial Services Group, Inc.
897,026
224,139,887
Regions Financial Corp.
1,896,441
58,694,849
Truist Financial Corp.
2,782,764
144,258,486
U.S. Bancorp
3,465,726
218,375,395
Wells Fargo & Co.
6,835,162
590,899,755
 
5,135,821,427
 
Capital Goods 6.5%
3M Co.
1,166,721
205,669,578
A.O. Smith Corp.
253,781
15,259,852
Allegion PLC
189,569
29,838,161
AMETEK, Inc.
513,229
124,052,582
Axon Enterprise, Inc. *
180,496
95,258,569
Boeing Co. *
1,760,732
380,564,614
Builders FirstSource, Inc. *
237,623
15,787,672
Carrier Global Corp.
1,744,258
107,812,587
Caterpillar, Inc.
1,028,767
838,249,639
Comfort Systems USA, Inc.
78,303
135,439,916
Cummins, Inc.
308,577
195,699,533
Deere & Co.
561,621
332,855,918
Dover Corp.
300,158
61,418,330
Eaton Corp. PLC
866,474
359,760,005
EMCOR Group, Inc.
99,648
79,462,305
Emerson Electric Co.
1,248,605
187,066,001
Fastenal Co.
2,559,370
122,107,543
Fortive Corp.
686,254
40,633,099
GE Vernova, Inc.
600,206
594,378,000
Generac Holdings, Inc. *
131,757
25,970,622
General Dynamics Corp.
566,955
217,381,886
General Electric Co.
2,330,372
839,097,046
Honeywell Aerospace, Inc. *
708,738
146,524,494
Honeywell International, Inc.
708,537
172,209,918
Howmet Aerospace, Inc.
894,495
252,480,159
Hubbell, Inc., Class B
118,277
55,891,796
Huntington Ingalls Industries, Inc.
88,887
29,017,161
IDEX Corp.
164,192
37,838,046
Illinois Tool Works, Inc.
583,693
167,490,706
Ingersoll Rand, Inc.
793,654
66,174,871
Johnson Controls International PLC
1,365,044
200,197,353
L3Harris Technologies, Inc.
415,306
115,064,680
SECURITY
NUMBER
OF SHARES
VALUE ($)
Lennox International, Inc.
70,274
29,225,551
Lockheed Martin Corp.
452,668
263,787,750
Masco Corp.
445,778
31,864,211
Nordson Corp.
117,728
35,057,044
Northrop Grumman Corp.
297,847
161,576,041
Otis Worldwide Corp.
858,462
61,766,341
PACCAR, Inc.
1,175,499
155,965,207
Parker-Hannifin Corp.
281,675
275,064,088
Pentair PLC
360,633
23,599,824
Quanta Services, Inc.
335,697
224,030,750
Rockwell Automation, Inc.
249,010
119,544,721
RTX Corp.
3,007,918
647,364,112
Snap-on, Inc.
116,357
47,754,076
Stanley Black & Decker, Inc.
348,541
32,965,008
Textron, Inc.
387,606
33,047,288
Trane Technologies PLC
493,922
224,709,814
TransDigm Group, Inc.
124,705
156,427,458
United Rentals, Inc.
139,809
150,890,261
Vertiv Holdings Co., Class A
858,804
207,461,282
Westinghouse Air Brake Technologies
Corp.
379,151
110,279,860
WW Grainger, Inc.
97,067
134,167,949
Xylem, Inc.
528,039
61,764,722
 
9,434,966,000
 
Commercial & Professional Services 0.8%
Automatic Data Processing, Inc.
893,360
238,044,706
Broadridge Financial Solutions, Inc.
255,793
39,379,332
Cintas Corp.
760,832
155,689,052
Copart, Inc. *
1,980,845
57,682,206
Equifax, Inc.
267,468
46,170,326
Jacobs Solutions, Inc.
264,846
35,735,671
Leidos Holdings, Inc.
279,473
32,307,079
Paychex, Inc.
720,243
84,153,192
Republic Services, Inc., Class A
445,848
93,873,297
Rollins, Inc.
659,036
25,023,597
Veralto Corp.
549,316
51,729,088
Verisk Analytics, Inc., Class A
293,972
57,280,444
Waste Management, Inc.
825,504
187,017,931
 
1,104,085,921
 
Consumer Discretionary Distribution & Retail 5.7%
Amazon.com, Inc. *
21,862,399
5,937,390,320
AutoZone, Inc. *
36,730
110,786,862
Best Buy Co., Inc.
438,656
37,838,467
Carvana Co., Class A *
1,602,325
99,920,987
eBay, Inc.
991,881
113,084,353
Genuine Parts Co.
304,915
37,922,279
Home Depot, Inc.
2,224,703
738,512,408
Lowe's Cos., Inc.
1,249,961
259,754,395
O'Reilly Automotive, Inc. *
1,847,987
165,117,638
Ross Stores, Inc.
719,542
180,655,410
TJX Cos., Inc.
2,468,659
388,418,807
Tractor Supply Co.
1,164,492
35,831,419
Ulta Beauty, Inc. *
98,239
50,379,906
Williams-Sonoma, Inc.
264,525
60,486,287
 
8,216,099,538
 
  
1

Schwab S&P 500 Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Consumer Durables & Apparel 0.4%
Deckers Outdoor Corp. *
319,742
30,976,605
Dr. Horton, Inc.
589,451
84,326,860
Garmin Ltd.
366,002
107,524,068
Hasbro, Inc.
298,986
28,086,745
Lennar Corp., Class A
482,166
39,706,370
Lululemon Athletica, Inc. *
232,627
27,652,371
NIKE, Inc., Class B
2,679,530
111,763,196
NVR, Inc. *
6,044
37,152,770
PulteGroup, Inc.
425,811
53,852,317
Ralph Lauren Corp., Class A
87,167
33,153,097
Tapestry, Inc.
450,999
68,718,718
 
622,913,117
 
Consumer Services 1.6%
Airbnb, Inc., Class A *
932,399
141,277,096
Booking Holdings, Inc.
1,729,614
333,642,541
Carnival Corp. Ltd.
2,883,035
80,177,203
Chipotle Mexican Grill, Inc., Class A *
2,868,775
106,775,806
Darden Restaurants, Inc.
256,332
52,184,069
Domino's Pizza, Inc.
68,270
23,719,729
DoorDash, Inc., Class A *
844,245
165,607,099
Expedia Group, Inc.
257,270
75,827,760
Hilton Worldwide Holdings, Inc.
509,482
163,283,886
Las Vegas Sands Corp.
661,532
32,342,299
Marriott International, Inc., Class A
487,901
181,904,130
McDonald's Corp.
1,587,098
429,532,203
MGM Resorts International *
423,458
18,873,523
Norwegian Cruise Line Holdings Ltd. *
1,036,829
19,212,441
Royal Caribbean Cruises Ltd.
556,329
177,079,521
Starbucks Corp.
2,546,030
267,969,657
Wynn Resorts Ltd.
188,407
18,710,699
Yum! Brands, Inc.
615,392
94,327,286
 
2,382,446,948
 
Consumer Staples Distribution & Retail 1.8%
Casey's General Stores, Inc.
82,216
71,610,136
Costco Wholesale Corp.
990,932
943,258,261
Dollar General Corp.
490,379
62,302,652
Dollar Tree, Inc. *
407,953
51,895,701
Kroger Co.
1,270,508
73,359,132
Sysco Corp.
1,063,686
90,668,595
Target Corp.
1,014,309
146,557,507
Walmart, Inc.
9,792,094
1,088,880,853
 
2,528,532,837
 
Energy 3.3%
APA Corp.
795,037
29,670,781
Baker Hughes Co., Class A
2,220,618
134,325,183
Chevron Corp.
4,181,481
823,040,905
ConocoPhillips
2,720,154
327,724,154
Devon Energy Corp.
2,569,478
115,960,542
Diamondback Energy, Inc.
432,079
87,690,433
EOG Resources, Inc.
1,188,809
176,764,010
EQT Corp.
1,397,681
74,482,421
Expand Energy Corp.
531,747
50,000,170
ExxonMobil Holdings Corp.
9,258,051
1,439,071,447
Halliburton Co.
1,876,959
60,531,928
Kinder Morgan, Inc.
4,364,872
140,461,581
Marathon Petroleum Corp.
651,598
206,211,219
Occidental Petroleum Corp.
1,623,154
92,633,399
ONEOK, Inc.
1,409,776
128,021,759
Phillips 66
895,311
189,519,433
SLB Ltd.
3,346,090
165,932,603
Targa Resources Corp.
478,417
129,349,604
SECURITY
NUMBER
OF SHARES
VALUE ($)
Texas Pacific Land Corp.
129,037
51,947,715
Valero Energy Corp.
662,834
207,400,759
Williams Cos., Inc.
2,731,746
195,429,109
 
4,826,169,155
 
Equity Real Estate Investment Trusts (REITs) 1.8%
Alexandria Real Estate Equities, Inc.
349,142
17,963,356
American Tower Corp.
1,041,672
180,584,258
AvalonBay Communities, Inc.
310,040
57,546,524
BXP, Inc.
330,617
23,182,864
Camden Property Trust
227,322
25,189,551
Crown Castle, Inc.
975,254
74,411,880
Digital Realty Trust, Inc.
777,867
146,643,487
Equinix, Inc.
219,883
224,122,344
Equity Residential
763,023
50,702,878
Essex Property Trust, Inc.
143,556
40,790,002
Extra Space Storage, Inc.
472,489
69,947,272
Federal Realty Investment Trust
175,398
21,765,138
Healthpeak Properties, Inc.
1,532,162
33,447,097
Host Hotels & Resorts, Inc.
1,440,427
36,197,931
Invitation Homes, Inc.
1,223,732
36,369,315
Iron Mountain, Inc.
662,713
81,063,054
Kimco Realty Corp.
1,517,403
38,663,428
Mid-America Apartment Communities,
Inc.
258,024
34,146,896
Prologis, Inc.
2,082,447
301,142,661
Public Storage
374,561
121,421,439
Realty Income Corp.
2,082,793
133,027,989
Regency Centers Corp.
371,056
29,792,086
SBA Communications Corp., Class A
234,737
42,482,702
Simon Property Group, Inc.
723,047
165,845,290
UDR, Inc.
662,475
25,280,046
Ventas, Inc.
1,087,535
101,695,398
VICI Properties, Inc., Class A
2,448,502
64,518,028
Welltower, Inc.
1,576,712
369,644,361
Weyerhaeuser Co.
1,617,894
40,495,887
 
2,588,083,162
 
Financial Services 7.2%
American Express Co.
1,188,741
399,714,161
Ameriprise Financial, Inc.
200,792
109,600,305
Apollo Global Management, Inc.
1,030,684
129,443,604
ARES Management Corp., Class A
468,239
59,976,733
Bank of New York Mellon Corp.
1,534,034
239,815,535
Berkshire Hathaway, Inc., Class B *
4,094,871
2,094,690,311
Blackrock, Inc.
322,146
351,264,777
Blackstone, Inc.
1,661,541
212,261,863
Block, Inc. *
1,198,066
97,330,882
Capital One Financial Corp.
1,388,641
290,239,855
Cboe Global Markets, Inc.
233,388
72,403,959
Charles Schwab Corp. (a)
3,628,446
381,857,657
CME Group, Inc.
809,392
216,747,084
Coinbase Global, Inc., Class A *
495,293
72,441,554
Corpay, Inc. *
145,170
55,470,909
FactSet Research Systems, Inc.
80,695
21,238,924
Fidelity National Information Services,
Inc.
1,156,014
51,754,747
Fiserv, Inc. *
1,196,513
64,539,911
Franklin Resources, Inc.
699,577
23,687,677
Global Payments, Inc.
515,147
43,313,560
Goldman Sachs Group, Inc.
658,920
671,030,950
Interactive Brokers Group, Inc., Class A
990,892
87,188,587
Intercontinental Exchange, Inc.
1,260,668
192,226,657
Invesco Ltd.
980,584
29,025,286
Jack Henry & Associates, Inc.
157,903
24,323,378
KKR & Co., Inc.
1,543,552
156,562,479
Mastercard, Inc., Class A
1,802,212
1,032,847,697
2
  

Schwab S&P 500 Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Moody's Corp.
334,997
160,255,865
Morgan Stanley
2,677,468
563,392,817
MSCI, Inc., Class A
162,820
93,172,117
Nasdaq, Inc.
1,001,667
94,347,015
Northern Trust Corp.
414,478
75,513,747
PayPal Holdings, Inc.
1,973,813
112,921,842
Raymond James Financial, Inc.
388,636
68,392,163
Robinhood Markets, Inc., Class A *
1,767,172
152,966,408
S&P Global, Inc.
677,220
278,967,235
State Street Corp.
618,860
113,969,258
Synchrony Financial
752,987
57,068,885
T. Rowe Price Group, Inc.
479,692
53,605,581
Visa, Inc., Class A
3,707,087
1,357,275,763
 
10,362,847,738
 
Food, Beverage & Tobacco 2.1%
Altria Group, Inc.
3,726,852
254,655,797
Archer-Daniels-Midland Co.
1,076,793
85,357,381
Brown-Forman Corp., Class B
384,013
11,032,694
Bunge Global SA
304,154
32,310,279
Coca-Cola Co.
8,648,925
757,559,341
Constellation Brands, Inc., Class A
310,674
40,459,075
General Mills, Inc.
1,191,690
42,602,918
Hershey Co.
329,468
57,673,373
Hormel Foods Corp.
652,341
16,315,048
J.M. Smucker Co.
241,233
28,769,448
Keurig Dr. Pepper, Inc.
3,040,170
94,610,090
Kraft Heinz Co.
1,908,724
49,340,515
McCormick & Co., Inc. - Non Voting
Shares
571,934
29,111,441
Molson Coors Beverage Co., Class B
351,880
14,624,133
Mondelez International, Inc., Class A
2,861,157
178,278,693
Monster Beverage Corp. *
1,596,338
153,855,056
PepsiCo, Inc.
3,053,102
426,090,915
Philip Morris International, Inc.
3,481,159
664,274,760
Tyson Foods, Inc., Class A
636,163
36,872,008
 
2,973,792,965
 
Health Care Equipment & Services 3.2%
Abbott Laboratories
3,890,468
411,222,468
Align Technology, Inc. *
151,100
25,560,076
Baxter International, Inc.
1,167,540
30,542,846
Becton Dickinson & Co.
613,575
101,620,292
Boston Scientific Corp. *
3,312,250
154,781,443
Cardinal Health, Inc.
523,615
120,447,158
Cencora, Inc.
434,033
135,131,834
Centene Corp. *
1,041,938
64,829,382
Cigna Group
591,030
164,926,922
Cooper Cos., Inc. *
438,563
31,716,876
CVS Health Corp.
2,849,879
297,612,864
DaVita, Inc. *
70,129
16,837,272
Dexcom, Inc. *
858,358
71,629,975
Edwards Lifesciences Corp. *
1,284,854
110,587,384
Elevance Health, Inc.
485,048
182,300,440
GE HealthCare Technologies, Inc.
1,012,847
68,893,853
HCA Healthcare, Inc.
346,760
139,602,108
Henry Schein, Inc. *
213,483
18,306,167
Humana, Inc.
268,501
97,696,774
IDEXX Laboratories, Inc. *
176,095
98,449,432
Insulet Corp. *
155,030
25,634,211
Intuitive Surgical, Inc. *
789,994
279,128,580
Labcorp Holdings, Inc.
181,696
56,180,403
McKesson Corp.
268,809
230,151,578
Medtronic PLC
2,865,137
244,654,048
Quest Diagnostics, Inc.
248,447
57,890,635
ResMed, Inc.
324,394
68,440,646
Solventum Corp. *
328,089
28,031,924
SECURITY
NUMBER
OF SHARES
VALUE ($)
STERIS PLC
219,581
50,152,300
Stryker Corp.
769,898
250,755,779
UnitedHealth Group, Inc.
2,028,408
840,572,275
Universal Health Services, Inc., Class B
118,196
19,908,934
Veeva Systems, Inc., Class A *
335,969
68,463,763
Zimmer Biomet Holdings, Inc.
434,504
40,812,961
 
4,603,473,603
 
Household & Personal Products 0.8%
Church & Dwight Co., Inc.
529,262
52,296,378
Clorox Co.
268,818
25,680,184
Colgate-Palmolive Co.
1,783,965
162,876,005
Estee Lauder Cos., Inc., Class A
550,788
46,211,113
Kenvue, Inc.
4,297,840
82,690,442
Kimberly-Clark Corp.
744,404
81,370,801
Procter & Gamble Co.
5,201,101
751,507,083
 
1,202,632,006
 
Insurance 1.7%
Aflac, Inc.
1,020,889
130,142,930
Allstate Corp.
575,805
152,058,584
American International Group, Inc.
1,187,218
93,291,590
Aon PLC, Class A
476,818
171,916,730
Arch Capital Group Ltd. *
775,460
77,956,994
Arthur J Gallagher & Co.
574,916
143,395,549
Assurant, Inc.
111,775
31,206,462
Brown & Brown, Inc.
647,082
45,554,573
Chubb Ltd.
805,610
282,511,315
Cincinnati Financial Corp.
344,358
61,185,529
Erie Indemnity Co., Class A
56,088
13,575,540
Everest Group Ltd.
88,844
33,240,983
Globe Life, Inc.
175,146
31,920,358
Hartford Insurance Group, Inc.
612,617
86,936,478
Loews Corp.
380,120
44,097,721
Marsh & McLennan Cos., Inc.
1,075,172
203,949,377
MetLife, Inc.
1,205,384
115,873,564
Principal Financial Group, Inc.
440,396
50,073,025
Progressive Corp.
1,305,158
275,936,504
Prudential Financial, Inc.
777,622
94,932,094
Travelers Cos., Inc.
475,176
177,886,887
W.R. Berkley Corp.
658,714
47,783,114
Willis Towers Watson PLC
211,051
70,896,252
 
2,436,322,153
 
Materials 1.8%
Air Products & Chemicals, Inc.
497,569
146,728,122
Albemarle Corp.
263,593
31,009,081
Amcor PLC
1,032,128
46,321,905
Avery Dennison Corp.
170,342
28,912,148
Ball Corp.
600,045
38,942,921
CF Industries Holdings, Inc.
341,464
42,747,878
Corteva, Inc.
1,490,515
117,318,436
CRH PLC
1,490,090
141,573,451
Dow, Inc.
1,624,774
49,214,404
DuPont de Nemours, Inc.
305,472
41,849,664
Ecolab, Inc.
565,202
156,917,031
Freeport-McMoRan, Inc.
3,205,234
200,743,805
International Flavors & Fragrances, Inc.
573,536
45,435,522
International Paper Co.
1,180,745
48,209,818
Linde PLC
1,032,687
494,016,807
LyondellBasell Industries NV, Class A
574,667
35,675,327
Martin Marietta Materials, Inc.
133,926
70,329,900
Mosaic Co.
709,006
15,683,213
Newmont Corp.
2,381,458
223,166,429
Nucor Corp.
509,374
131,056,836
Packaging Corp. of America
198,920
48,902,493
  
3

Schwab S&P 500 Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
PPG Industries, Inc.
500,631
55,329,738
Sherwin-Williams Co.
511,744
174,427,942
Smurfit Westrock PLC
1,166,106
53,605,893
Steel Dynamics, Inc.
304,407
76,485,303
Vulcan Materials Co.
290,701
78,073,568
 
2,592,677,635
 
Media & Entertainment 8.9%
Alphabet, Inc., Class A
13,088,473
4,661,197,890
Alphabet, Inc., Class C
10,548,880
3,762,258,052
Charter Communications, Inc., Class A *
185,786
26,935,254
EchoStar Corp., Class A *
303,209
25,496,845
Electronic Arts, Inc.
503,978
105,764,823
Fox Corp., Class A
725,210
42,228,978
Live Nation Entertainment, Inc. *
352,126
61,315,700
Meta Platforms, Inc., Class A
4,905,034
2,730,681,478
Netflix, Inc. *
9,405,136
674,442,303
News Corp., Class A
1,137,042
31,336,878
Omnicom Group, Inc.
640,900
50,438,830
Paramount Skydance Corp., Class B (b)
694,198
5,525,816
Take-Two Interactive Software, Inc. *
387,932
94,236,441
TKO Group Holdings, Inc.
139,939
25,442,310
Trade Desk, Inc., Class A *
964,273
17,395,485
Walt Disney Co.
3,878,628
373,085,227
Warner Bros Discovery, Inc. *
5,538,388
145,659,604
 
12,833,441,914
 
Pharmaceuticals, Biotechnology & Life Sciences 5.9%
AbbVie, Inc.
3,946,265
990,275,739
Agilent Technologies, Inc.
630,306
87,215,441
Amgen, Inc.
1,205,478
464,301,906
Biogen, Inc. *
329,910
66,955,235
Bio-Techne Corp.
351,909
25,369,120
Bristol-Myers Squibb Co.
4,557,045
297,620,609
Charles River Laboratories International,
Inc. *
109,177
25,384,744
Danaher Corp.
1,407,964
274,524,821
Eli Lilly & Co.
1,766,897
2,029,881,949
Gilead Sciences, Inc.
2,774,504
361,268,166
Incyte Corp. *
375,895
44,926,970
IQVIA Holdings, Inc. *
374,154
87,933,673
Johnson & Johnson
5,376,700
1,378,317,045
Merck & Co., Inc.
5,516,538
718,253,248
Mettler-Toledo International, Inc. *
45,009
63,746,247
Moderna, Inc. *
790,795
43,351,382
Pfizer, Inc.
12,730,137
318,380,726
Regeneron Pharmaceuticals, Inc.
223,183
170,206,051
Revvity, Inc.
249,819
28,109,634
Thermo Fisher Scientific, Inc.
830,043
476,693,695
Vertex Pharmaceuticals, Inc. *
566,940
270,487,074
Viatris, Inc.
2,583,043
45,358,235
Waters Corp. *
218,934
82,605,988
West Pharmaceutical Services, Inc.
158,641
54,090,235
Zoetis, Inc.
940,772
72,712,268
 
8,477,970,201
 
Real Estate Management & Development 0.1%
CBRE Group, Inc., Class A *
651,087
95,586,083
CoStar Group, Inc. *
925,428
26,615,309
 
122,201,392
 
Semiconductors & Semiconductor Equipment 16.9%
Advanced Micro Devices, Inc. *
3,642,070
1,734,171,631
Analog Devices, Inc.
1,089,881
400,433,178
Applied Materials, Inc.
1,772,588
899,889,750
SECURITY
NUMBER
OF SHARES
VALUE ($)
Broadcom, Inc.
10,574,237
4,116,338,979
First Solar, Inc. *
241,715
51,009,117
Intel Corp. *
10,552,392
951,825,758
KLA Corp.
2,917,675
533,409,344
Lam Research Corp.
2,793,244
818,476,357
Marvell Technology, Inc.
1,955,613
366,794,774
Microchip Technology, Inc.
1,209,353
89,842,834
Micron Technology, Inc.
2,518,879
2,073,112,983
Monolithic Power Systems, Inc.
109,714
156,455,456
NVIDIA Corp.
54,071,851
10,854,924,088
NXP Semiconductors NV
564,237
129,300,551
ON Semiconductor Corp. *
873,318
71,271,482
Qnity Electronics, Inc.
466,549
61,201,898
QUALCOMM, Inc.
2,354,444
347,539,479
Skyworks Solutions, Inc.
336,998
20,988,236
Teradyne, Inc.
349,131
128,371,977
Texas Instruments, Inc.
2,032,761
560,513,518
 
24,365,871,390
 
Software & Services 9.2%
Accenture PLC, Class A
1,370,187
227,341,427
Adobe, Inc. *
903,269
226,187,590
Akamai Technologies, Inc. *
329,079
37,903,319
AppLovin Corp., Class A *
601,033
237,948,965
Autodesk, Inc. *
472,526
110,665,589
Cadence Design Systems, Inc. *
616,576
209,648,171
Cognizant Technology Solutions Corp.,
Class A
1,071,673
59,317,101
Crowdstrike Holdings, Inc., Class A *
2,274,110
434,036,635
Datadog, Inc., Class A *
738,357
197,857,525
Fair Isaac Corp. *
52,065
58,467,433
Fortinet, Inc. *
1,391,153
225,297,228
Gartner, Inc. *
150,858
22,782,575
Gen Digital, Inc.
1,245,169
34,179,889
GoDaddy, Inc., Class A *
298,059
24,661,402
International Business Machines Corp.
2,099,304
469,509,340
Intuit, Inc.
618,372
195,448,838
Microsoft Corp.
16,579,868
7,704,996,257
Oracle Corp.
3,790,080
492,217,690
Palantir Technologies, Inc., Class A *
5,128,447
631,106,688
Palo Alto Networks, Inc. *
1,811,429
601,086,485
PTC, Inc. *
259,198
35,561,966
Roper Technologies, Inc.
226,070
88,612,658
Salesforce, Inc.
1,827,409
336,279,804
ServiceNow, Inc. *
2,305,122
256,398,720
Synopsys, Inc. *
427,877
166,341,462
Trimble, Inc. *
532,103
30,106,388
Tyler Technologies, Inc. *
93,712
29,013,235
VeriSign, Inc.
183,514
53,222,730
Workday, Inc., Class A *
454,585
72,888,159
 
13,269,085,269
 
Technology Hardware & Equipment 10.5%
Amphenol Corp., Class A
2,747,820
441,574,674
Apple, Inc.
32,789,097
10,128,879,954
Arista Networks, Inc. *
2,306,945
416,057,531
CDW Corp.
285,987
42,271,739
Ciena Corp. *
316,700
119,411,735
Cisco Systems, Inc.
8,822,383
1,023,308,204
Coherent Corp. *
436,814
114,834,032
Corning, Inc.
1,751,252
242,110,589
Dell Technologies, Inc., Class C
646,158
261,933,069
F5, Inc. *
125,965
50,709,730
Flex Ltd. *
821,355
93,429,131
Hewlett Packard Enterprise Co.
2,964,900
142,018,710
HP, Inc.
2,057,197
56,099,762
Jabil, Inc.
236,758
74,590,608
4
  

Schwab S&P 500 Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Keysight Technologies, Inc. *
382,579
122,073,307
Lumentum Holdings, Inc. *
173,742
124,041,364
Motorola Solutions, Inc.
370,649
161,510,302
NetApp, Inc.
443,187
79,108,880
Sandisk Corp. *
330,770
401,829,319
Seagate Technology Holdings PLC
500,832
428,777,300
Super Micro Computer, Inc. *
1,252,248
35,563,843
TE Connectivity PLC
652,464
134,205,320
Teledyne Technologies, Inc. *
103,723
67,997,687
Western Digital Corp.
769,940
419,494,110
Zebra Technologies Corp., Class A *
106,794
31,378,213
 
15,213,209,113
 
Telecommunication Services 0.8%
AT&T, Inc.
15,528,688
361,041,996
Comcast Corp., Class A
7,958,177
190,677,921
T-Mobile U.S., Inc.
1,039,390
179,513,047
Verizon Communications, Inc.
9,327,410
436,616,062
 
1,167,849,026
 
Transportation 1.3%
CH Robinson Worldwide, Inc.
264,109
39,016,823
CSX Corp.
4,153,777
209,350,361
Delta Air Lines, Inc.
1,457,418
127,436,630
Expeditors International of Washington,
Inc.
290,302
48,738,803
FedEx Corp.
489,808
150,566,979
Fedex Freight Holding Co., Inc. *
241,248
33,902,581
JB Hunt Transport Services, Inc.
165,719
45,034,138
Norfolk Southern Corp.
501,026
168,084,202
Old Dominion Freight Line, Inc.
409,370
86,843,752
Southwest Airlines Co.
1,084,480
48,769,066
Uber Technologies, Inc. *
4,550,386
320,165,159
Union Pacific Corp.
1,326,103
387,394,469
United Airlines Holdings, Inc. *
727,088
88,217,587
United Parcel Service, Inc., Class B
1,664,428
173,466,686
 
1,926,987,236
 
Utilities 2.1%
AES Corp.
1,618,478
23,759,257
Alliant Energy Corp.
575,780
40,753,708
Ameren Corp.
615,203
67,432,401
American Electric Power Co., Inc.
1,213,417
155,135,363
American Water Works Co., Inc.
434,577
58,307,196
Atmos Energy Corp.
372,399
64,343,099
CenterPoint Energy, Inc.
1,453,222
61,093,453
CMS Energy Corp.
688,699
49,579,441
Consolidated Edison, Inc.
823,722
89,662,140
Constellation Energy Corp.
714,365
187,699,404
Dominion Energy, Inc.
1,963,776
135,834,386
DTE Energy Co.
466,795
66,224,207
Duke Energy Corp.
1,740,250
218,279,557
Edison International
857,833
62,939,207
SECURITY
NUMBER
OF SHARES
VALUE ($)
Entergy Corp.
1,023,822
110,183,724
Evergy, Inc.
515,670
42,805,767
Eversource Energy
835,803
59,835,137
Exelon Corp.
2,285,283
104,711,667
FirstEnergy Corp.
1,157,816
55,934,091
NextEra Energy, Inc.
4,657,766
404,853,021
NiSource, Inc.
1,064,771
47,307,775
NRG Energy, Inc.
472,613
63,467,200
PG&E Corp.
4,922,164
85,547,210
Pinnacle West Capital Corp.
271,317
27,400,304
PPL Corp.
1,689,491
59,486,978
Public Service Enterprise Group, Inc.
1,116,679
85,626,946
Sempra
1,458,761
129,173,286
Southern Co.
2,518,302
238,080,271
Vistra Corp.
708,826
105,040,925
WEC Energy Group, Inc.
728,680
79,732,166
Xcel Energy, Inc.
1,395,569
109,133,496
 
3,089,362,783
Total Common Stocks
(Cost $49,753,943,238)
143,767,670,678
 
 
 
 
SHORT-TERM INVESTMENTS 0.0% OF NET ASSETS
 
Money Market Funds 0.0%
State Street Institutional
U.S. Government Money Market Fund,
Premier Class 3.62% (c)(d)
5,275,904
5,275,904
Total Short-Term Investments
(Cost $5,275,904)
5,275,904
Total Investments in Securities
(Cost $49,759,219,142)
143,772,946,582
 
 
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
($)
CURRENT VALUE/
UNREALIZED
APPRECIATION
($)
FUTURES CONTRACTS
Long
S&P 500 Index, e-mini,
expires 09/18/26
1,534
576,726,475
298,228
 
*
Non-income producing security.
(a)
Issuer is affiliated with the fund’s investment adviser.
(b)
All or a portion of this security is on loan.
(c)
The rate shown is the annualized 7-day yield.
(d)
Security purchased with cash collateral received for securities on loan.
Securities on loan were valued at $5,249,524.
 
REIT —
Real Estate Investment Trust
  
5

Schwab S&P 500 Index Fund
Portfolio Holdings (Unaudited) continued
 
Below is a summary of the fund’s transactions with affiliated issuers during the period ended July 31, 2026: 
SECURITY
VALUE AT
10/31/25
PURCHASES
SALES
NET REALIZED
GAINS (LOSSES)
NET CHANGE
IN UNREALIZED
APPRECIATION
(DEPRECIATION)
VALUE AT
7/31/26
BALANCE
OF SHARES
HELD AT
7/31/26
DIVIDENDS
RECEIVED
COMMON STOCKS 0.3% OF NET ASSETS
 
Financial Services 0.3%
Charles Schwab Corp. (a)
$357,772,000
$8,942,588
($23,516,124
)
$7,771,227
$30,887,966
$381,857,657
3,628,446
$3,399,715
 
(a)
Issuers are affiliated with the fund’s investment adviser.
 
The following is a summary of the inputs used to value the fund’s investments as of July 31, 2026:  
DESCRIPTION
QUOTED PRICES IN
ACTIVE MARKETS FOR
IDENTICAL ASSETS
(LEVEL 1)
OTHER SIGNIFICANT
OBSERVABLE INPUTS
(LEVEL 2)
SIGNIFICANT
UNOBSERVABLE INPUTS
(LEVEL 3)
TOTAL
Assets
Common Stocks 1
$143,767,670,678
$—
$—
$143,767,670,678
Short-Term Investments 1
5,275,904
—
—
5,275,904
Futures Contracts 2
298,228
—
—
298,228
Total
$143,773,244,810
$—
$—
$143,773,244,810
 
1
As categorized in the Portfolio Holdings.
2
Futures contracts are reported at cumulative unrealized appreciation or depreciation.
6
  

Schwab Investments
Schwab 1000 Index Fund
Portfolio Holdings as of July 31, 2026 (Unaudited)
 
SECURITY
NUMBER
OF SHARES
VALUE ($)
COMMON STOCKS 99.6% OF NET ASSETS
 
Automobiles & Components 1.6%
Aptiv PLC *
67,221
3,795,970
Autoliv, Inc.
22,739
2,800,763
BorgWarner, Inc.
64,456
4,108,425
Ford Motor Co.
1,245,510
18,284,087
General Motors Co.
287,175
25,518,370
Gentex Corp.
68,342
1,596,469
Lear Corp.
15,843
2,069,730
Lucid Group, Inc. *(a)
69,363
511,899
Rivian Automotive, Inc., Class A *
305,567
4,650,730
Tesla, Inc. *
896,517
279,005,056
Thor Industries, Inc.
17,158
1,286,335
Versigent PLC *
22,407
926,529
 
344,554,363
 
Banks 3.6%
Bank of America Corp.
2,079,080
128,799,006
Bank OZK
33,894
1,738,762
BOK Financial Corp.
7,076
999,768
Citigroup, Inc.
543,131
71,937,701
Citizens Financial Group, Inc.
135,124
9,681,635
Columbia Banking System, Inc.
93,230
2,915,302
Commerce Bancshares, Inc.
43,732
2,591,996
Cullen/Frost Bankers, Inc.
19,745
3,284,383
East West Bancorp, Inc.
43,349
5,678,719
Fifth Third Bancorp
288,184
16,282,396
First Citizens BancShares, Inc.,
Class A
2,964
6,481,231
First Financial Bankshares, Inc.
41,591
1,461,508
First Horizon Corp.
150,322
3,854,256
Flagstar Bank NA
96,247
1,368,632
FNB Corp.
114,185
2,158,097
Glacier Bancorp, Inc.
41,422
2,041,690
Hancock Whitney Corp.
26,897
2,071,069
Home BancShares, Inc.
58,471
1,816,694
Huntington Bancshares, Inc.
647,057
11,025,851
JPMorgan Chase & Co.
853,275
300,173,612
KeyCorp
295,373
6,672,476
M&T Bank Corp.
46,619
11,481,794
Old National Bancorp
107,133
2,854,023
Pinnacle Financial Partners, Inc.
48,296
5,082,188
PNC Financial Services Group, Inc.
127,823
31,939,133
Popular, Inc.
20,541
3,598,989
Prosperity Bancshares, Inc.
37,454
2,804,181
Regions Financial Corp.
272,214
8,425,023
Southstate Bank Corp.
31,949
3,357,521
Truist Financial Corp.
396,880
20,574,259
U.S. Bancorp
494,515
31,159,390
UMB Financial Corp.
22,403
3,264,789
United Bankshares, Inc.
43,704
2,117,459
Valley National Bancorp
153,346
2,191,314
Webster Financial Corp.
51,604
3,984,861
Wells Fargo & Co.
974,500
84,245,525
Western Alliance Bancorp
31,989
2,574,795
SECURITY
NUMBER
OF SHARES
VALUE ($)
Wintrust Financial Corp.
21,845
3,485,151
Zions Bancorp NA
47,112
3,283,706
 
809,458,885
 
Capital Goods 7.4%
3M Co.
165,677
29,205,542
A.O. Smith Corp.
35,760
2,150,249
AAON, Inc.
21,436
1,909,090
Acuity, Inc.
9,415
3,091,792
Advanced Drainage Systems, Inc.
23,558
3,262,312
AECOM
40,474
2,929,913
AeroVironment, Inc. *
10,107
1,509,683
AGCO Corp.
19,669
2,009,385
Allegion PLC
27,077
4,261,920
Allison Transmission Holdings, Inc.
26,223
3,003,582
AMETEK, Inc.
72,891
17,618,484
API Group Corp. *
122,479
4,859,967
Applied Industrial Technologies, Inc.
11,681
4,032,398
Archer Aviation, Inc., Class A *
216,237
1,003,340
Armstrong World Industries, Inc.
13,979
2,441,572
ATI, Inc. *
43,470
8,148,017
Axon Enterprise, Inc. *
25,611
13,516,461
Bloom Energy Corp., Class A *
83,429
17,170,522
Boeing Co. *
251,196
54,293,503
Builders FirstSource, Inc. *
33,526
2,227,467
BWX Technologies, Inc.
29,113
4,911,363
Carlisle Cos., Inc.
13,043
4,694,437
Carpenter Technology Corp.
15,855
8,239,209
Carrier Global Corp.
248,376
15,352,121
Caterpillar, Inc.
146,673
119,510,627
CNH Industrial NV
283,811
2,909,063
Comfort Systems USA, Inc.
11,205
19,381,176
Construction Partners, Inc., Class A *
15,236
1,574,641
Core & Main, Inc., Class A *
59,251
2,605,266
Crane Co.
15,635
3,337,447
Cummins, Inc.
43,942
27,868,016
Curtiss-Wright Corp.
11,798
8,541,752
Deere & Co.
80,052
47,444,419
Donaldson Co., Inc.
37,102
3,496,492
Dover Corp.
42,605
8,717,835
Dycom Industries, Inc. *
9,645
3,868,320
Eaton Corp. PLC
123,711
51,364,807
EMCOR Group, Inc.
14,111
11,252,535
Emerson Electric Co.
178,058
26,676,650
Esab Corp.
17,652
1,527,428
ESCO Technologies, Inc.
8,236
2,596,728
Fastenal Co.
364,586
17,394,398
Federal Signal Corp.
19,393
2,423,155
Ferguson Enterprises, Inc.
61,767
14,473,861
Flowserve Corp.
39,913
3,032,989
Fluor Corp. *
43,735
2,194,185
Fortive Corp.
97,051
5,746,390
Fortune Brands Innovations, Inc.
37,924
1,868,136
FTAI Aviation Ltd.
32,786
6,753,916
Gates Industrial Corp. Ltd. *
82,887
2,319,178
GATX Corp.
11,074
1,980,806
GE Vernova, Inc.
85,572
84,741,096
Generac Holdings, Inc. *
18,902
3,725,773
General Dynamics Corp.
80,702
30,942,761
General Electric Co.
332,245
119,631,457
  
7

Schwab 1000 Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Graco, Inc.
53,000
4,207,140
HEICO Corp.
30,869
11,000,477
Hexcel Corp.
24,328
2,504,568
Honeywell Aerospace, Inc. *
100,749
20,828,848
Honeywell International, Inc.
100,749
24,487,044
Howmet Aerospace, Inc.
127,443
35,972,061
Hubbell, Inc., Class B
16,808
7,942,620
Huntington Ingalls Industries, Inc.
12,553
4,097,927
IDEX Corp.
23,763
5,476,183
IES Holdings, Inc. *
2,811
2,092,902
Illinois Tool Works, Inc.
83,421
23,937,656
Ingersoll Rand, Inc.
113,900
9,496,982
ITT, Inc.
28,690
5,622,666
JBT Marel Corp.
16,726
2,316,049
Johnson Controls International PLC
193,959
28,446,027
Karman Holdings, Inc. *
29,111
1,401,695
Kratos Defense & Security Solutions,
Inc. *
58,919
2,745,625
L3Harris Technologies, Inc.
59,183
16,397,242
Lennox International, Inc.
10,234
4,256,116
Leonardo DRS, Inc.
24,902
1,146,737
Lincoln Electric Holdings, Inc.
17,370
4,538,955
Loar Holdings, Inc. *
11,330
775,539
Lockheed Martin Corp.
64,637
37,666,565
Louisiana-Pacific Corp.
20,450
1,481,194
Masco Corp.
63,806
4,560,853
MasTec, Inc. *
19,753
5,197,014
Middleby Corp. *
13,365
1,785,297
Midera Food Processing, Inc. *
13,365
640,852
Modine Manufacturing Co. *
16,594
3,336,390
Moog, Inc., Class A
9,126
3,557,771
Mueller Industries, Inc.
70,276
4,667,029
Nextpower, Inc., Class A *
47,765
4,292,641
Nordson Corp.
16,862
5,021,166
Northrop Grumman Corp.
42,597
23,108,021
nVent Electric PLC
51,824
7,972,086
Oshkosh Corp.
20,026
2,851,903
Otis Worldwide Corp.
122,557
8,817,976
Owens Corning
25,313
3,515,976
PACCAR, Inc.
167,172
22,180,381
Parker-Hannifin Corp.
40,151
39,208,656
Pentair PLC
51,147
3,347,060
Primoris Services Corp.
17,420
1,470,422
Quanta Services, Inc.
47,786
31,890,465
QXO, Inc. *
260,790
3,468,507
RBC Bearings, Inc. *
9,985
5,504,830
Regal Rexnord Corp.
21,117
4,333,842
Resideo Technologies, Inc. *
44,083
1,512,047
Rocket Lab Corp. *
161,635
10,498,193
Rockwell Automation, Inc.
35,456
17,021,716
RTX Corp.
428,844
92,295,806
Simpson Manufacturing Co., Inc.
13,349
2,506,141
SiteOne Landscape Supply, Inc. *
14,138
1,335,193
Snap-on, Inc.
16,449
6,750,834
SPX Technologies, Inc. *
16,072
3,529,733
StandardAero, Inc. *
61,576
1,804,793
Stanley Black & Decker, Inc.
49,235
4,656,646
Sterling Infrastructure, Inc. *
9,781
5,837,007
Symbotic, Inc. *
20,462
880,889
Textron, Inc.
55,444
4,727,155
Timken Co.
20,293
2,791,302
Toro Co.
31,110
2,858,076
Trane Technologies PLC
70,274
31,971,156
TransDigm Group, Inc.
17,831
22,366,850
Trex Co., Inc. *
33,030
1,432,181
UFP Industries, Inc.
18,578
1,611,456
United Rentals, Inc.
19,909
21,486,987
Valmont Industries, Inc.
6,114
2,945,114
Vertiv Holdings Co., Class A
122,317
29,548,118
SECURITY
NUMBER
OF SHARES
VALUE ($)
Watsco, Inc.
11,044
3,415,909
Watts Water Technologies, Inc.,
Class A
8,702
3,009,065
WESCO International, Inc.
15,342
5,269,824
Westinghouse Air Brake
Technologies Corp.
54,173
15,756,759
Woodward, Inc.
18,823
6,790,397
WW Grainger, Inc.
13,843
19,134,071
Xylem, Inc.
75,706
8,855,331
Zurn Elkay Water Solutions Corp.,
Class C
47,691
2,408,872
 
1,636,319,209
 
Commercial & Professional Services 0.9%
Amentum Holdings, Inc. *
49,366
1,095,925
Automatic Data Processing, Inc.
127,200
33,893,712
Booz Allen Hamilton Holding Corp.,
Class A
38,504
2,684,499
Broadridge Financial Solutions, Inc.
36,602
5,634,878
CACI International, Inc., Class A *
7,109
3,538,505
Casella Waste Systems, Inc.,
Class A *
20,374
1,827,752
Cintas Corp.
108,071
22,114,569
Clean Harbors, Inc. *
15,765
4,932,553
Copart, Inc. *
282,342
8,221,799
Equifax, Inc.
37,793
6,523,828
ExlService Holdings, Inc. *
48,557
1,647,539
FTI Consulting, Inc. *
9,661
1,539,770
Genpact Ltd.
50,135
1,763,248
Jacobs Solutions, Inc.
37,538
5,065,002
KBR, Inc.
43,373
1,587,886
Leidos Holdings, Inc.
39,808
4,601,805
Mobility Global, Inc. *
96,389
1,964,408
MSA Safety, Inc.
11,536
2,194,955
Parsons Corp. *
17,003
751,703
Paychex, Inc.
102,373
11,961,261
Paycom Software, Inc.
13,404
2,197,720
Paylocity Holding Corp. *
14,139
1,949,697
RB Global, Inc.
59,753
6,557,294
Republic Services, Inc., Class A
63,846
13,442,775
Rollins, Inc.
91,904
3,489,595
SS&C Technologies Holdings, Inc.
66,027
5,087,380
Tetra Tech, Inc.
82,915
2,749,461
TransUnion
61,913
4,867,600
Veralto Corp.
78,733
7,414,287
Verisk Analytics, Inc., Class A
41,733
8,131,675
Waste Management, Inc.
117,710
26,667,200
 
206,100,281
 
Consumer Discretionary Distribution & Retail 5.5%
Amazon.com, Inc. *
3,117,243
846,580,854
AutoNation, Inc. *
7,952
1,689,005
AutoZone, Inc. *
5,238
15,799,117
Bath & Body Works, Inc.
63,073
1,269,029
Best Buy Co., Inc.
62,683
5,407,036
Boot Barn Holdings, Inc. *
9,800
1,460,102
Burlington Stores, Inc. *
19,880
7,325,382
CarMax, Inc. *
45,079
2,581,224
Carvana Co., Class A *
227,213
14,169,003
Chewy, Inc., Class A *
76,103
1,719,928
Coupang, Inc., Class A *
421,564
6,892,571
Dick's Sporting Goods, Inc.
21,102
4,134,093
Dillard's, Inc., Class A
957
563,041
eBay, Inc.
141,362
16,116,682
Etsy, Inc. *
30,167
2,464,041
Five Below, Inc. *
17,732
3,850,149
8
  

Schwab 1000 Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Floor & Decor Holdings, Inc.,
Class A *
33,359
1,920,478
GameStop Corp., Class A *
132,496
2,877,813
Gap, Inc.
72,258
1,451,663
Genuine Parts Co.
43,916
5,461,833
Group 1 Automotive, Inc.
3,723
1,067,645
Home Depot, Inc.
317,180
105,291,073
Lithia Motors, Inc., Class A
7,405
2,854,035
LKQ Corp.
78,780
1,768,611
Lowe's Cos., Inc.
178,046
36,999,739
Murphy USA, Inc.
5,325
3,236,322
Ollie's Bargain Outlet Holdings, Inc. *
19,604
1,440,306
O'Reilly Automotive, Inc. *
264,159
23,602,607
Penske Automotive Group, Inc.
5,885
1,278,869
Pool Corp.
10,487
1,947,541
Ross Stores, Inc.
102,276
25,678,435
TJX Cos., Inc.
352,275
55,426,948
Tractor Supply Co.
165,164
5,082,096
Ulta Beauty, Inc. *
13,876
7,116,029
Urban Outfitters, Inc. *
16,173
1,199,713
Wayfair, Inc., Class A *
35,369
3,002,828
Williams-Sonoma, Inc.
37,529
8,581,381
 
1,229,307,222
 
Consumer Durables & Apparel 0.5%
Deckers Outdoor Corp. *
45,338
4,392,345
Dr. Horton, Inc.
83,998
12,016,754
Garmin Ltd.
52,244
15,348,242
Hasbro, Inc.
42,843
4,024,671
Installed Building Products, Inc.
7,209
1,607,174
Lennar Corp., Class A
68,977
5,680,256
Lululemon Athletica, Inc. *
33,023
3,925,444
Mattel, Inc. *
94,063
1,419,411
Meritage Homes Corp.
22,440
1,575,288
Mohawk Industries, Inc. *
16,189
1,992,866
NIKE, Inc., Class B
381,429
15,909,404
NVR, Inc. *
858
5,274,169
PulteGroup, Inc.
61,331
7,756,532
Ralph Lauren Corp., Class A
12,410
4,720,019
SharkNinja, Inc. *
22,717
3,674,929
Somnigroup International, Inc.
67,081
4,382,402
Tapestry, Inc.
63,885
9,734,157
Toll Brothers, Inc.
29,884
4,359,777
VF Corp.
100,761
1,442,898
Whirlpool Corp.
20,117
754,388
 
109,991,126
 
Consumer Services 1.8%
ADT, Inc.
169,752
1,296,905
Airbnb, Inc., Class A *
132,637
20,097,158
Aramark
84,214
4,797,672
Booking Holdings, Inc.
246,944
47,635,498
Boyd Gaming Corp.
17,119
1,456,142
Bright Horizons Family Solutions,
Inc. *
16,869
1,257,415
Brinker International, Inc. *
14,339
3,064,244
Caesars Entertainment, Inc. *
63,044
1,875,559
Carnival Corp. Ltd.
410,337
11,411,472
Cava Group, Inc. *
32,068
2,091,796
Chipotle Mexican Grill, Inc., Class A *
408,193
15,192,943
Choice Hotels International, Inc.
6,658
742,300
Churchill Downs, Inc.
21,407
1,804,610
Darden Restaurants, Inc.
36,539
7,438,610
Domino's Pizza, Inc.
9,816
3,410,471
DoorDash, Inc., Class A *
120,132
23,565,093
DraftKings, Inc., Class A *
155,254
3,645,364
Duolingo, Inc. *
12,813
1,727,321
SECURITY
NUMBER
OF SHARES
VALUE ($)
Dutch Bros, Inc., Class A *
41,005
2,699,359
Expedia Group, Inc.
36,467
10,748,284
Flutter Entertainment PLC *
55,151
5,761,625
Grand Canyon Education, Inc. *
8,299
1,206,177
H&R Block, Inc.
40,562
1,785,945
Hilton Worldwide Holdings, Inc.
72,481
23,229,436
Hyatt Hotels Corp., Class A
13,033
2,268,524
Las Vegas Sands Corp.
94,010
4,596,149
Liberty Live Holdings, Inc., Class C *
16,272
1,604,419
Life Time Group Holdings, Inc. *
51,872
2,339,427
Marriott International, Inc., Class A
69,783
26,017,196
McDonald's Corp.
226,285
61,241,772
MGM Resorts International *
61,044
2,720,731
Norwegian Cruise Line Holdings
Ltd. *
145,564
2,697,301
Planet Fitness, Inc., Class A *
26,436
1,478,037
Royal Caribbean Cruises Ltd.
79,447
25,287,980
Service Corp. International
43,976
3,790,291
Starbucks Corp.
362,526
38,155,861
Stride, Inc. *
13,780
1,106,396
Texas Roadhouse, Inc., Class A
20,895
4,292,669
Vail Resorts, Inc.
11,539
1,723,696
Viking Holdings Ltd. *
58,652
6,120,336
Wingstop, Inc.
8,457
1,095,097
Wyndham Hotels & Resorts, Inc.
24,203
1,811,837
Wynn Resorts Ltd.
26,120
2,593,977
Yum! Brands, Inc.
87,831
13,462,736
 
402,345,831
 
Consumer Staples Distribution & Retail 1.7%
Albertsons Cos., Inc., Class A
117,047
1,355,404
BJ's Wholesale Club Holdings, Inc. *
40,624
3,972,215
Casey's General Stores, Inc.
11,788
10,267,348
Costco Wholesale Corp.
141,279
134,482,067
Dollar General Corp.
70,065
8,901,758
Dollar Tree, Inc. *
57,688
7,338,490
Kroger Co.
179,550
10,367,217
Maplebear, Inc. *
52,392
2,336,683
Performance Food Group Co. *
49,709
5,686,213
Sprouts Farmers Market, Inc. *
29,444
2,566,339
Sysco Corp.
152,224
12,975,574
Target Corp.
144,078
20,817,830
U.S. Foods Holding Corp. *
70,008
7,042,105
Walmart, Inc.
1,396,075
155,243,540
 
383,352,783
 
Energy 3.4%
Antero Midstream Corp.
107,730
2,366,828
Antero Resources Corp. *
94,398
3,411,544
APA Corp.
111,335
4,155,022
Baker Hughes Co., Class A
316,112
19,121,615
Cheniere Energy, Inc.
66,721
17,585,654
Chevron Corp.
596,160
117,342,173
Chord Energy Corp.
17,608
2,471,811
ConocoPhillips
388,462
46,801,902
Devon Energy Corp.
366,254
16,529,043
Diamondback Energy, Inc.
61,955
12,573,767
DT Midstream, Inc.
32,790
4,525,020
EOG Resources, Inc.
169,533
25,207,862
EQT Corp.
199,252
10,618,139
Expand Energy Corp.
75,584
7,107,163
ExxonMobil Holdings Corp.
1,319,935
205,170,696
Halliburton Co.
265,931
8,576,275
HF Sinclair Corp.
49,097
4,490,903
Kinder Morgan, Inc.
622,668
20,037,456
Marathon Petroleum Corp.
92,967
29,421,266
Matador Resources Co.
38,333
1,912,433
  
9

Schwab 1000 Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Occidental Petroleum Corp.
231,419
13,207,082
ONEOK, Inc.
200,939
18,247,271
Ovintiv, Inc.
87,812
5,484,738
Permian Resources Corp., Class A
250,296
5,333,808
Phillips 66
127,893
27,072,390
Range Resources Corp.
75,075
3,013,510
SLB Ltd.
475,536
23,581,830
Targa Resources Corp.
68,302
18,466,812
TechnipFMC PLC
126,354
9,054,528
Texas Pacific Land Corp.
18,458
7,430,822
Valero Energy Corp.
94,557
29,586,885
Venture Global, Inc., Class A
165,720
2,217,334
Viper Energy, Inc., Class A
61,697
2,752,303
Williams Cos., Inc.
388,796
27,814,466
 
752,690,351
 
Equity Real Estate Investment Trusts (REITs) 2.0%
Agree Realty Corp.
38,540
2,998,412
Alexandria Real Estate Equities, Inc.
49,794
2,561,901
American Healthcare REIT, Inc.
61,135
3,399,106
American Homes 4 Rent, Class A
99,173
3,314,362
American Tower Corp.
148,053
25,666,468
AvalonBay Communities, Inc.
44,336
8,229,205
Brixmor Property Group, Inc.
99,140
3,123,901
BXP, Inc.
47,376
3,322,005
Camden Property Trust
32,630
3,615,730
CareTrust REIT, Inc.
75,242
3,155,649
Crown Castle, Inc.
138,261
10,549,314
CubeSmart
72,575
3,008,959
Digital Realty Trust, Inc.
110,559
20,842,583
EastGroup Properties, Inc.
16,995
3,552,125
Equinix, Inc.
31,410
32,015,585
Equity LifeStyle Properties, Inc.
60,756
3,953,393
Equity Residential
108,168
7,187,764
Essential Properties Realty Trust, Inc.
67,919
2,125,185
Essex Property Trust, Inc.
20,518
5,829,985
Extra Space Storage, Inc.
67,519
9,995,513
Federal Realty Investment Trust
25,288
3,137,988
First Industrial Realty Trust, Inc.
42,795
2,817,623
Gaming & Leisure Properties, Inc.
90,335
4,046,105
Healthcare Realty Trust, Inc., Class A
107,878
2,266,517
Healthpeak Properties, Inc.
216,901
4,734,949
Host Hotels & Resorts, Inc.
200,436
5,036,957
Invitation Homes, Inc.
174,398
5,183,109
Iron Mountain, Inc.
94,806
11,596,670
Kimco Realty Corp.
214,006
5,452,873
Lamar Advertising Co., Class A
27,450
4,390,902
Lineage, Inc.
18,761
794,904
Mid-America Apartment
Communities, Inc.
37,233
4,927,415
Millrose Properties, Inc., Class A
49,334
1,380,365
NNN REIT, Inc.
60,552
2,877,431
Omega Healthcare Investors, Inc.
95,078
4,813,799
Prologis, Inc.
297,198
42,977,803
Public Storage
53,408
17,313,271
Realty Income Corp.
296,270
18,922,765
Regency Centers Corp.
52,910
4,248,144
Rexford Industrial Realty, Inc.
71,722
2,708,940
Ryman Hospitality Properties, Inc.
20,372
2,722,718
SBA Communications Corp., Class A
33,516
6,065,726
Simon Property Group, Inc.
103,364
23,708,601
STAG Industrial, Inc.
61,025
2,334,816
Sun Communities, Inc.
37,075
4,578,021
Terreno Realty Corp.
33,872
2,426,929
UDR, Inc.
95,603
3,648,210
Ventas, Inc.
154,335
14,431,866
VICI Properties, Inc., Class A
348,692
9,188,034
Vornado Realty Trust
51,931
2,045,562
SECURITY
NUMBER
OF SHARES
VALUE ($)
Welltower, Inc.
224,983
52,745,014
Weyerhaeuser Co.
227,853
5,703,161
WP Carey, Inc.
71,679
5,275,574
 
442,949,907
 
Financial Services 7.2%
Affiliated Managers Group, Inc.
8,498
3,116,472
Affirm Holdings, Inc. *
92,994
6,650,001
AGNC Investment Corp.
368,325
3,926,345
Ally Financial, Inc.
90,959
3,941,253
American Express Co.
169,481
56,987,986
Ameriprise Financial, Inc.
28,579
15,599,561
Annaly Capital Management, Inc.
232,451
5,281,287
Apollo Global Management, Inc.
146,391
18,385,246
ARES Management Corp., Class A
67,106
8,595,608
Bank of New York Mellon Corp.
218,223
34,114,802
Berkshire Hathaway, Inc., Class B *
583,812
298,643,191
Blackrock, Inc.
46,015
50,174,296
Blackstone, Inc.
236,812
30,252,733
Block, Inc. *
170,344
13,838,747
Blue Owl Capital, Inc., Class A (a)
199,231
2,052,079
Capital One Financial Corp.
198,371
41,461,523
Carlyle Group, Inc.
82,164
3,781,187
Cboe Global Markets, Inc.
33,311
10,334,072
Charles Schwab Corp. (b)
516,858
54,394,136
CME Group, Inc.
115,195
30,848,069
Coinbase Global, Inc., Class A *
70,552
10,318,936
Corebridge Financial, Inc.
77,708
2,423,713
Corpay, Inc. *
20,889
7,981,896
Credit Acceptance Corp. *
1,784
1,014,935
Enact Holdings, Inc.
9,991
472,774
Equitable Holdings, Inc.
90,056
4,291,168
Essent Group Ltd.
29,683
1,957,891
Evercore, Inc., Class A
12,415
3,979,752
FactSet Research Systems, Inc.
11,650
3,066,280
Fidelity National Information
Services, Inc.
164,778
7,377,111
FirstCash Holdings, Inc.
12,166
2,481,986
Fiserv, Inc. *
170,024
9,171,095
Franklin Resources, Inc.
95,733
3,241,519
Global Payments, Inc.
74,915
6,298,853
Goldman Sachs Group, Inc.
93,943
95,669,672
Hamilton Lane, Inc., Class A
13,029
1,158,408
Houlihan Lokey, Inc., Class A
17,512
2,197,581
Interactive Brokers Group, Inc.,
Class A
141,910
12,486,661
Intercontinental Exchange, Inc.
179,802
27,416,209
Invesco Ltd.
142,710
4,224,216
Jack Henry & Associates, Inc.
22,211
3,421,382
Jackson Financial, Inc., Class A
22,172
2,711,192
Jefferies Financial Group, Inc.
51,551
2,814,685
KKR & Co., Inc.
219,619
22,275,955
Lazard, Inc.
36,867
1,562,423
LPL Financial Holdings, Inc.
25,263
8,935,523
MarketAxess Holdings, Inc.
10,951
1,777,347
Mastercard, Inc., Class A
256,944
147,254,606
MGIC Investment Corp.
68,742
2,065,010
Moelis & Co., Class A
23,828
1,598,382
Moody's Corp.
47,742
22,838,818
Morgan Stanley
381,731
80,323,837
Morningstar, Inc.
6,681
1,286,560
MSCI, Inc., Class A
23,154
13,249,645
Nasdaq, Inc.
142,760
13,446,564
Northern Trust Corp.
58,843
10,720,606
OneMain Holdings, Inc.
36,035
2,255,070
PayPal Holdings, Inc.
281,397
16,098,722
PennyMac Financial Services, Inc.
9,275
699,428
Piper Sandler Cos.
21,428
1,624,242
10
  

Schwab 1000 Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Raymond James Financial, Inc.
55,207
9,715,328
Rithm Capital Corp.
181,622
1,794,425
Robinhood Markets, Inc., Class A *
251,969
21,810,437
Rocket Cos., Inc., Class A *
312,583
4,032,321
S&P Global, Inc.
96,656
39,815,506
SEI Investments Co.
30,051
3,094,652
Shift4 Payments, Inc., Class A *
18,899
1,001,647
SLM Corp.
58,599
1,523,281
SoFi Technologies, Inc. *
410,116
6,688,992
Starwood Property Trust, Inc.
108,325
1,731,034
State Street Corp.
88,290
16,259,486
Stifel Financial Corp.
48,823
4,047,915
StoneX Group, Inc. *
33,709
2,581,098
Synchrony Financial
107,194
8,124,233
T. Rowe Price Group, Inc.
68,520
7,657,110
Toast, Inc., Class A *
148,445
4,790,320
TPG, Inc.
44,064
1,923,834
Tradeweb Markets, Inc., Class A
36,559
3,674,180
Upstart Holdings, Inc. *
27,252
747,795
Visa, Inc., Class A
528,525
193,508,858
Voya Financial, Inc.
29,279
2,911,211
WEX, Inc. *
10,823
2,023,468
 
1,596,026,378
 
Food, Beverage & Tobacco 2.0%
Altria Group, Inc.
531,237
36,299,424
Archer-Daniels-Midland Co.
152,523
12,090,498
Brown-Forman Corp., Class B
52,267
1,501,631
Bunge Global SA
43,420
4,612,507
Cal-Maine Foods, Inc.
14,578
1,279,657
Campbell's Co. (a)
64,545
1,418,699
Celsius Holdings, Inc. *
50,894
1,486,614
Coca-Cola Co.
1,233,091
108,006,441
Coca-Cola Consolidated, Inc.
18,170
3,414,143
Conagra Brands, Inc.
154,089
2,235,831
Constellation Brands, Inc., Class A
44,631
5,812,295
General Mills, Inc.
169,416
6,056,622
Hershey Co.
47,174
8,257,809
Hormel Foods Corp.
93,138
2,329,381
Ingredion, Inc.
21,140
2,102,584
J.M. Smucker Co.
33,914
4,044,584
Keurig Dr. Pepper, Inc.
433,638
13,494,815
Kraft Heinz Co.
270,064
6,981,154
Lamb Weston Holdings, Inc.
44,780
2,353,189
McCormick & Co., Inc. - Non Voting
Shares
80,519
4,098,417
Molson Coors Beverage Co., Class B
51,053
2,121,763
Mondelez International, Inc., Class A
409,178
25,495,881
Monster Beverage Corp. *
227,300
21,907,174
PepsiCo, Inc.
435,240
60,742,095
Philip Morris International, Inc.
496,314
94,706,638
Pilgrim's Pride Corp.
13,039
356,747
Post Holdings, Inc. *
12,137
1,109,443
Primo Brands Corp.
76,963
1,747,060
Smithfield Foods, Inc.
7,482
194,831
Tyson Foods, Inc., Class A
91,490
5,302,760
 
441,560,687
 
Health Care Equipment & Services 3.2%
Abbott Laboratories
554,932
58,656,312
Align Technology, Inc. *
21,564
3,647,766
Baxter International, Inc.
169,325
4,429,542
Becton Dickinson & Co.
87,704
14,525,537
Boston Scientific Corp. *
473,089
22,107,449
Cardinal Health, Inc.
74,555
17,149,887
Cencora, Inc.
61,886
19,267,587
Centene Corp. *
149,813
9,321,365
SECURITY
NUMBER
OF SHARES
VALUE ($)
Chemed Corp.
4,220
2,246,095
Cigna Group
84,136
23,478,151
Cooper Cos., Inc. *
63,011
4,556,956
CVS Health Corp.
405,929
42,391,165
DaVita, Inc. *
10,055
2,414,105
Dexcom, Inc. *
122,851
10,251,916
Doximity, Inc., Class A *
43,881
917,552
Edwards Lifesciences Corp. *
183,566
15,799,526
Elevance Health, Inc.
69,104
25,972,047
Encompass Health Corp.
31,022
3,445,614
Ensign Group, Inc.
18,401
3,278,322
GE HealthCare Technologies, Inc.
144,349
9,818,619
Glaukos Corp. *
18,759
3,127,500
Globus Medical, Inc., Class A *
36,967
2,912,630
Guardant Health, Inc. *
42,113
6,821,885
HCA Healthcare, Inc.
49,453
19,909,283
HealthEquity, Inc. *
26,865
2,702,888
Henry Schein, Inc. *
31,053
2,662,795
Hims & Hers Health, Inc. *
66,561
1,848,399
Humana, Inc.
38,316
13,941,660
IDEXX Laboratories, Inc. *
25,091
14,027,625
Insulet Corp. *
21,681
3,584,953
Intuitive Surgical, Inc. *
112,781
39,848,911
IRhythm Holdings, Inc. *
10,338
1,211,303
Labcorp Holdings, Inc.
26,309
8,134,743
McKesson Corp.
38,296
32,788,652
Medtronic PLC
408,153
34,852,185
Merit Medical Systems, Inc. *
18,622
1,583,056
Molina Healthcare, Inc. *
16,415
3,211,102
Penumbra, Inc. *
12,511
4,018,408
Quest Diagnostics, Inc.
35,163
8,193,331
RadNet, Inc. *
22,148
1,412,599
ResMed, Inc.
46,258
9,759,513
Solventum Corp. *
46,202
3,947,499
STERIS PLC
31,423
7,177,013
Stryker Corp.
109,871
35,784,985
Teleflex, Inc.
14,266
1,950,305
Tenet Healthcare Corp. *
27,357
6,970,016
UnitedHealth Group, Inc.
289,193
119,841,579
Universal Health Services, Inc.,
Class B
16,904
2,847,310
Veeva Systems, Inc., Class A *
47,594
9,698,705
Waystar Holding Corp. *
37,020
781,492
Zimmer Biomet Holdings, Inc.
62,605
5,880,488
 
705,108,326
 
Household & Personal Products 0.8%
Church & Dwight Co., Inc.
75,562
7,466,281
Clorox Co.
38,377
3,666,155
Colgate-Palmolive Co.
254,953
23,277,209
elf Beauty, Inc. *
18,076
1,498,320
Estee Lauder Cos., Inc., Class A
79,099
6,636,406
Kenvue, Inc.
612,049
11,775,823
Kimberly-Clark Corp.
105,781
11,562,921
Procter & Gamble Co.
741,529
107,143,525
 
173,026,640
 
Insurance 1.8%
Aflac, Inc.
145,681
18,571,414
Allstate Corp.
81,923
21,634,226
American Financial Group, Inc.
21,509
3,048,256
American International Group, Inc.
168,643
13,251,967
Aon PLC, Class A
67,897
24,480,263
Arch Capital Group Ltd. *
110,213
11,079,713
Arthur J Gallagher & Co.
81,572
20,345,688
Assurant, Inc.
15,853
4,425,999
Axis Capital Holdings Ltd.
23,185
2,441,844
  
11

Schwab 1000 Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Brown & Brown, Inc.
92,882
6,538,893
Chubb Ltd.
114,986
40,323,291
Cincinnati Financial Corp.
49,737
8,837,270
CNA Financial Corp.
9,181
481,727
Erie Indemnity Co., Class A
8,119
1,965,123
Everest Group Ltd.
12,547
4,694,460
Fidelity National Financial, Inc.
80,486
4,152,273
First American Financial Corp.
32,652
2,448,573
Globe Life, Inc.
24,592
4,481,892
Hanover Insurance Group, Inc.
11,138
2,591,033
Hartford Insurance Group, Inc.
86,988
12,344,467
Kinsale Capital Group, Inc.
6,944
2,474,981
Lincoln National Corp.
53,945
2,460,431
Loews Corp.
53,814
6,242,962
Markel Group, Inc. *
3,968
7,469,125
Marsh & McLennan Cos., Inc.
153,283
29,076,252
MetLife, Inc.
171,866
16,521,479
Old Republic International Corp.
69,972
3,023,490
Primerica, Inc.
9,817
3,141,047
Principal Financial Group, Inc.
62,944
7,156,733
Progressive Corp.
185,958
39,315,240
Prudential Financial, Inc.
110,457
13,484,591
Reinsurance Group of America, Inc.
20,850
4,938,323
RenaissanceRe Holdings Ltd.
13,860
4,434,923
RLI Corp.
29,310
1,794,944
Ryan Specialty Holdings, Inc.,
Class A
36,659
1,618,861
Travelers Cos., Inc.
67,601
25,307,110
Unum Group
46,667
4,018,495
W.R. Berkley Corp.
93,257
6,764,863
Willis Towers Watson PLC
30,089
10,107,497
 
397,489,719
 
Materials 2.0%
Air Products & Chemicals, Inc.
70,870
20,898,854
Albemarle Corp.
38,013
4,471,849
Alcoa Corp.
84,199
3,810,847
Amcor PLC
146,358
6,568,547
Amrize Ltd. *
163,632
8,003,241
Anglogold Ashanti PLC
135,018
10,709,628
AptarGroup, Inc.
20,522
2,749,127
Avery Dennison Corp.
24,157
4,100,168
Axalta Coating Systems Ltd. *
67,538
2,418,536
Balchem Corp.
10,157
1,701,856
Ball Corp.
85,396
5,542,200
Celanese Corp., Class A
35,470
1,586,218
CF Industries Holdings, Inc.
48,901
6,121,916
Cleveland-Cliffs, Inc. *
177,153
2,040,803
Coeur Mining, Inc.
330,297
4,924,728
Commercial Metals Co.
34,590
2,377,025
Corteva, Inc.
212,946
16,760,980
CRH PLC
212,818
20,219,838
Crown Holdings, Inc.
35,328
4,163,405
Dow, Inc.
229,025
6,937,167
DuPont de Nemours, Inc.
44,134
6,046,358
Eagle Materials, Inc.
10,033
2,056,163
Eastman Chemical Co.
35,995
2,517,850
Ecolab, Inc.
80,721
22,410,571
Element Solutions, Inc.
72,932
2,678,792
Freeport-McMoRan, Inc.
456,578
28,595,480
Graphic Packaging Holding Co.
91,284
979,477
Hecla Mining Co.
213,859
3,019,689
International Flavors & Fragrances,
Inc.
81,893
6,487,563
International Paper Co.
167,238
6,828,328
Linde PLC
147,232
70,432,844
LyondellBasell Industries NV, Class A
82,135
5,098,941
Martin Marietta Materials, Inc.
19,169
10,066,409
SECURITY
NUMBER
OF SHARES
VALUE ($)
Mosaic Co.
102,952
2,277,298
MP Materials Corp. *
43,310
1,791,735
NewMarket Corp.
2,462
2,093,094
Newmont Corp.
339,380
31,803,300
Nucor Corp.
72,257
18,591,004
Packaging Corp. of America
28,567
7,022,911
PPG Industries, Inc.
70,701
7,813,875
Reliance, Inc.
16,181
6,571,104
Royal Gold, Inc.
26,323
5,221,167
RPM International, Inc.
40,252
4,309,782
Sherwin-Williams Co.
73,042
24,896,366
Smurfit Westrock PLC
167,335
7,692,390
Solstice Advanced Materials, Inc.
50,610
3,045,204
Steel Dynamics, Inc.
43,320
10,884,583
Vulcan Materials Co.
41,370
11,110,741
Westlake Corp.
11,155
786,427
 
449,236,379
 
Media & Entertainment 8.4%
Alphabet, Inc., Class A
1,867,254
664,985,167
Alphabet, Inc., Class C
1,505,097
536,792,845
Charter Communications, Inc.,
Class A *
26,624
3,859,948
EchoStar Corp., Class A *
43,336
3,644,124
Electronic Arts, Inc.
71,570
15,019,680
Fox Corp., Class A
103,768
6,042,411
Liberty Broadband Corp., Class C *
38,218
1,300,941
Liberty Media Corp.-Liberty Formula
One, Class C *
71,486
7,014,921
Live Nation Entertainment, Inc. *
50,689
8,826,476
Match Group, Inc.
75,548
2,977,347
Meta Platforms, Inc., Class A
699,319
389,317,880
Netflix, Inc. *
1,340,905
96,156,298
New York Times Co., Class A
50,865
3,809,280
News Corp., Class A
159,083
4,384,327
Nexstar Media Group, Inc., Class A
9,077
1,729,441
Omnicom Group, Inc.
90,832
7,148,478
Paramount Skydance Corp., Class B
101,942
811,458
Pinterest, Inc., Class A *
153,609
3,688,152
Reddit, Inc., Class A *
41,456
5,831,615
ROBLOX Corp., Class A *
213,365
7,595,794
Roku, Inc. *
41,478
6,014,725
Sirius XM Holdings, Inc.
60,621
1,795,594
Snap, Inc., Class A *
349,378
1,638,583
Take-Two Interactive Software, Inc. *
55,354
13,446,594
TKO Group Holdings, Inc.
20,046
3,644,563
Trade Desk, Inc., Class A *
134,968
2,434,823
Versant Media Group, Inc.
46,588
1,676,702
Walt Disney Co.
553,391
53,230,680
Warner Bros Discovery, Inc. *
788,291
20,732,053
 
1,875,550,900
 
Pharmaceuticals, Biotechnology & Life Sciences 6.0%
AbbVie, Inc.
562,625
141,185,118
Agilent Technologies, Inc.
90,165
12,476,131
Alnylam Pharmaceuticals, Inc. *
42,385
8,710,965
Amgen, Inc.
171,882
66,202,071
Atrium Therapeutics, Inc. *
4,540
51,529
Avantor, Inc. *
212,877
2,933,445
Axsome Therapeutics, Inc. *
13,552
2,954,200
Biogen, Inc. *
46,900
9,518,355
BioMarin Pharmaceutical, Inc. *
61,987
3,720,460
Bio-Rad Laboratories, Inc., Class A *
5,852
1,904,709
Bio-Techne Corp.
50,635
3,650,277
Bridgebio Pharma, Inc. *
54,322
4,350,649
Bristol-Myers Squibb Co.
649,814
42,439,352
12
  

Schwab 1000 Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Charles River Laboratories
International, Inc. *
15,340
3,566,703
Corcept Therapeutics, Inc. *
30,382
3,478,435
Cytokinetics, Inc. *
43,643
3,366,185
Danaher Corp.
200,593
39,111,623
Elanco Animal Health, Inc. *
157,436
4,151,587
Eli Lilly & Co.
251,909
289,403,136
Exelixis, Inc. *
80,148
4,250,248
Gilead Sciences, Inc.
395,580
51,508,472
Halozyme Therapeutics, Inc. *
37,648
3,107,466
Illumina, Inc. *
48,047
9,854,440
Incyte Corp. *
53,579
6,403,762
Insmed, Inc. *
69,384
6,841,262
Ionis Pharmaceuticals, Inc. *
52,950
2,741,222
IQVIA Holdings, Inc. *
53,102
12,480,032
Jazz Pharmaceuticals PLC *
19,887
5,028,627
Johnson & Johnson
766,565
196,508,938
Madrigal Pharmaceuticals, Inc. *
6,105
2,852,989
Medpace Holdings, Inc. *
7,152
4,127,491
Merck & Co., Inc.
786,502
102,402,560
Mettler-Toledo International, Inc. *
6,412
9,081,316
Moderna, Inc. *
112,964
6,192,686
Natera, Inc. *
45,526
12,190,042
Neurocrine Biosciences, Inc. *
31,790
5,302,572
Pfizer, Inc.
1,814,956
45,392,050
Regeneron Pharmaceuticals, Inc.
31,887
24,317,983
Repligen Corp. *
17,121
2,414,232
Revolution Medicines, Inc. *
63,413
11,891,840
Revvity, Inc.
35,245
3,965,767
Rhythm Pharmaceuticals, Inc. *
20,702
2,054,674
Roivant Sciences Ltd. *
144,252
4,891,585
Royalty Pharma PLC, Class A
123,565
7,219,903
Summit Therapeutics, Inc. *
51,020
664,280
Tempus AI, Inc., Class A *
32,067
1,406,779
Thermo Fisher Scientific, Inc.
118,356
67,971,851
United Therapeutics Corp. *
13,433
6,954,398
Vertex Pharmaceuticals, Inc. *
80,755
38,528,211
Viatris, Inc.
372,594
6,542,751
Waters Corp. *
31,111
11,738,491
West Pharmaceutical Services, Inc.
22,537
7,684,216
Zoetis, Inc.
133,474
10,316,205
 
1,338,004,271
 
Real Estate Management & Development 0.1%
CBRE Group, Inc., Class A *
93,052
13,660,964
CoStar Group, Inc. *
130,569
3,755,164
Jones Lang LaSalle, Inc. *
14,874
5,280,716
Zillow Group, Inc., Class C *
52,958
1,803,750
 
24,500,594
 
Semiconductors & Semiconductor Equipment 16.0%
Advanced Micro Devices, Inc. *
519,256
247,243,744
Allegro MicroSystems, Inc. *
39,744
1,649,376
Amkor Technology, Inc.
35,621
1,776,419
Analog Devices, Inc.
155,487
57,127,479
Applied Materials, Inc.
252,721
128,298,870
Astera Labs, Inc. *
42,453
13,212,647
Broadcom, Inc.
1,507,729
586,928,745
Cirrus Logic, Inc. *
16,446
2,127,290
Credo Technology Group Holding
Ltd. *
51,514
10,662,883
Enphase Energy, Inc. *
41,764
1,567,821
Entegris, Inc.
48,594
5,785,116
First Solar, Inc. *
34,115
7,199,288
GLOBALFOUNDRIES, Inc.
32,364
1,617,876
Impinj, Inc. *
9,162
1,386,760
Intel Corp. *
1,504,472
135,703,374
SECURITY
NUMBER
OF SHARES
VALUE ($)
KLA Corp.
415,978
76,049,098
Lam Research Corp.
398,237
116,691,406
Lattice Semiconductor Corp. *
43,609
5,419,290
MACOM Technology Solutions
Holdings, Inc. *
20,837
5,239,255
Marvell Technology, Inc.
278,815
52,294,541
Microchip Technology, Inc.
172,137
12,788,058
Micron Technology, Inc.
359,121
295,567,357
MKS, Inc.
21,471
6,386,549
Monolithic Power Systems, Inc.
15,673
22,350,168
NVIDIA Corp.
7,712,891
1,548,362,868
NXP Semiconductors NV
80,443
18,434,318
ON Semiconductor Corp. *
124,649
10,172,605
Qnity Electronics, Inc.
66,482
8,721,109
Qorvo, Inc. *
25,394
2,299,935
QUALCOMM, Inc.
335,845
49,574,081
Rambus, Inc. *
34,785
3,166,479
Semtech Corp. *
29,621
3,489,946
SiTime Corp. *
7,032
3,763,526
Skyworks Solutions, Inc.
47,741
2,973,310
Teradyne, Inc.
49,868
18,335,965
Texas Instruments, Inc.
289,814
79,913,312
Universal Display Corp.
13,168
1,055,547
 
3,545,336,411
 
Software & Services 9.4%
Accenture PLC, Class A
195,776
32,483,154
ACI Worldwide, Inc. *
34,073
1,953,405
Adobe, Inc. *
128,678
32,222,258
Akamai Technologies, Inc. *
45,741
5,268,448
Amdocs Ltd.
34,933
1,946,467
Appfolio, Inc., Class A *
7,789
1,403,500
AppLovin Corp., Class A *
85,598
33,888,248
Atlassian Corp., Class A *
50,840
5,135,603
Aurora Innovation, Inc. *
396,826
2,559,528
Autodesk, Inc. *
67,322
15,766,812
Bentley Systems, Inc., Class B
47,981
1,700,447
Bill Holdings, Inc. *
28,319
1,278,036
Cadence Design Systems, Inc. *
87,832
29,864,637
CCC Intelligent Solutions Holdings,
Inc. *
187,471
1,141,698
Circle Internet Group, Inc. *
18,563
1,162,229
Cloudflare, Inc., Class A *
101,848
28,413,555
Cognizant Technology Solutions
Corp., Class A
150,242
8,315,895
Commvault Systems, Inc. *
13,086
1,541,531
CoreWeave, Inc., Class A *
83,831
6,016,551
Crowdstrike Holdings, Inc., Class A *
324,254
61,887,118
Datadog, Inc., Class A *
105,383
28,239,483
Docusign, Inc., Class A *
60,347
3,308,826
Dropbox, Inc., Class A *
45,383
1,477,671
D-Wave Quantum, Inc. *
118,319
2,139,208
Dynatrace, Inc. *
93,590
4,147,909
Elastic NV *
30,131
1,982,319
EPAM Systems, Inc. *
16,718
1,764,752
Fair Isaac Corp. *
7,391
8,299,871
Figma, Inc., Class A *
21,141
514,149
Fortinet, Inc. *
198,312
32,116,628
Gartner, Inc. *
21,334
3,221,861
Gen Digital, Inc.
175,718
4,823,459
Gitlab, Inc., Class A *
48,375
1,669,421
GoDaddy, Inc., Class A *
42,565
3,521,828
Guidewire Software, Inc. *
27,042
4,108,762
HubSpot, Inc. *
16,072
3,814,850
InterDigital, Inc.
8,315
2,534,620
International Business Machines
Corp.
299,301
66,938,669
Intuit, Inc.
87,822
27,757,900
  
13

Schwab 1000 Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Kyndryl Holdings, Inc. *
71,281
965,858
Life360, Inc. *
27,346
1,478,051
Manhattan Associates, Inc. *
18,776
3,592,975
MARA Holdings, Inc. *
119,164
1,348,936
Microsoft Corp.
2,365,544
1,099,315,608
MongoDB, Inc., Class A *
25,517
8,611,477
Nutanix, Inc., Class A *
83,966
4,954,834
Okta, Inc. *
53,568
7,602,906
Oracle Corp.
540,358
70,176,293
Palantir Technologies, Inc., Class A *
731,171
89,977,903
Palo Alto Networks, Inc. *
258,258
85,697,752
Pegasystems, Inc.
28,262
863,404
Procore Technologies, Inc. *
35,899
1,966,188
PTC, Inc. *
36,786
5,047,039
Roper Technologies, Inc.
32,088
12,577,533
Rubrik, Inc., Class A *
51,053
3,694,195
SailPoint, Inc. *
23,111
387,571
Salesforce, Inc.
260,505
47,938,130
Samsara, Inc., Class A *
118,172
4,404,270
SentinelOne, Inc., Class A *
112,275
2,139,962
ServiceNow, Inc. *
328,425
36,530,713
ServiceTitan, Inc., Class A *
18,904
1,570,166
Snowflake, Inc., Class A *
110,125
32,297,460
SoundHound AI, Inc., Class A *(a)
120,860
740,872
Strategy, Inc., Class A *
105,005
9,794,866
Synopsys, Inc. *
61,085
23,747,405
Trimble, Inc. *
73,476
4,157,272
Twilio, Inc., Class A *
48,225
9,517,204
Tyler Technologies, Inc. *
13,597
4,209,631
UiPath, Inc., Class A *
131,824
1,682,074
Unity Software, Inc. *
114,102
3,618,174
Varonis Systems, Inc., Class B *
36,589
1,461,731
VeriSign, Inc.
26,136
7,579,963
Workday, Inc., Class A *
64,905
10,406,868
Zoom Communications, Inc. *
85,002
8,166,142
Zscaler, Inc. *
33,259
5,028,761
 
2,089,581,493
 
Technology Hardware & Equipment 10.0%
Advanced Energy Industries, Inc.
12,054
3,489,874
Amphenol Corp., Class A
391,761
62,955,993
Apple, Inc.
4,677,106
1,444,804,814
Arista Networks, Inc. *
328,916
59,320,001
Arrow Electronics, Inc. *
16,185
3,505,185
Badger Meter, Inc.
8,822
1,185,236
Belden, Inc.
12,798
1,587,592
CDW Corp.
40,724
6,019,414
Ciena Corp. *
45,047
16,984,971
Cisco Systems, Inc.
1,257,821
145,894,658
Cognex Corp.
52,751
3,441,475
Coherent Corp. *
62,397
16,403,547
Corning, Inc.
249,490
34,491,993
Dell Technologies, Inc., Class C
92,051
37,314,714
Everpure, Inc., Class A *
100,245
7,735,907
F5, Inc. *
18,140
7,302,620
Fabrinet *
11,384
4,956,707
Flex Ltd. *
116,988
13,307,385
Hewlett Packard Enterprise Co.
422,346
20,230,373
HP, Inc.
291,428
7,947,242
IonQ, Inc. *
118,537
4,319,488
Itron, Inc. *
13,476
1,343,018
Jabil, Inc.
33,436
10,534,012
Keysight Technologies, Inc. *
54,661
17,441,232
Littelfuse, Inc.
8,117
3,588,769
Lumentum Holdings, Inc. *
24,818
17,718,563
Mirion Technologies, Inc., Class A *
76,410
1,144,622
Motorola Solutions, Inc.
52,831
23,021,108
NetApp, Inc.
62,808
11,211,228
SECURITY
NUMBER
OF SHARES
VALUE ($)
Sandisk Corp. *
47,158
57,288,953
Sanmina Corp. *
17,208
3,193,117
Seagate Technology Holdings PLC
71,404
61,131,107
Super Micro Computer, Inc. *
178,902
5,080,817
TD SYNNEX Corp.
23,699
6,059,834
TE Connectivity PLC
92,876
19,103,664
Teledyne Technologies, Inc. *
14,781
9,689,980
Ubiquiti, Inc.
1,380
767,998
Vontier Corp.
42,779
1,374,489
Western Digital Corp.
109,762
59,802,728
Zebra Technologies Corp., Class A *
14,977
4,400,542
 
2,217,094,970
 
Telecommunication Services 0.8%
AST SpaceMobile, Inc. *
82,549
4,868,740
AT&T, Inc.
2,210,291
51,389,266
Comcast Corp., Class A
1,134,761
27,188,873
T-Mobile U.S., Inc.
148,234
25,601,494
Verizon Communications, Inc.
1,330,123
62,263,058
 
171,311,431
 
Transportation 1.4%
Alaska Air Group, Inc. *
34,562
1,639,967
American Airlines Group, Inc. *
207,539
3,169,120
Avis Budget Group, Inc. *
5,429
746,162
CH Robinson Worldwide, Inc.
37,433
5,529,977
CSX Corp.
591,116
29,792,246
Delta Air Lines, Inc.
208,314
18,214,976
Expeditors International of
Washington, Inc.
41,722
7,004,707
FedEx Corp.
69,773
21,448,220
Fedex Freight Holding Co., Inc. *
34,416
4,836,480
GXO Logistics, Inc. *
35,623
1,786,850
JB Hunt Transport Services, Inc.
23,900
6,494,825
Joby Aviation, Inc. *
194,251
1,388,895
Knight-Swift Transportation
Holdings, Inc.
52,676
3,662,562
Lyft, Inc., Class A *
120,239
1,906,990
Norfolk Southern Corp.
71,399
23,952,936
Old Dominion Freight Line, Inc.
58,369
12,382,400
Ryder System, Inc.
12,099
3,102,426
Saia, Inc. *
8,390
2,916,616
Southwest Airlines Co.
154,705
6,957,084
Uber Technologies, Inc. *
648,395
45,621,072
U-Haul Holding Co., Non Voting
Shares
32,569
2,038,168
Union Pacific Corp.
189,143
55,254,345
United Airlines Holdings, Inc. *
103,281
12,531,084
United Parcel Service, Inc., Class B
237,844
24,788,102
XPO, Inc. *
37,427
7,521,704
 
304,687,914
 
Utilities 2.1%
AES Corp.
225,313
3,307,595
Alliant Energy Corp.
83,012
5,875,589
Ameren Corp.
87,801
9,623,868
American Electric Power Co., Inc.
172,973
22,114,598
American Water Works Co., Inc.
62,628
8,402,799
Atmos Energy Corp.
53,201
9,192,069
CenterPoint Energy, Inc.
207,346
8,716,826
CMS Energy Corp.
98,343
7,079,712
Consolidated Edison, Inc.
117,151
12,751,886
Constellation Energy Corp.
101,710
26,724,302
Dominion Energy, Inc.
279,653
19,343,598
DTE Energy Co.
66,717
9,465,141
Duke Energy Corp.
248,155
31,126,082
14
  

Schwab 1000 Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Edison International
122,328
8,975,205
Entergy Corp.
145,498
15,658,495
Essential Utilities, Inc.
89,994
3,586,261
Evergy, Inc.
73,315
6,085,878
Eversource Energy
120,096
8,597,673
Exelon Corp.
326,754
14,971,868
FirstEnergy Corp.
165,107
7,976,319
IDACORP, Inc.
17,459
2,495,066
National Fuel Gas Co.
30,541
2,513,830
NextEra Energy, Inc.
664,222
57,734,176
NiSource, Inc.
154,042
6,844,086
NRG Energy, Inc.
67,557
9,072,229
OGE Energy Corp.
66,101
3,129,882
Oklo, Inc. *
43,698
1,696,793
Ormat Technologies, Inc.
19,465
1,899,395
PG&E Corp.
700,660
12,177,471
Pinnacle West Capital Corp.
38,828
3,921,240
PPL Corp.
239,646
8,437,936
Public Service Enterprise Group, Inc.
158,074
12,121,114
Sempra
207,778
18,398,742
Southern Co.
358,992
33,939,104
Southwest Gas Holdings, Inc.
20,939
1,871,947
Talen Energy Corp. *
14,467
4,833,425
TXNM Energy, Inc.
32,256
1,868,267
UGI Corp.
68,844
2,486,645
Vistra Corp.
100,667
14,917,843
WEC Energy Group, Inc.
103,973
11,376,726
Xcel Energy, Inc.
198,320
15,508,624
 
466,820,305
Total Common Stocks
(Cost $3,463,671,449)
22,112,406,376
 
 
 
 
SHORT-TERM INVESTMENTS 0.3% OF NET ASSETS
 
Money Market Funds 0.3%
State Street Institutional
U.S. Government Money Market
Fund, Premier Class 3.62% (c)
63,799,129
63,799,129
State Street Institutional
U.S. Government Money Market
Fund, Premier Class 3.62% (c)(d)
2,965,325
2,965,325
 
66,764,454
Total Short-Term Investments
(Cost $66,764,454)
66,764,454
Total Investments in Securities
(Cost $3,530,435,903)
22,179,170,830
 
 
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
($)
CURRENT VALUE/
UNREALIZED
DEPRECIATION
($)
FUTURES CONTRACTS
Long
S&P 400 Mid-Cap Index,
e-mini, expires 09/18/26
20
7,545,800
(116,139
)
S&P 500 Index, e-mini, expires
09/18/26
186
69,929,025
(437,760
)
 
(553,899
)
 
*
Non-income producing security.
(a)
All or a portion of this security is on loan.
(b)
Issuer is affiliated with the fund’s investment adviser.
(c)
The rate shown is the annualized 7-day yield.
(d)
Security purchased with cash collateral received for securities on loan.
Securities on loan were valued at $2,807,592.
 
REIT —
Real Estate Investment Trust
 
Below is a summary of the fund’s transactions with affiliated issuers during the period ended July 31, 2026: 
SECURITY
VALUE AT
10/31/25
PURCHASES
SALES
NET REALIZED
GAINS (LOSSES)
NET CHANGE
IN UNREALIZED
APPRECIATION
(DEPRECIATION)
VALUE AT
7/31/26
BALANCE
OF SHARES
HELD AT
7/31/26
DIVIDENDS
RECEIVED
COMMON STOCKS 0.2% OF NET ASSETS
 
Financial Services 0.2%
Charles Schwab Corp. (a)
$51,552,531
$343,419
($3,037,859
)
$2,044,407
$3,491,638
$54,394,136
516,858
$486,209
 
(a)
Issuers are affiliated with the fund’s investment adviser.
 
  
15

Schwab 1000 Index Fund
Portfolio Holdings (Unaudited) continued
The following is a summary of the inputs used to value the fund’s investments as of July 31, 2026:  
DESCRIPTION
QUOTED PRICES IN
ACTIVE MARKETS FOR
IDENTICAL ASSETS
(LEVEL 1)
OTHER SIGNIFICANT
OBSERVABLE INPUTS
(LEVEL 2)
SIGNIFICANT
UNOBSERVABLE INPUTS
(LEVEL 3)
TOTAL
Assets
Common Stocks 1
$22,112,406,376
$—
$—
$22,112,406,376
Short-Term Investments 1
66,764,454
—
—
66,764,454
Liabilities
Futures Contracts 2
(553,899
)
—
—
(553,899
)
Total
$22,178,616,931
$—
$—
$22,178,616,931
 
1
As categorized in the Portfolio Holdings.
2
Futures contracts are reported at cumulative unrealized appreciation or depreciation.
16
  

Schwab Capital Trust
Schwab Small-Cap Index Fund
Portfolio Holdings as of July 31, 2026 (Unaudited)
 
SECURITY
NUMBER
OF SHARES
VALUE ($)
COMMON STOCKS 99.6% OF NET ASSETS
 
Automobiles & Components 1.3%
Adient PLC *
192,791
4,056,323
Cooper-Standard Holdings, Inc. *
41,978
1,237,092
Dana, Inc.
268,868
7,240,615
Dauch Corp. *
574,348
3,245,066
Dorman Products, Inc. *
65,711
8,750,077
Fox Factory Holding Corp. *
103,972
1,871,496
Garrett Motion, Inc.
424,451
13,221,649
Gentherm, Inc. *
75,153
3,049,709
Goodyear Tire & Rubber Co. *
686,038
4,767,964
Harley-Davidson, Inc.
255,876
6,279,197
Holley, Inc. *
189,528
506,040
LCI Industries
58,492
5,987,241
Livewire Group, Inc., Class A *(a)
65,172
117,961
Lucid Group, Inc. *(a)
310,502
2,291,505
Motorcar Parts of America, Inc. *
31,783
425,892
Patrick Industries, Inc.
78,777
6,503,041
Phinia, Inc.
90,382
6,651,211
Solid Power, Inc. *
495,161
1,020,032
Standard Motor Products, Inc.
52,740
2,016,250
Stoneridge, Inc. *
68,155
470,951
Strattec Security Corp. *
10,052
883,470
Versigent PLC *
175,597
7,260,936
Visteon Corp.
65,190
6,814,962
Winnebago Industries, Inc.
67,992
2,058,798
XPEL, Inc. *
62,286
2,763,630
 
99,491,108
 
Banks 11.0%
1st Source Corp.
43,979
3,946,675
ACNB Corp.
24,880
1,604,262
Amalgamated Financial Corp.
44,406
2,192,768
Amerant Bancorp, Inc.
83,762
2,479,355
Ameris Bancorp
160,828
14,025,810
Ames National Corp.
21,912
670,288
Arrow Financial Corp.
39,917
1,590,293
Associated Banc-Corp.
353,824
10,926,085
Atlantic Union Bankshares Corp.
351,322
14,906,592
Avidbank Holdings, Inc. *
22,424
731,247
Avidia Bancorp, Inc.
44,547
993,398
Axos Financial, Inc. *
134,925
13,682,744
Banc of California, Inc.
375,140
7,183,931
BancFirst Corp.
52,734
5,949,450
Bancorp, Inc. *
97,320
6,527,252
Bank First Corp.
25,128
3,838,051
Bank of Hawaii Corp.
96,963
7,747,344
Bank of Marin Bancorp
36,275
1,057,779
Bank of NT Butterfield & Son Ltd.
98,251
6,021,804
Bank7 Corp.
10,658
535,884
BankUnited, Inc.
181,417
8,463,103
Bankwell Financial Group, Inc.
14,904
1,015,708
Banner Corp.
82,199
5,787,632
Bar Harbor Bankshares
40,312
1,600,790
BayCom Corp.
25,410
766,874
BCB Bancorp, Inc.
39,022
389,830
Beacon Financial Corp.
206,970
6,521,625
Blue Ridge Bankshares, Inc.
159,019
558,157
SECURITY
NUMBER
OF SHARES
VALUE ($)
Bridgewater Bancshares, Inc. *
52,308
1,071,268
Burke & Herbert Financial Services
Corp.
37,626
2,756,104
Business First Bancshares, Inc.
77,360
2,461,595
BV Financial, Inc. *
16,941
347,968
Byline Bancorp, Inc.
74,865
2,939,949
C&F Financial Corp.
7,170
592,170
California BanCorp
63,672
1,356,214
Camden National Corp.
41,347
2,393,578
Capital Bancorp, Inc.
26,842
1,002,012
Capital City Bank Group, Inc.
34,219
1,774,940
Capitol Federal Financial, Inc.
298,075
2,634,983
Carter Bankshares, Inc.
54,016
1,867,873
Cathay General Bancorp
159,656
10,088,663
CB Financial Services, Inc.
11,380
416,849
Central Pacific Financial Corp.
63,714
2,510,332
CF Bankshares, Inc.
12,304
437,530
Chain Bridge Bancorp, Inc., Class A *
5,386
245,278
Chemung Financial Corp.
9,823
800,476
ChoiceOne Financial Services, Inc.
34,928
1,188,600
Citizens & Northern Corp.
42,887
1,088,901
Citizens Community Bancorp, Inc.
22,384
492,448
Citizens Financial Services, Inc.
11,260
872,875
City Holding Co.
34,375
4,988,156
Civista Bancshares, Inc.
50,856
1,477,875
CNB Financial Corp.
71,935
2,524,918
Coastal Financial Corp. *
32,057
1,314,016
CoastalSouth Bancshares, Inc.
20,184
550,418
Colony Bankcorp, Inc.
51,073
1,119,520
Columbia Financial, Inc. *
650,898
7,036,207
Commercial Bancgroup, Inc.
20,792
711,918
Community Bancorp/VT
12,234
494,865
Community Financial System, Inc.
129,807
8,412,792
Community Trust Bancorp, Inc.
39,341
3,086,301
Community West Bancshares
59,902
1,499,347
ConnectOne Bancorp, Inc.
119,278
3,929,017
Customers Bancorp, Inc. *
75,827
5,966,068
CVB Financial Corp.
415,154
9,286,995
Dime Commercial Bancshares, Inc.
99,289
4,047,020
Eagle Bancorp Montana, Inc.
18,344
429,800
Eagle Bancorp, Inc.
69,792
1,936,728
Eagle Financial Services, Inc.
11,175
453,146
Eastern Bankshares, Inc.
535,580
12,296,917
ECB Bancorp, Inc. *
17,844
366,694
Enterprise Financial Services Corp.
89,710
5,948,670
Equity Bancshares, Inc., Class A
42,555
2,156,687
Esquire Financial Holdings, Inc.
17,811
2,301,537
Farmers & Merchants Bancorp, Inc.
33,127
1,105,117
Farmers National Banc Corp.
144,917
2,298,384
FB Bancorp, Inc. *
38,824
600,025
FB Financial Corp.
108,036
6,523,214
Fidelity D&D Bancorp, Inc.
11,558
607,951
Financial Institutions, Inc.
47,612
1,973,994
Finwise Bancorp *
23,366
321,516
First BanCorp
380,341
11,003,265
First Bancorp, Inc.
26,663
935,871
First Bancorp/Southern Pines NC
99,423
6,250,724
First Bank
54,286
1,005,920
First Busey Corp.
199,417
6,154,009
First Business Financial Services, Inc.
19,691
1,382,505
First Capital, Inc.
8,004
506,493
  
17

Schwab Small-Cap Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
First Commonwealth Financial Corp.
250,059
5,383,770
First Community Bankshares, Inc.
40,332
1,924,643
First Community Corp.
21,528
735,396
First Financial Bancorp
258,893
8,758,350
First Financial Bankshares, Inc.
325,557
11,440,073
First Financial Corp.
28,298
2,279,404
First Guaranty Bancshares, Inc.
14,620
140,206
First Internet Bancorp
18,226
536,938
First Interstate BancSystem, Inc.,
Class A
223,041
8,480,019
First Merchants Corp.
155,026
6,687,822
First Mid Bancshares, Inc.
59,771
3,113,471
First National Corp.
19,416
616,458
First Northern Community Bancorp *
36,327
668,417
First United Corp.
14,783
652,522
First Western Financial, Inc. *
21,157
659,041
Firstsun Capital Bancorp *
60,564
2,342,616
Five Star Bancorp
38,153
1,800,440
Flagstar Bank NA
755,474
10,742,840
Franklin Financial Services Corp.
10,449
659,959
FS Bancorp, Inc.
15,877
681,282
Fulton Financial Corp.
475,993
11,580,910
FVCBankcorp, Inc.
35,955
668,403
GBank Financial Holdings, Inc. *
23,210
483,232
German American Bancorp, Inc.
90,379
4,598,484
Glacier Bancorp, Inc.
322,482
15,895,138
Great Southern Bancorp, Inc.
19,584
1,572,791
Greene County Bancorp, Inc.
17,275
578,022
Hancock Whitney Corp.
201,578
15,521,506
Hanmi Financial Corp.
72,711
2,318,027
Hanover Bancorp, Inc.
10,484
275,153
Hawthorn Bancshares, Inc.
14,032
547,108
HBT Financial, Inc.
39,430
1,413,171
Heritage Financial Corp.
100,546
2,989,233
Hilltop Holdings, Inc.
98,374
3,879,871
Hingham Institution For Savings
3,897
1,111,346
Home Bancorp, Inc.
17,219
1,228,403
Home BancShares, Inc.
459,387
14,273,154
HomeTrust Bancshares, Inc.
37,672
1,928,430
Hope Bancorp, Inc.
303,881
4,257,373
Horizon Bancorp, Inc.
125,239
2,561,138
Independent Bank Corp.
48,597
1,856,405
Independent Bank Corp.
119,186
9,991,362
International Bancshares Corp.
135,072
10,338,411
Investar Holding Corp.
31,202
939,804
Isabella Bank Corp. (a)
16,815
667,724
John Marshall Bancorp, Inc.
29,993
695,838
Kearny Financial Corp.
143,166
1,372,962
Lakeland Financial Corp.
60,385
3,783,120
Landmark Bancorp, Inc.
12,746
399,460
LCNB Corp.
33,629
666,190
Live Oak Bancshares, Inc.
88,697
3,796,232
MainStreet Bancshares, Inc.
16,444
379,199
Mechanics Bancorp, Class A
97,673
1,639,930
Mercantile Bank Corp.
41,911
2,518,013
Meridian Corp.
23,754
466,529
Metrocity Bankshares, Inc.
56,737
2,007,355
Metropolitan Bank Holding Corp.
26,978
2,494,925
Mid Penn Bancorp, Inc.
52,394
2,008,786
Midland States Bancorp, Inc.
47,414
1,596,429
MVB Financial Corp.
28,889
885,448
National Bank Holdings Corp., Class A
106,467
4,598,310
National Bankshares, Inc.
15,523
630,234
NB Bancorp, Inc.
98,974
2,277,392
NBT Bancorp, Inc.
125,788
6,622,738
Nicolet Bankshares, Inc.
48,432
8,277,997
Northeast Bank
18,515
2,299,008
Northeast Community Bancorp, Inc.
30,380
811,146
Northpointe Bancshares, Inc.
50,441
882,718
SECURITY
NUMBER
OF SHARES
VALUE ($)
Northrim BanCorp, Inc.
53,930
1,429,684
Northwest Bancshares, Inc.
361,836
5,695,299
Norwood Financial Corp.
25,002
849,818
Oak Valley Bancorp
17,574
595,231
OceanFirst Financial Corp.
206,029
3,978,420
OFG Bancorp
104,698
5,534,336
Ohio Valley Banc Corp.
9,090
382,325
Old National Bancorp
849,147
22,621,276
Old Second Bancorp, Inc.
122,629
3,101,287
OP Bancorp
28,982
452,119
Orange County Bancorp, Inc.
30,794
1,177,871
Origin Bancorp, Inc.
73,266
4,009,848
Orrstown Financial Services, Inc.
46,522
1,987,885
Park National Corp.
41,135
8,562,250
Parke Bancorp, Inc.
24,857
848,867
Pathward Financial, Inc.
52,533
4,635,512
PCB Bancorp
26,447
737,078
Peapack-Gladstone Financial Corp.
39,192
1,802,048
Peoples Bancorp of North Carolina, Inc.
11,000
473,000
Peoples Bancorp, Inc.
86,903
3,620,379
Peoples Financial Services Corp.
22,911
1,612,018
Pioneer Bancorp, Inc. *
26,179
450,802
Plumas Bancorp
16,024
982,431
Ponce Financial Group, Inc. *
49,290
994,672
Preferred Bank
27,689
2,891,839
Primis Financial Corp.
53,952
864,311
Princeton Bancorp, Inc.
12,623
520,573
Provident Financial Services, Inc.
315,033
7,775,014
QCR Holdings, Inc.
40,604
4,180,182
RBB Bancorp
39,788
1,049,210
Red River Bancshares, Inc.
12,540
1,260,897
Renasant Corp.
230,416
10,039,225
Republic Bancorp, Inc., Class A
20,796
2,070,034
Rhinebeck Bancorp, Inc. *
15,832
189,984
Richmond Mutual BanCorp, Inc.
20,823
325,880
S&T Bancorp, Inc.
90,210
4,704,451
Seacoast Banking Corp. of Florida
239,621
8,324,434
ServisFirst Bancshares, Inc.
127,503
11,411,518
Shore Bancshares, Inc.
76,299
1,869,325
Sierra Bancorp
29,153
1,188,276
Simmons First National Corp., Class A
357,186
8,426,018
SmartFinancial, Inc.
37,837
1,982,659
South Plains Financial, Inc.
37,948
1,701,588
Southern First Bancshares, Inc. *
22,342
1,394,141
Southern Missouri Bancorp, Inc.
23,604
1,827,186
Southside Bancshares, Inc.
70,435
2,289,842
SR Bancorp, Inc.
17,071
333,738
Sterling Bancorp, Inc. *(b)
46,061
6,474
Stock Yards Bancorp, Inc.
64,830
5,517,033
Texas Capital Bancshares, Inc.
106,406
10,518,233
Third Coast Bancshares, Inc. *
37,805
1,657,371
Timberland Bancorp, Inc.
18,276
819,313
Tompkins Financial Corp.
33,568
3,351,429
Towne Bank
214,590
8,135,107
TriCo Bancshares
72,976
4,199,039
Triumph Financial, Inc. *
56,165
4,264,608
TrustCo Bank Corp.
42,181
2,403,473
Trustmark Corp.
136,886
6,495,241
UMB Financial Corp.
179,455
26,151,977
United Bankshares, Inc.
340,494
16,496,934
United Community Banks, Inc.
297,301
10,536,347
Unity Bancorp, Inc.
18,081
1,064,790
Univest Financial Corp.
68,550
3,032,652
USCB Financial Holdings, Inc.
29,701
652,531
Valley National Bancorp
1,188,595
16,985,023
Virginia National Bankshares Corp.
11,691
535,389
WaFd, Inc.
180,809
6,648,347
Washington Trust Bancorp, Inc.
46,858
1,826,525
WesBanco, Inc.
234,009
9,683,292
18
  

Schwab Small-Cap Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
West BanCorp, Inc.
37,714
1,057,878
Westamerica BanCorp
58,378
3,511,437
Western New England Bancorp, Inc.
44,902
580,583
WSFS Financial Corp.
129,156
10,358,311
 
834,592,280
 
Capital Goods 10.1%
3D Systems Corp. *
353,889
934,267
AAR Corp. *
97,256
13,619,730
Aebi Schmidt Holding AG
91,485
1,179,242
AerSale Corp. *
90,516
561,199
Aevex Corp., Class A *
43,994
731,620
AirJoule Technologies Corp. *
76,291
322,711
AIRO Group Holdings, Inc. *(a)
56,124
378,276
Alamo Group, Inc.
25,707
4,089,470
Albany International Corp., Class A
70,199
5,230,527
Alliance Laundry Holdings, Inc. *
106,901
2,818,979
Allient, Inc.
36,200
3,166,052
Alta Equipment Group, Inc. *
48,415
318,571
Ameresco, Inc., Class A *
79,706
1,679,405
American Superconductor Corp. *
114,460
3,361,690
Amprius Technologies, Inc. *
333,829
3,204,758
Apogee Enterprises, Inc.
51,624
2,044,310
Archer Aviation, Inc., Class A *
1,634,629
7,584,679
Arcosa, Inc.
120,357
17,475,836
Argan, Inc.
33,383
19,042,665
Array Technologies, Inc. *
375,463
1,959,917
Astec Industries, Inc.
56,555
2,865,076
Astronics Corp. *
78,023
5,421,818
Atkore, Inc.
82,985
6,054,586
Atmus Filtration Technologies, Inc.
202,321
10,445,833
AZZ, Inc.
73,209
10,594,806
Babcock & Wilcox Enterprises, Inc. *
325,454
3,033,231
Beta Technologies, Inc., Class A *
82,063
1,553,453
Blue Bird Corp. *
77,525
5,767,085
BlueLinx Holdings, Inc. *
18,748
1,016,517
Boise Cascade Co.
88,438
6,754,894
Bowman Consulting Group Ltd.,
Class A *
35,391
950,248
Brookfield Business Corp., Class A
170,110
5,040,359
Cadre Holdings, Inc.
76,490
2,358,187
Cardinal Infrastructure Group, Inc.,
Class A *
41,836
2,589,230
CECO Environmental Corp. *
127,897
8,427,133
Centuri Holdings, Inc. *
215,061
5,987,298
ChargePoint Holdings, Inc. *
58,944
321,834
Columbus McKinnon Corp.
69,688
1,335,919
Commercial Vehicle Group, Inc. *
75,583
342,391
Concrete Pumping Holdings, Inc. *
52,215
508,052
Construction Partners, Inc., Class A *
117,360
12,129,156
CSW Industrials, Inc.
39,457
12,584,021
Custom Truck One Source, Inc. *
149,807
1,520,541
Distribution Solutions Group, Inc. *
23,203
802,128
DNOW, Inc. *
456,438
6,444,905
Douglas Dynamics, Inc.
56,842
2,508,437
Ducommun, Inc. *
34,200
6,122,484
DXP Enterprises, Inc. *
31,676
4,973,766
Elmet Group Co. *
24,347
338,667
Energous Corp. *
13,046
184,079
Energy Recovery, Inc. *
126,831
1,097,088
Energy Vault Holdings, Inc. *
336,786
959,840
Enerpac Tool Group Corp., Class A
126,652
4,526,542
EnerSys
90,447
16,827,664
Enovix Corp. *(a)
482,179
1,972,112
Enpro, Inc.
52,377
16,442,188
Eos Energy Enterprises, Inc. *(a)
835,695
2,824,649
ESCO Technologies, Inc.
64,368
20,294,587
Espey Mfg. & Electronics Corp.
5,628
333,009
SECURITY
NUMBER
OF SHARES
VALUE ($)
Eve Holding, Inc. *
241,969
561,368
EVI Industries, Inc.
12,415
174,679
Federal Signal Corp.
148,348
18,536,083
Firefly Aerospace, Inc. *
193,676
3,937,433
Fluence Energy, Inc. *
212,573
2,961,142
Fluor Corp. *
349,034
17,511,036
Franklin Electric Co., Inc.
93,046
9,743,777
FreightCar America, Inc. *
36,156
288,163
FuelCell Energy, Inc. *
131,862
2,849,538
GATX Corp.
87,298
15,614,993
Gencor Industries, Inc. *
25,539
363,675
Gibraltar Industries, Inc. *
73,649
3,112,407
Global Industrial Co.
36,396
1,300,793
Gorman-Rupp Co.
52,110
4,230,811
GrafTech International Ltd. *
41,413
278,295
Graham Corp. *
26,014
2,494,743
Granite Construction, Inc.
108,520
13,127,664
Greenbrier Cos., Inc.
75,224
3,704,782
Griffon Corp.
94,412
8,135,482
Helios Technologies, Inc.
81,012
6,311,645
Herc Holdings, Inc.
81,532
12,241,214
Hillman Solutions Corp. *
484,926
3,816,368
Hudson Technologies, Inc. *
91,555
552,992
Hyliion Holdings Corp. *
310,555
1,105,576
Hyster-Yale, Inc.
27,374
915,113
INNOVATE Corp. *
13,538
109,929
Innovative Solutions & Support, Inc. *
36,007
658,568
Insteel Industries, Inc.
46,183
1,415,509
Intuitive Machines, Inc., Class A *
309,987
3,825,240
Janus International Group, Inc. *
325,077
1,667,645
JBT Marel Corp.
129,013
17,864,430
Kadant, Inc.
29,202
8,979,615
Karat Packaging, Inc.
21,157
851,358
Kennametal, Inc.
188,379
6,399,235
L.B. Foster Co., Class A *
24,093
990,945
Legence Corp., Class A *
142,408
9,104,143
Limbach Holdings, Inc. *
27,137
1,945,723
Lindsay Corp.
25,355
2,809,841
LSI Industries, Inc.
81,637
1,909,489
Luxfer Holdings PLC
65,931
1,122,805
Manitowoc Co., Inc. *
86,318
1,195,504
Masterbrand, Inc. *
494,246
4,077,530
Matrix Service Co. *
66,456
770,890
Mayville Engineering Co., Inc. *
35,688
916,111
McGrath RentCorp
60,440
6,959,666
Mercury Systems, Inc. *
137,046
13,307,167
Microvast Holdings, Inc. *
513,778
414,670
Miller Industries, Inc.
26,919
1,354,026
Moog, Inc., Class A
69,593
27,130,831
Mueller Water Products, Inc., Class A
382,008
9,641,882
MYR Group, Inc. *
38,044
12,677,022
NANO Nuclear Energy, Inc. *(a)
105,726
1,682,101
National Presto Industries, Inc.
13,225
1,605,780
Net Power, Inc. *(a)
107,089
153,137
NPK International, Inc. *
201,354
2,514,911
NuScale Power Corp. *
790,443
6,655,530
NWPX Infrastructure, Inc. *
23,259
2,862,718
Omega Flex, Inc.
8,923
262,872
Orion Group Holdings, Inc. *
95,345
932,474
Palladyne AI Corp. *(a)
88,060
460,554
Park Aerospace Corp.
44,779
1,518,008
Park-Ohio Holdings Corp.
24,614
982,837
Perma-Pipe International Holdings,
Inc. *
18,121
437,622
Plug Power, Inc. *
3,319,269
6,837,694
Power Solutions International, Inc. *
21,022
580,417
Preformed Line Products Co.
6,118
2,184,004
Proto Labs, Inc. *
58,771
4,410,764
Quanex Building Products Corp.
112,836
2,012,994
  
19

Schwab Small-Cap Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Red Cat Holdings, Inc. *
270,302
2,035,374
Redwire Corp. *
475,631
4,099,939
Resideo Technologies, Inc. *
334,503
11,473,453
Richtech Robotics, Inc., Class B *(a)
455,475
646,775
Rush Enterprises, Inc., Class A
172,013
13,724,917
Satellogic, Inc., Class A *
232,112
830,961
SES AI Corp. *
610,765
336,165
Shimmick Corp. *
12,698
47,998
Shoals Technologies Group, Inc.,
Class A *
414,327
3,621,218
Sidus Space, Inc., Class A *(a)
200,546
352,961
Standex International Corp.
29,575
8,768,988
Starfighters Space, Inc. *(a)
74,562
264,695
Sunrun, Inc. *
567,266
5,564,879
Swarmer, Inc. *(a)
8,531
313,685
TAT Technologies Ltd. *(a)
29,196
1,135,724
Taylor Devices, Inc. *
7,820
401,401
Tecnoglass Holdings, Inc.
62,386
2,710,048
Tennant Co.
43,374
3,644,717
Terex Corp.
279,818
17,583,763
Tigo Energy, Inc. *
94,532
180,556
Titan International, Inc. *
129,445
934,593
Titan Machinery, Inc. *
51,912
881,985
Transcat, Inc. *
22,780
1,944,729
Trinity Industries, Inc.
195,894
6,119,729
Tutor Perini Corp.
111,149
9,308,729
Twin Disc, Inc.
28,033
639,433
UFP Industries, Inc.
138,985
12,055,559
V2X, Inc. *
71,381
6,441,421
Velo3D, Inc. *(a)
40,207
407,297
Virgin Galactic Holdings, Inc. *(a)
235,060
599,403
Voyager Technologies, Inc., Class A *
125,543
3,079,570
VSE Corp.
68,809
13,375,782
Wabash National Corp.
96,622
1,213,572
Willis Lease Finance Corp.
27,825
1,984,757
Worthington Enterprises, Inc.
76,101
4,277,637
Xometry, Inc., Class A *
112,143
9,612,898
York Space Systems, Inc. *(a)
47,359
697,598
Zurn Elkay Water Solutions Corp.,
Class C
367,448
18,559,798
 
761,894,387
 
Commercial & Professional Services 2.9%
ABM Industries, Inc.
143,607
6,880,211
ACCO Brands Corp.
223,117
941,554
ACV Auctions, Inc., Class A *
413,364
3,096,096
Asure Software, Inc. *
61,054
490,264
Barrett Business Services, Inc.
57,971
2,263,188
BlackSky Technology, Inc. *
81,472
1,877,930
BrightView Holdings, Inc. *
172,898
2,254,590
Brink's Co.
101,637
12,038,903
Casella Waste Systems, Inc., Class A *
155,310
13,932,860
CBIZ, Inc. *
119,513
6,582,776
Cimpress PLC *
41,424
4,088,549
Civeo Corp. *
25,237
795,218
Clarivate PLC *
850,681
1,684,348
CompX International, Inc.
3,107
87,959
Concentrix Corp.
103,938
2,556,875
Conduent, Inc. *
351,403
551,703
CoreCivic, Inc. *
238,722
7,137,788
CRA International, Inc.
15,359
2,749,722
Deluxe Corp.
108,924
2,817,864
Ennis, Inc.
61,097
1,331,915
Enviri Corp. *
63,718
1,413,265
Exponent, Inc.
119,858
8,012,507
Falcon's Beyond Global, Inc., Class A *
67,659
672,530
First Advantage Corp. *
194,959
3,867,987
Franklin Covey Co. *
23,985
514,478
SECURITY
NUMBER
OF SHARES
VALUE ($)
GEO Group, Inc. *
310,440
9,589,492
Healthcare Services Group, Inc. *
168,103
3,916,800
HireQuest, Inc.
13,565
175,260
HNI Corp.
175,792
7,912,398
Huron Consulting Group, Inc. *
40,307
6,117,393
IBEX Holdings Ltd. *
24,200
855,228
ICF International, Inc.
44,468
3,598,351
Innodata, Inc. *
77,022
4,839,292
Insperity, Inc.
89,996
4,554,697
Interface, Inc., Class A
142,054
4,866,770
Kelly Services, Inc., Class A
73,779
1,094,880
Kforce, Inc.
41,323
2,345,907
Korn Ferry
128,215
10,548,248
Legalzoom.com, Inc. *
290,981
2,290,020
Liquidity Services, Inc. *
57,992
2,260,528
ManpowerGroup, Inc.
113,885
5,969,852
Maximus, Inc.
133,472
8,041,688
MillerKnoll, Inc.
167,570
3,773,676
Mistras Group, Inc. *
43,036
654,578
NLI Holdings, Inc.
19,332
110,966
Onterris, Inc. *
83,306
1,748,593
OPENLANE, Inc. *
259,789
10,329,211
Perma-Fix Environmental Services, Inc. *
42,407
703,956
Pitney Bowes, Inc.
354,672
6,217,400
Public Policy Holding Co., Inc.
9,072
98,431
Quad/Graphics, Inc.
72,924
757,680
RCM Technologies, Inc. *
10,519
297,582
Resolute Holdings Management, Inc. *
9,605
1,188,715
Spire Global, Inc., Class A *(a)
75,151
861,230
TIC Solutions, Inc. *
439,451
3,212,387
TriNet Group, Inc.
68,080
4,481,706
TrueBlue, Inc. *
67,971
481,235
UniFirst Corp.
35,968
10,537,905
Upwork, Inc. *
291,238
2,667,740
Verra Mobility Corp., Class A *
372,225
1,969,070
Vestis Corp. *
225,139
3,255,510
Willdan Group, Inc. *
35,656
2,443,506
 
223,408,961
 
Consumer Discretionary Distribution & Retail 2.3%
1-800-Flowers.com, Inc., Class A *(a)
50,379
196,478
1stdibs.com, Inc. *
57,843
244,676
Abercrombie & Fitch Co., Class A *
108,616
10,811,637
Academy Sports & Outdoors, Inc.
158,245
7,508,725
Advance Auto Parts, Inc.
149,145
8,283,513
American Eagle Outfitters, Inc.
386,134
6,633,782
Arhaus, Inc.
128,053
948,873
Arko Corp.
180,338
1,440,901
ARKO Petroleum Corp.
30,035
609,710
Asbury Automotive Group, Inc. *
47,784
11,071,553
Barnes & Noble Education, Inc.
40,648
505,661
Bed Bath & Beyond, Inc. *
183,047
924,387
Bob's Discount Furniture, Inc. *
47,597
793,442
Boot Barn Holdings, Inc. *
75,573
11,259,621
Buckle, Inc.
79,180
3,465,709
Build-A-Bear Workshop, Inc.
29,583
1,003,455
Caleres, Inc.
81,406
1,045,253
Camping World Holdings, Inc., Class A
151,180
935,804
Citi Trends, Inc. *
12,265
817,708
Designer Brands, Inc., Class A
85,548
516,710
Envela Corp. *
16,874
365,828
EVgo, Inc., Class A *(a)
332,362
525,132
Genesco, Inc. *
23,143
884,525
GigaCloud Technology, Inc., Class A *
61,832
2,704,532
Gold.com, Inc.
48,532
2,007,284
Group 1 Automotive, Inc.
28,562
8,190,725
Groupon, Inc., Class A *(a)
57,901
1,596,910
Haverty Furniture Cos., Inc.
32,866
809,818
20
  

Schwab Small-Cap Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
J Jill, Inc. (a)
15,767
287,275
Kohl's Corp.
268,293
5,135,128
Lands' End, Inc. *
24,628
296,029
MarineMax, Inc. *
48,771
1,681,136
Monro, Inc.
60,996
747,201
National Vision Holdings, Inc. *
193,419
4,262,955
OneWater Marine, Inc., Class A *
27,846
341,114
Outdoor Holding Co. *
267,658
572,788
Pattern Group, Inc., Class A *
78,533
1,807,830
Petco Health & Wellness Co., Inc.,
Class A *
224,182
625,468
RealReal, Inc. *
273,214
3,303,157
Rent the Runway, Inc., Class A *
20,609
74,295
Revolve Group, Inc. *
102,193
2,566,066
RH *
38,231
6,327,995
RideNow Group, Inc. *
38,160
235,829
Sally Beauty Holdings, Inc. *
234,564
3,511,423
Savers Value Village, Inc. *
89,591
919,204
Shoe Station Group, Inc.
45,313
688,758
Signet Jewelers Ltd.
96,255
8,942,089
Sonic Automotive, Inc., Class A
29,520
2,703,442
Stitch Fix, Inc., Class A *
287,063
1,153,993
ThredUp, Inc., Class A *
255,757
1,478,275
Torrid Holdings, Inc. *
76,924
196,156
Upbound Group, Inc.
134,650
2,610,863
Urban Outfitters, Inc. *
141,291
10,480,966
Victoria's Secret & Co. *
171,463
15,205,339
Warby Parker, Inc., Class A *
251,665
6,716,939
Weyco Group, Inc.
14,889
580,671
Winmark Corp.
7,422
2,475,237
Zumiez, Inc. *
33,479
658,532
 
172,688,505
 
Consumer Durables & Apparel 2.5%
Acushnet Holdings Corp.
67,858
6,871,980
Beazer Homes USA, Inc. *
60,798
1,951,616
Callaway Golf Co. *
342,937
6,330,617
Capri Holdings Ltd. *
291,832
4,648,884
Carter's, Inc.
87,949
3,392,193
Cavco Industries, Inc. *
19,101
10,448,820
Century Communities, Inc.
61,877
4,155,659
Champion Homes, Inc. *
135,413
10,780,229
Cricut, Inc., Class A
122,275
573,470
Dream Finders Homes, Inc., Class A *
68,453
875,514
Ermenegildo Zegna NV
111,436
1,639,224
Escalade, Inc.
20,993
416,921
Ethan Allen Interiors, Inc.
58,512
1,310,669
Figs, Inc., Class A *
231,124
2,473,027
Flexsteel Industries, Inc.
7,863
582,098
Fossil Group, Inc. *
132,548
656,113
Funko, Inc., Class A *
103,895
605,708
G-III Apparel Group Ltd.
89,587
3,261,863
GoPro, Inc., Class A *(a)
331,374
248,199
Green Brick Partners, Inc. *
74,815
5,291,665
Hamilton Beach Brands Holding Co.,
Class A
17,838
410,096
Helen of Troy Ltd. *
56,856
1,570,931
Hovnanian Enterprises, Inc., Class A *
11,583
1,435,134
Installed Building Products, Inc.
57,998
12,930,074
JAKKS Pacific, Inc.
22,975
604,932
Johnson Outdoors, Inc., Class A
15,848
743,430
KB Home
149,057
8,193,663
Kontoor Brands, Inc.
134,942
11,300,043
Latham Group, Inc. *
126,829
679,803
La-Z-Boy, Inc.
98,890
3,894,288
Legacy Housing Corp. *
21,874
574,411
Leggett & Platt, Inc.
332,715
3,260,607
LGI Homes, Inc. *
50,490
2,755,239
SECURITY
NUMBER
OF SHARES
VALUE ($)
Lifetime Brands, Inc.
29,825
249,635
Lovesac Co. *
34,666
557,776
M/I Homes, Inc. *
62,481
9,130,349
Malibu Boats, Inc., Class A *
48,812
1,345,747
MasterCraft Boat Holdings, Inc. *
44,806
1,071,759
Meritage Homes Corp.
161,913
11,366,293
Movado Group, Inc.
37,132
1,417,700
Newell Brands, Inc.
1,045,230
5,853,288
Oxford Industries, Inc.
34,614
1,312,563
Peloton Interactive, Inc., Class A *
993,626
6,349,270
Playboy, Inc. *
142,322
157,977
Polaris, Inc.
132,669
8,899,436
Rocky Brands, Inc.
17,660
862,514
Smith & Wesson Brands, Inc.
108,879
1,584,189
Sonos, Inc. *
295,497
4,331,986
Steven Madden Ltd.
178,279
8,215,096
Sturm Ruger & Co., Inc.
33,785
1,255,788
Superior Group of Cos., Inc.
26,491
313,918
Tron, Inc. *(a)
124,328
174,059
Under Armour, Inc., Class A *
915,409
6,087,470
Wolverine World Wide, Inc.
201,835
3,972,113
XMAX, Inc. *(a)
149,106
1,285,294
 
190,661,340
 
Consumer Services 3.3%
Accel Entertainment, Inc., Class A *
126,429
1,519,677
American Public Education, Inc. *
43,540
2,112,125
Bally's Corp. *
23,813
331,715
Biglari Holdings, Inc., Class B *
2,356
936,486
BJ's Restaurants, Inc. *
46,945
3,173,951
Black Rock Coffee Bar, Inc., Class A *
42,906
345,822
Bloomin' Brands, Inc.
209,672
1,815,760
Brightstar Lottery PLC
237,134
2,380,825
Brinker International, Inc. *
105,644
22,576,123
Carriage Services, Inc., Class A
34,786
1,404,311
Cheesecake Factory, Inc.
114,978
11,661,069
Coursera, Inc. *
533,257
2,831,595
Covista, Inc. *
83,744
10,455,438
Cracker Barrel Old Country Store, Inc.
55,093
3,106,694
Dave & Buster's Entertainment, Inc. *
67,474
731,418
Dine Brands Global, Inc.
30,656
1,101,777
Driven Brands Holdings, Inc. *
147,676
2,107,337
El Pollo Loco Holdings, Inc. *
70,013
1,152,414
First Watch Restaurant Group, Inc. *
150,945
1,939,643
Frontdoor, Inc. *
173,720
12,617,284
Genius Sports Ltd. *
576,532
3,995,367
Global Business Travel Group I *
308,267
2,910,040
Graham Holdings Co., Class B
7,748
9,325,028
Hilton Grand Vacations, Inc. *
137,991
6,366,905
Inspired Entertainment, Inc. *
61,820
425,322
Jack in the Box, Inc. *
43,650
714,551
KinderCare Learning Cos., Inc. *
76,929
411,570
Krispy Kreme, Inc. *
196,303
624,244
Kura Sushi USA, Inc., Class A *
16,871
777,247
Laureate Education, Inc. *
297,445
11,395,118
Life Time Group Holdings, Inc. *
355,915
16,051,766
Lincoln Educational Services Corp. *
73,351
3,067,539
Lindblad Expeditions Holdings, Inc. *
121,502
3,594,029
Marriott Vacations Worldwide Corp.
68,428
6,672,414
Matthews International Corp., Class A
73,747
2,046,479
McGraw Hill, Inc. *
60,817
666,554
Monarch Casino & Resort, Inc.
29,765
3,653,654
Nathan's Famous, Inc.
7,193
705,705
Navan, Inc., Class A *
253,401
6,745,535
OneSpaWorld Holdings Ltd.
243,757
6,279,180
Papa John's International, Inc. (a)
80,477
2,406,262
Penn Entertainment, Inc. *
313,752
6,441,329
Perdoceo Education Corp.
153,882
4,894,986
  
21

Schwab Small-Cap Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Phoenix Education Partners, Inc.
13,033
372,613
Portillo's, Inc., Class A *
165,391
755,837
Pursuit Attractions & Hospitality, Inc. *
50,866
2,570,259
RCI Hospitality Holdings, Inc.
15,839
397,401
Red Rock Resorts, Inc., Class A
116,649
7,516,862
Rush Street Interactive, Inc. *
246,050
6,621,206
Sabre Corp. *
829,500
1,534,575
Serve Robotics, Inc. *(a)
174,291
833,111
Shake Shack, Inc., Class A *
96,099
6,030,212
SHARPLINK, Inc. *
455,750
2,789,190
Six Flags Entertainment Corp. *(a)
234,387
4,061,927
Strategic Education, Inc.
53,724
4,405,368
Stride, Inc. *
102,505
8,230,126
Super Group SGHC Ltd.
399,323
5,590,522
Sweetgreen, Inc., Class A *
257,834
1,663,029
Target Hospitality Corp. *
99,187
1,507,642
United Parks & Resorts, Inc. *
48,097
2,146,569
Universal Technical Institute, Inc. *
116,795
4,591,211
Venu Holding Corp. *
116,919
237,346
Wendy's Co.
393,541
2,896,462
Xponential Fitness, Inc., Class A *
86,951
566,921
 
249,790,677
 
Consumer Staples Distribution & Retail 0.6%
Andersons, Inc.
81,436
5,764,040
Chefs' Warehouse, Inc. *
90,245
10,409,761
Grocery Outlet Holding Corp. *
230,168
2,115,244
Ingles Markets, Inc., Class A
36,281
3,265,653
Natural Grocers by Vitamin Cottage,
Inc., Class C
31,893
1,022,490
PriceSmart, Inc.
64,087
12,427,110
United Natural Foods, Inc. *
148,420
7,544,189
Village Super Market, Inc., Class A
22,782
1,001,041
Weis Markets, Inc.
30,504
2,350,333
Yesway, Inc., Class A *(a)
38,456
804,499
 
46,704,360
 
Energy 6.3%
Aemetis, Inc. *
158,097
238,726
American Resources Corp. *(a)
216,166
386,937
Amplify Energy Corp. *
86,689
338,954
Archrock, Inc.
424,836
15,192,135
Ardmore Shipping Corp.
87,041
1,513,643
Atlas Energy Solutions, Inc., Class A
201,184
2,170,775
BKV Corp. *
78,752
1,926,274
Borr Drilling Ltd. *
580,249
2,338,404
Bristow Group, Inc.
64,401
2,918,653
Cactus, Inc., Class A
171,704
11,162,477
California Resources Corp.
178,859
9,411,561
Calumet, Inc. *
168,036
7,425,511
Centrus Energy Corp., Class A *
45,236
8,003,606
Clean Energy Fuels Corp. *
401,025
777,989
CNX Resources Corp. *
336,062
12,031,020
Comstock Resources, Inc. *
172,787
2,291,156
Comstock, Inc. *
179,987
493,164
Core Laboratories, Inc.
113,450
1,207,108
Core Natural Resources, Inc.
123,436
9,855,130
Crescent Energy Co., Class A
631,548
7,243,856
CVR Energy, Inc.
73,238
2,608,738
Delek U.S. Holdings, Inc.
148,342
10,067,972
DHT Holdings, Inc.
358,296
6,653,557
Diversified Energy Co.
172,515
2,322,052
Dorian LPG Ltd.
91,355
4,332,054
Encore Energy Corp. *
476,069
518,915
Energy Fuels, Inc. *
610,456
6,983,617
Energy Services of America Corp.
34,055
489,711
Epsilon Energy Ltd.
47,659
266,890
SECURITY
NUMBER
OF SHARES
VALUE ($)
Evolution Petroleum Corp.
81,824
301,112
Excelerate Energy, Inc., Class A
58,690
2,304,756
Expro Ltd. *
202,115
3,223,734
FLEX LNG Ltd. *
77,430
2,416,590
Flowco Holdings, Inc., Class A
87,609
1,791,604
Forum Energy Technologies, Inc. *
26,036
1,631,676
FutureFuel Corp.
63,210
312,890
Gevo, Inc. *
581,608
860,780
Golar LNG Ltd.
239,074
11,750,487
Granite Ridge Resources, Inc.
138,631
658,497
Green Plains, Inc. *
168,100
2,832,485
Gulfport Energy Corp. *
38,724
6,248,892
Helix Energy Solutions Group, Inc. *
340,403
3,237,233
Helmerich & Payne, Inc.
238,604
8,248,540
HighPeak Energy, Inc. (a)
55,894
399,642
HMH Holding, Inc., Class A *
25,056
520,914
Infinity Natural Resources, Inc., Class A *
41,644
548,035
Innovex International, Inc. *
111,243
3,123,703
International Seaways, Inc.
102,224
9,831,904
Kinetik Holdings, Inc., Class A
125,565
6,349,822
Kodiak Gas Services, Inc.
245,659
14,422,640
Kolibri Global Energy, Inc. *
71,912
373,223
Kosmos Energy Ltd. *
1,443,193
3,882,189
Liberty Energy, Inc., Class A
391,312
7,321,448
Lightbridge Corp. *
83,432
687,480
Magnolia Oil & Gas Corp., Class A
564,787
14,520,674
Murphy Oil Corp.
336,987
13,391,863
Nabors Industries Ltd. *
34,800
2,981,316
NACCO Industries, Inc., Class A
9,960
472,104
National Energy Services Reunited
Corp. *
149,030
4,017,849
Natural Gas Services Group, Inc.
28,819
1,055,928
Navigator Holdings Ltd.
90,118
2,014,137
New Era Energy & Digital, Inc. *(a)
198,074
923,025
NextDecade Corp. *
408,558
2,745,510
Noble Corp. PLC
312,543
13,251,823
Nordic American Tankers Ltd.
500,645
3,269,212
Northern Oil & Gas, Inc.
255,713
5,408,330
Oceaneering International, Inc. *
244,770
11,939,881
Oil States International, Inc. *
138,939
1,126,795
OPAL Fuels, Inc., Class A *
40,439
95,032
Par Pacific Holdings, Inc. *
119,621
10,290,995
Patterson-UTI Energy, Inc.
852,705
8,936,348
PBF Energy, Inc., Class A
240,310
17,369,607
Peabody Energy Corp.
301,160
6,420,731
PEDEVCO Corp. *
3,584
38,743
PrimeEnergy Resources Corp. *
1,586
291,983
ProFrac Holding Corp., Class A *
70,404
284,432
ProPetro Holding Corp. *
243,088
2,698,277
Ranger Energy Services, Inc., Class A
46,281
742,810
REX American Resources Corp. *
71,233
3,065,868
Riley Exploration Permian, Inc.
37,137
1,272,685
Ring Energy, Inc. *
465,107
576,733
RPC, Inc.
248,116
1,391,931
Sable Offshore Corp. *(a)
325,139
1,719,985
SandRidge Energy, Inc.
78,482
1,092,469
Scorpio Tankers, Inc.
112,863
8,787,513
SEACOR Marine Holdings, Inc. *
53,047
500,233
Seadrill Ltd. *
154,806
6,941,501
Select Water Solutions, Inc.
276,537
5,121,465
SFL Corp. Ltd.
302,332
3,730,777
SM Energy Co.
592,523
19,268,848
Smart Sand, Inc.
73,317
315,996
Solaris Energy Infrastructure, Inc.
129,507
6,657,955
Summit Midstream Corp. *
21,933
675,975
Talos Energy, Inc. *
310,467
4,712,889
Teekay Corp. Ltd.
136,631
1,591,751
Teekay Tankers Ltd., Class A
59,588
4,729,500
TETRA Technologies, Inc. *
316,519
2,437,196
22
  

Schwab Small-Cap Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Tidewater, Inc. *
121,489
9,118,964
Transocean Ltd. *
2,400,232
12,769,234
Uranium Energy Corp. *
1,201,872
11,537,971
Ur-Energy, Inc. *
927,875
1,132,008
VAALCO Energy, Inc.
253,389
1,350,563
Valaris Ltd. *
139,951
11,082,720
Vitesse Energy, Inc.
78,314
1,221,698
W&T Offshore, Inc.
232,072
833,139
World Kinect Corp.
123,093
4,906,487
 
477,282,320
 
Equity Real Estate Investment Trusts (REITs) 5.3%
Acadia Realty Trust
332,018
7,460,444
AH Realty Trust, Inc.
186,233
1,296,182
Alexander's, Inc.
5,303
1,352,265
Alpine Income Property Trust, Inc.
37,841
763,631
American Assets Trust, Inc.
121,238
2,860,004
Apple Hospitality REIT, Inc.
534,258
8,820,600
Braemar Hotels & Resorts, Inc.
144,079
327,059
Brandywine Realty Trust
414,662
1,260,572
Broadstone Net Lease, Inc.
473,736
10,142,688
BRT Apartments Corp.
26,156
389,986
CareTrust REIT, Inc.
552,155
23,157,381
CBL & Associates Properties, Inc.
45,260
2,657,215
Centerspace
41,645
2,283,812
Chatham Lodging Trust
108,743
1,449,544
Chiron Real Estate, Inc.
31,195
1,107,423
Community Healthcare Trust, Inc.
67,211
1,230,633
COPT Defense Properties
282,468
10,722,485
CTO Realty Growth, Inc.
80,799
1,775,154
Curbline Properties Corp.
240,653
7,373,608
DiamondRock Hospitality Co.
501,512
6,640,019
Diversified Healthcare Trust
543,909
4,840,790
Douglas Emmett, Inc.
402,102
4,752,846
Easterly Government Properties, Inc.
108,694
2,647,786
Empire State Realty Trust, Inc., Class A
351,401
1,778,089
Essential Properties Realty Trust, Inc.
536,045
16,772,848
Farmland Partners, Inc.
100,603
940,638
Four Corners Property Trust, Inc.
269,989
6,911,718
FrontView REIT, Inc.
52,299
1,063,762
Getty Realty Corp.
141,589
4,833,848
Gladstone Commercial Corp.
120,257
1,503,213
Gladstone Land Corp.
98,927
802,298
Global Net Lease, Inc.
470,433
4,102,176
Highwoods Properties, Inc.
271,451
8,993,172
Hudson Pacific Properties, Inc. *
130,245
1,793,474
Independence Realty Trust, Inc.
583,267
9,699,730
Industrial Logistics Properties Trust
138,019
1,188,344
Innovative Industrial Properties, Inc.
69,682
4,097,998
InvenTrust Properties Corp.
192,566
6,818,762
JBG SMITH Properties
145,090
2,038,515
Kite Realty Group Trust
502,921
14,393,599
LTC Properties, Inc.
120,533
4,850,248
LXP Industrial Trust
142,944
8,652,400
Macerich Co.
694,483
17,945,441
Modiv Industrial, Inc.
25,203
436,516
National Health Investors, Inc.
117,769
9,026,994
National Healthcare Properties, Inc.
110,349
1,687,236
NET Lease Office Properties
36,593
428,138
NETSTREIT Corp.
241,534
5,180,904
NexPoint Diversified Real Estate Trust
91,266
412,522
NexPoint Residential Trust, Inc.
55,331
1,444,692
One Liberty Properties, Inc.
42,694
1,037,891
Orion Properties, Inc.
130,356
344,140
Outfront Media, Inc.
392,208
12,499,669
Park Hotels & Resorts, Inc.
458,635
6,907,043
Pebblebrook Hotel Trust
275,621
5,264,361
Phillips Edison & Co., Inc.
312,652
13,284,583
SECURITY
NUMBER
OF SHARES
VALUE ($)
Piedmont Realty Trust, Inc., Class A *
308,512
2,989,481
Postal Realty Trust, Inc., Class A
64,994
1,497,462
RLJ Lodging Trust
304,197
3,726,413
Ryman Hospitality Properties, Inc.
152,567
20,390,580
Sabra Health Care REIT, Inc.
620,731
13,140,875
Safehold, Inc.
137,251
2,220,721
Saul Centers, Inc.
32,056
1,092,148
Service Properties Trust (c)
285,290
2,290,879
SITE Centers Corp.
123,974
530,609
SL Green Realty Corp.
177,014
9,369,351
Smartstop Self Storage REIT, Inc.
137,096
4,598,200
Strawberry Fields REIT, Inc.
17,949
255,235
Summit Hotel Properties, Inc.
253,886
1,746,736
Sunstone Hotel Investors, Inc.
443,633
5,221,560
Tanger, Inc.
279,017
11,344,831
Terreno Realty Corp.
260,088
18,635,305
UMH Properties, Inc.
198,675
3,001,979
Universal Health Realty Income Trust
31,842
1,382,580
Urban Edge Properties
313,726
7,109,031
Xenia Hotels & Resorts, Inc.
228,008
4,692,405
 
397,683,470
 
Financial Services 6.3%
Acacia Research Corp. *
82,292
364,554
Acadian Asset Management, Inc.
68,930
5,961,756
ACRES Commercial Realty Corp. *
13,173
230,528
Adamas Trust, Inc.
207,248
1,879,739
Alerus Financial Corp.
58,097
1,932,887
AlTi Global, Inc. *
122,373
440,543
Angel Oak Mortgage REIT, Inc.
40,931
362,239
Arbor Realty Trust, Inc.
466,878
2,339,059
ARES Commercial Real Estate Corp.
132,547
564,650
ARMOUR Residential REIT, Inc.
308,531
5,081,506
Artisan Partners Asset Management,
Inc., Class A
156,252
6,131,328
Atlanticus Holdings Corp. *
12,452
1,313,561
Bakkt, Inc. *(a)
71,982
516,111
Better Home & Finance Holding Co. *(a)
19,258
452,563
BGC Group, Inc., Class A
917,731
10,572,261
Blackstone Mortgage Trust, Inc., Class A
391,067
5,686,114
Bladex, Inc., Class E
72,184
4,226,373
BRC Group Holdings, Inc. *(a)
56,568
405,027
Bread Financial Holdings, Inc.
99,416
10,743,887
BrightSpire Capital, Inc., Class A
300,177
1,503,887
Burford Capital Ltd.
497,868
2,051,216
Cannae Holdings, Inc.
98,018
1,426,162
Cass Information Systems, Inc.
28,297
1,582,368
Chaince Digital Holdings, Inc. *(a)
162,160
452,426
Chicago Atlantic Real Estate Finance,
Inc.
46,772
456,495
Chimera Investment Corp.
205,820
2,568,634
Claros Mortgage Trust, Inc. *
234,463
415,000
Cohen & Steers, Inc.
69,212
5,694,071
Compass Diversified Holdings *
165,561
1,668,855
Consumer Portfolio Services, Inc. *
22,819
212,673
Dave, Inc. *
24,871
9,269,173
DigitalBridge Group, Inc.
434,804
6,900,339
Dlocal Ltd.
221,293
3,337,098
Donnelley Financial Solutions, Inc. *
60,479
2,860,657
Dynex Capital, Inc.
533,987
6,786,975
Ellington Financial, Inc.
301,473
4,003,561
Enact Holdings, Inc.
67,615
3,199,542
Encore Capital Group, Inc. *
51,241
4,820,753
Enova International, Inc. *
59,181
15,040,259
Essent Group Ltd.
222,013
14,643,977
EVERTEC, Inc.
151,978
4,626,210
Federal Agricultural Mortgage Corp.,
Class C
22,910
5,214,316
  
23

Schwab Small-Cap Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Finance of America Cos., Inc., Class A *
9,798
222,905
FirstCash Holdings, Inc.
100,095
20,420,381
Flywire Corp. *
290,334
4,648,247
Franklin BSP Realty Trust, Inc.
186,480
1,415,383
GCM Grosvenor, Inc., Class A
142,716
1,781,096
Gemini Space Station, Inc., Class A *
100,012
390,047
Green Dot Corp., Class A *
133,599
1,751,483
HA Sustainable Infrastructure Capital,
Inc.
313,411
11,868,875
Happen, Inc. *
277,881
5,318,642
Innventure, Inc. *(a)
136,133
438,348
International Money Express, Inc. *
68,199
808,840
Invesco Mortgage Capital, Inc.
221,565
1,641,797
Jackson Financial, Inc., Class A
160,722
19,653,086
Jefferson Capital, Inc.
55,178
1,109,630
KKR Real Estate Finance Trust, Inc.
130,608
909,032
Ladder Capital Corp., Class A
278,442
2,661,906
LendingTree, Inc. *
27,466
875,067
loanDepot, Inc., Class A *
256,101
251,286
Marex Group Ltd.
150,861
9,793,896
MarketWise, Inc.
3,989
78,583
Marqeta, Inc., Class A *
213,014
3,697,923
Medallion Financial Corp.
41,020
407,739
Merchants Bancorp
61,382
3,387,059
MFA Financial, Inc.
249,659
2,274,394
Miami International Holdings, Inc. *
185,696
8,735,140
Moelis & Co., Class A
183,114
12,283,287
Navient Corp.
154,732
1,298,201
NCR Atleos Corp. *
179,406
8,437,464
Nelnet, Inc., Class A
36,154
4,912,244
NerdWallet, Inc., Class A *
80,849
727,641
NewtekOne, Inc.
61,958
918,837
Nexpoint Real Estate Finance, Inc.
17,435
295,698
NMI Holdings, Inc., Class A *
186,364
8,255,925
Onity Group, Inc. *
17,273
633,228
Oportun Financial Corp. *
102,882
569,966
OppFi, Inc. *
63,400
594,058
Orchid Island Capital, Inc.
501,533
3,254,949
Pagseguro Digital Ltd., Class A
406,729
3,920,868
Patria Investments Ltd., Class A
158,665
1,716,755
Paymentus Holdings, Inc., Class A *
144,939
4,942,420
Payoneer Global, Inc. *
639,985
4,588,692
Paysafe Ltd. *
59,977
484,614
Paysign, Inc. *
107,632
964,383
PennyMac Financial Services, Inc.
72,947
5,500,933
PennyMac Mortgage Investment Trust
215,817
2,035,154
Perella Weinberg Partners, Class A
170,755
3,013,826
Piper Sandler Cos.
171,470
12,997,426
PJT Partners, Inc., Class A
59,828
10,069,651
PRA Group, Inc. *
93,120
1,617,494
Priority Technology Holdings, Inc. *
83,988
545,922
PROG Holdings, Inc.
96,273
4,237,937
Radian Group, Inc.
332,385
12,959,691
Ready Capital Corp.
347,986
497,620
Redwood Trust, Inc.
306,595
1,401,139
Regional Management Corp.
20,974
676,831
Remitly Global, Inc. *
462,068
10,521,288
Repay Holdings Corp., Class A *
160,171
640,684
Ridgepost Capital, Inc., Class A
147,410
1,270,674
Security National Financial Corp.,
Class A *
40,831
382,580
Seven Hills Realty Trust
53,229
401,347
Sezzle, Inc. *
39,802
6,159,360
Silvercrest Asset Management Group,
Inc., Class A
15,353
157,829
StepStone Group, Inc., Class A
188,346
8,260,856
StoneCo Ltd., Class A
564,037
6,415,921
StoneX Group, Inc. *
265,363
20,318,845
TPG Mortgage Investment Trust, Inc.
72,792
507,360
SECURITY
NUMBER
OF SHARES
VALUE ($)
TPG RE Finance Trust, Inc.
172,816
1,377,344
Two Harbors Investment Corp.
258,617
3,126,680
Upstart Holdings, Inc. *
207,834
5,702,965
Value Line, Inc.
1,716
58,670
Velocity Financial, Inc. *
30,444
533,988
Victory Capital Holdings, Inc., Class A
104,720
10,370,422
Virtus Investment Partners, Inc.
15,598
2,485,541
Walker & Dunlop, Inc.
82,380
4,093,462
Waterstone Financial, Inc.
36,980
758,830
Wealthfront Corp. *
88,701
841,772
Webull Corp. *
816,740
5,766,184
Westwood Holdings Group, Inc.
18,194
348,779
WisdomTree, Inc.
331,253
6,416,371
World Acceptance Corp. *
6,039
1,085,873
 
474,836,597
 
Food, Beverage & Tobacco 0.8%
Alico, Inc.
14,284
539,364
B&G Foods, Inc. (a)
192,931
681,046
Boston Beer Co., Inc., Class A *
18,812
3,446,358
BRC, Inc., Class A *
204,216
210,342
Cal-Maine Foods, Inc.
106,062
9,310,122
Del Monte Corp.
80,882
2,403,004
Dole PLC
189,649
2,681,637
Flowers Foods, Inc.
461,034
3,236,459
Forafric Global PLC *
14,401
154,235
J&J Snack Foods Corp.
37,047
2,834,096
John B Sanfilippo & Son, Inc.
19,859
1,643,531
Lifeway Foods, Inc. *
13,889
413,614
Limoneira Co.
41,841
542,678
Mama's Creations, Inc. *
91,671
1,689,497
Marzetti Co.
48,580
5,191,745
MGP Ingredients, Inc.
36,025
637,643
Mission Produce, Inc. *
137,989
1,740,041
National Beverage Corp.
59,261
1,875,018
Once Upon a Farm PBC *
31,576
479,008
Seneca Foods Corp., Class A *
11,055
1,829,492
Simply Good Foods Co. *
203,463
2,071,253
Turning Point Brands, Inc.
46,151
3,443,326
Universal Corp.
61,114
3,220,097
Utz Brands, Inc.
179,491
2,534,413
Vita Coco Co., Inc. *
119,354
7,870,203
Vital Farms, Inc. *
88,681
1,128,909
Westrock Coffee Co. *(a)
91,145
740,097
 
62,547,228
 
Health Care Equipment & Services 6.2%
Acadia Healthcare Co., Inc. *
225,637
6,683,368
Accendra Health, Inc. *
177,295
547,842
Acme United Corp.
8,570
487,290
AdaptHealth Corp., Class A *
250,314
2,703,391
Addus HomeCare Corp. *
45,280
5,228,934
agilon health, Inc. *
30,129
2,760,118
AirSculpt Technologies, Inc. *(a)
25,809
124,141
Alignment Healthcare, Inc. *
494,878
7,348,938
Alphatec Holdings, Inc. *
300,269
2,858,561
AMN Healthcare Services, Inc. *
95,263
3,203,695
AngioDynamics, Inc. *
90,400
1,337,016
Anteris Technologies Global Corp. *
198,519
1,556,389
Ardent Health, Inc. *
57,326
611,668
Artivion, Inc. *
110,535
2,965,654
Astrana Health, Inc. *
110,296
3,922,126
AtriCure, Inc. *
121,353
4,582,289
Aveanna Healthcare Holdings, Inc. *
189,370
1,778,184
Axogen, Inc. *
128,162
5,409,718
Beta Bionics, Inc. *
99,037
1,270,645
Bioventus, Inc., Class A *
116,493
1,534,213
24
  

Schwab Small-Cap Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
BrightSpring Health Services, Inc. *
396,398
23,668,925
Brookdale Senior Living, Inc. *
581,211
8,485,681
Butterfly Network, Inc. *
511,344
3,635,656
CapsoVision, Inc. *(a)
85,030
559,497
Carlsmed, Inc. *
20,399
256,823
Castle Biosciences, Inc. *
72,750
2,037,000
Ceribell, Inc. *
66,958
1,184,487
Certara, Inc. *
282,529
2,288,485
Cerus Corp. *
483,566
1,039,667
Claritev Corp. *
24,199
549,559
ClearPoint Neuro, Inc. *
68,597
1,024,839
Clover Health Investments Corp.,
Class A *
1,021,380
4,259,155
Community Health Systems, Inc. *
316,176
882,131
Concentra Group Holdings Parent, Inc.
286,440
9,065,826
CONMED Corp.
75,056
3,475,093
CorVel Corp. *
71,862
4,316,032
CVRx, Inc. *
35,398
183,185
Delcath Systems, Inc. *
70,457
860,985
Dentsply Sirona, Inc.
496,066
6,632,402
Electromed, Inc. *
15,756
641,742
Embecta Corp.
146,414
532,947
Enovis Corp. *
141,491
4,124,463
Establishment Labs Holdings, Inc. *
65,812
6,090,242
Evolent Health, Inc., Class A *
278,541
860,692
Fulgent Genetics, Inc. *
48,007
794,516
GeneDx Holdings Corp. *
48,408
3,151,845
Glaukos Corp. *
140,084
23,354,804
Guardian Pharmacy Services, Inc.,
Class A *
43,884
1,734,735
Haemonetics Corp. *
114,753
9,815,972
HealthEquity, Inc. *
206,104
20,736,123
HealthStream, Inc.
58,092
1,628,900
HeartFlow, Inc. *
195,834
4,940,892
Hims & Hers Health, Inc. *
525,151
14,583,443
Hinge Health, Inc., Class A *
101,213
7,561,623
Hyperfine, Inc. *
190,235
178,022
ICU Medical, Inc. *
60,012
10,112,622
InfuSystem Holdings, Inc. *
46,887
428,547
Innovage Holding Corp. *
53,371
606,295
Inogen, Inc. *
57,562
371,275
Inspire Medical Systems, Inc. *
70,511
3,540,357
Integer Holdings Corp. *
83,334
10,100,914
Integra LifeSciences Holdings Corp. *
166,342
2,769,594
iRadimed Corp.
20,651
1,876,350
IRhythm Holdings, Inc. *
80,448
9,426,092
Kestra Medical Technologies Ltd. *
64,954
1,482,900
KORU Medical Systems, Inc. *
113,897
468,117
Lantheus Holdings, Inc. *
158,683
15,811,174
LeMaitre Vascular, Inc.
53,101
5,380,193
LifeMD, Inc. *
93,096
325,836
LifeStance Health Group, Inc. *
465,100
4,874,248
LivaNova PLC *
136,527
10,941,274
Lucid Diagnostics, Inc. *
362,863
316,271
Lumexa Imaging Holdings, Inc. *
46,300
481,983
Merit Medical Systems, Inc. *
145,328
12,354,333
MiniMed Group, Inc. *
70,015
1,263,771
National HealthCare Corp.
31,504
7,120,849
Neogen Corp. *
538,530
6,483,901
NeoGenomics, Inc. *
319,692
4,888,091
NeuroPace, Inc. *
64,471
831,031
Novocure Ltd. *
259,837
3,855,981
NRC Health
28,092
548,075
Nutex Health, Inc. *
12,257
1,807,050
Omada Health, Inc. *
86,428
1,714,732
OmniAb, Inc. *
266,067
526,813
OmniAb, Inc., Class A *(b)
12,825
0
OmniAb, Inc., Class B *(b)
12,825
0
Omnicell, Inc. *
110,405
3,905,025
SECURITY
NUMBER
OF SHARES
VALUE ($)
Oncology Institute, Inc. *
185,962
903,775
OPKO Health, Inc. *
984,017
1,298,902
Option Care Health, Inc. *
386,827
8,908,626
OraSure Technologies, Inc. *
154,509
625,761
Orchestra BioMed Holdings, Inc. *
97,254
387,071
Orthofix Medical, Inc. *
98,582
1,163,268
OrthoPediatrics Corp. *
42,883
865,808
PACS Group, Inc. *
113,049
5,201,384
Pediatrix Medical Group, Inc. *
202,326
5,363,662
Pennant Group, Inc. *
82,485
3,325,795
Phreesia, Inc. *
121,160
1,300,047
Privia Health Group, Inc. *
293,867
6,955,832
Procept Biorobotics Corp. *
136,513
2,541,872
Pro-Dex, Inc. *
5,165
302,514
Progyny, Inc. *
166,380
5,179,409
Pulse Biosciences, Inc. *(a)
45,094
1,584,152
QuidelOrtho Corp. *
166,276
2,788,449
RadNet, Inc. *
173,772
11,083,178
RxSight, Inc. *
93,601
562,542
Sanara Medtech, Inc. *
8,345
282,562
SBC Medical Group Holdings, Inc. *
46,855
143,376
Schrodinger, Inc. *
139,637
2,114,104
Senseonics Holdings, Inc. *
96,032
483,041
Shoulder Innovations, Inc. *
25,582
581,735
SI-BONE, Inc. *
106,897
1,898,491
Sight Sciences, Inc. *
92,208
485,014
Simulations Plus, Inc. *
41,783
761,704
Sonida Senior Living, Inc. *
69,670
2,811,881
STAAR Surgical Co. *
82,756
2,015,936
Stereotaxis, Inc. *
164,422
207,172
Strata Critical Medical, Inc. *
167,714
841,924
Strive, Inc., Class A *
154,509
1,716,595
Surgery Partners, Inc. *
194,389
2,993,591
Tactile Systems Technology, Inc. *
55,572
1,565,463
Talkspace, Inc. *
349,040
1,821,989
Tandem Diabetes Care, Inc. *
169,004
3,295,578
Teladoc Health, Inc. *
442,468
2,968,960
TransMedics Group, Inc. *
83,444
6,384,300
U.S. Physical Therapy, Inc.
36,929
2,919,607
UFP Technologies, Inc. *
18,533
4,721,838
Utah Medical Products, Inc.
7,671
540,959
Varex Imaging Corp. *
102,829
1,150,657
Viemed Healthcare, Inc. *
83,102
969,800
Waystar Holding Corp. *
271,904
5,739,893
 
466,422,480
 
Household & Personal Products 0.6%
BellRing Brands, Inc. *
288,385
3,573,090
Central Garden & Pet Co. *
20,044
862,894
Central Garden & Pet Co., Class A *
121,976
4,624,110
Coty, Inc., Class A *
881,210
2,423,328
Edgewell Personal Care Co.
114,976
3,126,197
Energizer Holdings, Inc.
151,332
3,173,432
Herbalife Ltd. *
249,385
3,097,362
Honest Co., Inc. *
233,549
852,454
Interparfums, Inc.
45,128
5,620,692
Nature's Sunshine Products, Inc. *
35,802
721,410
Niagen Bioscience, Inc. *
141,013
479,444
Nu Skin Enterprises, Inc., Class A
119,531
620,366
Oddity Tech Ltd., Class A *(a)
98,038
1,390,179
Oil-Dri Corp. of America
24,304
2,411,200
Spectrum Brands Holdings, Inc.
55,362
4,914,485
USANA Health Sciences, Inc. *
27,140
600,065
WD-40 Co.
33,220
7,545,591
 
46,036,299
 
  
25

Schwab Small-Cap Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Insurance 2.2%
Abacus Global Management, Inc.
68,437
705,585
Accelerant Holdings, Class A *
148,370
1,762,636
American Coastal Insurance Corp.,
Class C
61,998
658,419
American Integrity Insurance Group, Inc.
28,630
580,903
AMERISAFE, Inc.
45,923
1,333,604
Ategrity Specialty Holdings LLC *
22,688
544,966
Baldwin Insurance Group, Inc., Class A *
238,197
6,607,585
Bowhead Specialty Holdings, Inc. *
44,574
1,363,519
Citizens, Inc. *
106,647
504,440
CNO Financial Group, Inc.
228,108
12,566,470
Crawford & Co., Class A
39,485
430,781
Donegal Group, Inc., Class A
41,983
828,744
Employers Holdings, Inc.
45,160
2,282,838
Exzeo Group, Inc. *
19,743
306,411
F&G Annuities & Life, Inc.
86,340
2,466,734
Genworth Financial, Inc., Class A *
937,603
9,216,637
Goosehead Insurance, Inc., Class A *
56,649
3,512,238
Greenlight Capital Re Ltd., Class A *
64,203
1,068,980
Hamilton Insurance Group Ltd., Class B
112,787
4,055,821
HCI Group, Inc.
27,282
4,774,623
Heritage Insurance Holdings, Inc. *
60,035
1,763,228
Hippo Holdings, Inc. *
46,385
1,458,808
Horace Mann Educators Corp.
99,099
5,164,049
Investors Title Co.
3,550
1,026,979
James River Group Holdings, Inc.
91,098
409,030
Kemper Corp.
145,205
4,120,918
Kingstone Cos., Inc.
28,328
565,710
Kingsway Corp. *
53,713
478,583
Lemonade, Inc. *
174,375
8,424,056
MBIA, Inc. *
113,173
579,446
Mercury General Corp.
66,322
7,104,413
Neptune Insurance Holdings, Inc.,
Class A *
92,518
2,933,746
NI Holdings, Inc. *
16,317
247,203
Octave Specialty Group, Inc. *
100,675
543,645
Oscar Health, Inc., Class A *
585,404
18,276,313
Palomar Holdings, Inc. *
64,415
8,618,083
Pelagos Insurance Capital Ltd.
106,828
2,701,680
Root, Inc., Class A *
31,330
1,696,519
Safety Insurance Group, Inc.
35,835
3,704,981
Selective Insurance Group, Inc.
148,111
14,039,442
SiriusPoint Ltd. *
258,206
6,106,572
Skyward Specialty Insurance Group,
Inc. *
101,973
6,113,281
Slide Insurance Holdings, Inc. *
160,853
3,212,234
Stewart Information Services Corp.
74,522
5,036,942
Tiptree, Inc.
57,665
1,024,707
Trupanion, Inc. *
82,664
2,024,441
United Fire Group, Inc.
52,734
2,708,418
Universal Insurance Holdings, Inc.
61,763
2,699,661
 
168,355,022
 
Materials 4.1%
AdvanSix, Inc.
65,319
1,310,299
Alpha Metallurgical Resources, Inc. *
25,918
3,554,913
Alto Ingredients, Inc. *
178,125
847,875
American Battery Technology Co. *
314,386
657,067
Ampco-Pittsburgh Corp. *
39,373
316,559
Ardagh Metal Packaging SA
344,063
1,627,418
Ashland, Inc.
112,640
8,178,790
ASP Isotopes, Inc. *(a)
277,199
1,108,796
Aspen Aerogels, Inc. *
166,006
768,608
Avient Corp.
226,890
8,240,645
Balchem Corp.
79,757
13,363,684
Cabot Corp.
126,914
11,170,970
SECURITY
NUMBER
OF SHARES
VALUE ($)
Caledonia Mining Corp. PLC
40,962
753,291
Century Aluminum Co. *
170,188
7,619,317
Chemours Co.
373,001
6,195,547
Clearwater Paper Corp. *
38,932
818,740
Commercial Metals Co.
274,029
18,831,273
Compass Minerals International, Inc. *
78,114
2,291,865
Constellium SE, Class A *
329,084
9,141,953
Contango Silver & Gold, Inc. *
64,161
988,079
Core Molding Technologies, Inc. *
20,576
484,771
Critical Metals Corp. *(a)
165,191
906,899
Dakota Gold Corp. *
285,136
1,294,517
Ecovyst, Inc. *
266,657
3,215,883
Elemental Royalty Corp.
87,617
1,372,958
Ferroglobe PLC
296,181
941,856
Flotek Industries, Inc. *
35,395
833,198
FMC Corp.
307,587
3,294,257
Friedman Industries, Inc.
16,735
556,439
Greif, Inc., Class A
73,907
6,396,651
Hawkins, Inc.
47,826
6,123,163
HB Fuller Co.
135,641
7,500,947
Huntsman Corp.
409,423
3,995,968
Hycroft Mining Holding Corp., Class A *
132,657
2,590,791
Idaho Strategic Resources, Inc. *
37,352
1,048,471
Ingevity Corp. *
86,540
6,326,939
Innospec, Inc.
61,215
5,263,266
Intrepid Potash, Inc. *
27,147
921,912
Ivanhoe Electric, Inc. *
295,340
2,702,361
Kaiser Aluminum Corp.
40,036
6,392,948
Knife River Corp. *
141,192
10,331,019
Koppers Holdings, Inc.
44,384
2,175,704
Kronos Worldwide, Inc.
52,774
317,699
Lifezone Metals Ltd. *
95,734
324,538
LSB Industries, Inc. *
145,844
1,586,783
Magnera Corp. *
81,862
1,084,671
Materion Corp.
50,907
10,733,232
Mativ Holdings, Inc.
133,649
1,166,756
McEwen, Inc. *
127,265
2,200,412
Metallus, Inc. *
88,525
1,781,123
Minerals Technologies, Inc.
76,400
5,824,736
Myers Industries, Inc.
92,006
3,142,925
NioCorp Developments Ltd. *
348,764
1,483,991
Novagold Resources, Inc. *
847,433
4,940,534
O-I Glass, Inc. *
378,398
2,705,546
Orion SA
136,920
924,210
Perimeter Solutions, Inc. *
369,455
11,309,018
Perpetua Resources Corp. *
208,034
3,829,906
PureCycle Technologies, Inc. *(a)
355,182
2,262,509
Quaker Chemical Corp.
33,879
5,438,257
Ramaco Resources, Inc., Class A *
115,962
1,063,372
Ranpak Holdings Corp., Class A *
118,871
608,620
Rayonier Advanced Materials, Inc. *
153,010
1,369,439
REalloys, Inc. *(a)
140,334
1,232,133
Ryerson Holding Corp.
110,268
3,064,348
Sensient Technologies Corp.
104,823
12,963,460
Silver Bow Mining Corp. *
12,970
84,175
Smith-Midland Corp. *
6,926
187,937
SSR Mining, Inc. *
536,527
13,745,822
Stepan Co.
53,467
3,429,373
SunCoke Energy, Inc.
209,703
1,778,281
Sylvamo Corp.
82,590
3,089,692
Titan America SA *
60,070
929,884
Tredegar Corp. *
64,020
485,912
TriMas Corp.
66,750
2,665,327
Trinseo PLC *(b)(c)
85,028
42
Tronox Holdings PLC
289,342
1,689,757
U.S. Antimony Corp. *
326,283
1,654,255
U.S. Gold Corp. *
35,238
457,389
U.S. Goldmining, Inc. *(a)
5,806
44,358
U.S. Lime & Minerals, Inc.
26,813
2,957,474
26
  

Schwab Small-Cap Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
USA Rare Earth, Inc. *
471,026
7,041,839
Valhi, Inc.
6,832
91,822
Vista Gold Corp. *
352,717
606,673
Vox Royalty Corp.
151,505
659,047
Warrior Met Coal, Inc.
129,252
10,263,901
Worthington Steel, Inc.
81,169
2,922,896
 
308,600,681
 
Media & Entertainment 1.8%
Advantage Solutions, Inc. *
10,577
415,042
AMC Entertainment Holdings, Inc.,
Class A *
1,509,523
4,256,855
AMC Global Media, Inc., Class A *
77,228
864,954
Angi, Inc. *
71,891
407,622
Atlanta Braves Holdings, Inc., Class C *
138,469
7,038,379
Boston Omaha Corp., Class A *
53,800
762,884
Bumble, Inc., Class A *
246,684
703,049
Cable One, Inc. *
12,639
505,434
Cargurus, Inc. *
183,005
6,632,101
Cars.com, Inc. *
110,775
1,312,684
Cinemark Holdings, Inc.
258,451
9,456,722
Clear Channel Outdoor Holdings, Inc. *
951,205
2,301,916
CuriosityStream, Inc.
104,541
255,080
DoubleVerify Holdings, Inc. *
342,752
3,855,960
Entravision Communications Corp.,
Class A
155,835
1,748,469
EverQuote, Inc., Class A *
68,514
1,727,923
EW Scripps Co., Class A *
141,507
397,635
fuboTV, Inc., Class A *(a)
69,537
615,402
Gray Media, Inc.
216,124
873,141
Grindr, Inc. *
63,963
1,109,118
Ibotta, Inc., Class A *
24,140
579,360
iHeartMedia, Inc., Class A *
300,416
1,078,493
IMAX Corp. *
111,794
5,348,225
John Wiley & Sons, Inc., Class A
96,159
5,019,500
Lee Enterprises, Inc. *
16,173
125,017
Lionsgate Studios Corp. *
483,833
6,425,302
Madison Square Garden Entertainment
Corp., Class A *
96,949
7,490,280
Magnite, Inc. *
350,747
6,769,417
Marcus Corp.
55,126
1,604,167
MediaAlpha, Inc., Class A *
74,911
927,398
MNTN, Inc., Class A *
113,063
1,042,441
National CineMedia, Inc.
165,420
663,334
Newsmax, Inc. *(a)
116,953
901,708
Nextdoor Holdings, Inc. *
567,905
1,260,749
Nexxen International Ltd. *
72,855
748,949
Optimum Communications, Inc.,
Class A *
642,982
490,081
Playtika Holding Corp.
134,096
535,043
PubMatic, Inc., Class A *
94,371
1,189,075
QuinStreet, Inc. *
134,301
2,081,666
Reservoir Media, Inc. *
47,960
491,110
RUM Group, Inc. *(a)
274,636
1,603,874
Scholastic Corp.
37,200
1,512,180
Shutterstock, Inc.
60,557
327,008
Sinclair, Inc.
102,993
1,415,124
Sphere Entertainment Co. *
67,464
9,664,218
Stagwell, Inc., Class A *
253,325
2,140,596
Starz Entertainment Corp. *
29,445
766,159
Stubhub Holdings, Inc., Class A *
542,313
4,577,122
Taboola.com Ltd. *
309,788
1,552,038
TechTarget, Inc. *
71,625
321,596
TripAdvisor, Inc. *
277,597
3,932,162
Trump Media & Technology Group
Corp. *
394,538
3,890,145
USA TODAY Co., Inc. *
333,315
2,896,507
SECURITY
NUMBER
OF SHARES
VALUE ($)
Webtoon Entertainment, Inc. *(a)
51,746
471,924
WeShop Holdings Ltd., Class A *
7,623
37,276
Yelp, Inc., Class A *
130,181
3,440,684
Ziff Davis, Inc. *
84,379
4,478,837
ZipRecruiter, Inc., Class A *
165,143
650,663
ZoomInfo Technologies, Inc., Class A *
596,104
1,967,143
 
135,656,941
 
Pharmaceuticals, Biotechnology & Life Sciences 13.6%
10X Genomics, Inc., Class A *
289,678
13,693,079
4D Molecular Therapeutics, Inc. *
111,444
1,134,500
Abeona Therapeutics, Inc. *
105,082
674,626
Absci Corp. *
336,107
2,614,912
ACADIA Pharmaceuticals, Inc. *
313,111
8,100,182
Achieve Life Sciences, Inc. *(a)
189,138
1,214,266
Aclaris Therapeutics, Inc. *
287,952
1,497,350
Acumen Pharmaceuticals, Inc. *
115,088
247,439
Adaptive Biotechnologies Corp. *
374,267
8,447,206
ADC Therapeutics SA *
258,687
271,621
ADMA Biologics, Inc. *
561,983
4,754,376
Agenus, Inc. *(a)
96,310
722,325
Agios Pharmaceuticals, Inc. *
143,708
4,314,114
Akebia Therapeutics, Inc. *
631,828
834,013
Aktis Oncology, Inc. *
51,557
1,137,863
Alamar Biosciences, Inc. *(a)
32,368
820,852
Alector, Inc. *
239,291
361,329
Alkermes PLC *
407,314
19,954,313
Allogene Therapeutics, Inc. *
645,365
1,213,286
Alpha Teknova, Inc. *
30,642
153,210
Altimmune, Inc. *
483,547
1,373,273
Alto Neuroscience, Inc. *
63,570
1,720,840
Alumis, Inc. *
191,905
5,421,316
ALX Oncology Holdings, Inc. *
260,212
504,811
Amneal Pharmaceuticals, Inc. *
414,058
7,585,543
Amphastar Pharmaceuticals, Inc. *
78,622
1,567,723
Amylyx Pharmaceuticals, Inc. *
223,339
4,536,015
AN2 Therapeutics, Inc. *(a)
64,220
343,577
AnaptysBio, Inc. *
47,930
2,557,545
Anavex Life Sciences Corp. *
224,867
618,384
ANI Pharmaceuticals, Inc. *
49,926
3,956,136
Anika Therapeutics, Inc. *
27,027
521,081
Annexon, Inc. *
376,048
1,915,965
Apogee Therapeutics, Inc. *
109,553
14,689,962
Aquestive Therapeutics, Inc. *(a)
262,509
969,971
Arbutus Biopharma Corp. *
388,788
1,687,340
Arcturus Therapeutics Holdings, Inc. *
61,652
355,116
Arcus Biosciences, Inc. *
217,251
6,124,306
Arcutis Biotherapeutics, Inc. *
277,337
7,449,272
Ardelyx, Inc. *
593,717
2,938,899
Armata Pharmaceuticals, Inc. *
28,857
131,011
ArriVent Biopharma, Inc. *
92,066
2,745,408
ARS Pharmaceuticals, Inc. *(a)
149,813
768,541
Artiva Biotherapeutics, Inc. *
11,515
116,302
Arvinas, Inc. *
144,608
1,161,202
Assembly Biosciences, Inc. *
23,781
597,141
AtaiBeckley, Inc. *
778,131
5,586,981
Atea Pharmaceuticals, Inc. *
172,263
809,636
Atrium Therapeutics, Inc. *
35,118
398,589
Aura Biosciences, Inc. *
109,878
770,245
Aurinia Pharmaceuticals, Inc. *
288,413
4,291,585
Avalo Therapeutics, Inc. *
101,356
1,849,747
Avalyn Pharma, Inc. *
41,641
1,198,844
Azenta, Inc. *
102,227
2,875,646
Beam Therapeutics, Inc. *
240,798
6,145,165
Benitec Biopharma, Inc. *
51,745
605,934
Bicara Therapeutics, Inc. *
106,981
2,899,185
BioAge Labs, Inc. *
85,389
771,917
BioCryst Pharmaceuticals, Inc. *
565,590
5,078,998
  
27

Schwab Small-Cap Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Biohaven Ltd. *
324,857
4,385,569
BioLife Solutions, Inc. *
103,842
3,248,178
Black Diamond Therapeutics, Inc. *
113,822
192,359
Bright Minds Biosciences, Inc. *
18,032
1,321,024
C4 Therapeutics, Inc. *
246,397
857,462
Cabaletta Bio, Inc. *
274,359
735,282
CAMP4 Therapeutics Corp. *(a)
76,660
264,477
Candel Therapeutics, Inc. *
153,792
1,539,458
Canton Strategic Holdings, Inc. *(a)
113,571
219,192
Capricor Therapeutics, Inc. *
130,634
502,941
CareDx, Inc. *
124,595
5,446,047
Caribou Biosciences, Inc. *
223,613
326,475
Cartesian Therapeutics, Inc. *
32,118
250,520
Celcuity, Inc. *
93,244
8,054,417
Celldex Therapeutics, Inc. *
189,866
7,226,300
Century Therapeutics, Inc. *(a)
299,452
604,893
CG oncology, Inc. *
179,343
12,767,428
Climb Bio, Inc. *
85,579
1,018,390
Codexis, Inc. *
196,089
274,525
Cogent Biosciences, Inc. *
405,008
15,766,961
Coherus Oncology, Inc. *
318,186
448,642
Collegium Pharmaceutical, Inc. *
79,606
2,817,256
Compass Therapeutics, Inc. *
322,390
615,765
Connect Biopharma Holdings Ltd. *
36,760
74,255
Context Therapeutics, Inc. *
227,850
136,573
Contineum Therapeutics, Inc., Class A *
65,166
1,009,421
Corbus Pharmaceuticals Holdings, Inc. *
39,702
356,127
CorMedix, Inc. *(a)
181,355
1,365,603
Corvus Pharmaceuticals, Inc. *
164,040
2,175,170
Crescent Biopharma, Inc. *
52,768
763,553
Crinetics Pharmaceuticals, Inc. *
251,861
21,035,431
CRISPR Therapeutics AG *
226,438
10,866,760
CryoPort, Inc. *
120,372
1,816,413
Cullinan Therapeutics, Inc. *
146,560
2,418,240
Cytek Biosciences, Inc. *
295,805
1,248,297
Cytokinetics, Inc. *
321,227
24,776,239
CytomX Therapeutics, Inc. *
431,588
1,337,923
Damora Therapeutics, Inc. *
129,635
3,758,119
Definium Therapeutics, Inc. *
316,210
13,761,459
Denali Therapeutics, Inc. *
357,236
8,223,573
Design Therapeutics, Inc. *
74,808
911,161
DiaMedica Therapeutics, Inc. *
88,387
560,374
Dianthus Therapeutics, Inc. *
115,015
12,297,404
Disc Medicine, Inc. *
68,584
5,280,968
Dyne Therapeutics, Inc. *
368,593
9,281,172
Edgewise Therapeutics, Inc. *
173,697
6,675,176
Editas Medicine, Inc. *
243,722
628,803
Eikon Therapeutics, Inc. *
52,895
487,163
Eledon Pharmaceuticals, Inc. *
187,417
633,469
Elicio Operating Co., Inc. *
31,706
88,777
Emergent BioSolutions, Inc. *
126,946
916,550
Enanta Pharmaceuticals, Inc. *
69,022
869,677
Enliven Therapeutics, Inc. *
104,034
5,702,104
Entrada Therapeutics, Inc. *
71,947
488,520
Erasca, Inc. *
536,087
9,729,979
Eton Pharmaceuticals, Inc. *
64,689
3,002,863
Evolus, Inc. *
144,427
843,454
Evommune, Inc. *(a)
30,830
346,838
EyePoint, Inc. *
187,669
2,298,945
Fennec Pharmaceuticals, Inc. *
70,504
674,723
First Tracks Biotherapeutics, Inc. *
56,774
2,500,327
Foghorn Therapeutics, Inc. *
87,961
398,463
Forte Biosciences, Inc. *
47,041
3,603,341
Fortrea Holdings, Inc. *
235,259
4,509,915
Fulcrum Therapeutics, Inc. *
141,906
508,023
Galectin Therapeutics, Inc. *
116,397
345,699
Generate Biomedicines, Inc. *(a)
59,231
829,234
Geron Corp. *
1,360,078
1,754,501
Ginkgo Bioworks Holdings, Inc. *
115,965
938,157
SECURITY
NUMBER
OF SHARES
VALUE ($)
GRAIL, Inc. *
100,326
6,878,351
Greenwich Lifesciences, Inc. *(a)
16,211
218,849
Gyre Therapeutics, Inc. *(a)
44,877
258,043
Harmony Biosciences Holdings, Inc. *
110,003
3,876,506
Harrow, Inc. *
78,316
3,036,311
Heron Therapeutics, Inc. *
413,595
205,226
Hyperliquid Strategies, Inc. *
305,316
1,896,012
Ideaya Biosciences, Inc. *
203,225
7,214,487
Immix Biopharma, Inc. *
99,794
830,286
Immuneering Corp., Class A *(a)
130,557
539,200
ImmunityBio, Inc. *(a)
937,327
6,720,635
Immunome, Inc. *
255,992
5,826,378
Immunovant, Inc. *
206,747
7,984,569
Indivior Pharmaceuticals, Inc. *
291,569
11,665,676
Inhibikase Therapeutics, Inc. *
294,004
640,929
Inhibrx Biosciences, Inc. *
23,112
1,896,340
Innoviva, Inc. *
184,064
3,859,822
Intellia Therapeutics, Inc. *
328,287
3,506,105
Invivyd, Inc. *
538,493
288,094
Iovance Biotherapeutics, Inc. *
961,999
3,915,336
Ironwood Pharmaceuticals, Inc.,
Class A *
398,128
1,684,081
Jade Biosciences, Inc. *
79,164
1,563,489
Janux Therapeutics, Inc. *
105,130
1,594,822
Kailera Therapeutics, Inc. *
111,358
1,886,405
Karyopharm Therapeutics, Inc. *
48,520
93,158
Keros Therapeutics, Inc. *
45,234
455,506
Kiniksa Pharmaceuticals International
PLC *
102,949
7,653,229
Kodiak Sciences, Inc. *
95,627
3,976,171
Korro Bio, Inc. *
26,870
278,642
Krystal Biotech, Inc. *
63,477
21,653,274
Kura Oncology, Inc. *
206,022
1,856,258
Kymera Therapeutics, Inc. *
152,115
15,728,691
Kyverna Therapeutics, Inc. *
102,479
748,097
Larimar Therapeutics, Inc. *
162,130
619,337
LB Pharmaceuticals, Inc. *
54,176
2,171,374
LENZ Therapeutics, Inc. *(a)
50,765
269,055
Lexeo Therapeutics, Inc. *
172,609
712,875
Lexicon Pharmaceuticals, Inc. *
604,413
1,396,194
Lifecore Biomedical, Inc. *
69,097
305,409
Ligand Pharmaceuticals, Inc. *
48,811
14,035,115
Lineage Cell Therapeutics, Inc. *
447,526
483,328
Liquidia Corp. *
171,434
14,419,314
Lyell Immunopharma, Inc. *
22,930
296,714
MacroGenics, Inc. *
152,584
563,035
MannKind Corp. *
748,185
2,925,403
MapLight Therapeutics, Inc. *
25,379
330,435
Maravai LifeSciences Holdings, Inc.,
Class A *
273,334
1,795,804
Maze Therapeutics, Inc. *
85,504
2,301,768
MBX Biosciences, Inc. *
75,383
4,970,001
MediWound Ltd. *
24,270
342,692
MeiraGTx Holdings PLC *
145,375
1,713,971
Mesa Laboratories, Inc.
12,958
1,306,296
MiMedx Group, Inc. *
293,325
1,211,432
Mineralys Therapeutics, Inc. *
139,404
3,557,590
Minerva Neurosciences, Inc. *
82,625
328,848
Mirum Pharmaceuticals, Inc. *
115,317
12,217,836
Monopar Therapeutics, Inc. *
10,953
1,186,758
Monte Rosa Therapeutics, Inc. *
179,847
2,971,072
Myriad Genetics, Inc. *
223,795
640,054
Nautilus Biotechnology, Inc. *
121,119
118,333
Nektar Therapeutics *
83,706
5,915,503
Neumora Therapeutics, Inc. *
250,075
402,621
Neurogene, Inc. *
27,503
904,574
Nkarta, Inc. *
108,444
226,648
Novavax, Inc. *
368,827
2,699,814
Nurix Therapeutics, Inc. *
232,853
5,404,518
28
  

Schwab Small-Cap Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Nuvation Bio, Inc. *
612,237
3,875,460
Nuvectis Pharma, Inc. *
41,533
893,790
Ocugen, Inc. *(a)
830,799
1,021,883
Ocular Therapeutix, Inc. *
500,059
4,085,482
Olema Pharmaceuticals, Inc. *
190,285
2,178,763
Omeros Corp., Class B *(a)
175,180
2,074,131
OnKure Therapeutics, Inc., Class A *
63,640
243,105
Opus Genetics, Inc. *
130,041
482,452
Oramed Pharmaceuticals, Inc.
83,634
340,390
Organogenesis Holdings, Inc., Class A *
167,822
397,738
ORIC Pharmaceuticals, Inc. *
181,113
2,004,921
Oruka Therapeutics, Inc. *
122,470
11,819,580
Ovid therapeutics, Inc. *
372,024
825,893
Pacific Biosciences of California, Inc. *
685,461
959,645
Pacira BioSciences, Inc. *
96,586
2,550,836
Palisade Bio, Inc. *
358,983
680,273
Palvella Therapeutics, Inc. *
26,644
3,704,582
Perrigo Co. PLC
342,439
3,462,058
Personalis, Inc. *
163,997
2,076,202
Perspective Therapeutics, Inc. *
251,300
731,283
Phathom Pharmaceuticals, Inc. *
119,413
1,044,864
Phibro Animal Health Corp., Class A
50,894
1,848,979
Praxis Precision Medicines, Inc. *
61,048
18,792,406
Precigen, Inc. *
468,854
2,939,715
Precision BioSciences, Inc. *
58,327
407,706
Prelude Therapeutics, Inc. *
67,622
311,061
Prestige Consumer Healthcare, Inc. *
116,601
5,855,702
Prime Medicine, Inc. *
239,900
700,508
ProKidney Corp. *(a)
185,838
286,191
Protagonist Therapeutics, Inc. *
149,482
20,425,220
Protalix BioTherapeutics, Inc. *
180,314
427,344
Protara Therapeutics, Inc. *
122,956
481,988
Prothena Corp. PLC *
108,546
881,394
PTC Therapeutics, Inc. *
201,432
13,699,390
Puma Biotechnology, Inc. *
107,770
854,616
Quanterix Corp. *
104,414
363,361
Rapport Therapeutics, Inc. *
74,395
3,048,707
Recursion Pharmaceuticals, Inc.,
Class A *
1,243,899
3,731,697
REGENXBIO, Inc. *
116,373
1,127,654
Relay Therapeutics, Inc. *
392,508
7,390,926
Relmada Therapeutics, Inc. *
229,629
1,219,330
Replimune Group, Inc. *
192,561
2,156,683
Rezolute, Inc. *
190,465
898,995
Rhythm Pharmaceuticals, Inc. *
134,136
13,312,998
Rigel Pharmaceuticals, Inc. *
44,651
1,643,603
Rocket Pharmaceuticals, Inc. *
220,321
685,198
SAB Biotherapeutics, Inc. *
105,682
377,285
Sagimet Biosciences, Inc., Class A *
142,839
1,015,585
Sana Biotechnology, Inc. *
446,761
1,398,362
Sarepta Therapeutics, Inc. *
252,824
3,756,965
Savara, Inc. *
371,057
2,025,971
Scholar Rock Holding Corp. *
271,790
12,854,308
SELLAS Life Sciences Group, Inc. *(a)
458,889
4,593,479
Septerna, Inc. *
53,751
1,851,722
Shattuck Labs, Inc. *
149,008
1,053,487
SIGA Technologies, Inc.
103,669
338,998
Sionna Therapeutics, Inc. *
44,674
2,105,486
Solid Biosciences, Inc. *
191,271
1,541,644
Spruce Biosciences, Inc. *
6,797
291,116
SpyGlass Pharma, Inc. *
26,863
605,223
Spyre Therapeutics, Inc. *
180,878
17,785,734
Stoke Therapeutics, Inc. *
133,769
3,860,573
Supernus Pharmaceuticals, Inc. *
136,410
6,087,978
Surrozen, Inc. *
18,022
400,269
Sutro Biopharma, Inc. *
38,737
936,273
Syndax Pharmaceuticals, Inc. *
216,690
4,127,944
Tango Therapeutics, Inc. *
341,271
9,275,746
Tarsus Pharmaceuticals, Inc. *
101,711
6,005,017
SECURITY
NUMBER
OF SHARES
VALUE ($)
Taysha Gene Therapies, Inc. *
582,403
3,412,882
Tectonic Therapeutic, Inc. *
25,625
718,269
Tenax Therapeutics, Inc. *
61,174
838,084
TG Therapeutics, Inc. *
353,592
18,397,392
Theravance Biopharma, Inc. *
98,162
1,655,011
Third Harmonic Bio, Inc. *(b)
63,409
0
Tonix Pharmaceuticals Holding
Corp. *(a)
36,301
363,373
Travere Therapeutics, Inc. *
217,314
12,145,679
Trevi Therapeutics, Inc. *
260,247
4,749,508
TriSalus Life Sciences, Inc. *
116,669
529,677
Twist Bioscience Corp. *
150,971
13,821,395
Tyra Biosciences, Inc. *
89,345
2,848,319
Ultragenyx Pharmaceutical, Inc. *
234,817
5,849,291
Unicycive Therapeutics, Inc. *
54,842
274,758
Upstream Bio, Inc. *
84,939
535,965
UroGen Pharma Ltd. *
103,478
3,956,999
Vanda Pharmaceuticals, Inc. *
130,911
667,646
Vaxcyte, Inc. *
320,018
17,306,573
Vera Therapeutics, Inc., Class A *
155,315
4,985,611
Veracyte, Inc. *
197,010
9,125,503
VeraDermics, Inc. *(a)
52,873
5,551,665
Verastem, Inc. *
194,439
1,127,746
Vericel Corp. *
125,265
5,757,179
Vir Biotechnology, Inc. *
298,641
2,586,231
Viridian Therapeutics, Inc. *
219,390
4,150,859
Vor BioPharma, Inc. *
99,180
2,097,657
Voyager Therapeutics, Inc. *
128,451
389,207
WaVe Life Sciences Ltd. *
334,562
1,843,437
Whitehawk Therapeutics, Inc. *
78,832
303,503
X4 Pharmaceuticals, Inc. *
196,530
782,189
Xencor, Inc. *
169,235
3,420,239
Xenon Pharmaceuticals, Inc. *
238,451
14,943,724
Xeris Biopharma Holdings, Inc. *
414,571
3,349,734
Z Squared, Inc. *(a)
103,522
497,941
Zenas Biopharma, Inc. *
69,038
2,170,555
Zentalis Pharmaceuticals, Inc. *
121,689
576,806
Zevra Therapeutics, Inc. *
143,065
1,360,548
Zura Bio Ltd. *
143,306
778,152
Zymeworks, Inc. *
114,401
2,509,958
 
1,025,698,343
 
Real Estate Management & Development 0.7%
AGNT, Inc.
230,618
934,003
American Realty Investors, Inc. *
3,539
53,864
Compass, Inc., Class A *
1,746,604
19,893,820
Comstock Holding Cos., Inc. *
8,679
122,374
Cushman & Wakefield Ltd. *
579,228
7,773,240
Douglas Elliman, Inc. *
183,906
310,801
Forestar Group, Inc. *
48,118
1,354,522
FRP Holdings, Inc. *
28,825
643,374
Marcus & Millichap, Inc.
55,499
1,706,594
Maui Land & Pineapple Co., Inc. *
14,499
251,413
Newmark Group, Inc., Class A
384,989
5,772,910
Opendoor Technologies, Inc. *
2,282,716
8,605,839
RE/MAX Holdings, Inc., Class A *
45,564
412,810
Real Brokerage, Inc. *
377,036
603,258
RMR Group, Inc., Class A
38,487
732,792
Seaport Entertainment Group, Inc. *
18,463
484,284
St. Joe Co.
94,638
5,890,269
Tejon Ranch Co. *
52,623
890,907
Transcontinental Realty Investors, Inc. *
2,503
102,097
 
56,539,171
 
Semiconductors & Semiconductor Equipment 2.8%
ACM Research, Inc., Class A *
130,691
10,255,323
Aehr Test Systems *
74,585
5,965,308
  
29

Schwab Small-Cap Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Aeluma, Inc. *
30,687
497,129
Alpha & Omega Semiconductor Ltd. *
60,083
1,907,034
Ambarella, Inc. *
103,513
8,902,118
Ambiq Micro, Inc. *
45,080
2,866,637
Amtech Systems, Inc. *
28,468
436,699
Atomera, Inc. *(a)
93,284
481,345
Axcelis Technologies, Inc. *
76,038
9,913,834
AXT, Inc. *
151,496
9,154,903
Blaize Holdings, Inc. *(a)
192,236
151,924
Canadian Solar, Inc. *
118,974
1,794,128
CEVA, Inc. *
67,405
2,200,773
Cohu, Inc. *
113,446
5,444,274
Diodes, Inc. *
111,513
9,179,750
Everspin Technologies, Inc. *
47,377
688,388
GSI Technology, Inc. *
77,202
433,103
Ichor Holdings Ltd. *
85,124
6,407,284
Impinj, Inc. *
71,182
10,774,108
indie Semiconductor, Inc., Class A *(a)
521,125
1,683,234
inTEST Corp. *
28,338
349,974
Kopin Corp. *
426,064
1,499,745
Kulicke & Soffa Industries, Inc.
126,199
11,256,951
MaxLinear, Inc. *
210,694
14,078,573
Navitas Semiconductor Corp., Class A *
447,672
4,861,718
NVE Corp.
11,991
1,394,194
PDF Solutions, Inc. *
80,034
3,688,767
Penguin Solutions, Inc. *
122,036
6,422,755
Photronics, Inc. *
141,344
4,281,310
Power Integrations, Inc.
135,866
8,248,425
QuickLogic Corp. *
40,165
526,563
Rigetti Computing, Inc. *
814,483
12,176,521
Silicon Laboratories, Inc. *
80,588
17,527,890
SkyWater Technology, Inc. *(b)
90,760
2,976,352
Synaptics, Inc. *
94,651
10,157,945
T1 Energy, Inc. *
435,464
1,815,885
Toyo Co. Ltd. *(a)
19,715
101,532
Ultra Clean Holdings, Inc. *
109,015
9,082,040
Veeco Instruments, Inc. *
145,908
7,295,400
Wolfspeed, Inc. *(a)
69,271
1,636,181
 
208,516,017
 
Software & Services 6.4%
8x8, Inc. *
338,486
643,123
A10 Networks, Inc.
175,996
5,204,202
ACI Worldwide, Inc. *
249,925
14,328,200
Adeia, Inc.
270,534
7,209,731
Agilysys, Inc. *
63,919
6,721,722
Alarm.com Holdings, Inc. *
116,358
6,370,600
Alkami Technology, Inc. *
165,656
3,009,970
Amplitude, Inc., Class A *
232,504
2,064,636
Appian Corp., Class A *
96,607
2,604,525
Arteris, Inc. *
85,034
2,540,816
Asana, Inc., Class A *
236,752
1,969,777
AvePoint, Inc. *
411,160
5,357,415
Backblaze, Inc., Class A *
142,483
1,954,867
BigBear.ai Holdings, Inc. *(a)
1,183,714
3,302,562
Bit Digital, Inc. *
811,399
1,062,933
Bitdeer Technologies Group, Class A *
315,438
3,318,408
Blackbaud, Inc. *
88,245
3,776,886
BlackLine, Inc. *
120,997
3,799,306
Blend Labs, Inc., Class A *
460,845
820,304
Box, Inc., Class A *
333,545
10,523,345
Brand Engagement Network, Inc. *
10,903
127,674
Braze, Inc., Class A *
232,470
5,793,152
C3.ai, Inc., Class A *
334,082
3,066,873
Cerence, Inc. *
108,164
921,557
Cipher Digital, Inc. *
825,761
18,430,985
Cleanspark, Inc. *
613,653
8,443,865
Clear Secure, Inc., Class A
231,742
12,801,428
SECURITY
NUMBER
OF SHARES
VALUE ($)
Commerce.com, Inc. *
185,235
579,786
Commvault Systems, Inc. *
108,888
12,827,006
Consensus Cloud Solutions, Inc. *
43,837
1,595,667
Core Scientific, Inc. *
763,255
15,814,644
Crexendo, Inc. *
43,130
296,734
CS Disco, Inc. *
69,147
269,673
Daily Journal Corp. *
3,275
1,922,752
Digimarc Corp. *
32,582
213,738
Digital Turbine, Inc. *
274,282
2,210,713
Domo, Inc., Class B *
91,129
336,266
Duos Technologies Group, Inc. *
64,249
553,184
D-Wave Quantum, Inc. *(a)
898,039
16,236,545
DXC Technology Co. *
418,177
4,700,309
eGain Corp. *
41,286
281,571
EverCommerce, Inc. *(a)
35,216
434,565
Everforth, Inc. *
99,141
2,819,570
Fastly, Inc., Class A *
372,088
8,431,514
Five9, Inc. *
186,170
5,121,537
Freshworks, Inc., Class A *
522,270
5,930,376
Globant SA *
104,344
3,818,990
Grid Dynamics Holdings, Inc. *
161,711
1,114,189
Hackett Group, Inc.
55,035
589,975
Hut 8 Corp. *
250,990
27,014,054
I3 Verticals, Inc., Class A *
53,606
1,128,942
Information Services Group, Inc.
85,910
357,386
Intapp, Inc. *
136,717
4,469,279
Intellicheck, Inc. *
44,940
162,233
InterDigital, Inc.
63,482
19,350,901
JFrog Ltd. *
265,203
21,160,547
Kaltura, Inc. *
223,828
306,644
Keel Infrastructure Corp. *
1,436,640
5,703,461
Life360, Inc. *
45,735
2,471,977
LiveRamp Holdings, Inc. *
152,213
5,764,306
MARA Holdings, Inc. *
941,968
10,663,078
Mitek Systems, Inc. *
109,564
1,829,719
N-able, Inc. *
177,386
830,166
nCino, Inc. *
261,157
4,820,958
NCR Voyix Corp. *
343,944
2,844,417
NextNav, Inc. *
246,141
3,226,908
OneSpan, Inc.
90,142
1,395,398
Ooma, Inc. *
62,599
1,361,528
PagerDuty, Inc. *
198,039
2,095,253
PAR Technology Corp. *
102,087
1,730,375
Porch Group, Inc. *
236,168
3,412,628
Progress Software Corp. *
102,718
4,169,324
Q2 Holdings, Inc. *
154,404
9,398,571
Qualys, Inc. *
88,497
12,809,941
Rackspace Technology, Inc. *(a)
227,744
940,583
Rapid7, Inc. *
161,016
1,553,804
Red Violet, Inc. *
27,688
1,920,993
ReposiTrak, Inc.
32,151
271,354
Rimini Street, Inc. *
121,079
582,390
Riot Platforms, Inc. *
867,600
17,499,492
Roadzen, Inc. *
111,864
128,644
ServiceTitan, Inc., Class A *
149,142
12,387,735
SharonAI Holdings, Inc. *(a)
10,526
507,879
Silvaco Group, Inc. *
29,349
228,335
Soluna Holdings, Inc. *(a)
255,611
311,845
SoundHound AI, Inc., Class A *(a)
971,402
5,954,694
Sprinklr, Inc., Class A *
267,544
1,701,580
Sprout Social, Inc., Class A *
132,984
1,141,003
SPS Commerce, Inc. *
90,657
6,653,317
Telos Corp. *
136,347
605,381
Tenable Holdings, Inc. *
279,314
9,116,809
Teradata Corp. *
232,105
7,192,934
Thryv Holdings, Inc. *
83,100
336,555
TSS, Inc. *
59,587
591,103
Tucows, Inc., Class A *
17,474
269,799
Unisys Corp. *
155,446
446,130
30
  

Schwab Small-Cap Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Varonis Systems, Inc., Class B *
277,116
11,070,784
Veritone, Inc. *(a)
205,511
224,007
Vertex, Inc., Class A *
176,948
2,284,399
Via Transportation, Inc., Class A *
127,917
2,601,832
Viant Technology, Inc., Class A *
41,555
489,102
Weave Communications, Inc. *
158,894
1,039,167
Whitefiber, Inc. *(a)
27,586
653,788
Workiva, Inc., Class A *
126,406
7,559,079
Xperi, Inc. *
111,776
861,793
Yext, Inc. *
209,796
1,145,486
ZenaTech, Inc. *(a)
107,431
137,512
Zeta Global Holdings Corp., Class A *
552,237
11,928,319
 
481,083,787
 
Technology Hardware & Equipment 3.9%
908 Devices, Inc. *
71,808
575,182
ADTRAN Holdings, Inc. *
187,091
1,592,144
Aeva Technologies, Inc. *
68,955
1,209,471
Arlo Technologies, Inc. *
263,712
3,881,841
Aviat Networks, Inc. *
29,424
602,604
Badger Meter, Inc.
72,363
9,721,969
Bel Fuse, Inc., Class B
33,189
9,026,412
Belden, Inc.
95,695
11,870,965
Benchmark Electronics, Inc.
87,399
6,971,818
BK Technologies Corp. *
7,411
592,880
Calix, Inc. *
144,102
5,173,262
Clearfield, Inc. *
27,918
844,799
Climb Global Solutions, Inc.
40,289
1,080,148
Corsair Gaming, Inc. *
115,933
1,230,049
CPI Card Group, Inc. *
19,287
406,377
Crane NXT Co.
122,217
6,349,173
CTS Corp.
69,502
4,456,468
Daktronics, Inc. *
96,784
1,913,420
Diebold Nixdorf, Inc. *
55,335
4,072,103
Digi International, Inc. *
91,356
6,369,340
Eastman Kodak Co. *
157,920
1,326,528
ePlus, Inc.
64,392
5,950,465
Evolv Technologies Holdings, Inc. *
399,245
2,207,825
Extreme Networks, Inc. *
316,125
9,528,007
Forward Industries, Inc. *
149,292
601,647
Frequency Electronics, Inc. *
16,531
958,302
GPGI, Inc., Class A
439,865
5,806,218
Harmonic, Inc. *
269,235
3,109,664
Immersion Corp.
66,338
501,515
Infleqtion, Inc. *(a)
285,778
2,809,198
Inseego Corp. *
26,697
187,680
Insight Enterprises, Inc. *
69,830
9,003,182
Itron, Inc. *
108,443
10,807,429
Kimball Electronics, Inc. *
58,603
1,449,252
Knowles Corp. *
209,078
7,650,164
KVH Industries, Inc. *
30,420
281,689
Lantronix, Inc. *
86,803
467,000
LightPath Technologies, Inc., Class A *
135,695
1,407,157
Lightwave Logic, Inc. *
390,963
2,525,621
Methode Electronics, Inc.
85,367
1,194,284
Mirion Technologies, Inc., Class A *
588,372
8,813,813
M-Tron Industries, Inc. *
10,164
837,310
Napco Security Technologies, Inc.
84,560
3,135,485
NETGEAR, Inc. *
64,556
1,559,673
NetScout Systems, Inc. *
173,411
7,052,625
nLight, Inc. *
135,433
9,317,790
Novanta, Inc. *
87,994
12,543,545
Ondas, Inc. *(a)
1,183,390
8,863,591
One Stop Systems, Inc. *
55,360
677,053
OSI Systems, Inc. *
38,862
8,603,658
Ouster, Inc. *
152,213
5,937,829
PC Connection, Inc.
26,675
2,233,231
Plexus Corp. *
65,842
16,548,728
SECURITY
NUMBER
OF SHARES
VALUE ($)
Powerfleet, Inc. NJ *
311,827
1,222,362
Quantum Computing, Inc. *(a)
501,337
4,060,830
RF Industries Ltd. *
20,399
251,316
Ribbon Communications, Inc. *
227,701
487,280
Richardson Electronics Ltd.
29,886
546,615
Rogers Corp. *
43,950
5,426,507
ScanSource, Inc. *
52,791
2,989,026
SmartRent, Inc. *
416,249
420,411
Syntec Optics Holdings, Inc. *
17,257
112,688
Turtle Beach Corp. *
37,376
457,856
Unusual Machines, Inc. *
110,991
2,348,570
Viasat, Inc. *
308,579
23,738,982
Vishay Intertechnology, Inc.
336,339
11,509,521
Vishay Precision Group, Inc. *
29,655
2,729,743
Vistance Networks, Inc. *
540,613
6,346,797
Vuzix Corp. *(a)
162,008
377,479
Xerox Holdings Corp.
299,566
883,720
 
295,747,286
 
Telecommunication Services 0.6%
Anterix, Inc. *
27,916
2,596,746
ATN International, Inc.
25,042
596,250
Bandwidth, Inc., Class A *
71,662
2,804,851
Cogent Communications Holdings, Inc.
119,992
1,619,892
Gogo, Inc. *
195,606
817,633
IDT Corp., Class B
40,390
2,660,085
Liberty Capital Corp., Class C *
90,089
2,087,362
Liberty Latin America Ltd., Class C *
391,927
3,162,851
Lumen Technologies, Inc. *
2,364,184
15,083,494
Shenandoah Telecommunications Co.
122,421
1,467,828
Spok Holdings, Inc.
53,028
578,005
Telephone & Data Systems, Inc.
243,036
8,161,149
Uniti Group, Inc.
413,755
4,021,699
 
45,657,845
 
Transportation 1.2%
Allegiant Travel Co. *
59,326
5,818,694
ArcBest Corp.
54,237
7,829,111
Costamare Bulkers Holdings Ltd. *
21,464
419,836
Costamare, Inc.
109,768
1,710,185
Covenant Logistics Group, Inc., Class A
37,600
1,335,552
flyExclusive, Inc. *
32,539
37,745
Forward Air Corp. *
56,351
791,732
Frontier Group Holdings, Inc. *
144,731
976,934
FTAI Infrastructure, Inc.
267,555
997,980
Genco Shipping & Trading Ltd.
79,059
2,019,167
Heartland Express, Inc.
94,457
1,155,209
Hertz Global Holdings, Inc. *(a)
312,904
495,953
Himalaya Shipping Ltd. *
72,141
1,133,335
Hub Group, Inc., Class A
146,490
6,816,180
JetBlue Airways Corp. *
828,676
4,996,916
Joby Aviation, Inc. *
1,644,085
11,755,208
Marten Transport Ltd.
144,251
2,133,472
Matson, Inc.
74,086
15,009,083
PAMT Corp. *
14,120
227,544
Pangaea Logistics Solutions Ltd.
87,202
663,607
Proficient Auto Logistics, Inc. *
60,113
411,173
Radiant Logistics, Inc. *
88,669
730,633
Republic Airways Holdings, Inc. *
34,559
713,643
RXO, Inc. *
406,463
8,230,876
Safe Bulkers, Inc.
134,768
1,052,538
Sky Harbour Group Corp. *
55,012
588,628
SkyWest, Inc. *
97,380
10,416,739
Universal Logistics Holdings, Inc.
17,482
233,909
  
31

Schwab Small-Cap Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Werner Enterprises, Inc.
147,316
5,512,565
Wheels Up Experience, Inc. *(a)
13,527
77,780
 
94,291,927
 
Utilities 2.8%
American States Water Co.
97,042
8,310,677
Avista Corp.
203,452
8,229,633
Black Hills Corp.
189,110
13,466,523
Brookfield Infrastructure Corp., Class A
306,981
12,985,296
Cadiz, Inc. *
139,797
417,993
California Water Service Group
147,919
7,412,221
Chesapeake Utilities Corp.
59,003
7,834,418
Consolidated Water Co. Ltd.
37,645
1,099,234
Genie Energy Ltd., Class B
51,911
722,082
Global Water Resources, Inc.
35,532
254,409
H2O America
86,042
5,276,956
Hallador Energy Co. *
85,763
1,219,550
Hawaiian Electric Industries, Inc. *
403,464
5,212,755
MGE Energy, Inc.
91,518
7,278,427
Middlesex Water Co.
45,042
2,580,907
Montauk Renewables, Inc. *
170,693
291,885
New Jersey Resources Corp.
250,294
14,489,520
Northwest Natural Holding Co.
103,829
5,079,315
Northwestern Energy Group, Inc.
151,914
10,442,568
ONE Gas, Inc.
154,760
12,017,114
Ormat Technologies, Inc.
152,687
14,899,197
Otter Tail Corp.
94,760
8,378,679
Portland General Electric Co.
287,430
14,178,922
Pure Cycle Corp. *
48,583
510,607
RGC Resources, Inc.
20,614
441,140
Southwest Gas Holdings, Inc.
179,495
16,046,853
Spire, Inc.
144,122
11,509,583
TXNM Energy, Inc.
253,276
14,669,746
Unitil Corp.
43,977
2,372,119
York Water Co.
40,214
1,245,428
 
208,873,757
Total Common Stocks
(Cost $5,213,568,609)
7,533,060,789
 
RIGHTS 0.0% OF NET ASSETS
 
Pharmaceuticals, Biotechnology & Life Sciences 0.0%
Aduro Biotech, Inc. CVR *(b)
27,867
56,835
Cartesian Therapeutics, Inc. CVR *(b)
265,512
613,119
SECURITY
NUMBER
OF SHARES
VALUE ($)
GTx, Inc. CVR *(b)
592
0
Tobira Therapeutics, Inc. CVR *(b)
14,029
0
 
669,954
Total Rights
(Cost $44,006)
669,954
 
 
 
 
SHORT-TERM INVESTMENTS 1.3% OF NET ASSETS
 
Money Market Funds 1.3%
State Street Institutional
U.S. Government Money Market
Fund, Premier Class 3.62% (d)(e)
95,724,200
95,724,200
Total Short-Term Investments
(Cost $95,724,200)
95,724,200
Total Investments in Securities
(Cost $5,309,336,815)
7,629,454,943
 
 
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
($)
CURRENT VALUE/
UNREALIZED
DEPRECIATION
($)
FUTURES CONTRACTS
Long
Russell 2000 Index, e-mini,
expires 09/18/26
190
27,911,000
(108,672
)
 
*
Non-income producing security.
(a)
All or a portion of this security is on loan.
(b)
Fair valued using significant unobservable inputs.
(c)
Issuer is an affiliated company, as the investment adviser owns at least 5% of
the voting securities of such company.
(d)
The rate shown is the annualized 7-day yield.
(e)
Security purchased with cash collateral received for securities on loan.
Securities on loan were valued at $90,859,960.
 
CVR —
Contingent Value Rights
REIT —
Real Estate Investment Trust
 
Below is a summary of the fund’s transactions with affiliated issuers and affiliated companies which are or were affiliates during the period ended July 31, 2026. An affiliated company is a company in which the investment adviser has or had an ownership of at least 5% of the voting securities of a security issue during the report period. A dash in the Value at October 31, 2025, and/or Value and Balance of Shares Held at July 31, 2026, columns means either the issuer was not held or not held as an affiliate on the stated date. 
SECURITY
VALUE AT
10/31/25
PURCHASES
SALES
NET REALIZED
GAINS (LOSSES)
NET CHANGE
IN UNREALIZED
APPRECIATION
(DEPRECIATION)
VALUE AT
7/31/26
BALANCE
OF SHARES
HELD AT
7/31/26
DIVIDENDS
RECEIVED
COMMON STOCKS 0.0% OF NET ASSETS
 
Capital Goods 0.0%
JELD-WEN Holding, Inc. *
$—
$—
($317,654
)
($4,141,394
)
$3,538,812
$—
—
$—
 
Commercial & Professional Services 0.0%
TrueBlue, Inc. *
335,862
81,662
(72,880
)
(87,657
)
224,248
—
—
—
 
32
  

Schwab Small-Cap Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
VALUE AT
10/31/25
PURCHASES
SALES
NET REALIZED
GAINS (LOSSES)
NET CHANGE
IN UNREALIZED
APPRECIATION
(DEPRECIATION)
VALUE AT
7/31/26
BALANCE
OF SHARES
HELD AT
7/31/26
DIVIDENDS
RECEIVED
Consumer Durables & Apparel 0.0%
Oxford Industries, Inc.
$—
$189,283
($234,373
)
($62,198
)
$113,666
$—
—
$70,089
 
Equity Real Estate Investment Trusts (REITs) 0.0%
Service Properties Trust (a)
830,198
1,575,673
(174,869
)
(205,703
)
265,580
2,290,879
285,290
29,853
 
Food, Beverage & Tobacco 0.0%
Hain Celestial Group, Inc. *
—
18,891
(136,210
)
(4,182,068
)
4,040,815
—
—
—
 
Health Care Equipment & Services 0.0%
Accendra Health, Inc. *
—
78,925
(95,728
)
(378,995
)
196,399
—
—
—
 
Household & Personal Products 0.0%
Medifast, Inc. *
335,899
68,334
(362,534
)
(455,678
)
413,979
—
—
—
Nu Skin Enterprises, Inc., Class A
—
121,676
(184,386
)
(621,174
)
301
—
—
20,836
 
—
 
Materials 0.0%
Trinseo PLC *,(a),(b)
—
—
—
—
(124,099
)
42
85,028
—
 
Media & Entertainment 0.0%
AMC Global Media, Inc., Class A *
—
133,168
(144,075
)
(91,238
)
362,571
—
—
—
EW Scripps Co., Class A *
367,081
108,250
(165,611
)
(155,308
)
243,223
—
—
—
Gray Media, Inc.
—
113,167
(162,381
)
59,011
(142,125
)
—
—
48,787
 
—
Total
$1,869,040
$2,489,029
($2,050,701
)
($10,322,402
)
$9,133,370
$2,290,921
$169,565
 
*
Non-income producing security.
(a)
Issuer is an affiliated company, as the investment adviser owns at least 5% of the voting securities of such company.
(b)
Fair valued using significant unobservable inputs.
 
The following is a summary of the inputs used to value the fund’s investments as of July 31, 2026:  
DESCRIPTION
QUOTED PRICES IN
ACTIVE MARKETS FOR
IDENTICAL ASSETS
(LEVEL 1)
OTHER SIGNIFICANT
OBSERVABLE INPUTS
(LEVEL 2)
SIGNIFICANT
UNOBSERVABLE INPUTS
(LEVEL 3)
TOTAL
Assets
Common Stocks 1
$4,689,230,988
$—
$—
$4,689,230,988
Banks
834,585,806
—
6,474
834,592,280
Health Care Equipment & Services
466,422,480
—
0
*
466,422,480
Materials
308,600,639
—
42
308,600,681
Pharmaceuticals, Biotechnology & Life Sciences
1,025,698,343
—
0
*
1,025,698,343
Semiconductors & Semiconductor Equipment
205,539,665
—
2,976,352
208,516,017
Rights
Pharmaceuticals, Biotechnology & Life Sciences
—
—
669,954
*
669,954
Short-Term Investments 1
95,724,200
—
—
95,724,200
  
33

Schwab Small-Cap Index Fund
Portfolio Holdings (Unaudited) continued
DESCRIPTION
QUOTED PRICES IN
ACTIVE MARKETS FOR
IDENTICAL ASSETS
(LEVEL 1)
OTHER SIGNIFICANT
OBSERVABLE INPUTS
(LEVEL 2)
SIGNIFICANT
UNOBSERVABLE INPUTS
(LEVEL 3)
TOTAL
Liabilities
Futures Contracts 2
($108,672
)
$—
$—
($108,672
)
Total
$7,625,693,449
$—
$3,652,822
$7,629,346,271
 
*
Level 3 amount shown includes securities determined to have no value.
1
As categorized in the Portfolio Holdings.
2
Futures contracts are reported at cumulative unrealized appreciation or depreciation.
34
  

Schwab Capital Trust
Schwab Total Stock Market Index Fund
Portfolio Holdings as of July 31, 2026 (Unaudited)
 
SECURITY
NUMBER
OF SHARES
VALUE ($)
COMMON STOCKS 99.8% OF NET ASSETS
 
Automobiles & Components 1.5%
Adient PLC *
49,001
1,030,981
Aptiv PLC *
130,356
7,361,203
Autoliv, Inc.
41,028
5,053,419
BorgWarner, Inc.
125,486
7,998,478
Cooper-Standard Holdings, Inc. *
15,055
443,671
Dana, Inc.
63,598
1,712,694
Dauch Corp. *
145,151
820,103
Dorman Products, Inc. *
16,514
2,199,004
Ford Motor Co.
2,364,058
34,704,371
Fox Factory Holding Corp. *
27,704
498,672
Garrett Motion, Inc.
78,233
2,436,958
General Motors Co.
545,353
48,460,067
Gentex Corp.
130,760
3,054,553
Gentherm, Inc. *
20,348
825,722
Goodyear Tire & Rubber Co. *
169,097
1,175,224
Harley-Davidson, Inc.
65,303
1,602,536
Holley, Inc. *
27,094
72,341
Kodiak AI, Inc. *(a)
97,391
423,651
LCI Industries
14,275
1,461,189
Lear Corp.
30,312
3,959,960
Lucid Group, Inc. *(a)
85,994
634,636
Mobileye Global, Inc., Class A *
105,118
834,637
Motorcar Parts of America, Inc. *
10,000
134,000
Patrick Industries, Inc.
19,246
1,588,757
Phinia, Inc.
23,352
1,718,474
QuantumScape Corp., Class A *
309,251
1,614,290
Rivian Automotive, Inc., Class A *
579,822
8,824,891
Solid Power, Inc. *
140,183
288,777
Standard Motor Products, Inc.
12,698
485,444
Stoneridge, Inc. *
25,000
172,750
Strattec Security Corp. *
3,842
337,673
Tesla, Inc. *
1,708,300
531,640,043
Thor Industries, Inc.
33,312
2,497,401
Versigent PLC *
42,256
1,747,286
Visteon Corp.
16,513
1,726,269
Winnebago Industries, Inc.
17,781
538,409
XPEL, Inc. *
16,516
732,815
 
680,811,349
 
Banks 3.9%
1st Source Corp.
11,594
1,040,446
ACNB Corp.
5,076
327,300
Affinity Bancshares, Inc. *
3,146
72,358
Amalgamated Financial Corp.
11,518
568,759
Amerant Bancorp, Inc.
28,955
857,068
Ameris Bancorp
40,274
3,512,296
Ames National Corp.
4,056
124,073
Arrow Financial Corp.
6,961
277,326
Associated Banc-Corp.
97,712
3,017,347
Atlantic Union Bankshares Corp.
91,167
3,868,216
Auburn National BanCorp, Inc.
800
20,952
Avidbank Holdings, Inc. *
3,500
114,135
Avidia Bancorp, Inc.
16,000
356,800
Axos Financial, Inc. *
35,841
3,634,636
Banc of California, Inc.
83,000
1,589,450
BancFirst Corp.
12,804
1,444,547
SECURITY
NUMBER
OF SHARES
VALUE ($)
Bancorp, Inc. *
26,071
1,748,582
Bank First Corp.
5,865
895,820
Bank of America Corp.
3,956,929
245,131,752
Bank of Hawaii Corp.
25,737
2,056,386
Bank of Marin Bancorp
17,631
514,120
Bank of the James Financial Group,
Inc.
2,744
74,198
Bank OZK
61,585
3,159,310
Bank7 Corp.
2,054
103,275
BankUnited, Inc.
45,500
2,122,575
Bankwell Financial Group, Inc.
4,876
332,299
Banner Corp.
21,262
1,497,057
Bar Harbor Bankshares
10,903
432,958
BayCom Corp.
4,901
147,912
BCB Bancorp, Inc.
7,033
70,260
Beacon Financial Corp.
47,821
1,506,840
Blue Ridge Bankshares, Inc.
40,597
142,495
BOK Financial Corp.
12,920
1,825,467
Bridgewater Bancshares, Inc. *
8,542
174,940
Broadway Financial Corp. *
2,507
25,346
Burke & Herbert Financial Services
Corp.
10,328
756,526
Business First Bancshares, Inc.
21,152
673,057
BV Financial, Inc. *
5,000
102,700
Byline Bancorp, Inc.
21,660
850,588
C&F Financial Corp.
2,200
181,698
California BanCorp
8,995
191,593
Camden National Corp.
10,027
580,463
Capital Bancorp, Inc.
5,770
215,394
Capital City Bank Group, Inc.
8,558
443,903
Capitol Federal Financial, Inc.
63,473
561,101
Carter Bankshares, Inc.
10,087
348,808
Catalyst Bancorp, Inc. *
1,959
33,499
Cathay General Bancorp
40,213
2,541,059
CB Financial Services, Inc.
2,090
76,557
Central BanCo, Inc.
21,000
688,800
Central Pacific Financial Corp.
16,311
642,653
CF Bankshares, Inc.
2,505
89,078
Chemung Financial Corp.
1,306
106,426
ChoiceOne Financial Services, Inc.
7,247
246,615
Citigroup, Inc.
1,035,042
137,091,313
Citizens & Northern Corp.
10,947
277,944
Citizens Community Bancorp, Inc.
8,309
182,798
Citizens Financial Group, Inc.
256,388
18,370,200
Citizens Financial Services, Inc.
2,033
157,598
City Holding Co.
9,009
1,307,296
Civista Bancshares, Inc.
9,755
283,480
CNB Financial Corp.
21,576
757,318
Coastal Financial Corp. *
8,813
361,245
CoastalSouth Bancshares, Inc.
4,000
109,080
Colony Bankcorp, Inc.
13,200
289,344
Columbia Banking System, Inc.
176,994
5,534,602
Columbia Financial, Inc. *
58,466
632,017
Commerce Bancshares, Inc.
81,002
4,800,989
Commercial Bancgroup, Inc.
5,901
202,050
Community Bancorp/VT
4,000
161,800
Community Financial System, Inc.
30,925
2,004,249
Community Trust Bancorp, Inc.
9,370
735,076
Community West Bancshares
9,746
243,942
ConnectOne Bancorp, Inc.
28,115
926,108
Cullen/Frost Bankers, Inc.
37,761
6,281,165
  
35

Schwab Total Stock Market Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Customers Bancorp, Inc. *
18,677
1,469,506
CVB Financial Corp.
100,973
2,258,766
Dime Commercial Bancshares, Inc.
25,092
1,022,750
Eagle Bancorp Montana, Inc.
2,563
60,051
Eagle Bancorp, Inc.
21,490
596,347
Eagle Financial Services, Inc.
2,313
93,792
East West Bancorp, Inc.
83,004
10,873,524
Eastern Bankshares, Inc.
133,178
3,057,767
ECB Bancorp, Inc. *
4,412
90,667
Enterprise Financial Services Corp.
22,321
1,480,106
Equity Bancshares, Inc., Class A
9,351
473,909
Esquire Financial Holdings, Inc.
3,256
420,740
Farmers & Merchants Bancorp, Inc.
6,004
200,293
Farmers National Banc Corp.
33,808
536,195
FB Bancorp, Inc. *
10,000
154,550
FB Financial Corp.
24,568
1,483,416
Fidelity D&D Bancorp, Inc.
1,779
93,575
Fifth Third Bancorp
547,147
30,913,805
Financial Institutions, Inc.
9,261
383,961
Finward Bancorp
1,806
80,295
Finwise Bancorp *
4,562
62,773
First BanCorp
95,407
2,760,125
First Bancorp, Inc.
3,588
125,939
First Bancorp/Southern Pines NC
25,438
1,599,287
First Bank
9,056
167,808
First Busey Corp.
53,565
1,653,016
First Business Financial Services, Inc.
4,713
330,900
First Capital, Inc.
1,074
67,963
First Citizens BancShares, Inc.,
Class A
5,626
12,302,093
First Commonwealth Financial Corp.
60,638
1,305,536
First Community Bankshares, Inc.
11,451
546,442
First Community Corp.
7,020
239,803
First Financial Bancorp
62,267
2,106,493
First Financial Bankshares, Inc.
81,518
2,864,543
First Financial Corp.
6,587
530,583
First Hawaiian, Inc.
73,476
2,041,898
First Horizon Corp.
294,445
7,549,570
First Internet Bancorp
9,435
277,955
First Interstate BancSystem, Inc.,
Class A
51,968
1,975,823
First Merchants Corp.
38,387
1,656,015
First Mid Bancshares, Inc.
13,730
715,196
First National Corp.
2,648
84,074
First Northern Community Bancorp *
16,041
295,154
First Northwest Bancorp *
3,416
39,147
First Seacoast Bancorp, Inc. *
3,389
57,511
First U.S. Bancshares, Inc.
4,841
79,876
First United Corp.
2,849
125,755
First Western Financial, Inc. *
2,786
86,784
Firstsun Capital Bancorp *
18,078
699,257
Five Star Bancorp
9,216
434,903
Flagstar Bank NA
178,180
2,533,720
FNB Corp.
223,092
4,216,439
Franklin Financial Services Corp.
1,992
125,815
FS Bancorp, Inc.
3,171
136,068
Fulton Financial Corp.
115,770
2,816,684
FVCBankcorp, Inc.
8,954
166,455
GBank Financial Holdings, Inc. *
5,604
116,675
German American Bancorp, Inc.
24,197
1,231,143
Glacier Bancorp, Inc.
77,070
3,798,780
Great Southern Bancorp, Inc.
4,013
322,284
Greene County Bancorp, Inc.
3,212
107,474
Hancock Whitney Corp.
49,925
3,844,225
Hanmi Financial Corp.
18,022
574,541
Hanover Bancorp, Inc.
2,522
66,190
Hawthorn Bancshares, Inc.
2,065
80,514
HBT Financial, Inc.
12,774
457,820
Heritage Financial Corp.
24,137
717,593
SECURITY
NUMBER
OF SHARES
VALUE ($)
Hilltop Holdings, Inc.
23,698
934,649
Hingham Institution For Savings
1,361
388,130
Home Bancorp, Inc.
3,387
241,629
Home BancShares, Inc.
109,706
3,408,565
HomeTrust Bancshares, Inc.
6,363
325,722
Hope Bancorp, Inc.
85,500
1,197,855
Horizon Bancorp, Inc.
33,053
675,934
Hoyne Bancorp, Inc. *
7,000
113,820
Huntington Bancshares, Inc.
1,224,549
20,866,315
Independent Bank Corp.
12,944
494,461
Independent Bank Corp.
29,226
2,450,016
International Bancshares Corp.
32,521
2,489,157
Investar Holding Corp.
7,833
235,930
Isabella Bank Corp.
3,500
138,985
John Marshall Bancorp, Inc.
8,443
195,878
JPMorgan Chase & Co.
1,625,488
571,830,424
Kearny Financial Corp.
30,246
290,059
KeyCorp
565,305
12,770,240
Lakeland Financial Corp.
16,287
1,020,381
Landmark Bancorp, Inc.
2,287
71,675
LCNB Corp.
9,732
192,791
Live Oak Bancshares, Inc.
21,962
939,974
M&T Bank Corp.
88,842
21,880,896
Magyar Bancorp, Inc.
9,051
172,422
MainStreet Bancshares, Inc.
3,000
69,180
Mechanics Bancorp, Class A
27,221
457,041
Mercantile Bank Corp.
10,502
630,960
Meridian Corp.
3,846
75,535
Metrocity Bankshares, Inc.
12,678
448,548
Metropolitan Bank Holding Corp.
7,144
660,677
Mid Penn Bancorp, Inc.
13,835
530,434
Midland States Bancorp, Inc.
16,549
557,205
MVB Financial Corp.
4,605
141,143
National Bank Holdings Corp.,
Class A
25,679
1,109,076
National Bankshares, Inc.
4,506
182,944
NB Bancorp, Inc.
19,402
446,440
NBT Bancorp, Inc.
33,197
1,747,822
Nicolet Bankshares, Inc.
11,771
2,011,899
Northeast Bank
4,701
583,723
Northeast Community Bancorp, Inc.
5,675
151,522
Northpointe Bancshares, Inc.
5,000
87,500
Northrim BanCorp, Inc.
10,384
275,280
Northwest Bancshares, Inc.
81,439
1,281,850
Norwood Financial Corp.
7,060
239,969
NSTS Bancorp, Inc. *
1,610
22,202
Oak Valley Bancorp
3,707
125,556
OceanFirst Financial Corp.
50,156
968,512
OFG Bancorp
25,482
1,346,979
Ohio Valley Banc Corp.
1,400
58,884
Old National Bancorp
212,173
5,652,289
Old Second Bancorp, Inc.
31,972
808,572
OP Bancorp
5,203
81,167
Orange County Bancorp, Inc.
6,824
261,018
Origin Bancorp, Inc.
18,627
1,019,456
Orrstown Financial Services, Inc.
12,410
530,279
Park National Corp.
10,292
2,142,280
Parke Bancorp, Inc.
4,518
154,290
Pathward Financial, Inc.
13,923
1,228,566
PCB Bancorp
4,081
113,737
Peapack-Gladstone Financial Corp.
10,157
467,019
Peoples Bancorp of North Carolina,
Inc.
1,896
81,528
Peoples Bancorp, Inc.
22,771
948,640
Peoples Financial Services Corp.
3,954
278,203
Pinnacle Financial Partners, Inc.
92,013
9,682,528
Pioneer Bancorp, Inc. *
2,717
46,787
Plumas Bancorp
2,267
138,990
PNC Financial Services Group, Inc.
243,252
60,781,377
36
  

Schwab Total Stock Market Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Ponce Financial Group, Inc. *
10,983
221,637
Popular, Inc.
39,246
6,876,292
Preferred Bank
7,196
751,550
Primis Financial Corp.
10,278
164,654
Princeton Bancorp, Inc.
6,590
271,772
Prosperity Bancshares, Inc.
70,545
5,281,704
Provident Financial Holdings, Inc.
3,562
63,261
Provident Financial Services, Inc.
80,277
1,981,236
QCR Holdings, Inc.
10,327
1,063,165
RBB Bancorp
6,055
159,670
Red River Bancshares, Inc.
1,974
198,486
Regions Financial Corp.
516,087
15,972,893
Renasant Corp.
56,553
2,464,014
Republic Bancorp, Inc., Class A
4,781
475,901
Richmond Mutual BanCorp, Inc.
4,348
68,046
Riverview Bancorp, Inc.
6,215
32,940
S&T Bancorp, Inc.
19,385
1,010,928
SB Financial Group, Inc.
3,301
86,750
Seacoast Banking Corp. of Florida
59,866
2,079,745
ServisFirst Bancshares, Inc.
30,278
2,709,881
Shore Bancshares, Inc.
23,946
586,677
Sierra Bancorp
5,854
238,609
Simmons First National Corp.,
Class A
95,466
2,252,043
SmartFinancial, Inc.
9,197
481,923
Sound Financial Bancorp, Inc.
1,096
51,764
South Plains Financial, Inc.
10,924
489,832
Southern First Bancshares, Inc. *
5,167
322,421
Southern Missouri Bancorp, Inc.
5,845
452,461
Southside Bancshares, Inc.
17,464
567,755
Southstate Bank Corp.
60,861
6,395,882
SR Bancorp, Inc.
3,800
74,290
Sterling Bancorp, Inc. *(b)
9,738
1,369
Stock Yards Bancorp, Inc.
17,213
1,464,826
Texas Capital Bancshares, Inc.
26,971
2,666,083
TFS Financial Corp.
26,645
490,534
Third Coast Bancshares, Inc. *
6,287
275,622
Timberland Bancorp, Inc.
3,571
160,088
Tompkins Financial Corp.
8,504
849,039
Towne Bank
51,213
1,941,485
TriCo Bancshares
20,078
1,155,288
Triumph Financial, Inc. *
12,774
969,930
Truist Financial Corp.
754,161
39,095,706
TrustCo Bank Corp.
10,728
611,281
Trustmark Corp.
35,327
1,676,266
U.S. Bancorp
941,352
59,314,590
UMB Financial Corp.
43,558
6,347,707
Union Bankshares, Inc.
2,125
48,939
United Bancorp, Inc.
3,371
51,408
United Bankshares, Inc.
84,102
4,074,742
United Community Banks, Inc.
73,263
2,596,441
Unity Bancorp, Inc.
2,383
140,335
Univest Financial Corp.
19,154
847,373
USCB Financial Holdings, Inc.
5,422
119,121
Valley National Bancorp
299,442
4,279,026
Virginia National Bankshares Corp.
2,256
103,314
WaFd, Inc.
47,546
1,748,266
Washington Trust Bancorp, Inc.
9,175
357,641
Webster Financial Corp.
98,073
7,573,197
Wells Fargo & Co.
1,852,982
160,190,294
WesBanco, Inc.
57,283
2,370,371
West BanCorp, Inc.
6,294
176,547
Westamerica BanCorp
12,784
768,958
Western Alliance Bancorp
63,802
5,135,423
Western New England Bancorp, Inc.
10,349
133,813
Wintrust Financial Corp.
40,910
6,526,781
SECURITY
NUMBER
OF SHARES
VALUE ($)
WSFS Financial Corp.
31,394
2,517,799
Zions Bancorp NA
90,354
6,297,674
 
1,711,545,064
 
Capital Goods 7.5%
3D Systems Corp. *
97,194
256,592
3M Co.
316,326
55,761,947
A.O. Smith Corp.
66,755
4,013,978
AAON, Inc.
41,355
3,683,076
AAR Corp. *
24,088
3,373,284
Acuity, Inc.
18,325
6,017,747
Advanced Drainage Systems, Inc.
43,767
6,060,854
AECOM
79,004
5,719,100
AeroVironment, Inc. *
19,844
2,964,098
AerSale Corp. *
12,000
74,400
Aevex Corp., Class A *
19,643
326,663
AGCO Corp.
37,106
3,790,749
AIAI Holdings Corp., Class A *
36,000
179,640
AirJoule Technologies Corp. *
15,696
66,394
Alamo Group, Inc.
6,386
1,015,885
Albany International Corp., Class A
18,015
1,342,298
Allegion PLC
52,371
8,243,195
Alliance Laundry Holdings, Inc. *
22,665
597,676
Allient, Inc.
8,995
786,703
Allison Transmission Holdings, Inc.
50,391
5,771,785
Alpha Pro Tech Ltd. *
5,970
29,432
Alta Equipment Group, Inc. *
10,115
66,557
Ameresco, Inc., Class A *
23,341
491,795
American Infrastructure Corp. *(a)(b)
6,920
0
American Superconductor Corp. *
28,658
841,685
AMETEK, Inc.
138,879
33,568,443
Amprius Technologies, Inc. *
81,967
786,883
API Group Corp. *
231,518
9,186,634
Apogee Enterprises, Inc.
12,815
507,474
Applied Industrial Technologies, Inc.
22,595
7,800,020
Archer Aviation, Inc., Class A *
402,949
1,869,683
Arcosa, Inc.
29,132
4,229,966
Argan, Inc.
8,412
4,798,457
Armstrong World Industries, Inc.
25,881
4,520,375
Array Technologies, Inc. *
85,978
448,805
Arxis, Inc., Class A *
29,221
1,586,700
Astec Industries, Inc.
14,016
710,051
Astronics Corp. *
23,443
1,629,054
ATI, Inc. *
83,142
15,584,136
Atkore, Inc.
19,730
1,439,501
Atmus Filtration Technologies, Inc.
50,450
2,604,734
Axon Enterprise, Inc. *
48,746
25,726,189
AZZ, Inc.
18,030
2,609,302
Babcock & Wilcox Enterprises, Inc. *
76,633
714,220
Beta Technologies, Inc., Class A *
19,000
359,670
Bloom Energy Corp., Class A *
159,154
32,755,485
Blue Bird Corp. *
18,757
1,395,333
BlueLinx Holdings, Inc. *
5,850
317,187
Boeing Co. *
478,035
103,322,485
Boise Cascade Co.
21,084
1,610,396
Bowman Consulting Group Ltd.,
Class A *
9,300
249,705
Broadwind, Inc. *
7,298
29,192
Builders FirstSource, Inc. *
65,141
4,327,968
BWX Technologies, Inc.
55,081
9,292,165
Cadre Holdings, Inc.
17,630
543,533
Cardinal Infrastructure Group, Inc.,
Class A *
10,800
668,412
Carlisle Cos., Inc.
24,609
8,857,271
Carpenter Technology Corp.
30,050
15,615,783
Carrier Global Corp.
471,299
29,130,991
Caterpillar, Inc.
279,494
227,734,506
CECO Environmental Corp. *
32,560
2,145,378
  
37

Schwab Total Stock Market Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Centuri Holdings, Inc. *
50,250
1,398,960
ChargePoint Holdings, Inc. *
14,308
78,122
CNH Industrial NV
537,754
5,511,979
Columbus McKinnon Corp.
15,270
292,726
Comfort Systems USA, Inc.
21,360
36,946,178
Concrete Pumping Holdings, Inc. *
9,442
91,871
Construction Partners, Inc., Class A *
29,668
3,066,188
Core & Main, Inc., Class A *
115,719
5,088,164
CPI Aerostructures, Inc. *
9,173
45,957
Crane Co.
29,937
6,390,352
CSW Industrials, Inc.
10,115
3,225,977
Cummins, Inc.
83,683
53,071,759
Curtiss-Wright Corp.
22,243
16,103,932
Custom Truck One Source, Inc. *
42,302
429,365
Deere & Co.
152,478
90,369,136
Distribution Solutions Group, Inc. *
4,920
170,084
DNOW, Inc. *
109,209
1,542,031
Donaldson Co., Inc.
70,071
6,603,491
Douglas Dynamics, Inc.
15,032
663,362
Dover Corp.
81,364
16,648,702
Ducommun, Inc. *
8,697
1,556,937
DXP Enterprises, Inc. *
7,811
1,226,483
Dycom Industries, Inc. *
18,079
7,250,945
Eastern Co.
1,809
42,909
Eaton Corp. PLC
235,666
97,848,523
Elmet Group Co. *
8,000
111,280
EMCOR Group, Inc.
27,007
21,536,192
Emerson Electric Co.
339,147
50,811,004
Energy Recovery, Inc. *
25,803
223,196
Energy Vault Holdings, Inc. *
62,860
179,151
Enerpac Tool Group Corp., Class A
32,034
1,144,895
EnerSys
22,234
4,136,636
Enovix Corp. *(a)
126,487
517,332
Enpro, Inc.
12,614
3,959,787
Eos Energy Enterprises, Inc. *(a)
202,312
683,815
EquipmentShare.com, Inc.,
Class A *(a)
19,000
356,250
Esab Corp.
34,993
3,027,944
ESCO Technologies, Inc.
15,862
5,001,130
Eve Holding, Inc. *
50,000
116,000
Everus Construction Group, Inc. *
31,366
3,934,237
EVI Industries, Inc.
2,765
38,904
Fastenal Co.
697,466
33,276,103
Federal Signal Corp.
37,667
4,706,492
Ferguson Enterprises, Inc.
117,963
27,642,270
Firefly Aerospace, Inc. *
19,803
402,595
Flowserve Corp.
77,559
5,893,708
Fluence Energy, Inc. *
51,320
714,888
Fluor Corp. *
85,763
4,302,730
Forgent Power Solutions, Inc.,
Class A *
116,113
3,863,080
Fortive Corp.
184,410
10,918,916
Fortune Brands Innovations, Inc.
72,835
3,587,852
Franklin Electric Co., Inc.
22,848
2,392,643
FreightCar America, Inc. *
5,033
40,113
FTAI Aviation Ltd.
61,881
12,747,486
FuelCell Energy, Inc. *
42,501
918,447
Gates Industrial Corp. Ltd. *
151,979
4,252,372
GATX Corp.
21,889
3,915,285
GE Vernova, Inc.
163,311
161,725,250
Gencor Industries, Inc. *
3,418
48,672
Generac Holdings, Inc. *
35,399
6,977,497
General Dynamics Corp.
154,288
59,157,105
General Electric Co.
633,540
228,118,748
Gibraltar Industries, Inc. *
18,355
775,682
Global Industrial Co.
8,750
312,725
Gorman-Rupp Co.
13,052
1,059,692
Graco, Inc.
101,916
8,090,092
GrafTech International Ltd. *
12,000
80,640
SECURITY
NUMBER
OF SHARES
VALUE ($)
Graham Corp. *
6,437
617,308
Granite Construction, Inc.
25,926
3,136,268
Greenbrier Cos., Inc.
18,913
931,465
Griffon Corp.
23,420
2,018,101
Hawkeye 360, Inc. *
12,000
254,400
Hayward Holdings, Inc. *
119,502
1,808,065
HEICO Corp.
59,202
21,097,225
Helios Technologies, Inc.
19,779
1,540,982
Herc Holdings, Inc.
18,923
2,841,099
Hexcel Corp.
44,661
4,597,850
Hillman Solutions Corp. *
117,215
922,482
Honeywell Aerospace, Inc. *
192,591
39,816,263
Honeywell International, Inc.
191,510
46,546,505
Howmet Aerospace, Inc.
242,687
68,500,833
Hubbell, Inc., Class B
32,074
15,156,569
Hudson Technologies, Inc. *
17,443
105,356
Huntington Ingalls Industries, Inc.
23,691
7,733,927
Hyliion Holdings Corp. *
83,384
296,847
Hyster-Yale, Inc.
5,997
200,480
IDEX Corp.
45,156
10,406,200
IES Holdings, Inc. *
5,395
4,016,793
Illinois Tool Works, Inc.
158,220
45,401,229
Ingersoll Rand, Inc.
214,723
17,903,604
Innovative Solutions & Support, Inc. *
6,865
125,561
Insteel Industries, Inc.
14,474
443,628
Intuitive Machines, Inc., Class A *
79,848
985,324
ITT, Inc.
53,883
10,559,990
Janus International Group, Inc. *
103,760
532,289
JBT Marel Corp.
32,245
4,464,965
Johnson Controls International PLC
369,433
54,181,044
Kadant, Inc.
6,969
2,142,968
Karat Packaging, Inc.
3,014
121,283
Karman Holdings, Inc. *
58,640
2,823,516
Kennametal, Inc.
45,070
1,531,028
Kratos Defense & Security Solutions,
Inc. *
116,441
5,426,151
L.B. Foster Co., Class A *
5,290
217,578
L3Harris Technologies, Inc.
112,680
31,219,121
Legence Corp., Class A *
32,160
2,055,989
Lennox International, Inc.
19,255
8,007,769
Leonardo DRS, Inc.
50,308
2,316,683
Limbach Holdings, Inc. *
6,744
483,545
Lincoln Electric Holdings, Inc.
33,197
8,674,708
Lindsay Corp.
6,743
747,259
Loar Holdings, Inc. *
21,175
1,449,429
Lockheed Martin Corp.
122,992
71,672,358
Louisiana-Pacific Corp.
37,334
2,704,102
LSI Industries, Inc.
20,912
489,132
Luxfer Holdings PLC
12,212
207,970
Madison Air Solutions Corp.,
Class A *
55,046
1,599,637
Manitowoc Co., Inc. *
22,850
316,473
Masco Corp.
122,834
8,780,174
MasTec, Inc. *
37,581
9,887,561
Masterbrand, Inc. *
118,242
975,497
Matrix Service Co. *
20,847
241,825
Mayville Engineering Co., Inc. *
11,327
290,764
McGrath RentCorp
14,569
1,677,620
Mercury Systems, Inc. *
31,401
3,049,037
Merlin, Inc. *(a)
32,287
121,722
Microvast Holdings, Inc. *
110,747
89,384
Middleby Corp. *
25,461
3,401,080
Midera Food Processing, Inc. *
25,461
1,220,855
Miller Industries, Inc.
9,119
458,686
Modine Manufacturing Co. *
31,812
6,396,121
Moog, Inc., Class A
17,347
6,762,728
MSC Industrial Direct Co., Inc.,
Class A
26,965
3,327,481
Mueller Industries, Inc.
133,946
8,895,354
38
  

Schwab Total Stock Market Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Mueller Water Products, Inc., Class A
93,001
2,347,345
MYR Group, Inc. *
9,527
3,174,587
NANO Nuclear Energy, Inc. *(a)
23,000
365,930
National Presto Industries, Inc.
3,738
453,868
Nextpower, Inc., Class A *
89,981
8,086,592
NN, Inc. *
28,401
94,007
Nordson Corp.
31,965
9,518,538
Northrop Grumman Corp.
80,900
43,886,632
NPK International, Inc. *
54,340
678,707
NuScale Power Corp. *
141,305
1,189,788
nVent Electric PLC
97,347
14,974,889
NWPX Infrastructure, Inc. *
6,698
824,390
Optex Systems Holdings, Inc. *
1,633
18,437
Orion Group Holdings, Inc. *
29,852
291,953
Oshkosh Corp.
38,580
5,494,178
Otis Worldwide Corp.
231,711
16,671,606
Owens Corning
48,962
6,800,822
PACCAR, Inc.
318,766
42,293,873
Palladyne AI Corp. *(a)
16,115
84,281
Park Aerospace Corp.
8,310
281,709
Parker-Hannifin Corp.
76,379
74,586,385
Park-Ohio Holdings Corp.
3,931
156,965
Pentair PLC
98,766
6,463,247
Perma-Pipe International Holdings,
Inc. *
3,363
81,216
Plug Power, Inc. *
829,680
1,709,141
Powell Industries, Inc.
17,343
3,619,137
Power Solutions International, Inc. *
3,000
82,830
Preformed Line Products Co.
1,873
668,624
Primoris Services Corp.
34,441
2,907,165
Proto Labs, Inc. *
14,685
1,102,109
Quanex Building Products Corp.
29,879
533,041
Quanta Services, Inc.
90,918
60,675,036
QXO, Inc. *
502,125
6,678,262
RBC Bearings, Inc. *
19,075
10,516,238
Red Cat Holdings, Inc. *
76,269
574,306
Redwire Corp. *
70,223
605,322
Regal Rexnord Corp.
40,058
8,221,103
Resideo Technologies, Inc. *
85,412
2,929,632
Richtech Robotics, Inc., Class B *
97,881
138,991
Rocket Lab Corp. *
307,373
19,963,876
Rockwell Automation, Inc.
67,418
32,366,033
RTX Corp.
816,799
175,791,481
Rush Enterprises, Inc., Class A
43,567
3,476,211
Satellogic, Inc., Class A *
65,125
233,148
Sensata Technologies Holding PLC
90,014
4,166,748
SES AI Corp. *
162,323
89,343
Shoals Technologies Group, Inc.,
Class A *
94,261
823,841
Sidus Space, Inc., Class A *(a)
60,000
105,600
Simpson Manufacturing Co., Inc.
25,484
4,784,366
SiteOne Landscape Supply, Inc. *
27,250
2,573,490
Snap-on, Inc.
31,318
12,853,220
Solv Energy, Inc., Class A *
21,030
597,883
SPX Technologies, Inc. *
30,218
6,636,477
StandardAero, Inc. *
113,994
3,341,164
Standex International Corp.
7,193
2,132,725
Stanley Black & Decker, Inc.
93,943
8,885,129
Starfighters Space, Inc. *(a)
25,000
88,750
Sterling Infrastructure, Inc. *
18,869
11,260,453
Sunbelt Rentals Holdings, Inc.
248,199
17,850,472
Sunrun, Inc. *
146,909
1,441,177
Symbotic, Inc. *
34,706
1,494,093
Taylor Devices, Inc. *
2,017
103,533
Tecnoglass Holdings, Inc.
16,125
700,470
Tennant Co.
10,536
885,340
Terex Corp.
69,976
4,397,292
Terrestrial Energy, Inc. *(a)
38,400
188,544
Textron, Inc.
105,165
8,966,368
SECURITY
NUMBER
OF SHARES
VALUE ($)
Timken Co.
37,587
5,170,092
Titan International, Inc. *
41,443
299,218
Titan Machinery, Inc. *
17,256
293,179
Toro Co.
57,814
5,311,372
Trane Technologies PLC
133,997
60,961,935
Transcat, Inc. *
6,587
562,332
TransDigm Group, Inc.
33,942
42,576,166
Trex Co., Inc. *
63,521
2,754,271
Trinity Industries, Inc.
47,893
1,496,177
Tutor Perini Corp.
25,970
2,174,988
Twin Disc, Inc.
5,599
127,713
UFP Industries, Inc.
34,082
2,956,273
Ultralife Corp. *
6,691
34,726
United Rentals, Inc.
38,011
41,023,752
V2X, Inc. *
12,596
1,136,663
Valmont Industries, Inc.
11,741
5,655,640
Velo3D, Inc. *(a)
10,000
101,300
Vertiv Holdings Co., Class A
233,464
56,397,898
Vicor Corp. *
14,148
2,933,871
Virgin Galactic Holdings, Inc. *(a)
92,581
236,082
Voyager Technologies, Inc., Class A *
6,200
152,086
VSE Corp.
17,095
3,323,097
Wabash National Corp.
25,000
314,000
Watsco, Inc.
21,148
6,541,076
Watts Water Technologies, Inc.,
Class A
16,709
5,777,805
WESCO International, Inc.
29,348
10,080,745
Westinghouse Air Brake
Technologies Corp.
102,893
29,927,458
Willis Lease Finance Corp.
6,678
476,342
WillScot Holdings Corp.
108,510
2,634,623
Woodward, Inc.
35,966
12,974,734
Worthington Enterprises, Inc.
18,884
1,061,470
WW Grainger, Inc.
26,391
36,478,168
X-Energy, Inc. *(a)
32,895
536,517
Xometry, Inc., Class A *
29,047
2,489,909
Xylem, Inc.
144,082
16,853,272
York Space Systems, Inc. *(a)
12,787
188,353
Zurn Elkay Water Solutions Corp.,
Class C
88,664
4,478,419
 
3,306,909,660
 
Commercial & Professional Services 1.0%
ABM Industries, Inc.
36,089
1,729,024
ACCO Brands Corp.
35,000
147,700
ACV Auctions, Inc., Class A *
100,000
749,000
Alight, Inc., Class A
34,258
581,701
Amentum Holdings, Inc. *
95,046
2,110,021
Andersen Group, Inc., Class A *
10,000
473,300
Asure Software, Inc. *
18,413
147,856
Automatic Data Processing, Inc.
242,329
64,570,985
Barrett Business Services, Inc.
18,517
722,904
BlackSky Technology, Inc. *
16,866
388,761
Booz Allen Hamilton Holding Corp.,
Class A
73,826
5,147,149
Brady Corp., Class A
26,550
2,502,869
Bridger Aerospace Group Holdings,
Inc. *
12,500
24,250
BrightView Holdings, Inc. *
43,240
563,850
Brink's Co.
24,899
2,949,287
Broadridge Financial Solutions, Inc.
69,862
10,755,255
CACI International, Inc., Class A *
13,341
6,640,483
Casella Waste Systems, Inc.,
Class A *
38,066
3,414,901
CBIZ, Inc. *
29,327
1,615,331
Cimpress PLC *
8,208
810,130
Cintas Corp.
206,310
42,217,215
  
39

Schwab Total Stock Market Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Clarivate PLC *
271,043
536,665
Clean Harbors, Inc. *
30,301
9,480,577
Concentrix Corp.
26,000
639,600
Conduent, Inc. *
100,000
157,000
Copart, Inc. *
537,274
15,645,419
CoreCivic, Inc. *
64,077
1,915,902
CRA International, Inc.
4,054
725,788
Deluxe Corp.
27,083
700,637
DLH Holdings Corp. *
3,968
19,364
Ennis, Inc.
15,401
335,742
Enviri Corp. *
16,609
368,388
Equifax, Inc.
72,636
12,538,426
ExlService Holdings, Inc. *
93,519
3,173,100
Exponent, Inc.
29,921
2,000,219
Falcon's Beyond Global, Inc.,
Class A *
8,000
79,520
First Advantage Corp. *
57,282
1,136,475
Franklin Covey Co. *
9,270
198,842
FTI Consulting, Inc. *
17,833
2,842,224
Genpact Ltd.
95,550
3,360,493
GEO Group, Inc. *
80,874
2,498,198
Healthcare Services Group, Inc. *
43,118
1,004,649
HireQuest, Inc.
1,724
22,274
HNI Corp.
40,796
1,836,228
Huron Consulting Group, Inc. *
9,332
1,416,318
ICF International, Inc.
11,220
907,922
Innodata, Inc. *
19,745
1,240,578
Insperity, Inc.
25,219
1,276,334
Interface, Inc., Class A
34,765
1,191,049
Jacobs Solutions, Inc.
70,854
9,560,330
KBR, Inc.
81,514
2,984,228
Kelly Services, Inc., Class A
16,000
237,440
Kforce, Inc.
12,479
708,433
Korn Ferry
30,601
2,517,544
Legalzoom.com, Inc. *
68,000
535,160
Leidos Holdings, Inc.
77,499
8,958,884
Liquidity Services, Inc. *
16,754
653,071
ManpowerGroup, Inc.
27,696
1,451,824
Maximus, Inc.
32,909
1,982,767
MillerKnoll, Inc.
43,543
980,588
Mistras Group, Inc. *
7,028
106,896
Mobility Global, Inc. *
183,557
3,740,892
MSA Safety, Inc.
21,897
4,166,342
NLI Holdings, Inc.
5,834
33,487
Onterris, Inc. *
20,000
419,800
OPENLANE, Inc. *
63,398
2,520,704
Parsons Corp. *
35,381
1,564,194
Paychex, Inc.
194,904
22,772,583
Paycom Software, Inc.
25,700
4,213,772
Paylocity Holding Corp. *
26,264
3,621,674
Perma-Fix Environmental Services,
Inc. *
5,410
89,806
Pitney Bowes, Inc.
73,423
1,287,105
Planet Labs PBC *
178,114
3,647,775
Quad/Graphics, Inc.
10,911
113,365
RB Global, Inc.
112,026
12,293,733
RCM Technologies, Inc. *
3,160
89,396
Republic Services, Inc., Class A
121,392
25,559,086
Resolute Holdings Management,
Inc. *
1,836
227,223
Resources Connection, Inc.
37,295
162,979
Robert Half, Inc.
62,795
2,373,651
Rollins, Inc.
177,045
6,722,399
Science Applications International
Corp.
26,964
3,158,293
Spire Global, Inc., Class A *
25,949
297,376
SS&C Technologies Holdings, Inc.
126,702
9,762,389
Team, Inc. *
2,284
39,742
Tetra Tech, Inc.
160,974
5,337,898
SECURITY
NUMBER
OF SHARES
VALUE ($)
TIC Solutions, Inc. *
114,167
834,561
TransUnion
117,391
9,229,280
TriNet Group, Inc.
17,580
1,157,291
TrueBlue, Inc. *
18,000
127,440
UL Solutions, Inc., Class A
46,636
4,273,723
UniFirst Corp.
8,714
2,553,028
Upwork, Inc. *
75,000
687,000
Veralto Corp.
149,795
14,106,195
Verisk Analytics, Inc., Class A
79,593
15,508,696
Verra Mobility Corp., Class A *
92,000
486,680
Vestis Corp. *
65,714
950,224
Waste Management, Inc.
223,720
50,683,766
Willdan Group, Inc. *
8,879
608,478
 
461,609,094
 
Consumer Discretionary Distribution & Retail 5.4%
1stdibs.com, Inc. *
26,868
113,652
Abercrombie & Fitch Co., Class A *
27,683
2,755,566
Academy Sports & Outdoors, Inc.
39,494
1,873,990
Advance Auto Parts, Inc.
38,887
2,159,784
Amazon.com, Inc. *
5,939,986
1,613,181,398
American Eagle Outfitters, Inc.
92,780
1,593,960
Arhaus, Inc.
27,308
202,352
Arko Corp.
50,423
402,880
ARKO Petroleum Corp.
10,000
203,000
Asbury Automotive Group, Inc. *
11,224
2,600,601
AutoNation, Inc. *
15,751
3,345,512
AutoZone, Inc. *
9,995
30,147,419
Barnes & Noble Education, Inc.
12,663
157,528
Bath & Body Works, Inc.
121,952
2,453,674
Bed Bath & Beyond, Inc. *
48,122
243,016
Best Buy Co., Inc.
117,960
10,175,230
Bob's Discount Furniture, Inc. *
14,000
233,380
Boot Barn Holdings, Inc. *
17,899
2,666,772
Buckle, Inc.
19,582
857,104
Build-A-Bear Workshop, Inc.
7,407
251,245
Burlington Stores, Inc. *
38,200
14,075,936
Caleres, Inc.
14,805
190,096
Camping World Holdings, Inc.,
Class A
29,438
182,221
CarMax, Inc. *
85,625
4,902,888
Carvana Co., Class A *
433,961
27,061,808
Chewy, Inc., Class A *
146,457
3,309,928
Citi Trends, Inc. *
3,328
221,878
Coupang, Inc., Class A *
805,503
13,169,974
Designer Brands, Inc., Class A
22,662
136,879
Dick's Sporting Goods, Inc.
40,057
7,847,567
Dillard's, Inc., Class A
1,836
1,080,192
eBay, Inc.
269,393
30,713,496
Eightco Holdings, Inc. *
372,485
224,720
Enhanced Group, Inc. *(a)
62,822
174,645
Envela Corp. *
4,047
87,739
Etsy, Inc. *
58,344
4,765,538
EVgo, Inc., Class A *(a)
93,173
147,213
Five Below, Inc. *
33,616
7,299,042
Floor & Decor Holdings, Inc.,
Class A *
66,292
3,816,430
GameStop Corp., Class A *
253,240
5,500,373
Gap, Inc.
133,528
2,682,578
Genesco, Inc. *
5,301
202,604
Genuine Parts Co.
83,924
10,437,628
GigaCloud Technology, Inc., Class A *
13,833
605,055
Gold.com, Inc.
12,487
516,462
Group 1 Automotive, Inc.
7,091
2,033,486
Groupon, Inc., Class A *(a)
14,848
409,508
Haverty Furniture Cos., Inc.
5,993
147,668
Home Depot, Inc.
604,107
200,539,360
Kohl's Corp.
66,288
1,268,752
40
  

Schwab Total Stock Market Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Lands' End, Inc. *
7,994
96,088
Lithia Motors, Inc., Class A
13,979
5,387,786
LKQ Corp.
155,680
3,495,016
Lowe's Cos., Inc.
339,456
70,542,351
Macy's, Inc.
157,444
3,907,760
MarineMax, Inc. *
9,973
343,769
Monro, Inc.
26,559
325,348
Murphy USA, Inc.
10,312
6,267,221
National Vision Holdings, Inc. *
40,138
884,642
Ollie's Bargain Outlet Holdings, Inc. *
36,316
2,668,137
O'Reilly Automotive, Inc. *
503,149
44,956,363
Outdoor Holding Co. *
42,500
90,950
Pattern Group, Inc., Class A *
22,838
525,731
Penske Automotive Group, Inc.
11,766
2,556,870
Petco Health & Wellness Co., Inc.,
Class A *
109,136
304,489
Pool Corp.
19,341
3,591,817
RealReal, Inc. *
65,694
794,241
Revolve Group, Inc. *
17,558
440,881
RH *
10,520
1,741,270
Ross Stores, Inc.
195,118
48,988,276
Sally Beauty Holdings, Inc. *
58,790
880,086
Savers Value Village, Inc. *
22,419
230,019
Shoe Station Group, Inc.
22,204
337,501
Signet Jewelers Ltd.
24,266
2,254,311
Sonic Automotive, Inc., Class A
8,954
820,007
Stitch Fix, Inc., Class A *
81,350
327,027
ThredUp, Inc., Class A *
69,107
399,439
TJX Cos., Inc.
670,990
105,573,567
Tractor Supply Co.
318,780
9,808,861
Ulta Beauty, Inc. *
26,363
13,519,737
Upbound Group, Inc.
34,011
659,473
Urban Outfitters, Inc. *
31,732
2,353,880
Valvoline, Inc. *
75,444
2,897,804
Victoria's Secret & Co. *
47,318
4,196,160
Warby Parker, Inc., Class A *
61,490
1,641,168
Wayfair, Inc., Class A *
68,171
5,787,718
Weyco Group, Inc.
3,125
121,875
Williams-Sonoma, Inc.
70,954
16,224,342
Winmark Corp.
1,879
626,647
Zumiez, Inc. *
6,961
136,923
 
2,386,075,278
 
Consumer Durables & Apparel 0.6%
Acushnet Holdings Corp.
15,876
1,607,762
Bassett Furniture Industries, Inc.
4,101
77,796
Beazer Homes USA, Inc. *
15,667
502,911
Brunswick Corp.
40,711
3,216,169
Callaway Golf Co. *
82,826
1,528,968
Capri Holdings Ltd. *
72,346
1,152,472
Carter's, Inc.
24,675
951,715
Cavco Industries, Inc. *
4,661
2,549,707
Century Communities, Inc.
16,135
1,083,627
Champion Homes, Inc. *
33,512
2,667,890
Clarus Corp.
14,055
45,117
Columbia Sportswear Co.
15,317
909,523
Cricut, Inc., Class A
25,000
117,250
Crocs, Inc. *
30,464
3,899,697
Deckers Outdoor Corp. *
85,637
8,296,513
Dr. Horton, Inc.
159,890
22,873,863
Dream Finders Homes, Inc.,
Class A *
16,669
213,196
Escalade, Inc.
3,803
75,528
Ethan Allen Interiors, Inc.
18,762
420,269
Figs, Inc., Class A *
95,455
1,021,368
Flexsteel Industries, Inc.
2,656
196,624
Fossil Group, Inc. *
25,000
123,750
Garmin Ltd.
99,535
29,241,392
SECURITY
NUMBER
OF SHARES
VALUE ($)
G-III Apparel Group Ltd.
23,826
867,505
GoPro, Inc., Class A *(a)
64,829
48,557
Green Brick Partners, Inc. *
19,421
1,373,647
Hamilton Beach Brands Holding Co.,
Class A
3,706
85,201
Hasbro, Inc.
81,176
7,625,673
Helen of Troy Ltd. *
14,124
390,246
Hooker Furnishings Corp.
10,000
139,700
Hovnanian Enterprises, Inc.,
Class A *
3,730
462,147
Installed Building Products, Inc.
13,179
2,938,126
JAKKS Pacific, Inc.
5,309
139,786
Johnson Outdoors, Inc., Class A
2,681
125,766
KB Home
39,308
2,160,761
Kontoor Brands, Inc.
30,295
2,536,903
Latham Group, Inc. *
50,319
269,710
La-Z-Boy, Inc.
26,329
1,036,836
Legacy Housing Corp. *
4,652
122,161
Leggett & Platt, Inc.
84,152
824,690
Lennar Corp., Class A
135,508
11,159,084
Levi Strauss & Co., Class A
59,505
1,459,063
LGI Homes, Inc. *
13,659
745,372
Lovesac Co. *
17,811
286,579
Lululemon Athletica, Inc. *
63,388
7,534,932
M/I Homes, Inc. *
16,006
2,338,957
Malibu Boats, Inc., Class A *
12,904
355,763
MasterCraft Boat Holdings, Inc. *
9,039
216,213
Mattel, Inc. *
181,064
2,732,256
Meritage Homes Corp.
41,120
2,886,624
Mohawk Industries, Inc. *
32,551
4,007,028
Movado Group, Inc.
6,936
264,816
Newell Brands, Inc.
254,649
1,426,034
NIKE, Inc., Class B
725,815
30,273,744
NVR, Inc. *
1,686
10,363,926
Oxford Industries, Inc.
11,768
446,243
Peloton Interactive, Inc., Class A *
263,806
1,685,720
Polaris, Inc.
32,246
2,163,062
PulteGroup, Inc.
115,917
14,660,023
PVH Corp.
27,799
2,409,061
Ralph Lauren Corp., Class A
23,298
8,861,161
Rocky Brands, Inc.
2,880
140,659
SharkNinja, Inc. *
43,827
7,089,894
Smith & Wesson Brands, Inc.
27,549
400,838
Smith Douglas Homes Corp. *
10,000
148,300
Somnigroup International, Inc.
127,010
8,297,563
Sonos, Inc. *
72,906
1,068,802
Steven Madden Ltd.
43,028
1,982,730
Sturm Ruger & Co., Inc.
7,968
296,171
Superior Group of Cos., Inc.
5,398
63,966
Tapestry, Inc.
122,144
18,611,081
Toll Brothers, Inc.
57,699
8,417,707
Under Armour, Inc., Class A *
183,390
1,219,543
VF Corp.
206,819
2,961,648
Whirlpool Corp.
40,000
1,500,000
Wolverine World Wide, Inc.
58,096
1,143,329
XMAX, Inc. *(a)
26,000
224,120
YETI Holdings, Inc. *
45,491
2,226,330
 
265,988,864
 
Consumer Services 1.8%
Accel Entertainment, Inc., Class A *
29,774
357,883
ADT, Inc.
344,374
2,631,017
Airbnb, Inc., Class A *
253,826
38,459,715
American Public Education, Inc. *
13,122
636,548
Aramark
158,566
9,033,505
Bally's Corp. *
3,500
48,755
Biglari Holdings, Inc., Class B *
514
204,310
BJ's Restaurants, Inc. *
15,419
1,042,479
  
41

Schwab Total Stock Market Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Bloomin' Brands, Inc.
63,313
548,291
Booking Holdings, Inc.
469,881
90,640,045
Boyd Gaming Corp.
34,876
2,966,553
Bright Horizons Family Solutions,
Inc. *
33,308
2,482,778
Brinker International, Inc. *
25,934
5,542,096
Caesars Entertainment, Inc. *
125,816
3,743,026
Canterbury Park Holding Corp.
1,452
22,230
Carnival Corp. Ltd.
775,560
21,568,324
Carriage Services, Inc., Class A
9,313
375,966
Cava Group, Inc. *
61,791
4,030,627
Cheesecake Factory, Inc.
27,186
2,757,204
Chegg, Inc. *
100,000
98,300
Chipotle Mexican Grill, Inc., Class A *
777,403
28,934,940
Choice Hotels International, Inc.
12,258
1,366,644
Churchill Downs, Inc.
41,319
3,483,192
Coursera, Inc. *
85,116
451,966
Covista, Inc. *
21,233
2,650,940
Cracker Barrel Old Country Store,
Inc.
14,128
796,678
Darden Restaurants, Inc.
69,462
14,141,074
Dave & Buster's Entertainment, Inc. *
15,994
173,375
Dine Brands Global, Inc. (a)
7,136
256,468
Domino's Pizza, Inc.
18,865
6,554,456
DoorDash, Inc., Class A *
229,004
44,921,425
DraftKings, Inc., Class A *
302,065
7,092,486
Driven Brands Holdings, Inc. *
40,607
579,462
Duolingo, Inc. *
25,459
3,432,128
Dutch Bros, Inc., Class A *
78,598
5,174,106
El Pollo Loco Holdings, Inc. *
16,086
264,776
Expedia Group, Inc.
69,504
20,485,609
First Watch Restaurant Group, Inc. *
17,892
229,912
Flutter Entertainment PLC *
105,091
10,978,857
Frontdoor, Inc. *
42,389
3,078,713
Global Business Travel Group I *
82,728
780,952
Graham Holdings Co., Class B
1,960
2,358,938
Grand Canyon Education, Inc. *
16,139
2,345,642
H&R Block, Inc.
79,682
3,508,398
Hilton Grand Vacations, Inc. *
37,249
1,718,669
Hilton Worldwide Holdings, Inc.
137,986
44,223,133
Hyatt Hotels Corp., Class A
24,979
4,347,845
Inspired Entertainment, Inc. *
10,938
75,253
Krispy Kreme, Inc. *
48,000
152,640
Kura Sushi USA, Inc., Class A *
5,503
253,523
Las Vegas Sands Corp.
182,596
8,927,118
Laureate Education, Inc. *
77,727
2,977,721
Liberty Live Holdings, Inc., Class C *
42,842
4,224,221
Life Time Group Holdings, Inc. *
94,655
4,268,940
Lincoln Educational Services Corp. *
18,908
790,733
Lindblad Expeditions Holdings, Inc. *
24,542
725,952
Lucky Strike Entertainment Corp.,
Class C (a)
14,987
100,413
Marriott International, Inc., Class A
132,463
49,386,180
Marriott Vacations Worldwide Corp.
17,707
1,726,610
Matthews International Corp.,
Class A
18,759
520,562
McDonald's Corp.
430,538
116,520,804
McGraw Hill, Inc. *
12,000
131,520
MGM Resorts International *
116,233
5,180,505
Monarch Casino & Resort, Inc.
7,804
957,941
Nathan's Famous, Inc.
1,235
121,166
Navan, Inc., Class A *
22,922
610,184
Norwegian Cruise Line Holdings
Ltd. *
278,866
5,167,387
OneSpaWorld Holdings Ltd.
62,571
1,611,829
Papa John's International, Inc. (a)
21,290
636,571
Penn Entertainment, Inc. *
78,759
1,616,922
Perdoceo Education Corp.
36,225
1,152,317
SECURITY
NUMBER
OF SHARES
VALUE ($)
Planet Fitness, Inc., Class A *
48,532
2,713,424
Portillo's, Inc., Class A *
68,816
314,489
Pursuit Attractions & Hospitality,
Inc. *
15,203
768,208
Rave Restaurant Group, Inc. *
10,012
31,538
Red Rock Resorts, Inc., Class A
27,801
1,791,496
Royal Caribbean Cruises Ltd.
151,339
48,171,204
Rush Street Interactive, Inc. *
62,048
1,669,712
Sabre Corp. *
309,222
572,061
Serve Robotics, Inc. *(a)
36,785
175,832
Service Corp. International
85,147
7,338,820
Shake Shack, Inc., Class A *
23,789
1,492,760
SHARPLINK, Inc. *
126,699
775,398
Six Flags Entertainment Corp. *(a)
62,061
1,075,517
Starbucks Corp.
690,102
72,633,235
Strategic Education, Inc.
14,183
1,163,006
Stride, Inc. *
25,466
2,044,665
Sweetgreen, Inc., Class A *
69,085
445,598
Target Hospitality Corp. *
21,320
324,064
Texas Roadhouse, Inc., Class A
40,009
8,219,449
Travel & Leisure Co.
38,295
2,911,186
United Parks & Resorts, Inc. *
14,593
651,286
Universal Technical Institute, Inc. *
30,157
1,185,472
Vail Resorts, Inc.
21,403
3,197,180
Venu Holding Corp. *
35,000
71,050
Wendy's Co.
98,650
726,064
Wingstop, Inc.
16,295
2,110,040
Wyndham Hotels & Resorts, Inc.
44,896
3,360,915
Wynn Resorts Ltd.
51,680
5,132,341
Xponential Fitness, Inc., Class A *
30,000
195,600
Yum! Brands, Inc.
166,505
25,521,886
 
806,140,944
 
Consumer Staples Distribution & Retail 1.7%
Albertsons Cos., Inc., Class A
217,799
2,522,112
Andersons, Inc.
19,799
1,401,373
BJ's Wholesale Club Holdings, Inc. *
77,308
7,559,176
Casey's General Stores, Inc.
22,362
19,477,302
Chefs' Warehouse, Inc. *
21,743
2,508,055
Costco Wholesale Corp.
269,237
256,284,008
Dollar General Corp.
132,795
16,871,605
Dollar Tree, Inc. *
109,406
13,917,537
Grocery Outlet Holding Corp. *
75,932
697,815
Ingles Markets, Inc., Class A
9,677
871,027
Kroger Co.
342,401
19,770,234
Maplebear, Inc. *
99,951
4,457,815
Natural Grocers by Vitamin Cottage,
Inc., Class C
4,452
142,731
Performance Food Group Co. *
94,815
10,845,888
PriceSmart, Inc.
15,344
2,975,355
Sprouts Farmers Market, Inc. *
57,484
5,010,305
Sysco Corp.
288,933
24,628,649
Target Corp.
275,030
39,739,085
U.S. Foods Holding Corp. *
133,050
13,383,500
United Natural Foods, Inc. *
35,794
1,819,409
Village Super Market, Inc., Class A
6,411
281,699
Walmart, Inc.
2,659,593
295,746,742
Weis Markets, Inc.
7,325
564,391
Yesway, Inc., Class A *(a)
12,000
251,040
 
741,726,853
 
Energy 3.5%
Aemetis, Inc. *
37,000
55,870
American Resources Corp. *(a)
46,000
82,340
Amplify Energy Corp. *
16,372
64,015
Antero Midstream Corp.
204,008
4,482,056
Antero Resources Corp. *
178,253
6,442,063
42
  

Schwab Total Stock Market Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
APA Corp.
214,007
7,986,741
Archrock, Inc.
104,159
3,724,726
Atlas Energy Solutions, Inc., Class A
45,586
491,873
Baker Hughes Co., Class A
603,492
36,505,231
BKV Corp. *
23,891
584,374
Bristow Group, Inc.
18,269
827,951
Cactus, Inc., Class A
41,380
2,690,114
California Resources Corp.
46,727
2,458,775
Calumet, Inc. *
38,012
1,679,750
Centrus Energy Corp., Class A *
11,145
1,971,885
Cheniere Energy, Inc.
126,643
33,379,295
Chevron Corp.
1,136,531
223,703,397
Chord Energy Corp.
33,468
4,698,238
Clean Energy Fuels Corp. *
104,632
202,986
CNX Resources Corp. *
83,237
2,979,885
Comstock Resources, Inc. *
48,526
643,455
Comstock, Inc. *
56,249
154,122
ConocoPhillips
738,181
88,936,047
Core Laboratories, Inc.
27,510
292,706
Core Natural Resources, Inc.
30,566
2,440,389
Crescent Energy Co., Class A
143,425
1,645,085
CVR Energy, Inc.
18,545
660,573
Delek U.S. Holdings, Inc.
36,024
2,444,949
Devon Energy Corp.
699,850
31,584,230
Diamondback Energy, Inc.
118,218
23,992,343
Diversified Energy Co. (a)
37,259
501,506
DMC Global, Inc. *
8,283
55,827
Dorian LPG Ltd.
22,818
1,082,030
DT Midstream, Inc.
61,360
8,467,680
Energy Services of America Corp.
8,556
123,035
EOG Resources, Inc.
324,315
48,222,397
Epsilon Energy Ltd.
25,425
142,380
EQT Corp.
380,599
20,282,121
Evolution Petroleum Corp.
15,426
56,768
Excelerate Energy, Inc., Class A
16,104
632,404
Expand Energy Corp.
146,130
13,740,604
Expro Ltd. *
61,866
986,763
ExxonMobil Holdings Corp.
2,515,116
390,949,631
Flowco Holdings, Inc., Class A
23,011
470,575
Forum Energy Technologies, Inc. *
7,600
476,292
FutureFuel Corp.
22,103
109,410
Gevo, Inc. *
139,561
206,550
Granite Ridge Resources, Inc.
38,980
185,155
Green Plains, Inc. *
42,716
719,765
Greenland Energy Co. *(a)
25,000
56,750
Gulfport Energy Corp. *
9,272
1,496,223
Halliburton Co.
511,516
16,496,391
Helix Energy Solutions Group, Inc. *
80,570
766,221
Helmerich & Payne, Inc.
59,000
2,039,630
HF Sinclair Corp.
91,762
8,393,470
HMH Holding, Inc., Class A *
10,803
224,594
Infinity Natural Resources, Inc.,
Class A *
16,300
214,508
Innovex International, Inc. *
25,270
709,582
International Seaways, Inc.
24,804
2,385,649
Kinder Morgan, Inc.
1,187,952
38,228,295
Kinetik Holdings, Inc., Class A
32,026
1,619,555
Kodiak Gas Services, Inc.
59,211
3,476,278
Kosmos Energy Ltd. *
387,130
1,041,380
Liberty Energy, Inc., Class A
95,725
1,791,015
Lightbridge Corp. *
21,562
177,671
Magnolia Oil & Gas Corp., Class A
139,579
3,588,576
Mammoth Energy Services, Inc. *
10,739
28,458
Marathon Petroleum Corp.
176,771
55,942,718
Matador Resources Co.
72,589
3,621,465
Murphy Oil Corp.
83,770
3,329,020
Nabors Industries Ltd. *
8,700
745,329
NACCO Industries, Inc., Class A
1,966
93,188
SECURITY
NUMBER
OF SHARES
VALUE ($)
National Energy Services Reunited
Corp. *
37,041
998,625
Natural Gas Services Group, Inc.
6,513
238,636
New Era Energy & Digital, Inc. *(a)
70,059
326,475
NextDecade Corp. *
83,662
562,209
Noble Corp. PLC
74,612
3,163,549
Northern Oil & Gas, Inc.
74,746
1,580,878
NOV, Inc.
215,866
4,194,276
Occidental Petroleum Corp.
437,794
24,984,904
Oceaneering International, Inc. *
58,918
2,874,020
Oil States International, Inc. *
55,816
452,668
ONEOK, Inc.
382,085
34,697,139
Ovintiv, Inc.
169,015
10,556,677
Par Pacific Holdings, Inc. *
29,490
2,537,025
Patterson-UTI Energy, Inc.
207,088
2,170,282
PBF Energy, Inc., Class A
48,773
3,525,312
Peabody Energy Corp.
71,980
1,534,614
Permian Resources Corp., Class A
477,256
10,170,325
Phillips 66
243,067
51,452,423
Presidio Production Co., Class A (a)
12,000
136,680
PrimeEnergy Resources Corp. *
362
66,644
ProFrac Holding Corp., Class A *
11,000
44,440
ProPetro Holding Corp. *
57,462
637,828
Range Resources Corp.
144,659
5,806,612
Ranger Energy Services, Inc., Class A
5,075
81,454
REX American Resources Corp. *
16,802
723,158
Riley Exploration Permian, Inc.
5,555
190,370
Ring Energy, Inc. *
96,457
119,607
RPC, Inc.
52,343
293,644
Sable Offshore Corp. *(a)
74,144
392,222
SandRidge Energy, Inc.
18,685
260,095
SEACOR Marine Holdings, Inc. *
10,252
96,676
Seadrill Ltd. *
36,806
1,650,381
Select Water Solutions, Inc.
68,610
1,270,657
SLB Ltd.
908,832
45,068,979
SM Energy Co.
138,235
4,495,402
Smart Sand, Inc.
17,439
75,162
Solaris Energy Infrastructure, Inc.
33,812
1,738,275
Summit Midstream Corp. *
4,783
147,412
Talos Energy, Inc. *
75,319
1,143,342
Targa Resources Corp.
130,313
35,232,726
TechnipFMC PLC
244,018
17,486,330
TETRA Technologies, Inc. *
85,975
662,007
Texas Pacific Land Corp.
34,971
14,078,625
Tidewater, Inc. *
27,444
2,059,947
Transocean Ltd. *
627,585
3,338,752
Uranium Energy Corp. *
302,872
2,907,571
Ur-Energy, Inc. *
303,939
370,806
VAALCO Energy, Inc.
62,433
332,768
Valaris Ltd. *
40,842
3,234,278
Valero Energy Corp.
179,846
56,273,813
Venture Global, Inc., Class A
315,713
4,224,240
Viper Energy, Inc., Class A
114,910
5,126,135
Vitesse Energy, Inc.
23,373
364,619
W&T Offshore, Inc.
50,000
179,500
Weatherford International PLC
42,568
3,737,045
Williams Cos., Inc.
739,523
52,905,475
World Kinect Corp.
35,285
1,406,460
 
1,546,062,497
 
Equity Real Estate Investment Trusts (REITs) 2.1%
Acadia Realty Trust
79,225
1,780,186
Agree Realty Corp.
72,924
5,673,487
AH Realty Trust, Inc.
40,000
278,400
Alexander's, Inc.
964
245,820
Alexandria Real Estate Equities, Inc.
95,458
4,911,314
Alpine Income Property Trust, Inc.
14,623
295,092
American Assets Trust, Inc.
31,780
749,690
  
43

Schwab Total Stock Market Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
American Healthcare REIT, Inc.
115,746
6,435,478
American Homes 4 Rent, Class A
189,165
6,321,894
American Tower Corp.
282,202
48,922,539
Americold Realty Trust, Inc.
182,605
2,572,904
Apple Hospitality REIT, Inc.
129,495
2,137,962
AvalonBay Communities, Inc.
83,497
15,497,878
Blackstone Digital Infrastructure
Trust, Inc. *
60,003
1,248,662
Brandywine Realty Trust
144,589
439,551
Brixmor Property Group, Inc.
186,810
5,886,383
Broadstone Net Lease, Inc.
111,258
2,382,034
BRT Apartments Corp.
10,530
157,002
BXP, Inc.
89,319
6,263,048
Camden Property Trust
59,628
6,607,379
CareTrust REIT, Inc.
141,583
5,937,991
CBL & Associates Properties, Inc.
9,463
555,573
Centerspace
10,009
548,894
Chatham Lodging Trust
25,220
336,183
Chiron Real Estate, Inc.
7,219
256,274
Community Healthcare Trust, Inc.
24,827
454,582
COPT Defense Properties
65,248
2,476,814
Cousins Properties, Inc.
105,143
3,317,262
Crown Castle, Inc.
265,073
20,225,070
CTO Realty Growth, Inc.
15,942
350,246
CubeSmart
139,106
5,767,335
Curbline Properties Corp.
59,516
1,823,570
DiamondRock Hospitality Co.
118,586
1,570,079
Digital Realty Trust, Inc.
210,142
39,615,970
Diversified Healthcare Trust
134,023
1,192,805
Douglas Emmett, Inc.
102,422
1,210,628
Easterly Government Properties, Inc.
32,408
789,459
EastGroup Properties, Inc.
32,155
6,720,717
Empire State Realty Trust, Inc.,
Class A
122,558
620,143
EPR Properties
44,891
2,786,384
Equinix, Inc.
59,739
60,890,768
Equity LifeStyle Properties, Inc.
116,939
7,609,221
Equity Residential
206,127
13,697,139
Essential Properties Realty Trust, Inc.
130,628
4,087,350
Essex Property Trust, Inc.
38,868
11,043,953
Extra Space Storage, Inc.
128,047
18,956,078
Farmland Partners, Inc.
21,207
198,285
Federal Realty Investment Trust
46,932
5,823,792
First Industrial Realty Trust, Inc.
81,364
5,357,006
Four Corners Property Trust, Inc.
66,750
1,708,800
FrontView REIT, Inc.
17,000
345,780
Gaming & Leisure Properties, Inc.
171,637
7,687,621
Getty Realty Corp.
31,634
1,079,985
Gladstone Commercial Corp.
32,360
404,500
Gladstone Land Corp.
32,591
264,313
Global Net Lease, Inc.
131,696
1,148,389
Healthcare Realty Trust, Inc., Class A
210,255
4,417,458
Healthpeak Properties, Inc.
420,448
9,178,380
Highwoods Properties, Inc.
67,367
2,231,869
Host Hotels & Resorts, Inc.
385,833
9,695,983
Hudson Pacific Properties, Inc. *
40,375
555,964
Independence Realty Trust, Inc.
143,267
2,382,530
Industrial Logistics Properties Trust
48,178
414,813
Innovative Industrial Properties, Inc.
17,283
1,016,413
InvenTrust Properties Corp.
46,608
1,650,389
Invitation Homes, Inc.
327,432
9,731,279
Iron Mountain, Inc.
180,224
22,045,000
Janus Living, Inc., Class A-1
49,652
1,499,987
JBG SMITH Properties
42,784
601,115
Kilroy Realty Corp.
62,821
2,438,711
Kimco Realty Corp.
406,672
10,362,003
Kite Realty Group Trust
118,344
3,387,005
Lamar Advertising Co., Class A
52,403
8,382,384
Lineage, Inc.
34,376
1,456,511
SECURITY
NUMBER
OF SHARES
VALUE ($)
LTC Properties, Inc.
28,388
1,142,333
LXP Industrial Trust
36,227
2,192,820
Macerich Co.
177,554
4,587,995
Medical Properties Trust, Inc.
250,000
1,157,500
Mid-America Apartment
Communities, Inc.
69,567
9,206,497
Millrose Properties, Inc., Class A
100,209
2,803,848
Modiv Industrial, Inc.
8,196
141,955
National Health Investors, Inc.
28,023
2,147,963
National Healthcare Properties, Inc.
35,977
550,088
NET Lease Office Properties
6,279
73,464
NETSTREIT Corp.
59,339
1,272,822
NexPoint Diversified Real Estate
Trust
63,625
287,585
NexPoint Residential Trust, Inc.
15,154
395,671
NNN REIT, Inc.
115,100
5,469,552
Omega Healthcare Investors, Inc.
178,314
9,028,038
One Liberty Properties, Inc.
19,993
486,030
Orion Properties, Inc.
25,500
67,320
Outfront Media, Inc.
93,310
2,973,790
Park Hotels & Resorts, Inc.
118,626
1,786,508
Pebblebrook Hotel Trust
64,361
1,229,295
Phillips Edison & Co., Inc.
77,441
3,290,468
Piedmont Realty Trust, Inc., Class A *
75,121
727,922
Postal Realty Trust, Inc., Class A
13,537
311,892
Prologis, Inc.
564,542
81,638,419
Public Storage
101,236
32,817,674
Rayonier, Inc.
172,298
3,752,650
Realty Income Corp.
564,299
36,041,777
Regency Centers Corp.
100,553
8,073,400
Rexford Industrial Realty, Inc.
141,295
5,336,712
RLJ Lodging Trust
81,465
997,946
Ryman Hospitality Properties, Inc.
38,556
5,153,009
Sabra Health Care REIT, Inc.
146,824
3,108,264
Safehold, Inc.
28,401
459,528
Saul Centers, Inc.
5,768
196,516
SBA Communications Corp., Class A
64,339
11,644,072
Service Properties Trust (c)
92,520
742,936
Simon Property Group, Inc.
196,199
45,002,165
SITE Centers Corp.
30,000
128,400
SL Green Realty Corp.
44,767
2,369,517
Smartstop Self Storage REIT, Inc.
33,603
1,127,045
STAG Industrial, Inc.
118,269
4,524,972
Summit Hotel Properties, Inc.
77,215
531,239
Sun Communities, Inc.
70,131
8,659,776
Sunstone Hotel Investors, Inc.
115,422
1,358,517
Tanger, Inc.
68,618
2,790,008
Terreno Realty Corp.
63,778
4,569,694
UDR, Inc.
181,434
6,923,521
UMH Properties, Inc.
55,778
842,806
Universal Health Realty Income Trust
7,432
322,697
Urban Edge Properties
76,302
1,729,003
Ventas, Inc.
293,469
27,442,286
VICI Properties, Inc., Class A
666,994
17,575,292
Vornado Realty Trust
94,092
3,706,284
Welltower, Inc.
427,440
100,209,034
Weyerhaeuser Co.
436,786
10,932,754
WP Carey, Inc.
132,208
9,730,509
Xenia Hotels & Resorts, Inc.
58,179
1,197,324
 
940,080,558
 
Financial Services 7.1%
Acacia Research Corp. *
29,703
131,584
Acadian Asset Management, Inc.
17,475
1,511,413
ACRES Commercial Realty Corp. *
3,144
55,020
Adamas Trust, Inc.
64,865
588,326
Affiliated Managers Group, Inc.
16,055
5,887,850
Affirm Holdings, Inc. *
179,708
12,850,919
44
  

Schwab Total Stock Market Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
AGNC Investment Corp.
703,791
7,502,412
Alerus Financial Corp.
16,281
541,669
Ally Financial, Inc.
169,460
7,342,702
AlTi Global, Inc. *
8,982
32,335
American Express Co.
322,436
108,419,105
Ameriprise Financial, Inc.
54,539
29,769,568
Annaly Capital Management, Inc.
443,597
10,078,524
Apollo Global Management, Inc.
278,630
34,993,142
Arbor Realty Trust, Inc.
117,000
586,170
ARES Commercial Real Estate Corp.
52,011
221,567
ARES Management Corp., Class A
128,370
16,442,913
ARMOUR Residential REIT, Inc. (a)
77,613
1,278,286
Artisan Partners Asset Management,
Inc., Class A
45,102
1,769,802
Atlanticus Holdings Corp. *
3,644
384,406
Bakkt, Inc. *(a)
35,489
254,456
Bank of New York Mellon Corp.
415,205
64,908,998
Berkshire Hathaway, Inc., Class B *
1,112,843
569,263,708
Better Home & Finance Holding
Co. *(a)
12,025
282,588
BGC Group, Inc., Class A
218,579
2,518,030
Blackrock, Inc.
87,416
95,317,532
Blackstone Mortgage Trust, Inc.,
Class A
96,052
1,396,596
Blackstone, Inc.
449,781
57,459,523
Block, Inc. *
326,401
26,516,817
Blue Owl Capital, Inc., Class A
396,299
4,081,880
Bread Financial Holdings, Inc.
24,114
2,606,000
BrightSpire Capital, Inc., Class A
79,000
395,790
Cannae Holdings, Inc.
25,712
374,110
Capital One Financial Corp.
377,115
78,820,806
Carlyle Group, Inc.
158,023
7,272,218
Cass Information Systems, Inc.
5,702
318,856
Cboe Global Markets, Inc.
63,131
19,585,130
Charles Schwab Corp. (d)
985,059
103,667,609
Chicago Atlantic Real Estate Finance,
Inc.
14,254
139,119
Chime Financial, Inc., Class A *
26,841
617,075
Chimera Investment Corp.
51,075
637,416
Claros Mortgage Trust, Inc. *
61,707
109,221
CME Group, Inc.
220,412
59,024,129
Cohen & Steers, Inc.
16,837
1,385,180
Coinbase Global, Inc., Class A *
134,558
19,680,453
Consumer Portfolio Services, Inc. *
5,099
47,523
Corebridge Financial, Inc.
146,995
4,584,774
Corpay, Inc. *
39,589
15,127,353
Credit Acceptance Corp. *
3,671
2,088,469
Dave, Inc. *
6,570
2,448,573
DigitalBridge Group, Inc.
99,951
1,586,222
Donnelley Financial Solutions, Inc. *
16,378
774,679
Dynex Capital, Inc.
134,774
1,712,978
Ellington Financial, Inc.
75,240
999,187
Enact Holdings, Inc.
17,940
848,921
Encore Capital Group, Inc. *
12,749
1,199,426
Enova International, Inc. *
15,634
3,973,225
Equitable Holdings, Inc.
172,210
8,205,806
Essent Group Ltd.
56,642
3,736,106
Euronet Worldwide, Inc. *
22,169
1,581,315
Evercore, Inc., Class A
23,389
7,497,578
EVERTEC, Inc.
38,426
1,169,687
EZCORP, Inc., Class A *
34,440
1,025,279
FactSet Research Systems, Inc.
22,832
6,009,382
Federal Agricultural Mortgage Corp.,
Class C
5,879
1,338,060
Federated Hermes, Inc.
44,205
2,650,532
Fidelity National Information
Services, Inc.
313,460
14,033,604
SECURITY
NUMBER
OF SHARES
VALUE ($)
Figure Technology Solutions, Inc.,
Class A *
23,058
574,375
Finance of America Cos., Inc.,
Class A *
5,723
130,198
FirstCash Holdings, Inc.
22,933
4,678,561
Fiserv, Inc. *
324,480
17,502,451
Flywire Corp. *
67,669
1,083,381
Franklin BSP Realty Trust, Inc.
47,000
356,730
Franklin Resources, Inc.
188,654
6,387,824
Galaxy Digital, Inc., Class A *
113,567
2,386,043
GCM Grosvenor, Inc., Class A
43,912
548,022
Global Payments, Inc.
143,568
12,071,197
Goldman Sachs Group, Inc.
178,952
182,241,138
Great Elm Group, Inc. *
9,772
21,010
Green Dot Corp., Class A *
42,950
563,075
HA Sustainable Infrastructure
Capital, Inc.
75,745
2,868,463
Hamilton Lane, Inc., Class A
26,811
2,383,766
Happen, Inc. *
72,151
1,380,970
Houlihan Lokey, Inc., Class A
33,471
4,200,276
Innventure, Inc. *(a)
59,188
190,585
Interactive Brokers Group, Inc.,
Class A
268,683
23,641,417
Intercontinental Exchange, Inc.
342,605
52,240,410
International Money Express, Inc. *
18,445
218,758
Invesco Ltd.
270,587
8,009,375
Invesco Mortgage Capital, Inc.
43,900
325,299
Jack Henry & Associates, Inc.
43,842
6,753,422
Jackson Financial, Inc., Class A
43,894
5,367,358
Jefferies Financial Group, Inc.
100,731
5,499,913
Jefferson Capital, Inc.
14,425
290,087
KKR & Co., Inc.
418,593
42,457,888
Ladder Capital Corp., Class A
64,768
619,182
Lazard, Inc.
68,071
2,884,849
LendingTree, Inc. *
6,556
208,874
LPL Financial Holdings, Inc.
48,299
17,083,356
Manhattan Bridge Capital, Inc.
7,727
32,144
MarketAxess Holdings, Inc.
22,013
3,572,710
Marqeta, Inc., Class A *
61,312
1,064,376
Mastercard, Inc., Class A
489,472
280,516,403
Medallion Financial Corp.
6,557
65,177
Merchants Bancorp
17,502
965,760
MFA Financial, Inc.
60,500
551,155
MGIC Investment Corp.
129,338
3,885,314
Miami International Holdings, Inc. *
18,434
867,135
Moelis & Co., Class A
44,505
2,985,395
Moody's Corp.
91,080
43,570,850
Morgan Stanley
726,975
152,970,079
Morningstar, Inc.
13,537
2,606,820
Mount Logan Capital, Inc.
10,000
30,500
MSCI, Inc., Class A
44,207
25,297,014
Nasdaq, Inc.
270,919
25,517,861
Navient Corp.
57,356
481,217
NCR Atleos Corp. *
43,800
2,059,914
Nelnet, Inc., Class A
8,758
1,189,949
NerdWallet, Inc., Class A *
22,319
200,871
NewtekOne, Inc.
21,192
314,277
Nexpoint Real Estate Finance, Inc.
5,703
96,723
NMI Holdings, Inc., Class A *
46,840
2,075,012
Northern Trust Corp.
112,114
20,426,050
OneMain Holdings, Inc.
72,763
4,553,509
Onity Group, Inc. *
3,090
113,279
Oportun Financial Corp. *
16,000
88,640
Oppenheimer Holdings, Inc., Class A
3,500
373,240
OppFi, Inc. *
17,756
166,374
Orchid Island Capital, Inc.
132,341
858,893
Paymentus Holdings, Inc., Class A *
33,528
1,143,305
Payoneer Global, Inc. *
187,226
1,342,410
PayPal Holdings, Inc.
537,817
30,768,511
  
45

Schwab Total Stock Market Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Paysign, Inc. *
26,608
238,408
PennyMac Financial Services, Inc.
19,252
1,451,793
PennyMac Mortgage Investment
Trust
53,298
502,600
Perella Weinberg Partners, Class A
42,682
753,337
Piper Sandler Cos.
39,792
3,016,234
PJT Partners, Inc., Class A
15,921
2,679,664
PRA Group, Inc. *
21,991
381,984
Priority Technology Holdings, Inc. *
9,469
61,549
Procap Financial, Inc. *
60,000
102,000
PROG Holdings, Inc.
25,273
1,112,517
Radian Group, Inc.
82,388
3,212,308
Raymond James Financial, Inc.
105,823
18,622,732
Ready Capital Corp.
108,490
155,141
Redwood Trust, Inc.
111,850
511,155
Regional Management Corp.
3,411
110,073
Remitly Global, Inc. *
102,372
2,331,010
Repay Holdings Corp., Class A *
35,500
142,000
Ridgepost Capital, Inc., Class A
37,410
322,474
Rithm Capital Corp.
353,037
3,488,006
Rithm Property Trust, Inc.
8,602
105,977
Robinhood Markets, Inc., Class A *
479,072
41,468,472
Rocket Cos., Inc., Class A *
598,687
7,723,062
S&P Global, Inc.
183,557
75,612,635
Security National Financial Corp.,
Class A *
8,162
76,475
SEI Investments Co.
54,638
5,626,621
Seven Hills Realty Trust
16,691
125,850
Sezzle, Inc. *
10,226
1,582,474
Shift4 Payments, Inc., Class A *(a)
40,379
2,140,087
Silvercrest Asset Management
Group, Inc., Class A
3,213
33,030
SLM Corp.
119,439
3,104,817
SoFi Technologies, Inc. *
783,617
12,780,793
Starwood Property Trust, Inc.
228,313
3,648,442
State Street Corp.
167,586
30,862,638
StepStone Group, Inc., Class A
46,458
2,037,648
Stifel Financial Corp.
92,939
7,705,572
StoneX Group, Inc. *
63,669
4,875,135
Sunrise Realty Trust, Inc.
2,814
22,062
Synchrony Financial
204,992
15,536,344
T. Rowe Price Group, Inc.
129,440
14,464,920
Toast, Inc., Class A *
288,930
9,323,771
TPG Mortgage Investment Trust, Inc.
14,032
97,803
TPG RE Finance Trust, Inc.
49,952
398,117
TPG, Inc.
86,127
3,760,305
Tradeweb Markets, Inc., Class A
70,626
7,097,913
Twenty One Capital, Inc., Class A *(a)
206,000
879,620
Two Harbors Investment Corp.
61,925
748,673
Upstart Holdings, Inc. *
51,000
1,399,440
UWM Holdings Corp. (a)
115,772
210,705
Velocity Financial, Inc. *
5,032
88,261
Victory Capital Holdings, Inc., Class A
28,972
2,869,097
Virtu Financial, Inc., Class A
50,291
2,953,590
Virtus Investment Partners, Inc.
4,443
707,992
Visa, Inc., Class A
1,006,531
368,521,195
Voya Financial, Inc.
55,862
5,554,359
Walker & Dunlop, Inc.
20,613
1,024,260
Waterstone Financial, Inc.
8,861
181,828
Wealthfront Corp. *
22,000
208,780
Western Union Co.
190,000
1,208,400
WEX, Inc. *
21,695
4,056,097
WisdomTree, Inc.
70,575
1,367,038
World Acceptance Corp. *
1,349
242,564
 
3,137,206,599
 
SECURITY
NUMBER
OF SHARES
VALUE ($)
Food, Beverage & Tobacco 2.0%
Alico, Inc.
3,713
140,203
Altria Group, Inc.
1,012,723
69,199,363
Archer-Daniels-Midland Co.
292,729
23,204,628
B&G Foods, Inc.
71,044
250,785
Beyond Meat, Inc. *
324,000
183,384
Boston Beer Co., Inc., Class A *
4,648
851,514
BRC, Inc., Class A *
48,000
49,440
Brown-Forman Corp., Class B
141,858
4,075,580
Bunge Global SA
81,676
8,676,441
Cal-Maine Foods, Inc.
26,239
2,303,259
Campbell's Co. (a)
126,008
2,769,656
Celsius Holdings, Inc. *
101,202
2,956,110
Coca-Cola Co.
2,349,185
205,765,114
Coca-Cola Consolidated, Inc.
34,454
6,473,907
Conagra Brands, Inc.
307,720
4,465,017
Constellation Brands, Inc., Class A
85,426
11,125,028
Darling Ingredients, Inc. *
96,662
5,861,584
Del Monte Corp.
24,944
741,086
Flowers Foods, Inc.
120,000
842,400
Freshpet, Inc. *
29,030
1,728,446
General Mills, Inc.
329,687
11,786,310
Hershey Co.
89,390
15,647,719
Hormel Foods Corp.
182,188
4,556,522
Ingredion, Inc.
39,250
3,903,805
J&J Snack Foods Corp.
9,863
754,520
J.M. Smucker Co.
65,169
7,772,055
John B Sanfilippo & Son, Inc.
6,387
528,588
Keurig Dr. Pepper, Inc.
826,833
25,731,043
Kraft Heinz Co.
522,180
13,498,353
Lamb Weston Holdings, Inc.
81,923
4,305,054
Lifeway Foods, Inc. *
2,366
70,459
Mama's Creations, Inc. *
27,721
510,898
Marzetti Co.
12,353
1,320,165
McCormick & Co., Inc. - Non Voting
Shares
154,666
7,872,499
MGP Ingredients, Inc.
10,000
177,000
Mission Produce, Inc. *
30,000
378,300
Molson Coors Beverage Co., Class B
97,976
4,071,883
Mondelez International, Inc., Class A
776,880
48,407,393
Monster Beverage Corp. *
432,576
41,691,675
National Beverage Corp.
13,198
417,585
Once Upon a Farm PBC *
7,000
106,190
PepsiCo, Inc.
827,621
115,502,787
Philip Morris International, Inc.
945,627
180,444,544
Pilgrim's Pride Corp.
32,002
875,575
Post Holdings, Inc. *
25,138
2,297,865
Primo Brands Corp.
148,573
3,372,607
Seaboard Corp.
185
816,453
Seneca Foods Corp., Class A *
3,880
642,101
Simply Good Foods Co. *
50,506
514,151
Suja Life, Inc., Class A *
8,000
84,720
Tootsie Roll Industries, Inc.
15,998
624,242
Turning Point Brands, Inc.
11,496
857,717
Tyson Foods, Inc., Class A
170,169
9,862,995
Universal Corp.
14,651
771,961
Utz Brands, Inc.
79,049
1,116,172
Vita Coco Co., Inc. *
26,499
1,747,344
Vital Farms, Inc. *
21,500
273,695
Westrock Coffee Co. *
25,000
203,000
 
865,178,890
 
Health Care Equipment & Services 3.3%
Abbott Laboratories
1,055,721
111,589,710
Acadia Healthcare Co., Inc. *
54,481
1,613,727
Accendra Health, Inc. *
120,753
373,127
Acme United Corp.
1,454
82,674
46
  

Schwab Total Stock Market Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
AdaptHealth Corp., Class A *
42,101
454,691
Addus HomeCare Corp. *
10,997
1,269,934
agilon health, Inc. *
8,165
747,996
Align Technology, Inc. *
40,499
6,850,811
Alignment Healthcare, Inc. *
98,127
1,457,186
Alphatec Holdings, Inc. *
72,252
687,839
AMN Healthcare Services, Inc. *
27,105
911,541
AngioDynamics, Inc. *
31,851
471,076
Anteris Technologies Global Corp. *
53,627
420,436
Ardent Health, Inc. *
12,542
133,823
Artivion, Inc. *
26,473
710,271
Astrana Health, Inc. *
29,420
1,046,175
AtriCure, Inc. *
30,151
1,138,502
Aveanna Healthcare Holdings, Inc. *
42,117
395,479
Axogen, Inc. *
34,706
1,464,940
Baxter International, Inc.
314,751
8,233,886
Becton Dickinson & Co.
167,993
27,823,001
Beta Bionics, Inc. *
33,409
428,637
Billiontoone, Inc., Class A *
2,925
405,405
Bioventus, Inc., Class A *
30,832
406,057
Boston Scientific Corp. *
902,674
42,181,956
BrightSpring Health Services, Inc. *
94,797
5,660,329
Brookdale Senior Living, Inc. *
141,999
2,073,185
Butterfly Network, Inc. *
129,773
922,686
Cardinal Health, Inc.
141,963
32,655,749
Castle Biosciences, Inc. *
19,426
543,928
Cencora, Inc.
118,091
36,766,452
Centene Corp. *
285,690
17,775,632
Ceribell, Inc. *
12,963
229,315
Certara, Inc. *
41,727
337,989
Cerus Corp. *
134,641
289,478
Chemed Corp.
8,046
4,282,483
Cigna Group
160,492
44,785,293
Claritev Corp. *
4,000
90,840
ClearPoint Neuro, Inc. *
21,369
319,253
Clover Health Investments Corp.,
Class A *
262,274
1,093,683
Community Health Systems, Inc. *
80,191
223,733
Concentra Group Holdings Parent,
Inc.
72,220
2,285,763
CONMED Corp.
19,629
908,823
Cooper Cos., Inc. *
119,941
8,674,133
CorVel Corp. *
20,091
1,206,665
CVS Health Corp.
773,492
80,775,770
DaVita, Inc. *
19,241
4,619,572
Delcath Systems, Inc. *
12,977
158,579
Dentsply Sirona, Inc.
121,181
1,620,190
Dexcom, Inc. *
235,220
19,629,109
Doximity, Inc., Class A *
88,564
1,851,873
Edwards Lifesciences Corp. *
349,998
30,124,328
Electromed, Inc. *
3,594
146,384
Elevance Health, Inc.
131,561
49,445,886
Encompass Health Corp.
59,344
6,591,338
Enovis Corp. *
25,399
740,381
Ensign Group, Inc.
35,209
6,272,835
Envista Holdings Corp. *
97,731
2,669,034
Evolent Health, Inc., Class A *
81,000
250,290
Fulgent Genetics, Inc. *
12,671
209,705
GE HealthCare Technologies, Inc.
274,948
18,701,963
GeneDx Holdings Corp. *
13,176
857,889
Glaukos Corp. *
36,259
6,045,100
Globus Medical, Inc., Class A *
68,073
5,363,472
GMR Solutions, Inc., Class A *
30,565
393,677
GoodRx Holdings, Inc., Class A *
46,400
142,448
Guardant Health, Inc. *
80,142
12,982,203
Guardian Pharmacy Services, Inc.,
Class A *
16,928
669,164
Haemonetics Corp. *
30,218
2,584,848
HCA Healthcare, Inc.
93,838
37,778,240
SECURITY
NUMBER
OF SHARES
VALUE ($)
Health Catalyst, Inc. *
158,321
330,891
HealthEquity, Inc. *
50,954
5,126,482
HealthStream, Inc.
16,829
471,885
HeartFlow, Inc. *
9,700
244,731
Henry Schein, Inc. *
58,307
4,999,825
Hims & Hers Health, Inc. *
131,448
3,650,311
Hinge Health, Inc., Class A *
19,793
1,478,735
Humana, Inc.
72,751
26,471,179
ICU Medical, Inc. *
14,662
2,470,694
IDEXX Laboratories, Inc. *
47,788
26,716,837
InfuSystem Holdings, Inc. *
10,655
97,387
Innovage Holding Corp. *
15,000
170,400
Inogen, Inc. *
16,555
106,780
Inspire Medical Systems, Inc. *
12,835
644,445
Insulet Corp. *
42,741
7,067,224
Integer Holdings Corp. *
20,616
2,498,865
Integra LifeSciences Holdings Corp. *
46,364
771,961
Intuitive Surgical, Inc. *
214,785
75,889,984
iRadimed Corp.
5,082
461,751
IRhythm Holdings, Inc. *
21,462
2,514,703
Joint Corp. *
11,143
92,375
Kestra Medical Technologies Ltd. *
12,000
273,960
Kewaunee Scientific Corp. *
1,200
42,864
KORU Medical Systems, Inc. *
12,813
52,661
Labcorp Holdings, Inc.
49,693
15,365,076
Lantheus Holdings, Inc. *
38,888
3,874,800
LeMaitre Vascular, Inc.
12,659
1,282,610
LENSAR, Inc. *
4,846
24,278
LifeMD, Inc. *
20,209
70,732
LifeStance Health Group, Inc. *
138,981
1,456,521
LivaNova PLC *
32,967
2,641,975
Lumexa Imaging Holdings, Inc. *
17,000
176,970
McKesson Corp.
72,952
62,460,773
Medline, Inc., Class A *
244,430
9,601,210
Medtronic PLC
776,896
66,339,149
Merit Medical Systems, Inc. *
37,243
3,166,027
Microbot Medical, Inc. *(a)
50,000
86,000
MiniMed Group, Inc. *
22,600
407,930
Molina Healthcare, Inc. *
32,019
6,263,557
National HealthCare Corp.
7,478
1,690,252
Neogen Corp. *
129,703
1,561,624
NeoGenomics, Inc. *
81,368
1,244,117
NeuroPace, Inc. *
13,356
172,159
Novocure Ltd. *
74,692
1,108,429
NRC Health
9,615
187,589
Nutex Health, Inc. *
3,771
555,959
Omada Health, Inc. *
6,858
136,063
OmniAb, Inc. *
48,133
95,303
OmniAb, Inc., Class A *(b)
2,395
0
OmniAb, Inc., Class B *(b)
2,395
0
Omnicell, Inc. *
26,652
942,681
Oncology Institute, Inc. *
40,000
194,400
OPKO Health, Inc. *
277,893
366,819
Option Care Health, Inc. *
93,527
2,153,927
OraSure Technologies, Inc. *
35,000
141,750
Orchestra BioMed Holdings, Inc. *
40,496
161,174
Orthofix Medical, Inc. *
22,050
260,190
OrthoPediatrics Corp. *
8,300
167,577
PACS Group, Inc. *
26,727
1,229,709
Pediatrix Medical Group, Inc. *
51,242
1,358,425
Pennant Group, Inc. *
21,830
880,186
Penumbra, Inc. *
24,193
7,770,550
Phreesia, Inc. *
38,000
407,740
Privia Health Group, Inc. *
78,704
1,862,924
Procept Biorobotics Corp. *
36,032
670,916
Pro-Dex, Inc. *
1,916
112,220
Progyny, Inc. *
49,350
1,536,265
Pulse Biosciences, Inc. *
9,273
325,760
Quest Diagnostics, Inc.
67,373
15,698,583
  
47

Schwab Total Stock Market Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
QuidelOrtho Corp. *
29,828
500,216
RadNet, Inc. *
44,917
2,864,806
ResMed, Inc.
87,886
18,542,188
RxSight, Inc. *
45,348
272,541
Sanara Medtech, Inc. *
1,654
56,004
Schrodinger, Inc. *
37,000
560,180
Senseonics Holdings, Inc. *
47,105
236,938
SI-BONE, Inc. *
24,218
430,112
Simulations Plus, Inc. *
18,882
344,219
Solventum Corp. *
89,045
7,608,005
Sonida Senior Living, Inc. *
23,116
932,962
STAAR Surgical Co. *
31,575
769,167
STERIS PLC
59,211
13,523,792
Strata Critical Medical, Inc. *
51,008
256,060
Strive, Inc., Class A *
34,742
385,984
Stryker Corp.
208,984
68,066,089
Surgery Partners, Inc. *
46,000
708,400
Tactile Systems Technology, Inc. *
14,000
394,380
Talkspace, Inc. *
88,164
460,216
Tandem Diabetes Care, Inc. *
41,337
806,071
Teladoc Health, Inc. *
105,641
708,851
Teleflex, Inc.
27,854
3,807,920
Tenet Healthcare Corp. *
52,766
13,443,721
TransMedics Group, Inc. *
23,296
1,782,377
U.S. Physical Therapy, Inc.
9,843
778,188
UFP Technologies, Inc. *
4,843
1,233,900
UnitedHealth Group, Inc.
550,889
228,288,402
Universal Health Services, Inc.,
Class B
32,407
5,458,635
Utah Medical Products, Inc.
2,665
187,936
Varex Imaging Corp. *
20,604
230,559
Veeva Systems, Inc., Class A *
91,236
18,592,072
Viemed Healthcare, Inc. *
16,000
186,720
Waystar Holding Corp. *
68,331
1,442,467
Zimmer Biomet Holdings, Inc.
118,192
11,101,775
 
1,446,868,252
 
Household & Personal Products 0.8%
BellRing Brands, Inc. *
60,000
743,400
Central Garden & Pet Co., Class A *
36,296
1,375,981
Church & Dwight Co., Inc.
142,795
14,109,574
Clorox Co.
73,612
7,032,154
Colgate-Palmolive Co.
484,899
44,271,279
Coty, Inc., Class A *
225,000
618,750
Edgewell Personal Care Co.
28,000
761,320
elf Beauty, Inc. *
35,076
2,907,450
Energizer Holdings, Inc.
42,649
894,349
Estee Lauder Cos., Inc., Class A
149,622
12,553,286
Herbalife Ltd. *
64,292
798,507
Honest Co., Inc. *
49,277
179,861
Interparfums, Inc.
13,464
1,676,941
Kenvue, Inc.
1,167,212
22,457,159
Kimberly-Clark Corp.
202,223
22,104,996
Lifevantage Corp.
7,299
46,933
Medifast, Inc. *
8,935
87,831
Nature's Sunshine Products, Inc. *
8,762
176,554
Niagen Bioscience, Inc. *
24,667
83,868
Nu Skin Enterprises, Inc., Class A
23,590
122,432
Oil-Dri Corp. of America
7,618
755,782
Procter & Gamble Co.
1,412,495
204,091,403
Reynolds Consumer Products, Inc.
34,465
859,557
Spectrum Brands Holdings, Inc.
13,629
1,209,846
United-Guardian, Inc.
3,342
23,561
USANA Health Sciences, Inc. *
7,000
154,770
WD-40 Co.
8,317
1,889,123
 
341,986,667
 
SECURITY
NUMBER
OF SHARES
VALUE ($)
Insurance 1.8%
Abacus Global Management, Inc.
35,786
368,954
Aflac, Inc.
276,627
35,264,410
Allstate Corp.
155,655
41,105,372
American Coastal Insurance Corp.,
Class C
16,093
170,908
American Financial Group, Inc.
42,360
6,003,259
American International Group, Inc.
320,784
25,207,207
AMERISAFE, Inc.
14,109
409,725
Aon PLC, Class A
129,467
46,679,327
Arch Capital Group Ltd. *
211,096
21,221,481
Arthur J Gallagher & Co.
155,905
38,885,825
Assurant, Inc.
30,159
8,420,091
Assured Guaranty Ltd.
27,638
2,286,215
Axis Capital Holdings Ltd.
45,083
4,748,142
Baldwin Insurance Group, Inc.,
Class A *
53,958
1,496,795
Bowhead Specialty Holdings, Inc. *
9,325
285,252
Brighthouse Financial, Inc. *
33,531
2,075,904
Brown & Brown, Inc.
175,918
12,384,627
Chubb Ltd.
218,414
76,593,422
Cincinnati Financial Corp.
93,925
16,688,594
Citizens, Inc. *
24,606
116,386
CNA Financial Corp.
11,874
623,029
CNO Financial Group, Inc.
55,506
3,057,826
Crawford & Co., Class A
10,215
111,446
Donegal Group, Inc., Class A
6,507
128,448
Employers Holdings, Inc.
11,659
589,363
Erie Indemnity Co., Class A
15,248
3,690,626
Ethos Technologies, Inc., Class A *
10,000
204,200
Everest Group Ltd.
24,062
9,002,797
F&G Annuities & Life, Inc.
23,659
675,938
Fidelity National Financial, Inc.
154,908
7,991,704
First American Financial Corp.
60,593
4,543,869
Genworth Financial, Inc., Class A *
232,975
2,290,144
Globe Life, Inc.
47,361
8,631,542
Goosehead Insurance, Inc., Class A *
11,620
720,440
Greenlight Capital Re Ltd., Class A *
15,834
263,636
Hagerty, Inc., Class A *
15,234
175,648
Hanover Insurance Group, Inc.
21,330
4,961,998
Hartford Insurance Group, Inc.
165,457
23,480,003
HCI Group, Inc.
6,556
1,147,366
Heritage Insurance Holdings, Inc. *
14,125
414,851
Hippo Holdings, Inc. *
19,494
613,086
Horace Mann Educators Corp.
24,977
1,301,552
Investors Title Co.
697
201,635
James River Group Holdings, Inc.
17,990
80,775
Kemper Corp.
36,000
1,021,680
Kingstone Cos., Inc.
5,000
99,850
Kingsway Corp. *
15,983
142,409
Kinsale Capital Group, Inc.
13,551
4,829,847
Lemonade, Inc. *
41,833
2,020,952
Lincoln National Corp.
105,186
4,797,534
Loews Corp.
101,934
11,825,363
Markel Group, Inc. *
7,562
14,234,255
Marsh & McLennan Cos., Inc.
292,066
55,402,000
MBIA, Inc. *
22,069
112,993
Mercury General Corp.
15,958
1,709,421
MetLife, Inc.
327,370
31,470,078
Neptune Insurance Holdings, Inc.,
Class A *
20,995
665,752
NI Holdings, Inc. *
8,782
133,047
Octave Specialty Group, Inc. *
49,456
267,062
Old Republic International Corp.
136,420
5,894,708
Oscar Health, Inc., Class A *
136,481
4,260,937
Palomar Holdings, Inc. *
15,722
2,103,446
Primerica, Inc.
18,988
6,075,401
Principal Financial Group, Inc.
119,523
13,589,765
48
  

Schwab Total Stock Market Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Progressive Corp.
354,618
74,973,338
Prudential Financial, Inc.
209,944
25,629,964
Reinsurance Group of America, Inc.
39,707
9,404,603
RenaissanceRe Holdings Ltd.
25,945
8,301,881
RLI Corp.
57,818
3,540,774
Root, Inc., Class A *
11,029
597,220
Ryan Specialty Holdings, Inc.,
Class A
73,865
3,261,878
Safety Insurance Group, Inc.
8,334
861,652
Selective Insurance Group, Inc.
36,119
3,423,720
Selectquote, Inc. *
125,000
93,375
SiriusPoint Ltd. *
63,333
1,497,826
Skyward Specialty Insurance Group,
Inc. *
23,292
1,396,355
Slide Insurance Holdings, Inc. *
13,264
264,882
Stewart Information Services Corp.
17,487
1,181,946
Tiptree, Inc.
9,652
171,516
Travelers Cos., Inc.
128,454
48,088,039
Trupanion, Inc. *
21,359
523,082
TWFG, Inc. *
5,800
155,440
United Fire Group, Inc.
14,169
727,720
Universal Insurance Holdings, Inc.
15,897
694,858
Unum Group
87,864
7,565,969
W.R. Berkley Corp.
179,319
13,007,800
White Mountains Insurance Group
Ltd.
1,455
3,052,197
Willis Towers Watson PLC
57,365
19,270,051
 
803,656,404
 
Materials 2.1%
AdvanSix, Inc.
15,740
315,744
Air Products & Chemicals, Inc.
135,076
39,832,562
Albemarle Corp.
71,410
8,400,672
Alcoa Corp.
162,832
7,369,776
Alpha Metallurgical Resources, Inc. *
6,468
887,151
Alto Ingredients, Inc. *
71,979
342,620
Amcor PLC
280,920
12,607,690
American Battery Technology Co. *
83,995
175,550
Amrize Ltd. *
314,182
15,366,642
AptarGroup, Inc.
39,739
5,323,436
Ascent Industries Co. *
4,646
71,874
Ashland, Inc.
27,403
1,989,732
ASP Isotopes, Inc. *(a)
70,427
281,708
Aspen Aerogels, Inc. *
34,000
157,420
Avery Dennison Corp.
46,761
7,936,745
Avient Corp.
54,495
1,979,258
Axalta Coating Systems Ltd. *
131,195
4,698,093
Balchem Corp.
19,003
3,184,048
Ball Corp.
161,673
10,492,578
Cabot Corp.
31,152
2,741,999
Celanese Corp., Class A
66,012
2,952,057
Century Aluminum Co. *
34,142
1,528,537
CF Industries Holdings, Inc.
92,892
11,629,149
Chemours Co.
89,517
1,486,877
Cleveland-Cliffs, Inc. *
351,141
4,045,144
Coeur Mining, Inc.
624,277
9,307,970
Commercial Metals Co.
66,020
4,536,894
Compass Minerals International,
Inc. *
22,403
657,304
Contango Silver & Gold, Inc. *
15,915
245,091
Core Molding Technologies, Inc. *
2,885
67,971
Corteva, Inc.
405,726
31,934,693
CRH PLC
406,959
38,665,175
Crown Holdings, Inc.
66,622
7,851,403
Dakota Gold Corp. *
58,026
263,438
Dow, Inc.
440,327
13,337,505
DuPont de Nemours, Inc.
82,287
11,273,319
Eagle Materials, Inc.
18,549
3,801,432
SECURITY
NUMBER
OF SHARES
VALUE ($)
Eastman Chemical Co.
69,846
4,885,728
Ecolab, Inc.
153,116
42,509,595
Ecovyst, Inc. *
62,976
759,491
Element Solutions, Inc.
138,068
5,071,238
Flotek Industries, Inc. *
13,068
307,621
FMC Corp.
76,007
814,035
Freeport-McMoRan, Inc.
870,510
54,520,041
Friedman Industries, Inc.
2,834
94,230
Graphic Packaging Holding Co.
199,688
2,142,652
Greif, Inc., Class A
18,629
1,612,340
Hawkins, Inc.
12,259
1,569,520
HB Fuller Co.
31,363
1,734,374
Hecla Mining Co.
405,850
5,730,602
Huntsman Corp.
97,857
955,084
Hycroft Mining Holding Corp.,
Class A *
40,288
786,825
Idaho Strategic Resources, Inc. *
8,743
245,416
Ingevity Corp. *
21,503
1,572,084
Innospec, Inc.
14,629
1,257,801
International Flavors & Fragrances,
Inc.
154,500
12,239,490
International Paper Co.
324,139
13,234,595
Intrepid Potash, Inc. *
6,065
205,967
Ivanhoe Electric, Inc. *
65,658
600,771
Kaiser Aluminum Corp.
9,562
1,526,860
Knife River Corp. *
33,361
2,441,024
Koppers Holdings, Inc.
10,777
528,289
Linde PLC
280,650
134,257,347
LSB Industries, Inc. *
38,728
421,361
LyondellBasell Industries NV, Class A
159,534
9,903,871
Magnera Corp. *
21,591
286,081
Martin Marietta Materials, Inc.
36,382
19,105,643
Materion Corp.
12,452
2,625,380
Mativ Holdings, Inc.
29,717
259,429
McEwen, Inc. *
27,009
466,986
Metallus, Inc. *
23,743
477,709
Minerals Technologies, Inc.
18,224
1,389,398
Mosaic Co.
203,798
4,508,012
MP Materials Corp. *
82,660
3,419,644
Myers Industries, Inc.
24,586
839,858
NewMarket Corp.
4,514
3,837,622
Newmont Corp.
649,090
60,826,224
Northern Technologies International
Corp.
2,657
21,309
Novusterra, Inc. *(b)
3,229
0
Nucor Corp.
138,068
35,523,516
O-I Glass, Inc. *
93,000
664,950
Olin Corp.
67,135
1,242,669
Orion SA
49,942
337,108
Packaging Corp. of America
53,978
13,269,952
Perimeter Solutions, Inc. *
95,130
2,911,929
PPG Industries, Inc.
135,378
14,961,977
PureCycle Technologies, Inc. *(a)
91,539
583,103
Quaker Chemical Corp.
8,126
1,304,386
Ramaco Resources, Inc., Class A *
33,629
308,378
Ranpak Holdings Corp., Class A *
30,000
153,600
Rayonier Advanced Materials, Inc. *
42,420
379,659
REalloys, Inc. *(a)
30,000
263,400
Reliance, Inc.
30,816
12,514,378
Royal Gold, Inc.
50,048
9,927,021
RPM International, Inc.
77,267
8,272,978
Ryerson Holding Corp.
28,151
782,316
Scotts Miracle-Gro Co.
27,030
1,775,330
Sensient Technologies Corp.
25,051
3,098,057
Sherwin-Williams Co.
138,896
47,342,702
Silgan Holdings, Inc.
53,624
2,143,888
Smith-Midland Corp. *
1,800
48,843
Smurfit Westrock PLC
319,762
14,699,459
Solitario Resources Corp. *
44,899
32,960
  
49

Schwab Total Stock Market Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Solstice Advanced Materials, Inc.
96,585
5,811,519
Sonoco Products Co.
59,822
3,371,568
Steel Dynamics, Inc.
82,698
20,778,699
Stepan Co.
14,805
949,593
SunCoke Energy, Inc.
44,951
381,184
Suncrete, Inc., Class A *
33,396
564,058
Sylvamo Corp.
25,119
939,702
Tredegar Corp. *
27,832
211,245
TriMas Corp.
17,344
692,546
Tronox Holdings PLC
81,638
476,766
U.S. Antimony Corp. *
76,418
387,439
U.S. Gold Corp. *
7,270
94,365
U.S. Lime & Minerals, Inc.
6,538
721,141
USA Rare Earth, Inc. *
109,528
1,637,444
Valhi, Inc.
1,628
21,880
Vulcan Materials Co.
78,192
21,000,025
Warrior Met Coal, Inc.
31,219
2,479,101
Westlake Corp.
20,157
1,421,068
Worthington Steel, Inc.
20,976
755,346
 
902,968,052
 
Media & Entertainment 8.2%
Advantage Solutions, Inc. *
5,797
227,474
Alphabet, Inc., Class A
3,558,225
1,267,190,669
Alphabet, Inc., Class C
2,868,096
1,022,906,438
AMC Entertainment Holdings, Inc.,
Class A *
496,511
1,400,161
AMC Global Media, Inc., Class A *
33,212
371,974
Angel Studios, Inc. *
48,974
198,834
Atlanta Braves Holdings, Inc.,
Class C *
34,307
1,743,825
Boston Omaha Corp., Class A *
8,359
118,531
Bumble, Inc., Class A *
48,246
137,501
Cable One, Inc. *
5,550
221,944
Cargurus, Inc. *
49,039
1,777,173
Cars.com, Inc. *
46,507
551,108
Charter Communications, Inc.,
Class A *
51,441
7,457,916
Cinemark Holdings, Inc.
61,427
2,247,614
Clear Channel Outdoor Holdings,
Inc. *
189,084
457,583
CuriosityStream, Inc.
23,041
56,220
DHI Group, Inc. *
17,605
74,117
DoubleVerify Holdings, Inc. *
86,669
975,026
EchoStar Corp., Class A *
83,064
6,984,852
Electronic Arts, Inc.
135,878
28,515,357
Entravision Communications Corp.,
Class A
34,841
390,916
EverQuote, Inc., Class A *
23,342
588,685
EW Scripps Co., Class A *
70,247
197,394
Fox Corp., Class A
198,718
11,571,349
fuboTV, Inc., Class A *(a)
28,556
252,721
Gray Media, Inc.
43,415
175,397
Grindr, Inc. *
22,844
396,115
Ibotta, Inc., Class A *
7,000
168,000
iHeartMedia, Inc., Class A *
65,000
233,350
IZEA Worldwide, Inc. *
6,054
20,947
John Wiley & Sons, Inc., Class A
26,867
1,402,457
Liberty Broadband Corp., Class C *
79,797
2,716,290
Liberty Media Corp.-Liberty Formula
One, Class C *
148,243
14,547,086
Lionsgate Studios Corp. *
139,120
1,847,514
Live Nation Entertainment, Inc. *
95,260
16,587,624
LiveOne, Inc. *
3,979
17,826
Madison Square Garden
Entertainment Corp., Class A *
25,288
1,953,751
SECURITY
NUMBER
OF SHARES
VALUE ($)
Madison Square Garden Sports
Corp. *
10,822
4,260,405
Magnite, Inc. *
87,392
1,686,666
Marchex, Inc., Class B *
24,313
41,818
Marcus Corp.
10,398
302,582
Match Group, Inc.
139,770
5,508,336
MediaAlpha, Inc., Class A *
18,518
229,253
Meta Platforms, Inc., Class A
1,332,361
741,738,692
National CineMedia, Inc.
44,303
177,655
Netflix, Inc. *
2,553,666
183,123,389
New York Times Co., Class A
98,586
7,383,106
News Corp., Class A
305,174
8,410,595
Nexstar Media Group, Inc., Class A
18,148
3,457,738
Nextdoor Holdings, Inc. *
113,778
252,587
NIQ Global Intelligence PLC *
20,374
227,578
Omnicom Group, Inc.
173,178
13,629,109
Paramount Skydance Corp.,
Class B (a)
204,623
1,628,799
People, Inc. *
39,188
1,629,045
Pinterest, Inc., Class A *
297,169
7,135,028
Playtika Holding Corp.
69,711
278,147
PubMatic, Inc., Class A *
19,365
243,999
QuinStreet, Inc. *
38,747
600,578
Reddit, Inc., Class A *
79,027
11,116,728
Reservoir Media, Inc. *
14,527
148,756
ROBLOX Corp., Class A *
408,157
14,530,389
Roku, Inc. *
80,841
11,722,753
RUM Group, Inc. *(a)
81,471
475,791
Scholastic Corp.
12,861
522,800
Sinclair, Inc.
32,603
447,965
Sirius XM Holdings, Inc.
119,863
3,550,342
Snap, Inc., Class A *
667,619
3,131,133
Sphere Entertainment Co. *
15,809
2,264,639
Stagwell, Inc., Class A *
83,544
705,947
Starz Entertainment Corp. *
5,995
155,990
Stubhub Holdings, Inc., Class A *
41,782
352,640
Take-Two Interactive Software, Inc. *
105,011
25,509,272
TechTarget, Inc. *
17,506
78,602
TKO Group Holdings, Inc.
37,992
6,907,326
Townsquare Media, Inc., Class A
6,366
37,687
Trade Desk, Inc., Class A *
269,449
4,860,860
Travelzoo *
4,020
29,065
TripAdvisor, Inc. *
75,516
1,069,684
Trump Media & Technology Group
Corp. *
77,591
765,047
USA TODAY Co., Inc. *
69,602
604,841
Versant Media Group, Inc.
85,485
3,076,605
Walt Disney Co.
1,051,479
101,141,765
Warner Bros Discovery, Inc. *
1,503,512
39,542,366
Warner Music Group Corp., Class A
88,432
2,295,695
Webtoon Entertainment, Inc. *(a)
10,247
93,453
Yelp, Inc., Class A *
36,709
970,219
Zedge, Inc., Class B
11,319
33,391
Ziff Davis, Inc. *
25,127
1,333,741
ZipRecruiter, Inc., Class A *
35,000
137,900
ZoomInfo Technologies, Inc.,
Class A *
99,099
327,027
 
3,616,567,263
 
Pharmaceuticals, Biotechnology & Life Sciences 6.4%
10X Genomics, Inc., Class A *
70,435
3,329,462
4D Molecular Therapeutics, Inc. *
24,050
244,829
AbbVie, Inc.
1,071,153
268,795,134
Abeona Therapeutics, Inc. *
23,850
153,117
Absci Corp. *
104,004
809,151
ACADIA Pharmaceuticals, Inc. *
74,509
1,927,548
Achieve Life Sciences, Inc. *(a)
43,000
276,060
Aclaris Therapeutics, Inc. *
96,899
503,875
50
  

Schwab Total Stock Market Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Adaptive Biotechnologies Corp. *
72,414
1,634,384
ADMA Biologics, Inc. *
140,859
1,191,667
Agenus, Inc. *(a)
15,000
112,500
Agilent Technologies, Inc.
170,634
23,610,627
Agios Pharmaceuticals, Inc. *
36,506
1,095,910
Akebia Therapeutics, Inc. *
169,804
224,141
Aktis Oncology, Inc. *
13,000
286,910
Alamar Biosciences, Inc. *
17,549
445,043
Alector, Inc. *
50,000
75,500
Alkermes PLC *
102,614
5,027,060
Allogene Therapeutics, Inc. *
148,999
280,118
Alnylam Pharmaceuticals, Inc. *
80,893
16,625,129
Altimmune, Inc. *
140,831
399,960
Alto Neuroscience, Inc. *
16,417
444,408
Alumis, Inc. *
51,589
1,457,389
Amgen, Inc.
327,073
125,975,437
Amneal Pharmaceuticals, Inc. *
105,437
1,931,606
Amphastar Pharmaceuticals, Inc. *
19,039
379,638
Amylyx Pharmaceuticals, Inc. *
50,499
1,025,635
AnaptysBio, Inc. *
11,800
629,648
ANI Pharmaceuticals, Inc. *
11,122
881,307
Anika Therapeutics, Inc. *
10,000
192,800
Anixa Biosciences, Inc. *
12,785
43,725
Annexon, Inc. *
84,264
429,325
Apogee Therapeutics, Inc. *
35,483
4,757,915
Aquestive Therapeutics, Inc. *
43,867
162,089
Arbutus Biopharma Corp. *
100,328
435,423
Arcturus Therapeutics Holdings,
Inc. *
13,000
74,880
Arcus Biosciences, Inc. *
53,725
1,514,508
Arcutis Biotherapeutics, Inc. *
67,528
1,813,802
Ardelyx, Inc. *
147,490
730,075
ArriVent Biopharma, Inc. *
20,269
604,422
Arrowhead Pharmaceuticals, Inc. *
85,721
7,256,283
ARS Pharmaceuticals, Inc. *(a)
41,900
214,947
Arvinas, Inc. *
44,832
360,001
Assembly Biosciences, Inc. *
6,704
168,337
AtaiBeckley, Inc. *
120,000
861,600
Atara Biotherapeutics, Inc. *
1,643
13,768
Atea Pharmaceuticals, Inc. *
45,000
211,500
Atrium Therapeutics, Inc. *
7,037
79,870
Aura Biosciences, Inc. *
58,464
409,833
Avalo Therapeutics, Inc. *
38,083
695,015
Avalyn Pharma, Inc. *
16,089
463,202
Avantor, Inc. *
423,138
5,830,842
Avita Medical, Inc. *
15,000
66,000
Axsome Therapeutics, Inc. *
26,787
5,839,298
Azenta, Inc. *
23,306
655,598
Beam Therapeutics, Inc. *
59,702
1,523,595
Benitec Biopharma, Inc. *
19,000
222,490
Bicara Therapeutics, Inc. *
32,379
877,471
BioAge Labs, Inc. *
19,714
178,215
BioCryst Pharmaceuticals, Inc. *
147,413
1,323,769
Biogen, Inc. *
89,538
18,171,737
Biohaven Ltd. *
92,213
1,244,875
BioLife Solutions, Inc. *
28,840
902,115
BioMarin Pharmaceutical, Inc. *
117,310
7,040,946
Bio-Rad Laboratories, Inc., Class A *
10,739
3,495,330
Bio-Techne Corp.
96,070
6,925,686
Black Diamond Therapeutics, Inc. *
14,484
24,478
BridgeBio Oncology Therapeutics,
Inc. *
32,000
258,880
Bridgebio Pharma, Inc. *
103,763
8,310,379
Bristol-Myers Squibb Co.
1,236,438
80,751,766
Bruker Corp.
69,117
4,343,312
C4 Therapeutics, Inc. *
40,958
142,534
Cabaletta Bio, Inc. *
113,690
304,689
CAMP4 Therapeutics Corp. *(a)
20,000
69,000
Candel Therapeutics, Inc. *(a)
49,396
494,454
SECURITY
NUMBER
OF SHARES
VALUE ($)
Capricor Therapeutics, Inc. *
30,264
116,516
CareDx, Inc. *
32,640
1,426,694
Caribou Biosciences, Inc. *
46,922
68,506
Celcuity, Inc. *
24,481
2,114,669
Celldex Therapeutics, Inc. *
47,460
1,806,328
Century Therapeutics, Inc. *(a)
79,415
160,418
CG oncology, Inc. *
48,363
3,442,962
Champions Oncology, Inc. *
6,854
36,737
Charles River Laboratories
International, Inc. *
30,112
7,001,341
Climb Bio, Inc. *
22,000
261,800
Codexis, Inc. *
45,863
64,208
Cogent Biosciences, Inc. *
107,228
4,174,386
Cognition Therapeutics, Inc. *
84,940
75,563
Coherus Oncology, Inc. *
109,420
154,282
Collegium Pharmaceutical, Inc. *
20,258
716,931
Compass Therapeutics, Inc. *
108,322
206,895
Contineum Therapeutics, Inc.,
Class A *
15,969
247,360
Corbus Pharmaceuticals Holdings,
Inc. *
20,000
179,400
Corcept Therapeutics, Inc. *
58,224
6,666,066
CorMedix, Inc. *(a)
48,604
365,988
Corvus Pharmaceuticals, Inc. *
46,695
619,176
Coya Therapeutics, Inc. *
10,000
41,900
Crinetics Pharmaceuticals, Inc. *
67,529
5,640,022
CRISPR Therapeutics AG *
57,024
2,736,582
CryoPort, Inc. *
30,567
461,256
Cullinan Therapeutics, Inc. *
34,598
570,867
Cytek Biosciences, Inc. *
55,000
232,100
Cytokinetics, Inc. *
83,755
6,460,023
CytomX Therapeutics, Inc. *
128,796
399,268
Damora Therapeutics, Inc. *(a)
12,500
362,375
Danaher Corp.
381,396
74,364,592
Definium Therapeutics, Inc. *
79,611
3,464,671
Denali Therapeutics, Inc. *
90,464
2,082,481
Design Therapeutics, Inc. *
15,000
182,700
DiaMedica Therapeutics, Inc. *
13,251
84,011
Dianthus Therapeutics, Inc. *
25,427
2,718,655
Disc Medicine, Inc. *
19,425
1,495,725
Dyne Therapeutics, Inc. *
100,277
2,524,975
Edgewise Therapeutics, Inc. *
46,416
1,783,767
Editas Medicine, Inc. *
64,120
165,430
Eikon Therapeutics, Inc. *(a)
14,000
128,940
Elanco Animal Health, Inc. *
301,740
7,956,884
Eledon Pharmaceuticals, Inc. *
59,987
202,756
Eli Lilly & Co.
479,978
551,417,925
Emergent BioSolutions, Inc. *
52,422
378,487
Enanta Pharmaceuticals, Inc. *
16,254
204,800
Enliven Therapeutics, Inc. *
32,865
1,801,331
Erasca, Inc. *
163,794
2,972,861
Eton Pharmaceuticals, Inc. *
13,239
614,554
Evolus, Inc. *
31,279
182,669
Evommune, Inc. *
12,000
135,000
Exelixis, Inc. *
152,552
8,089,833
EyePoint, Inc. *
47,024
576,044
First Tracks Biotherapeutics, Inc. *
25,291
1,113,816
Foghorn Therapeutics, Inc. *
30,000
135,900
Forte Biosciences, Inc. *
6,923
530,302
Fortrea Holdings, Inc. *
59,284
1,136,474
Fulcrum Therapeutics, Inc. *
32,522
116,429
Genelux Corp. *
25,000
73,500
Generate Biomedicines, Inc. *
25,592
358,288
Geron Corp. *
365,841
471,935
Gilead Sciences, Inc.
753,466
98,108,808
Ginkgo Bioworks Holdings, Inc. *
26,379
213,406
GRAIL, Inc. *
21,470
1,471,983
Greenwich Lifesciences, Inc. *(a)
2,671
36,058
Gyre Therapeutics, Inc. *(a)
20,984
120,658
  
51

Schwab Total Stock Market Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Halozyme Therapeutics, Inc. *
72,012
5,943,870
Harmony Biosciences Holdings, Inc. *
25,413
895,554
Harrow, Inc. *
20,302
787,109
Hemab Therapeutics Holdings, Inc. *
12,200
580,110
Humacyte, Inc. *
415,181
271,279
Hyperliquid Strategies, Inc. *
78,272
486,069
Ideaya Biosciences, Inc. *
54,603
1,938,406
Illumina, Inc. *
92,243
18,919,039
Immix Biopharma, Inc. *
47,380
394,202
Immuneering Corp., Class A *(a)
37,344
154,231
Immunic, Inc. *
8,500
118,745
ImmunityBio, Inc. *(a)
216,962
1,555,617
Immunome, Inc. *
62,658
1,426,096
Immunovant, Inc. *
47,925
1,850,863
Incyte Corp. *
101,335
12,111,559
Indivior Pharmaceuticals, Inc. *
74,115
2,965,341
Inhibrx Biosciences, Inc. *
6,000
492,300
Innoviva, Inc. *
39,953
837,814
Insmed, Inc. *
132,737
13,087,868
Instil Bio, Inc. *
2,981
21,225
Intellia Therapeutics, Inc. *
83,870
895,732
Ionis Pharmaceuticals, Inc. *
102,310
5,296,589
Iovance Biotherapeutics, Inc. *
259,003
1,054,142
IQVIA Holdings, Inc. *
101,142
23,770,393
Ironwood Pharmaceuticals, Inc.,
Class A *
95,218
402,772
Jade Biosciences, Inc. *
22,607
446,488
Janux Therapeutics, Inc. *
33,586
509,500
Jazz Pharmaceuticals PLC *
38,169
9,651,413
Johnson & Johnson
1,461,322
374,609,895
Kailera Therapeutics, Inc. *(a)
30,000
508,200
Karyopharm Therapeutics, Inc. *
13,400
25,728
Keros Therapeutics, Inc. *
9,571
96,380
Kodiak Sciences, Inc. *
26,322
1,094,469
Krystal Biotech, Inc. *
15,987
5,453,485
Kura Oncology, Inc. *
28,851
259,947
Kymera Therapeutics, Inc. *
40,017
4,137,758
Kyverna Therapeutics, Inc. *
25,000
182,500
Larimar Therapeutics, Inc. *
44,839
171,285
LB Pharmaceuticals, Inc. *
14,457
579,437
LENZ Therapeutics, Inc. *(a)
18,000
95,400
Lexicon Pharmaceuticals, Inc. *
150,000
346,500
Lifecore Biomedical, Inc. *
18,427
81,447
Ligand Pharmaceuticals, Inc. *
11,899
3,421,438
Lineage Cell Therapeutics, Inc. *(a)
129,818
140,203
Lipocine, Inc. *
2,942
6,237
Liquidia Corp. *
45,878
3,858,799
Lyell Immunopharma, Inc. *
8,143
105,370
MacroGenics, Inc. *
40,000
147,600
Madrigal Pharmaceuticals, Inc. *
11,451
5,351,281
MannKind Corp. *
188,864
738,458
MapLight Therapeutics, Inc. *
11,837
154,118
Maravai LifeSciences Holdings, Inc.,
Class A *
69,631
457,476
MaxCyte, Inc. *
114,828
120,569
Maze Therapeutics, Inc. *
21,905
589,683
MBX Biosciences, Inc. *
15,891
1,047,694
MediciNova, Inc. *
71,506
95,103
Medpace Holdings, Inc. *
13,732
7,924,874
Merck & Co., Inc.
1,498,509
195,105,872
Merrimack Pharmaceuticals, Inc. *(b)
5,681
0
Mesa Laboratories, Inc.
4,652
468,968
Mettler-Toledo International, Inc. *
12,262
17,366,671
MiMedx Group, Inc. *
45,000
185,850
Mineralys Therapeutics, Inc. *
44,176
1,127,371
Minerva Neurosciences, Inc. *
31,000
123,380
Mirum Pharmaceuticals, Inc. *
31,048
3,289,536
Moderna, Inc. *
215,405
11,808,502
Monopar Therapeutics, Inc. *
3,000
325,050
SECURITY
NUMBER
OF SHARES
VALUE ($)
Monte Rosa Therapeutics, Inc. *
39,103
645,982
Myriad Genetics, Inc. *
60,000
171,600
Natera, Inc. *
86,810
23,244,246
Nektar Therapeutics *
23,395
1,653,325
Neumora Therapeutics, Inc. *
42,000
67,620
Neurocrine Biosciences, Inc. *
61,017
10,177,636
Neurogene, Inc. *
5,239
172,311
Nkarta, Inc. *
22,478
46,979
Novavax, Inc. *
98,347
719,900
Nurix Therapeutics, Inc. *
58,686
1,362,102
Nuvation Bio, Inc. *
149,199
944,430
Nuvectis Pharma, Inc. *
15,600
335,712
Ocugen, Inc. *(a)
210,254
258,612
Ocular Therapeutix, Inc. *
104,198
851,298
Odyssey Therapeutics, Inc. *
15,000
283,950
Olema Pharmaceuticals, Inc. *
33,039
378,297
Omeros Corp., Class B *(a)
41,846
495,457
Opus Genetics, Inc. *
35,000
129,850
Organon & Co.
155,644
2,108,976
ORIC Pharmaceuticals, Inc. *
64,580
714,901
Oruka Therapeutics, Inc. *
32,257
3,113,123
Ovid therapeutics, Inc. *
157,253
349,102
Pacific Biosciences of California,
Inc. *
289,484
405,278
Pacira BioSciences, Inc. *
23,777
627,951
Palisade Bio, Inc. *
76,000
144,020
Palvella Therapeutics, Inc. *
5,926
823,951
Perrigo Co. PLC
81,912
828,130
Personalis, Inc. *
47,941
606,933
Perspective Therapeutics, Inc. *
53,471
155,601
Pfizer, Inc.
3,451,022
86,310,060
Phathom Pharmaceuticals, Inc. *
32,962
288,417
Phibro Animal Health Corp., Class A
13,448
488,566
Praxis Precision Medicines, Inc. *
15,942
4,907,426
Precigen, Inc. *
107,713
675,360
Precision BioSciences, Inc. *
20,000
139,800
Prestige Consumer Healthcare, Inc. *
28,315
1,421,979
Prime Medicine, Inc. *
77,214
225,465
ProKidney Corp. *(a)
49,000
75,460
Protagonist Therapeutics, Inc. *
38,307
5,234,268
Protara Therapeutics, Inc. *
35,000
137,200
Prothena Corp. PLC *
27,500
223,300
PTC Therapeutics, Inc. *
52,218
3,551,346
Puma Biotechnology, Inc. *
19,453
154,262
Quantum-Si, Inc. *
76,645
54,602
Rapport Therapeutics, Inc. *
16,710
684,776
Recursion Pharmaceuticals, Inc.,
Class A *
382,275
1,146,825
Regeneron Pharmaceuticals, Inc.
60,460
46,108,610
REGENXBIO, Inc. *
32,786
317,696
Relay Therapeutics, Inc. *
109,243
2,057,046
Relmada Therapeutics, Inc. *
53,081
281,860
Repligen Corp. *
33,290
4,694,223
Replimune Group, Inc. *
49,000
548,800
Revolution Medicines, Inc. *
121,187
22,726,198
Revvity, Inc.
68,877
7,750,040
Rezolute, Inc. *
60,257
284,413
Rhythm Pharmaceuticals, Inc. *
39,305
3,901,021
Rigel Pharmaceuticals, Inc. *
11,579
426,223
Rocket Pharmaceuticals, Inc. *
50,000
155,500
Roivant Sciences Ltd. *
274,081
9,294,087
Royalty Pharma PLC, Class A
236,051
13,792,460
Sagimet Biosciences, Inc., Class A *
33,033
234,865
Sana Biotechnology, Inc. *
69,685
218,114
Sarepta Therapeutics, Inc. *
65,417
972,097
Savara, Inc. *
79,785
435,626
Scholar Rock Holding Corp. *
63,163
2,987,294
Seaport Therapeutics, Inc. *
18,093
370,183
52
  

Schwab Total Stock Market Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
SELLAS Life Sciences Group,
Inc. *(a)
112,901
1,130,139
Septerna, Inc. *
13,690
471,620
Shattuck Labs, Inc. *
40,881
289,029
SIGA Technologies, Inc.
17,097
55,907
Sionna Therapeutics, Inc. *
8,762
412,953
Solid Biosciences, Inc. *
53,125
428,187
Sotera Health Co. *
167,696
2,995,051
Spero Therapeutics, Inc. *
28,565
33,421
SpyGlass Pharma, Inc. *
7,200
162,216
Spyre Therapeutics, Inc. *
46,825
4,604,302
Standard BioTools, Inc. *
150,000
130,200
Stoke Therapeutics, Inc. *
37,996
1,096,565
Summit Therapeutics, Inc. *
90,467
1,177,880
Supernus Pharmaceuticals, Inc. *
34,337
1,532,460
Sutro Biopharma, Inc. *
10,500
253,785
Syndax Pharmaceuticals, Inc. *
54,559
1,039,349
Tango Therapeutics, Inc. *
74,655
2,029,123
Tarsus Pharmaceuticals, Inc. *
23,467
1,385,492
Taysha Gene Therapies, Inc. *
167,251
980,091
Tectonic Therapeutic, Inc. *
4,711
132,049
Tempus AI, Inc., Class A *
65,380
2,868,221
TG Therapeutics, Inc. *
80,963
4,212,505
Theravance Biopharma, Inc. *
21,449
361,630
Thermo Fisher Scientific, Inc.
225,021
129,229,560
Third Harmonic Bio, Inc. *(b)
11,232
0
Tonix Pharmaceuticals Holding
Corp. *(a)
16,263
162,793
Travere Therapeutics, Inc. *
58,359
3,261,684
Trevi Therapeutics, Inc. *
68,588
1,251,731
Twist Bioscience Corp. *
39,315
3,599,288
Tyra Biosciences, Inc. *
15,817
504,246
Ultragenyx Pharmaceutical, Inc. *
53,281
1,327,230
uniQure NV *
40,698
1,775,654
United Therapeutics Corp. *
25,652
13,280,297
Upstream Bio, Inc. *
21,000
132,510
Vanda Pharmaceuticals, Inc. *
32,000
163,200
Vaxcyte, Inc. *
82,785
4,477,013
Vera Therapeutics, Inc., Class A *
38,815
1,245,961
Veracyte, Inc. *
47,279
2,189,963
VeraDermics, Inc. *(a)
11,670
1,225,350
Verastem, Inc. *
49,159
285,122
Vericel Corp. *
31,392
1,442,776
Vertex Pharmaceuticals, Inc. *
153,682
73,321,682
Veru, Inc. *
6,500
14,560
Viatris, Inc.
712,653
12,514,187
Viking Therapeutics, Inc. *
73,662
2,338,032
Vir Biotechnology, Inc. *
74,185
642,442
Viridian Therapeutics, Inc. *
66,455
1,257,329
Vor BioPharma, Inc. *
22,204
469,615
Voyager Therapeutics, Inc. *
23,000
69,690
Waters Corp. *
59,757
22,546,914
WaVe Life Sciences Ltd. *
88,970
490,225
West Pharmaceutical Services, Inc.
42,726
14,567,857
X4 Pharmaceuticals, Inc. *
66,731
265,589
Xencor, Inc. *
49,055
991,402
Xeris Biopharma Holdings, Inc. *
112,064
905,477
Zenas Biopharma, Inc. *
27,311
858,658
Zentalis Pharmaceuticals, Inc. *
50,000
237,000
Zevra Therapeutics, Inc. *
40,851
388,493
Zoetis, Inc.
254,665
19,683,058
Zura Bio Ltd. *
31,089
168,813
 
2,813,118,416
 
Real Estate Management & Development 0.1%
AMREP Corp. *
2,361
54,870
CBRE Group, Inc., Class A *
178,170
26,157,138
Compass, Inc., Class A *
398,578
4,539,803
SECURITY
NUMBER
OF SHARES
VALUE ($)
CoStar Group, Inc. *
255,687
7,353,558
Cushman & Wakefield Ltd. *
153,703
2,062,694
Douglas Elliman, Inc. *
40,000
67,600
Forestar Group, Inc. *
9,724
273,731
FRP Holdings, Inc. *
5,956
132,938
Howard Hughes Holdings, Inc. *
18,689
1,194,601
Jones Lang LaSalle, Inc. *
28,130
9,986,994
Marcus & Millichap, Inc.
18,359
564,539
Maui Land & Pineapple Co., Inc. *
3,498
60,655
Newmark Group, Inc., Class A
94,323
1,414,373
Opendoor Technologies, Inc. *
479,302
1,806,969
RMR Group, Inc., Class A
11,800
224,672
Seaport Entertainment Group, Inc. *
4,108
107,753
Seritage Growth Properties, Class A *
31,941
76,978
St. Joe Co.
23,492
1,462,142
Star Holdings *
10,000
93,700
Tejon Ranch Co. *
11,108
188,058
Zillow Group, Inc., Class C *
131,844
4,490,607
 
62,314,373
 
Semiconductors & Semiconductor Equipment 15.5%
ACM Research, Inc., Class A *
34,603
2,715,297
Advanced Micro Devices, Inc. *
989,549
471,173,756
Aehr Test Systems *
17,643
1,411,087
Aeluma, Inc. *
6,000
97,200
Allegro MicroSystems, Inc. *
75,262
3,123,373
Alpha & Omega Semiconductor Ltd. *
15,813
501,905
Ambarella, Inc. *
24,473
2,104,678
Ambiq Micro, Inc. *
5,550
352,924
Amkor Technology, Inc.
69,893
3,485,564
Analog Devices, Inc.
295,613
108,611,172
Applied Materials, Inc.
481,475
244,430,413
Astera Labs, Inc. *
81,254
25,288,682
Atomera, Inc. *(a)
20,000
103,200
Axcelis Technologies, Inc. *
18,649
2,431,457
AXT, Inc. *
36,690
2,217,177
Blaize Holdings, Inc. *(a)
124,540
98,424
Broadcom, Inc.
2,873,022
1,118,410,004
Cerebras Systems, Inc., Class A *(a)
21,237
4,220,004
CEVA, Inc. *
15,778
515,152
Cirrus Logic, Inc. *
30,772
3,980,358
Cohu, Inc. *
30,139
1,446,371
Credo Technology Group Holding
Ltd. *
98,150
20,316,068
Diodes, Inc. *
27,723
2,282,157
Enphase Energy, Inc. *
80,356
3,016,564
Entegris, Inc.
92,201
10,976,529
Everspin Technologies, Inc. *
8,698
126,382
First Solar, Inc. *
64,738
13,661,660
FormFactor, Inc. *
47,369
5,030,588
GSI Technology, Inc. *
18,000
100,980
Ichor Holdings Ltd. *
22,733
1,711,113
Impinj, Inc. *
17,307
2,619,588
indie Semiconductor, Inc.,
Class A *(a)
125,547
405,517
Intel Corp. *
2,866,675
258,574,085
inTEST Corp. *
4,591
56,699
KLA Corp.
792,452
144,876,075
Kopin Corp. *
108,341
381,360
Kulicke & Soffa Industries, Inc.
31,538
2,813,190
Lam Research Corp.
758,652
222,300,209
Lattice Semiconductor Corp. *
82,521
10,254,885
MACOM Technology Solutions
Holdings, Inc. *
39,520
9,936,909
Marvell Technology, Inc.
531,327
99,655,692
MaxLinear, Inc. *
51,446
3,437,622
Microchip Technology, Inc.
328,920
24,435,467
Micron Technology, Inc.
684,356
563,245,519
  
53

Schwab Total Stock Market Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
MKS, Inc.
40,922
12,172,249
Monolithic Power Systems, Inc.
29,865
42,588,386
Navitas Semiconductor Corp.,
Class A *
120,600
1,309,716
NVE Corp.
2,299
267,305
NVIDIA Corp.
14,697,324
2,950,487,793
NXP Semiconductors NV
153,346
35,140,769
ON Semiconductor Corp. *
237,708
19,399,350
Onto Innovation, Inc. *
30,186
7,805,496
PDF Solutions, Inc. *
24,651
1,136,165
Penguin Solutions, Inc. *
27,675
1,456,535
Photronics, Inc. *
36,440
1,103,768
Power Integrations, Inc.
33,739
2,048,295
Qnity Electronics, Inc.
126,367
16,576,823
Qorvo, Inc. *
48,651
4,406,321
QUALCOMM, Inc.
640,031
94,474,976
QuickLogic Corp. *
7,578
99,348
Rambus, Inc. *
64,944
5,911,852
Rigetti Computing, Inc. *
204,771
3,061,326
Semtech Corp. *
55,828
6,577,655
Silicon Laboratories, Inc. *
20,442
4,446,135
SiTime Corp. *
13,328
7,133,146
SkyWater Technology, Inc. *(b)
19,669
645,018
Skyworks Solutions, Inc.
93,306
5,811,098
SolarEdge Technologies, Inc. *
35,967
1,481,840
Synaptics, Inc. *
23,552
2,527,601
T1 Energy, Inc. *
127,020
529,673
Teradyne, Inc.
95,092
34,964,377
Texas Instruments, Inc.
552,102
152,236,605
Ultra Clean Holdings, Inc. *
27,021
2,251,119
Universal Display Corp.
28,520
2,286,163
Veeco Instruments, Inc. *
35,982
1,799,100
Wolfspeed, Inc. *(a)
20,040
473,345
 
6,819,542,404
 
Software & Services 9.3%
8x8, Inc. *
70,702
134,334
A10 Networks, Inc.
45,829
1,355,164
Accenture PLC, Class A
372,884
61,868,913
ACI Worldwide, Inc. *
61,482
3,524,763
Adeia, Inc.
64,826
1,727,613
Adobe, Inc. *
245,146
61,387,010
Agilysys, Inc. *
15,056
1,583,289
Akamai Technologies, Inc. *
88,292
10,169,473
Alarm.com Holdings, Inc. *
30,747
1,683,398
Alkami Technology, Inc. *
52,335
950,927
Amplitude, Inc., Class A *
68,571
608,910
Appfolio, Inc., Class A *
14,687
2,646,451
Appian Corp., Class A *
26,543
715,599
Applied Digital Corp. *
151,543
4,150,763
AppLovin Corp., Class A *
162,909
64,495,673
Arteris, Inc. *
20,000
597,600
Asana, Inc., Class A *
55,781
464,098
Atlassian Corp., Class A *
97,621
9,861,185
AudioEye, Inc. *
4,308
24,943
Aurora Innovation, Inc. *
769,362
4,962,385
Autodesk, Inc. *
127,897
29,953,477
AvePoint, Inc. *
88,958
1,159,123
Backblaze, Inc., Class A *
42,432
582,167
Bentley Systems, Inc., Class B
92,774
3,287,911
BigBear.ai Holdings, Inc. *(a)
318,288
888,024
Bill Holdings, Inc. *
53,134
2,397,937
Bit Digital, Inc. *
311,354
407,874
BitMine Immersion Technologies, Inc.
353,346
6,105,819
Blackbaud, Inc. *
22,805
976,054
BlackLine, Inc. *
30,085
944,669
Blend Labs, Inc., Class A *
100,000
178,000
Boost Run, Inc., Class A *
10,000
200,400
SECURITY
NUMBER
OF SHARES
VALUE ($)
Box, Inc., Class A *
87,457
2,759,268
Braze, Inc., Class A *
62,494
1,557,350
C3.ai, Inc., Class A *
83,850
769,743
Cadence Design Systems, Inc. *
167,067
56,806,121
CCC Intelligent Solutions Holdings,
Inc. *
320,000
1,948,800
Cerence, Inc. *
29,228
249,023
Cipher Digital, Inc. *
185,450
4,139,244
Circle Internet Group, Inc. *
36,764
2,301,794
Cleanspark, Inc. *
161,441
2,221,428
Clear Secure, Inc., Class A
56,518
3,122,054
Cloudflare, Inc., Class A *
193,868
54,085,295
Cognizant Technology Solutions
Corp., Class A
289,551
16,026,648
Commvault Systems, Inc. *
25,969
3,059,148
Consensus Cloud Solutions, Inc. *
11,336
412,630
Core Scientific, Inc. *
195,460
4,049,931
CoreWeave, Inc., Class A *
160,699
11,533,367
Crowdstrike Holdings, Inc., Class A *
617,130
117,785,432
CSP, Inc.
5,818
46,020
Daily Journal Corp. *
712
418,015
Datadog, Inc., Class A *
200,520
53,733,344
Digimarc Corp. *
21,522
141,184
Digital Turbine, Inc. *
70,344
566,973
DigitalOcean Holdings, Inc. *
49,225
5,783,937
Docusign, Inc., Class A *
117,644
6,450,421
Dolby Laboratories, Inc., Class A
36,982
2,174,911
Dropbox, Inc., Class A *
90,646
2,951,434
D-Wave Quantum, Inc. *
226,078
4,087,490
DXC Technology Co. *
100,000
1,124,000
Dynatrace, Inc. *
181,645
8,050,506
eGain Corp. *
7,634
52,064
Elastic NV *
55,663
3,662,069
EPAM Systems, Inc. *
32,370
3,416,977
EverCommerce, Inc. *(a)
12,868
158,791
Everforth, Inc. *
15,277
434,478
Fair Isaac Corp. *
14,023
15,747,408
Fastly, Inc., Class A *
95,695
2,168,449
Five9, Inc. *
49,234
1,354,427
Fortinet, Inc. *
377,047
61,062,762
Freshworks, Inc., Class A *
129,626
1,471,903
Gartner, Inc. *
40,978
6,188,498
Gen Digital, Inc.
338,000
9,278,100
Gitlab, Inc., Class A *
90,960
3,139,030
GoDaddy, Inc., Class A *
81,893
6,775,827
Grid Dynamics Holdings, Inc. *
40,009
275,662
Guidewire Software, Inc. *
51,562
7,834,330
Hackett Group, Inc.
12,220
130,998
HubSpot, Inc. *
31,616
7,504,374
Hut 8 Corp. *
60,966
6,561,771
I3 Verticals, Inc., Class A *
10,325
217,445
Information Services Group, Inc.
16,112
67,026
Intapp, Inc. *
36,312
1,187,039
Intellicheck, Inc. *
12,962
46,793
InterDigital, Inc.
15,882
4,841,231
International Business Machines
Corp.
570,140
127,511,811
Intuit, Inc.
167,890
53,064,992
Kaltura, Inc. *
33,164
45,435
Keel Infrastructure Corp. *
327,316
1,299,445
Klaviyo, Inc., Class A *
85,000
1,516,400
Kyndryl Holdings, Inc. *
137,000
1,856,350
Life360, Inc. *
49,798
2,691,582
LiveRamp Holdings, Inc. *
38,791
1,469,015
Manhattan Associates, Inc. *
36,071
6,902,547
MARA Holdings, Inc. *
235,000
2,660,200
Microsoft Corp.
4,507,408
2,094,682,646
Mitek Systems, Inc. *
35,067
585,619
MongoDB, Inc., Class A *
48,490
16,364,405
54
  

Schwab Total Stock Market Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
N-able, Inc. *
45,000
210,600
nCino, Inc. *
63,858
1,178,819
NCR Voyix Corp. *
90,091
745,053
Netskope, Inc., Class A *
124,894
1,572,415
NextNav, Inc. *
56,298
738,067
Nutanix, Inc., Class A *
163,160
9,628,072
Okta, Inc. *
101,393
14,390,708
OneSpan, Inc.
23,440
362,851
Ooma, Inc. *
17,711
385,214
Oracle Corp.
1,029,277
133,672,204
PagerDuty, Inc. *
52,417
554,572
Palantir Technologies, Inc., Class A *
1,393,329
171,463,067
Palo Alto Networks, Inc. *
491,727
163,169,770
PAR Technology Corp. *
30,397
515,229
Pegasystems, Inc.
54,049
1,651,197
Porch Group, Inc. *
64,923
938,137
Procore Technologies, Inc. *
71,740
3,929,200
Progress Software Corp. *
26,014
1,055,908
PTC, Inc. *
70,227
9,635,144
Q2 Holdings, Inc. *
39,190
2,385,495
Qualys, Inc. *
20,982
3,037,144
Rackspace Technology, Inc. *(a)
68,860
284,392
Rapid7, Inc. *
35,000
337,750
Red Violet, Inc. *
10,108
701,293
ReposiTrak, Inc.
6,299
53,164
Research Solutions, Inc. *
18,069
39,752
Rimini Street, Inc. *
21,843
105,065
RingCentral, Inc., Class A
45,705
2,542,112
Riot Platforms, Inc. *
198,970
4,013,225
Roper Technologies, Inc.
61,210
23,992,484
Rubrik, Inc., Class A *
98,025
7,093,089
SailPoint, Inc. *
49,548
830,920
Salesforce, Inc.
495,647
91,208,961
Samsara, Inc., Class A *
226,295
8,434,015
SentinelOne, Inc., Class A *
201,676
3,843,945
ServiceNow, Inc. *
625,081
69,527,760
ServiceTitan, Inc., Class A *
36,557
3,036,424
Snowflake, Inc., Class A *
209,602
61,472,075
SoundHound AI, Inc., Class A *(a)
247,277
1,515,808
Sprinklr, Inc., Class A *
91,157
579,759
Sprout Social, Inc., Class A *
41,500
356,070
SPS Commerce, Inc. *
23,470
1,722,463
Strategy, Inc., Class A *
202,796
18,916,811
Synopsys, Inc. *
116,220
45,181,687
Telos Corp. *
25,409
112,816
Tenable Holdings, Inc. *
66,196
2,160,637
Teradata Corp. *
55,217
1,711,175
Terawulf, Inc. *
245,579
4,336,925
TON Strategy Co. *
40,000
119,200
Trimble, Inc. *
144,885
8,197,593
TSS, Inc. *
12,157
120,597
Tucows, Inc., Class A *
5,000
77,200
Twilio, Inc., Class A *
92,480
18,250,928
Tyler Technologies, Inc. *
26,040
8,061,984
UiPath, Inc., Class A *
268,930
3,431,547
Unisys Corp. *
39,083
112,168
Unity Software, Inc. *
210,425
6,672,577
Varonis Systems, Inc., Class B *
71,700
2,864,415
VeriSign, Inc.
49,872
14,463,877
Vertex, Inc., Class A *
45,000
580,950
Viant Technology, Inc., Class A *
10,390
122,290
Weave Communications, Inc. *
73,179
478,591
Whitefiber, Inc. *(a)
4,600
109,020
Workday, Inc., Class A *
123,788
19,848,168
Workiva, Inc., Class A *
31,438
1,879,992
Xperi, Inc. *
25,000
192,750
Zeta Global Holdings Corp., Class A *
127,341
2,750,566
SECURITY
NUMBER
OF SHARES
VALUE ($)
Zoom Communications, Inc. *
160,652
15,433,838
Zscaler, Inc. *
61,892
9,358,070
 
4,091,033,120
 
Technology Hardware & Equipment 9.8%
908 Devices, Inc. *
20,374
163,196
ADTRAN Holdings, Inc. *
52,957
450,664
Advanced Energy Industries, Inc.
22,787
6,597,292
Aeva Technologies, Inc. *
19,355
339,487
Airgain, Inc. *
7,096
41,086
Amphenol Corp., Class A
746,392
119,945,194
Apple, Inc.
8,912,374
2,753,121,452
Applied Optoelectronics, Inc. *
45,795
4,319,384
Arista Networks, Inc. *
624,963
112,712,077
Arlo Technologies, Inc. *
66,377
977,069
Arrow Electronics, Inc. *
30,820
6,674,687
AstroNova, Inc. *
4,083
118,203
Aviat Networks, Inc. *
7,936
162,529
Avnet, Inc.
49,387
4,387,541
Badger Meter, Inc.
18,228
2,448,932
Bel Fuse, Inc., Class B
7,967
2,166,785
Belden, Inc.
24,865
3,084,503
Benchmark Electronics, Inc.
20,895
1,666,794
BK Technologies Corp. *
2,000
160,000
Calix, Inc. *
35,354
1,269,209
CDW Corp.
76,941
11,372,649
Ciena Corp. *
85,919
32,395,759
Cisco Systems, Inc.
2,395,709
277,878,287
Clearfield, Inc. *
11,052
334,434
Climb Global Solutions, Inc.
12,412
332,766
Cognex Corp.
101,860
6,645,346
Coherent Corp. *
118,825
31,237,904
Corning, Inc.
474,755
65,634,879
Corsair Gaming, Inc. *
48,628
515,943
CPI Card Group, Inc. *
1,805
38,031
Crane NXT Co.
30,475
1,583,176
CTS Corp.
17,107
1,096,901
Daktronics, Inc. *
24,125
476,951
Dell Technologies, Inc., Class C
175,623
71,192,296
Diebold Nixdorf, Inc. *
21,593
1,589,029
Digi International, Inc. *
21,893
1,526,380
Eastman Kodak Co. *
52,992
445,133
ePlus, Inc.
15,417
1,424,685
Everpure, Inc., Class A *
192,301
14,839,868
Evolv Technologies Holdings, Inc. *
83,781
463,309
Extreme Networks, Inc. *
79,341
2,391,338
F5, Inc. *
34,097
13,726,429
Fabrinet *
21,613
9,410,516
Flex Ltd. *
223,397
25,411,409
Forward Industries, Inc. *
52,473
211,466
Frequency Electronics, Inc. *
4,719
273,560
GPGI, Inc., Class A
105,425
1,391,610
Harmonic, Inc. *
66,948
773,249
Hewlett Packard Enterprise Co.
806,168
38,615,447
HP, Inc.
553,809
15,102,371
Identiv, Inc. *
8,288
21,880
Immersion Corp.
13,101
99,044
Infleqtion, Inc. *(a)
92,440
908,685
Inseego Corp. *
4,205
29,561
Insight Enterprises, Inc. *
18,150
2,340,080
IonQ, Inc. *
225,845
8,229,792
IPG Photonics Corp. *
14,898
1,267,224
Itron, Inc. *
26,480
2,638,997
Jabil, Inc.
63,704
20,069,945
Keysight Technologies, Inc. *
104,164
33,236,649
Kimball Electronics, Inc. *
15,963
394,765
Knowles Corp. *
50,960
1,864,626
KVH Industries, Inc. *
5,414
50,134
  
55

Schwab Total Stock Market Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Lantronix, Inc. *
30,000
161,400
LightPath Technologies, Inc.,
Class A *
34,173
354,374
Lightwave Logic, Inc. *
87,382
564,488
Littelfuse, Inc.
15,638
6,914,029
Lumentum Holdings, Inc. *
47,280
33,755,083
Methode Electronics, Inc.
26,544
371,351
MicroVision, Inc. *
250,000
66,500
Mirion Technologies, Inc., Class A *
144,421
2,163,427
Motorola Solutions, Inc.
100,477
43,782,853
M-Tron Industries, Inc. *
2,643
217,730
Napco Security Technologies, Inc.
22,775
844,497
NetApp, Inc.
119,487
21,328,429
NETGEAR, Inc. *
18,065
436,450
NetScout Systems, Inc. *
43,298
1,760,930
nLight, Inc. *
35,595
2,448,936
Novanta, Inc. *
21,109
3,009,088
Ondas, Inc. *(a)
303,661
2,274,421
One Stop Systems, Inc. *
12,911
157,902
OSI Systems, Inc. *
9,287
2,056,049
Ouster, Inc. *
39,256
1,531,377
PC Connection, Inc.
7,198
602,617
Plexus Corp. *
16,386
4,118,457
Powerfleet, Inc. NJ *
117,497
460,588
Quantum Computing, Inc. *(a)
118,275
958,028
Ralliant Corp.
69,480
4,541,908
ReElement Technologies LLC *(a)(b)
12,919
0
RF Industries Ltd. *
7,044
86,782
Ribbon Communications, Inc. *
78,320
167,605
Richardson Electronics Ltd.
5,554
101,583
Rogers Corp. *
10,471
1,292,854
Sandisk Corp. *
89,845
109,146,403
Sanmina Corp. *
32,210
5,976,888
ScanSource, Inc. *
12,228
692,349
Seagate Technology Holdings PLC
136,149
116,561,243
SmartRent, Inc. *
80,000
80,800
Super Micro Computer, Inc. *
339,532
9,642,709
TD SYNNEX Corp.
45,270
11,575,539
TE Connectivity PLC
177,068
36,421,117
Teledyne Technologies, Inc. *
28,025
18,372,350
TransAct Technologies, Inc. *
3,397
17,596
TTM Technologies, Inc. *
62,338
7,196,299
Turtle Beach Corp. *
7,827
95,881
Ubiquiti, Inc.
2,493
1,387,404
Unusual Machines, Inc. *
24,507
518,568
Viasat, Inc. *
82,109
6,316,645
Viavi Solutions, Inc. *
142,193
5,254,031
Vishay Intertechnology, Inc.
83,995
2,874,309
Vishay Precision Group, Inc. *
7,894
726,643
Vistance Networks, Inc. *
130,243
1,529,053
Vontier Corp.
83,040
2,668,075
Vuzix Corp. *(a)
48,683
113,431
Western Digital Corp.
209,128
113,941,300
Wrap Technologies, Inc. *(a)
21,515
39,588
Xerox Holdings Corp.
71,000
209,450
Zebra Technologies Corp., Class A *
29,479
8,661,520
 
4,316,837,514
 
Telecommunication Services 0.9%
Anterix, Inc. *
10,260
954,385
Array Digital Infrastructure, Inc.
9,196
320,389
AST SpaceMobile, Inc. *(a)
157,033
9,261,806
AT&T, Inc.
4,209,580
97,872,735
ATN International, Inc.
5,256
125,145
Bandwidth, Inc., Class A *
18,332
717,515
Cogent Communications Holdings,
Inc.
34,906
471,231
Comcast Corp., Class A
2,152,558
51,575,290
SECURITY
NUMBER
OF SHARES
VALUE ($)
Globalstar, Inc. *
30,338
2,529,583
Gogo, Inc. *
46,801
195,628
IDT Corp., Class B
13,827
910,646
Iridium Communications, Inc.
63,008
2,982,799
Liberty Capital Corp., Class C *
23,626
547,414
Liberty Global Ltd., Class C *
202,099
2,093,746
Liberty Latin America Ltd., Class C *
103,867
838,207
Lumen Technologies, Inc. *
580,465
3,703,367
Shenandoah Telecommunications
Co.
34,187
409,902
Space Exploration Technologies
Corp., Class A *(a)
359,741
38,985,132
Spok Holdings, Inc.
14,849
161,854
Telephone & Data Systems, Inc.
59,369
1,993,611
T-Mobile U.S., Inc.
281,585
48,632,545
Uniti Group, Inc.
117,138
1,138,581
Verizon Communications, Inc.
2,533,383
118,587,658
 
385,009,169
 
Transportation 1.4%
Alaska Air Group, Inc. *
68,268
3,239,317
Allegiant Travel Co. *
13,667
1,340,459
American Airlines Group, Inc. *
403,606
6,163,064
ArcBest Corp.
13,543
1,954,932
Avis Budget Group, Inc. *
10,462
1,437,897
CH Robinson Worldwide, Inc.
71,564
10,572,150
Covenant Logistics Group, Inc.,
Class A
11,555
410,434
CSX Corp.
1,126,340
56,767,536
Delta Air Lines, Inc.
396,710
34,688,322
Expeditors International of
Washington, Inc.
79,482
13,344,233
FedEx Corp.
132,976
40,876,822
Fedex Freight Holding Co., Inc. *
65,464
9,199,656
Forward Air Corp. *
16,577
232,907
Frontier Group Holdings, Inc. *
70,092
473,121
FTAI Infrastructure, Inc.
59,598
222,301
Genco Shipping & Trading Ltd.
21,083
538,460
GXO Logistics, Inc. *
69,797
3,501,018
Heartland Express, Inc.
26,008
318,078
Hertz Global Holdings, Inc. *(a)
93,560
148,293
Hub Group, Inc., Class A
35,393
1,646,836
JB Hunt Transport Services, Inc.
45,084
12,251,577
JetBlue Airways Corp. *
183,960
1,109,279
Joby Aviation, Inc. *
381,543
2,728,032
Kirby Corp. *
32,623
4,278,180
Knight-Swift Transportation
Holdings, Inc.
98,320
6,836,190
Landstar System, Inc.
20,456
3,575,095
Lyft, Inc., Class A *
234,785
3,723,690
Marten Transport Ltd.
38,680
572,077
Matson, Inc.
18,299
3,707,194
Norfolk Southern Corp.
136,167
45,681,305
Old Dominion Freight Line, Inc.
111,099
23,568,542
Pangaea Logistics Solutions Ltd.
13,298
101,198
Proficient Auto Logistics, Inc. *
20,000
136,800
Radiant Logistics, Inc. *
16,850
138,844
Republic Airways Holdings, Inc. *
18,413
380,228
RXO, Inc. *
104,223
2,110,516
Ryder System, Inc.
23,459
6,015,357
Saia, Inc. *
16,129
5,606,924
Schneider National, Inc., Class B
29,347
1,048,862
Sky Harbour Group Corp. *
9,000
96,300
SkyWest, Inc. *
23,735
2,538,933
Southwest Airlines Co.
296,406
13,329,378
Uber Technologies, Inc. *
1,235,256
86,912,612
56
  

Schwab Total Stock Market Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
U-Haul Holding Co., Non Voting
Shares
67,075
4,197,553
Union Pacific Corp.
360,364
105,273,135
United Airlines Holdings, Inc. *
196,710
23,866,824
United Parcel Service, Inc., Class B
452,106
47,118,487
Universal Logistics Holdings, Inc.
3,300
44,154
Werner Enterprises, Inc.
35,471
1,327,325
XPO, Inc. *
70,673
14,203,153
 
609,553,580
 
Utilities 2.1%
AES Corp.
432,370
6,347,192
Alliant Energy Corp.
155,078
10,976,421
Ameren Corp.
166,749
18,277,358
American Electric Power Co., Inc.
329,657
42,146,648
American States Water Co.
24,081
2,062,297
American Water Works Co., Inc.
117,748
15,798,249
Artesian Resources Corp., Class A
5,123
175,975
Atmos Energy Corp.
101,307
17,503,824
Avista Corp.
47,822
1,934,400
Black Hills Corp.
47,462
3,379,769
Cadiz, Inc. *
22,878
68,405
California Water Service Group
36,782
1,843,146
CenterPoint Energy, Inc.
393,867
16,558,169
Chesapeake Utilities Corp.
14,051
1,865,692
Clearway Energy, Inc., Class C
74,903
2,376,672
CMS Energy Corp.
187,816
13,520,874
Consolidated Edison, Inc.
222,448
24,213,465
Consolidated Water Co. Ltd.
7,055
206,006
Constellation Energy Corp.
193,679
50,889,157
Dominion Energy, Inc.
534,155
36,947,501
DTE Energy Co.
126,293
17,917,188
Duke Energy Corp.
473,893
59,440,399
Edison International
232,137
17,031,892
Entergy Corp.
277,965
29,914,593
Essential Utilities, Inc.
172,168
6,860,895
Evergy, Inc.
139,200
11,554,992
Eversource Energy
229,290
16,414,871
Exelon Corp.
621,879
28,494,496
Fervo Energy Co., Class A *
40,743
918,347
FirstEnergy Corp.
314,230
15,180,451
Genie Energy Ltd., Class B
9,550
132,841
Global Water Resources, Inc.
4,694
33,609
H2O America
24,707
1,515,280
Hallador Energy Co. *
23,191
329,776
Hawaiian Electric Industries, Inc. *
103,277
1,334,339
IDACORP, Inc.
33,686
4,814,066
MDU Resources Group, Inc.
126,922
2,532,094
MGE Energy, Inc.
23,462
1,865,933
Middlesex Water Co.
11,347
650,183
National Fuel Gas Co.
56,474
4,648,375
New Jersey Resources Corp.
60,880
3,524,343
NextEra Energy, Inc.
1,266,446
110,079,486
NiSource, Inc.
288,693
12,826,630
Northwest Natural Holding Co.
26,744
1,308,317
Northwestern Energy Group, Inc.
36,574
2,514,097
NRG Energy, Inc.
128,124
17,205,772
OGE Energy Corp.
125,004
5,918,939
Oklo, Inc. *
88,939
3,453,501
ONE Gas, Inc.
37,926
2,944,954
Ormat Technologies, Inc.
37,314
3,641,100
Otter Tail Corp.
24,841
2,196,441
PG&E Corp.
1,338,911
23,270,273
Pinnacle West Capital Corp.
72,814
7,353,486
Portland General Electric Co.
69,618
3,434,256
PPL Corp.
453,724
15,975,622
Public Service Enterprise Group, Inc.
301,134
23,090,955
Pure Cycle Corp. *
18,445
193,857
SECURITY
NUMBER
OF SHARES
VALUE ($)
RGC Resources, Inc.
3,883
83,096
Sempra
396,955
35,150,365
Southern Co.
684,930
64,753,282
Southwest Gas Holdings, Inc.
38,528
3,444,403
Spire, Inc.
35,352
2,823,211
Talen Energy Corp. *
27,563
9,208,798
TXNM Energy, Inc.
61,457
3,559,589
UGI Corp.
129,817
4,688,990
Unitil Corp.
11,327
610,978
Vistra Corp.
193,645
28,696,253
WEC Energy Group, Inc.
197,847
21,648,419
Xcel Energy, Inc.
378,340
29,586,188
York Water Co.
10,196
315,770
 
932,177,211
Total Common Stocks
(Cost $20,252,218,893)
43,990,968,075
 
PREFERRED STOCKS 0.0% OF NET ASSETS
 
Software & Services 0.0%
SRAX, Inc. *(b)
9,789
0
Total Preferred Stocks
(Cost $530)
0
 
RIGHTS 0.0% OF NET ASSETS
 
Pharmaceuticals, Biotechnology & Life Sciences 0.0%
Aduro Biotech, Inc. CVR *(b)
5,747
11,721
Cartesian Therapeutics, Inc. CVR *(b)
59,796
138,081
Checkpoint Therapeutics, Inc. CVR
*(b)
20,000
2,400
Cyteir Therapeutics, Inc. CVR *(b)
15,972
0
Frequency Therapeutics, Inc. CVR
*(b)
23,364
925
Homology Medicines, Inc. CVR *(b)
21,971
0
IMARA, Inc. CVR *(b)
11,519
0
Magenta Therapeutics, Inc. CVR *(b)
27,369
0
Miromatrix Medical, Inc. CVR *(b)
11,036
13,765
Pardes Biosciences, Inc. CVR *(b)
19,235
0
Sesen Bio, Inc. CVR *(b)
67,895
0
Surface Oncology, Inc. CVR *(b)
44,721
0
Tectonic Therapeutic, Inc. CVR *(b)
816
0
Vigil Neuroscience, Inc. CVR *(b)
20,643
4,450
Zynerba Pharmaceuticals, Inc. CVR
*(b)
37,596
0
 
171,342
Total Rights
(Cost $25,478)
171,342
 
WARRANTS 0.0% OF NET ASSETS
 
Semiconductors & Semiconductor Equipment 0.0%
Datavault AI, Inc. , *(a)(b)
2,916
24
Total Warrants
(Cost $0)
24
 
  
57

Schwab Total Stock Market Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
SHORT-TERM INVESTMENTS 0.2% OF NET ASSETS
 
Money Market Funds 0.2%
State Street Institutional
U.S. Government Money Market
Fund, Premier Class 3.62% (e)(f)
77,748,477
77,748,477
Total Short-Term Investments
(Cost $77,748,477)
77,748,477
Total Investments in Securities
(Cost $20,329,993,378)
44,068,887,918
 
 
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
($)
CURRENT VALUE/
UNREALIZED
APPRECIATION
(DEPRECIATION)
($)
FUTURES CONTRACTS
Long
Russell 2000 Index, e-mini,
expires 09/18/26
69
10,136,100
(75,001
)
S&P 500 Index, e-mini, expires
09/18/26
239
89,855,038
456,840
 
381,839
 
*
Non-income producing security.
(a)
All or a portion of this security is on loan.
(b)
Fair valued using significant unobservable inputs.
(c)
Issuer is an affiliated company, as the investment adviser owns at least 5% of
the voting securities of such company.
(d)
Issuer is affiliated with the fund’s investment adviser.
(e)
The rate shown is the annualized 7-day yield.
(f)
Security purchased with cash collateral received for securities on loan.
Securities on loan were valued at $73,875,155.
 
CVR —
Contingent Value Rights
REIT —
Real Estate Investment Trust
 
Below is a summary of the fund’s transactions with affiliated issuers and companies which are or were affiliates during the period ended July 31, 2026. An affiliated company is a company in which the investment adviser has or had an ownership of at least 5% of the voting securities of a security issue during the report period. A dash in the Value at October 31, 2025, and/or Value and Balance of Shares Held at July 31, 2026, columns means either the issuer was not held or not held as an affiliate on the stated date. 
SECURITY
VALUE AT
10/31/25
PURCHASES
SALES
NET REALIZED
GAINS (LOSSES)
NET CHANGE
IN UNREALIZED
APPRECIATION
(DEPRECIATION)
VALUE AT
7/31/26
BALANCE
OF SHARES
HELD AT
7/31/26
DIVIDENDS
RECEIVED
COMMON STOCKS 0.2% OF NET ASSETS
 
Capital Goods 0.0%
JELD-WEN Holding, Inc. *
$—
$—
($71,785
)
($75,129
)
($28,856
)
$—
—
$—
 
Commercial & Professional Services 0.0%
TrueBlue, Inc. *
85,320
—
—
—
42,120
—
—
—
 
Consumer Durables & Apparel 0.0%
Oxford Industries, Inc.
—
196,946
—
—
(9,169
)
—
—
21,315
 
Equity Real Estate Investment Trusts (REITs) 0.0%
Service Properties Trust (a)
169,488
541,954
—
—
31,494
742,936
92,520
8,779
 
Financial Services 0.2%
Charles Schwab Corp. (b)
77,110,078
19,647,685
(3,481,924
)
(84,285
)
10,476,055
103,667,609
985,059
797,194
 
Food, Beverage & Tobacco 0.0%
Hain Celestial Group, Inc. *
—
—
(41,926
)
(74,880
)
31,857
—
—
—
 
Health Care Equipment & Services 0.0%
Accendra Health, Inc. *
—
390,032
(58,575
)
(100,950
)
23,520
—
—
—
 
Household & Personal Products 0.0%
Medifast, Inc. *
107,399
—
—
—
(19,568
)
—
—
—
Nu Skin Enterprises, Inc., Class A
—
—
—
—
(130,453
)
—
—
4,246
58
  

Schwab Total Stock Market Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
VALUE AT
10/31/25
PURCHASES
SALES
NET REALIZED
GAINS (LOSSES)
NET CHANGE
IN UNREALIZED
APPRECIATION
(DEPRECIATION)
VALUE AT
7/31/26
BALANCE
OF SHARES
HELD AT
7/31/26
DIVIDENDS
RECEIVED
 
—
 
Media & Entertainment 0.0%
AMC Global Media, Inc., Class A *
$—
$167,465
$—
$—
$86,276
$—
—
$—
EW Scripps Co., Class A *
70,470
167,360
—
—
(40,436
)
—
—
—
Gray Media, Inc.
—
—
—
—
(23,010
)
—
—
10,420
 
—
Total
$77,542,755
$21,111,442
($3,654,210
)
($335,244
)
$10,439,830
$104,410,545
$841,954
 
*
Non-income producing security.
(a)
Issuer is an affiliated company, as the investment adviser owns at least 5% of the voting securities of such company.
(b)
Issuer is affiliated with the fund’s investment adviser.
 
The following is a summary of the inputs used to value the fund’s investments as of July 31, 2026:  
DESCRIPTION
QUOTED PRICES IN
ACTIVE MARKETS FOR
IDENTICAL ASSETS
(LEVEL 1)
OTHER SIGNIFICANT
OBSERVABLE INPUTS
(LEVEL 2)
SIGNIFICANT
UNOBSERVABLE INPUTS
(LEVEL 3)
TOTAL
Assets
Common Stocks 1
$22,673,178,713
$—
$—
$22,673,178,713
Banks
1,711,543,695
—
1,369
1,711,545,064
Capital Goods
3,306,909,660
—
0
*
3,306,909,660
Health Care Equipment & Services
1,446,868,252
—
0
*
1,446,868,252
Materials
902,968,052
—
0
*
902,968,052
Pharmaceuticals, Biotechnology & Life Sciences
2,813,118,416
—
0
*
2,813,118,416
Semiconductors & Semiconductor Equipment
6,818,897,386
—
645,018
6,819,542,404
Technology Hardware & Equipment
4,316,837,514
—
0
*
4,316,837,514
Preferred Stocks
Software & Services
—
—
0
*
0
Rights
Pharmaceuticals, Biotechnology & Life Sciences
—
—
171,342
*
171,342
Warrants
Semiconductors & Semiconductor Equipment
—
—
24
24
Short-Term Investments 1
77,748,477
—
—
77,748,477
Futures Contracts 2
456,840
—
—
456,840
Liabilities
Futures Contracts 2
(75,001
)
—
—
(75,001
)
Total
$44,068,452,004
$—
$817,753
$44,069,269,757
 
*
Level 3 amount shown includes securities determined to have no value.
1
As categorized in the Portfolio Holdings.
2
Futures contracts are reported at cumulative unrealized appreciation or depreciation.
  
59

Schwab Capital Trust
Schwab U.S. Large-Cap Growth Index Fund
Portfolio Holdings as of July 31, 2026 (Unaudited)
 
SECURITY
NUMBER
OF SHARES
VALUE ($)
COMMON STOCKS 99.6% OF NET ASSETS
 
Automobiles & Components 2.8%
Rivian Automotive, Inc., Class A *
18,319
278,815
Tesla, Inc. *
431,846
134,394,794
 
134,673,609
 
Banks 0.4%
Bank of America Corp.
66,396
4,113,232
Citigroup, Inc.
39,213
5,193,762
NU Holdings Ltd., Class A *
512,629
7,345,974
Pinnacle Financial Partners, Inc.
1,286
135,326
Popular, Inc.
658
115,288
Western Alliance Bancorp
3,027
243,643
 
17,147,225
 
Capital Goods 7.6%
3M Co.
10,721
1,889,898
AAON, Inc.
9,951
886,236
Allison Transmission Holdings, Inc.
1,750
200,445
Armstrong World Industries, Inc.
1,600
279,456
ATI, Inc. *
19,912
3,732,305
Axon Enterprise, Inc. *
11,418
6,025,964
Bloom Energy Corp., Class A *
39,697
8,170,040
Boeing Co. *
72,783
15,731,318
BWX Technologies, Inc.
12,794
2,158,348
Carlisle Cos., Inc.
618
222,431
Carpenter Technology Corp.
7,097
3,688,027
Caterpillar, Inc.
67,156
54,719,380
Comfort Systems USA, Inc.
5,160
8,925,200
Cummins, Inc.
9,255
5,869,521
Curtiss-Wright Corp.
2,752
1,992,448
Dycom Industries, Inc. *
1,715
687,835
Eaton Corp. PLC
8,880
3,686,976
EMCOR Group, Inc.
6,511
5,192,067
Everus Construction Group, Inc. *
6,526
818,556
Fastenal Co.
139,122
6,637,511
Ferguson Enterprises, Inc.
1,413
331,108
Forgent Power Solutions, Inc., Class A *
24,286
807,995
FTAI Aviation Ltd.
14,916
3,072,696
GE Vernova, Inc.
39,789
39,402,649
General Electric Co.
152,735
54,995,291
HEICO Corp.
14,363
5,118,399
Hexcel Corp.
1,887
194,267
Howmet Aerospace, Inc.
58,880
16,619,469
IES Holdings, Inc. *
1,309
974,603
Illinois Tool Works, Inc.
12,406
3,559,902
Johnson Controls International PLC
5,784
848,281
Karman Holdings, Inc. *
9,916
477,455
Kratos Defense & Security Solutions,
Inc. *
1,900
88,540
Lennox International, Inc.
1,372
570,587
Lincoln Electric Holdings, Inc.
1,800
470,358
Lockheed Martin Corp.
30,050
17,511,337
MasTec, Inc. *
9,096
2,393,158
Modine Manufacturing Co. *
7,652
1,538,511
nVent Electric PLC
9,815
1,509,841
Powell Industries, Inc.
4,217
880,004
SECURITY
NUMBER
OF SHARES
VALUE ($)
Primoris Services Corp.
425
35,874
Quanta Services, Inc.
22,087
14,739,980
RBC Bearings, Inc. *
801
441,599
Rocket Lab Corp. *
79,307
5,150,990
Rockwell Automation, Inc.
13,622
6,539,650
Solv Energy, Inc., Class A *
5,605
159,350
Sterling Infrastructure, Inc. *
4,418
2,636,530
Trane Technologies PLC
32,715
14,883,689
TransDigm Group, Inc.
4,165
5,224,493
United Rentals, Inc.
2,111
2,278,318
Vertiv Holdings Co., Class A
56,776
13,715,378
Vicor Corp. *
3,655
757,937
Woodward, Inc.
8,794
3,172,436
WW Grainger, Inc.
5,533
7,647,823
 
360,262,460
 
Commercial & Professional Services 0.5%
Automatic Data Processing, Inc.
21,888
5,832,277
Booz Allen Hamilton Holding Corp.,
Class A
4,083
284,667
Cintas Corp.
50,522
10,338,317
Clean Harbors, Inc. *
1,369
428,333
ExlService Holdings, Inc. *
3,203
108,678
Paylocity Holding Corp. *
587
80,944
Planet Labs PBC *
40,709
833,720
Rollins, Inc.
43,987
1,670,186
UL Solutions, Inc., Class A
3,857
353,455
Waste Management, Inc.
14,856
3,365,627
 
23,296,204
 
Consumer Discretionary Distribution & Retail 2.3%
Amazon.com, Inc. *
119,859
32,551,307
AutoZone, Inc. *
331
998,379
Burlington Stores, Inc. *
9,275
3,417,652
Carvana Co., Class A *
102,478
6,390,528
Chewy, Inc., Class A *
35,017
791,384
Coupang, Inc., Class A *
185,030
3,025,240
eBay, Inc.
14,380
1,639,464
Etsy, Inc. *
6,948
567,513
Five Below, Inc. *
3,274
710,884
Home Depot, Inc.
109,137
36,229,118
Murphy USA, Inc.
2,470
1,501,167
Ross Stores, Inc.
40,709
10,220,809
TJX Cos., Inc.
74,662
11,747,319
Ulta Beauty, Inc. *
1,428
732,321
Valvoline, Inc. *
16,465
632,421
Williams-Sonoma, Inc.
2,233
510,598
 
111,666,104
 
Consumer Durables & Apparel 0.2%
Amer Sports, Inc. *
4,518
160,434
Deckers Outdoor Corp. *
1,794
173,803
Hasbro, Inc.
5,364
503,894
NVR, Inc. *
155
952,793
On Holding AG, Class A *
33,567
1,216,468
Ralph Lauren Corp., Class A
3,488
1,326,626
SharkNinja, Inc. *
1,825
295,230
60
  

Schwab U.S. Large-Cap Growth Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Somnigroup International, Inc.
4,905
320,444
Tapestry, Inc.
29,907
4,556,929
 
9,506,621
 
Consumer Services 2.4%
Airbnb, Inc., Class A *
61,123
9,261,357
Booking Holdings, Inc.
114,503
22,087,629
Cava Group, Inc. *
14,637
954,772
Chipotle Mexican Grill, Inc., Class A *
188,891
7,030,523
Choice Hotels International, Inc.
4,046
451,089
Churchill Downs, Inc.
1,343
113,215
Darden Restaurants, Inc.
16,919
3,444,370
Domino's Pizza, Inc.
271
94,156
DoorDash, Inc., Class A *
55,492
10,885,311
DraftKings, Inc., Class A *
69,967
1,642,825
Dutch Bros, Inc., Class A *
17,288
1,138,069
Expedia Group, Inc.
16,870
4,972,264
Grand Canyon Education, Inc. *
939
136,474
H&R Block, Inc.
3,111
136,977
Hilton Worldwide Holdings, Inc.
32,986
10,571,683
Hyatt Hotels Corp., Class A
5,502
957,678
Las Vegas Sands Corp.
40,536
1,981,805
Marriott International, Inc., Class A
24,093
8,982,593
Planet Fitness, Inc., Class A *
11,528
644,531
Restaurant Brands International, Inc.
29,259
2,165,751
Royal Caribbean Cruises Ltd.
21,100
6,716,130
Starbucks Corp.
92,673
9,753,833
Texas Roadhouse, Inc., Class A
3,105
637,891
Travel & Leisure Co.
2,474
188,074
Vail Resorts, Inc.
4,243
633,819
Viking Holdings Ltd. *
26,183
2,732,196
Wingstop, Inc.
4,011
519,384
Wyndham Hotels & Resorts, Inc.
9,625
720,528
Wynn Resorts Ltd.
9,384
931,925
Yum! Brands, Inc.
12,200
1,870,016
 
112,356,868
 
Consumer Staples Distribution & Retail 0.9%
Casey's General Stores, Inc.
4,819
4,197,349
Costco Wholesale Corp.
28,694
27,313,532
Maplebear, Inc. *
10,766
480,164
Sysco Corp.
33,422
2,848,891
Walmart, Inc.
55,721
6,196,175
 
41,036,111
 
Energy 0.5%
Cheniere Energy, Inc.
2,037
536,892
Marathon Petroleum Corp.
22,235
7,036,711
Matador Resources Co.
1,988
99,181
Permian Resources Corp., Class A
15,361
327,343
Phillips 66
3,606
763,318
Targa Resources Corp.
31,384
8,485,292
TechnipFMC PLC
23,067
1,652,981
Texas Pacific Land Corp.
8,689
3,498,018
Valero Energy Corp.
5,292
1,655,867
 
24,055,603
 
Equity Real Estate Investment Trusts (REITs) 0.4%
American Tower Corp.
44,594
7,730,816
Lamar Advertising Co., Class A
2,917
466,603
Public Storage
2,632
853,215
Simon Property Group, Inc.
47,358
10,862,505
 
19,913,139
 
SECURITY
NUMBER
OF SHARES
VALUE ($)
Financial Services 4.5%
Affirm Holdings, Inc. *
41,407
2,961,014
Ally Financial, Inc.
4,286
185,712
American Express Co.
22,937
7,712,566
Ameriprise Financial, Inc.
1,142
623,349
ARES Management Corp., Class A
29,063
3,722,680
Bank of New York Mellon Corp.
6,323
988,475
Blackstone, Inc.
87,043
11,119,743
Brookfield Asset Management Ltd.,
Class A
52,224
2,527,642
Bullish *
800
17,432
Charles Schwab Corp. (a)
17,340
1,824,862
Chime Financial, Inc., Class A *
2,000
45,980
Corpay, Inc. *
3,470
1,325,922
Credit Acceptance Corp. *
27
15,361
Equitable Holdings, Inc.
22,348
1,064,882
Figure Technology Solutions, Inc.,
Class A *
9,497
236,570
Freedom Holding Corp. *(b)
2,360
356,997
Interactive Brokers Group, Inc., Class A
25,492
2,243,041
KKR & Co., Inc.
22,346
2,266,555
Lazard, Inc.
2,411
102,178
LPL Financial Holdings, Inc.
4,217
1,491,553
Mastercard, Inc., Class A
119,423
68,441,321
Moody's Corp.
10,268
4,912,006
Morningstar, Inc.
193
37,166
MSCI, Inc., Class A
523
299,281
Northern Trust Corp.
1,440
262,354
Robinhood Markets, Inc., Class A *
94,024
8,138,717
Shift4 Payments, Inc., Class A *
3,205
169,865
SoFi Technologies, Inc. *
21,380
348,708
Toast, Inc., Class A *
71,014
2,291,622
Tradeweb Markets, Inc., Class A
1,268
127,434
UWM Holdings Corp.
3,501
6,372
Visa, Inc., Class A
244,129
89,382,951
WEX, Inc. *
351
65,623
 
215,315,934
 
Food, Beverage & Tobacco 0.3%
Celsius Holdings, Inc. *
24,908
727,563
Coca-Cola Co.
65,981
5,779,276
Coca-Cola Consolidated, Inc.
984
184,893
Hershey Co.
2,355
412,243
Monster Beverage Corp. *
47,536
4,581,520
PepsiCo, Inc.
23,863
3,330,320
 
15,015,815
 
Health Care Equipment & Services 1.3%
Cardinal Health, Inc.
15,810
3,636,774
Cencora, Inc.
27,604
8,594,230
Centene Corp. *
5,792
360,378
DaVita, Inc. *
244
58,582
Dexcom, Inc. *
56,854
4,744,466
Guardant Health, Inc. *
16,813
2,723,538
IDEXX Laboratories, Inc. *
9,818
5,488,949
Insulet Corp. *
10,229
1,691,365
Intuitive Surgical, Inc. *
52,127
18,418,033
McKesson Corp.
17,029
14,580,060
Penumbra, Inc. *
5,612
1,802,518
 
62,098,893
 
  
61

Schwab U.S. Large-Cap Growth Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Household & Personal Products 0.2%
Colgate-Palmolive Co.
50,400
4,601,520
Estee Lauder Cos., Inc., Class A
6,587
552,649
Kimberly-Clark Corp.
15,646
1,710,264
 
6,864,433
 
Insurance 0.0%
Ryan Specialty Holdings, Inc., Class A
2,480
109,517
 
Materials 0.2%
Almonty Industries, Inc. *
30,000
331,800
Anglogold Ashanti PLC
67,824
5,379,800
Aura Minerals, Inc.
6,003
327,584
Hecla Mining Co.
4,950
69,894
Sherwin-Williams Co.
9,116
3,107,189
Solstice Advanced Materials, Inc.
23,458
1,411,468
Southern Copper Corp.
3,150
575,536
Steel Dynamics, Inc.
1,571
394,729
 
11,598,000
 
Media & Entertainment 16.5%
Alphabet, Inc., Class A
860,935
306,604,782
Alphabet, Inc., Class C
702,452
250,529,506
EchoStar Corp., Class A *
17,517
1,473,004
Electronic Arts, Inc.
5,136
1,077,841
Live Nation Entertainment, Inc. *
23,609
4,111,035
Madison Square Garden Sports Corp. *
1,321
520,051
Meta Platforms, Inc., Class A
265,874
148,014,715
Netflix, Inc. *
620,328
44,483,721
NIQ Global Intelligence PLC *
1,169
13,058
Reddit, Inc., Class A *
19,779
2,782,312
ROBLOX Corp., Class A *
93,770
3,338,212
Roku, Inc. *
18,218
2,641,792
Spotify Technology SA *
23,373
11,685,098
Take-Two Interactive Software, Inc. *
27,111
6,585,804
TKO Group Holdings, Inc.
3,561
647,425
Trade Desk, Inc., Class A *
18,813
339,386
 
784,847,742
 
Pharmaceuticals, Biotechnology & Life Sciences 4.2%
AbbVie, Inc.
20,971
5,262,463
Alnylam Pharmaceuticals, Inc. *
19,600
4,028,192
Amgen, Inc.
56,446
21,740,741
Arrowhead Pharmaceuticals, Inc. *
12,771
1,081,065
Ascendis Pharma AS *
6,900
1,682,979
Axsome Therapeutics, Inc. *
6,399
1,394,918
Bridgebio Pharma, Inc. *
23,485
1,880,914
Caris Life Sciences, Inc. *
16,200
253,854
Corcept Therapeutics, Inc. *
13,827
1,583,053
Eli Lilly & Co.
118,025
135,591,841
Exelixis, Inc. *
9,598
508,982
Halozyme Therapeutics, Inc. *
17,408
1,436,856
Insmed, Inc. *
31,749
3,130,451
Ionis Pharmaceuticals, Inc. *
22,633
1,171,710
Madrigal Pharmaceuticals, Inc. *
2,643
1,235,127
Medpace Holdings, Inc. *
3,408
1,966,791
Natera, Inc. *
20,189
5,405,807
Neurocrine Biosciences, Inc. *
12,655
2,110,854
Revolution Medicines, Inc. *
28,274
5,302,223
Summit Therapeutics, Inc. *
19,729
256,872
Tempus AI, Inc., Class A *
15,802
693,234
SECURITY
NUMBER
OF SHARES
VALUE ($)
Viking Therapeutics, Inc. *
1,201
38,120
Zoetis, Inc.
49,034
3,789,838
 
201,546,885
 
Real Estate Management & Development 0.0%
CBRE Group, Inc., Class A *
3,947
579,459
CoStar Group, Inc. *
6,335
182,194
Jones Lang LaSalle, Inc. *
320
113,610
 
875,263
 
Semiconductors & Semiconductor Equipment 30.9%
Advanced Micro Devices, Inc. *
240,470
114,499,790
Allegro MicroSystems, Inc. *
18,442
765,343
Analog Devices, Inc.
5,217
1,916,778
Applied Materials, Inc.
117,223
59,510,600
Astera Labs, Inc. *
22,665
7,054,028
Broadcom, Inc.
686,994
267,433,024
Credo Technology Group Holding Ltd. *
24,448
5,060,491
Entegris, Inc.
3,195
380,365
First Solar, Inc. *
860
181,486
FormFactor, Inc. *
11,495
1,220,769
KLA Corp.
193,512
35,377,864
Lam Research Corp.
184,781
54,144,529
Lattice Semiconductor Corp. *
20,361
2,530,261
MACOM Technology Solutions Holdings,
Inc. *
9,937
2,498,559
Marvell Technology, Inc.
129,019
24,198,804
Microchip Technology, Inc.
78,883
5,860,218
Micron Technology, Inc.
166,654
137,161,242
MKS, Inc.
928
276,034
Monolithic Power Systems, Inc.
6,998
9,979,358
NVIDIA Corp.
3,446,989
691,983,042
ON Semiconductor Corp. *
3,353
273,638
Onto Innovation, Inc. *
1,482
383,216
Rambus, Inc. *
16,028
1,459,029
Semtech Corp. *
13,686
1,612,484
SiTime Corp. *
3,325
1,779,540
Teradyne, Inc.
23,200
8,530,408
Texas Instruments, Inc.
134,528
37,094,751
 
1,473,165,651
 
Software & Services 11.6%
Adobe, Inc. *
41,689
10,439,342
Appfolio, Inc., Class A *
3,494
629,584
AppLovin Corp., Class A *
35,522
14,063,160
Atlassian Corp., Class A *
25,068
2,532,244
Autodesk, Inc. *
31,259
7,320,858
Bentley Systems, Inc., Class B
5,139
182,126
Cadence Design Systems, Inc. *
40,801
13,873,156
Cloudflare, Inc., Class A *
46,773
13,048,732
CoreWeave, Inc., Class A *
51,594
3,702,901
Crowdstrike Holdings, Inc., Class A *
148,439
28,331,068
Datadog, Inc., Class A *
48,643
13,034,865
DigitalOcean Holdings, Inc. *
12,195
1,432,912
Docusign, Inc., Class A *
2,143
117,501
Dynatrace, Inc. *
7,741
343,081
Elastic NV *
6,727
442,569
Fair Isaac Corp. *
2,744
3,081,430
Fortinet, Inc. *
89,703
14,527,401
Gartner, Inc. *
9,687
1,462,931
Gen Digital, Inc.
7,474
205,161
GoDaddy, Inc., Class A *
19,374
1,603,005
Guidewire Software, Inc. *
6,599
1,002,652
HubSpot, Inc. *
6,484
1,539,042
Intuit, Inc.
12,652
3,998,918
IREN Ltd. *
6,000
220,800
62
  

Schwab U.S. Large-Cap Growth Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Klaviyo, Inc., Class A *
4,600
82,064
Kyndryl Holdings, Inc. *
2,313
31,341
Manhattan Associates, Inc. *
8,712
1,667,128
Microsoft Corp.
548,525
254,910,538
MongoDB, Inc., Class A *
10,499
3,543,202
Oracle Corp.
253,496
32,921,525
Palantir Technologies, Inc., Class A *
328,400
40,412,904
Palo Alto Networks, Inc. *
119,250
39,570,727
Pegasystems, Inc.
3,868
118,167
Procore Technologies, Inc. *
18,318
1,003,277
RingCentral, Inc., Class A
1,038
57,734
Rubrik, Inc., Class A *
15,682
1,134,750
Samsara, Inc., Class A *
50,739
1,891,043
SentinelOne, Inc., Class A *
32,350
616,591
ServiceNow, Inc. *
151,842
16,889,386
Snowflake, Inc., Class A *
49,573
14,538,769
Terawulf, Inc. *
53,000
935,980
Twilio, Inc., Class A *
3,186
628,757
Workday, Inc., Class A *
2,354
377,440
Zscaler, Inc. *
15,553
2,351,614
 
550,818,376
 
Technology Hardware & Equipment 11.1%
Advanced Energy Industries, Inc.
5,400
1,563,408
Amphenol Corp., Class A
181,487
29,164,961
Apple, Inc.
1,157,054
357,425,551
Applied Optoelectronics, Inc. *
11,500
1,084,680
Arista Networks, Inc. *
154,498
27,863,714
Ciena Corp. *
20,820
7,850,181
Coherent Corp. *
5,442
1,430,647
Corning, Inc.
116,955
16,169,029
Dell Technologies, Inc., Class C
5,235
2,122,112
Everpure, Inc., Class A *
39,635
3,058,633
Fabrinet *
5,343
2,326,396
Jabil, Inc.
15,450
4,867,523
Keysight Technologies, Inc. *
14,333
4,573,374
Lumentum Holdings, Inc. *
10,511
7,504,223
Motorola Solutions, Inc.
9,262
4,035,917
NetApp, Inc.
10,410
1,858,185
Sandisk Corp. *
21,521
26,144,356
Sanmina Corp. *
2,393
444,045
Super Micro Computer, Inc. *
8,633
245,177
TTM Technologies, Inc. *
13,191
1,522,769
Ubiquiti, Inc.
649
361,181
Viavi Solutions, Inc. *
34,369
1,269,935
Western Digital Corp.
49,988
27,235,462
 
530,121,459
 
Telecommunication Services 0.2%
AST SpaceMobile, Inc. *
35,611
2,100,337
Globalstar, Inc. *
7,843
653,949
Iridium Communications, Inc.
5,076
240,298
Space Exploration Technologies Corp.,
Class A *(b)
70,715
7,663,384
 
10,657,968
 
Transportation 0.3%
Alaska Air Group, Inc. *
2,384
113,121
American Airlines Group, Inc. *
96,219
1,469,264
Avis Budget Group, Inc. *
857
117,786
CH Robinson Worldwide, Inc.
16,117
2,380,964
Delta Air Lines, Inc.
5,913
517,033
Landstar System, Inc.
1,597
279,108
Lyft, Inc., Class A *
7,784
123,454
Old Dominion Freight Line, Inc.
5,709
1,211,107
Southwest Airlines Co.
6,152
276,655
SECURITY
NUMBER
OF SHARES
VALUE ($)
Uber Technologies, Inc. *
28,446
2,001,460
U-Haul Holding Co., Non Voting Shares
834
52,192
Union Pacific Corp.
5,951
1,738,466
United Airlines Holdings, Inc. *
2,800
339,724
XPO, Inc. *
16,846
3,385,541
 
14,005,875
 
Utilities 0.3%
Constellation Energy Corp.
3,108
816,627
NRG Energy, Inc.
29,962
4,023,597
Talen Energy Corp. *
4,640
1,550,224
Vistra Corp.
49,780
7,376,898
 
13,767,346
Total Common Stocks
(Cost $3,146,336,720)
4,744,723,101
 
INVESTMENT COMPANIES 0.2% OF NET ASSETS
 
Equity Funds 0.2%
iShares Russell 1000 Growth ETF
75,000
8,874,000
Total Investment Companies
(Cost $7,311,453)
8,874,000
 
 
 
 
SHORT-TERM INVESTMENTS 0.5% OF NET ASSETS
 
Money Market Funds 0.5%
State Street Institutional
U.S. Government Money Market
Fund, Premier Class 3.62% (c)
17,171,320
17,171,320
State Street Institutional
U.S. Government Money Market
Fund, Premier Class 3.62% (c)(d)
7,942,200
7,942,200
 
25,113,520
Total Short-Term Investments
(Cost $25,113,520)
25,113,520
Total Investments in Securities
(Cost $3,178,761,693)
4,778,710,621
 
 
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
($)
CURRENT VALUE/
UNREALIZED
DEPRECIATION
($)
FUTURES CONTRACTS
Long
NASDAQ 100 Index, e-mini,
expires 09/18/26
18
10,225,530
(45,838
)
S&P 500 Index, e-mini, expires
09/18/26
1
375,963
(559
)
 
(46,397
)
 
*
Non-income producing security.
(a)
Issuer is affiliated with the fund’s investment adviser.
(b)
All or a portion of this security is on loan.
(c)
The rate shown is the annualized 7-day yield.
(d)
Security purchased with cash collateral received for securities on loan.
Securities on loan were valued at $7,519,982.
 
ETF —
Exchange-Traded Fund
REIT —
Real Estate Investment Trust
  
63

Schwab U.S. Large-Cap Growth Index Fund
Portfolio Holdings (Unaudited) continued
 
Below is a summary of the fund’s transactions with affiliated issuers during the period ended July 31, 2026: 
SECURITY
VALUE AT
10/31/25
PURCHASES
SALES
NET REALIZED
GAINS (LOSSES)
NET CHANGE
IN UNREALIZED
APPRECIATION
(DEPRECIATION)
VALUE AT
7/31/26
BALANCE
OF SHARES
HELD AT
7/31/26
DIVIDENDS
RECEIVED
COMMON STOCKS 0.0% OF NET ASSETS
 
Financial Services 0.0%
Charles Schwab Corp. (a)
$1,899,568
$328,393
($561,362
)
($18,027
)
$176,290
$1,824,862
17,340
$19,340
 
(a)
Issuer is affiliated with the fund’s investment adviser.
 
The following is a summary of the inputs used to value the fund’s investments as of July 31, 2026:  
DESCRIPTION
QUOTED PRICES IN
ACTIVE MARKETS FOR
IDENTICAL ASSETS
(LEVEL 1)
OTHER SIGNIFICANT
OBSERVABLE INPUTS
(LEVEL 2)
SIGNIFICANT
UNOBSERVABLE INPUTS
(LEVEL 3)
TOTAL
Assets
Common Stocks 1
$4,744,723,101
$—
$—
$4,744,723,101
Investment Companies 1
8,874,000
—
—
8,874,000
Short-Term Investments 1
25,113,520
—
—
25,113,520
Liabilities
Futures Contracts 2
(46,397
)
—
—
(46,397
)
Total
$4,778,664,224
$—
$—
$4,778,664,224
 
1
As categorized in the Portfolio Holdings.
2
Futures contracts are reported at cumulative unrealized appreciation or depreciation.
64
  

Schwab Capital Trust
Schwab U.S. Large-Cap Value Index Fund
Portfolio Holdings as of July 31, 2026 (Unaudited)
 
SECURITY
NUMBER
OF SHARES
VALUE ($)
COMMON STOCKS 99.6% OF NET ASSETS
 
Automobiles & Components 0.5%
Aptiv PLC *
6,410
361,973
BorgWarner, Inc.
6,230
397,100
Ford Motor Co.
119,022
1,747,243
General Motors Co.
27,457
2,439,829
Gentex Corp.
6,499
151,816
Lear Corp.
1,536
200,663
QuantumScape Corp., Class A *
15,449
80,644
Rivian Automotive, Inc., Class A *
23,482
357,396
Thor Industries, Inc.
1,529
114,629
 
5,851,293
 
Banks 6.5%
Bank of America Corp.
187,629
11,623,616
Bank OZK
3,121
160,107
BOK Financial Corp.
574
81,100
Central BanCo, Inc.
527
17,286
Citigroup, Inc.
43,839
5,806,475
Citizens Financial Group, Inc.
12,866
921,849
Columbia Banking System, Inc.
8,775
274,394
Commerce Bancshares, Inc.
4,107
243,422
Cullen/Frost Bankers, Inc.
1,805
300,244
East West Bancorp, Inc.
4,130
541,030
Fifth Third Bancorp
27,540
1,556,010
First Citizens BancShares, Inc., Class A
243
531,356
First Hawaiian, Inc.
3,678
102,212
First Horizon Corp.
14,411
369,498
FNB Corp.
10,632
200,945
Huntington Bancshares, Inc.
61,339
1,045,217
JPMorgan Chase & Co.
81,399
28,635,354
KeyCorp
28,201
637,061
M&T Bank Corp.
4,469
1,100,670
Pinnacle Financial Partners, Inc.
4,266
448,911
PNC Financial Services Group, Inc.
12,229
3,055,660
Popular, Inc.
1,800
315,378
Prosperity Bancshares, Inc.
3,508
262,644
Regions Financial Corp.
26,002
804,762
Southstate Bank Corp.
2,966
311,697
TFS Financial Corp.
1,698
31,260
Truist Financial Corp.
37,959
1,967,795
U.S. Bancorp
47,393
2,986,233
Webster Financial Corp.
4,940
381,467
Wells Fargo & Co.
93,288
8,064,748
Western Alliance Bancorp
2,632
211,850
Wintrust Financial Corp.
2,034
324,504
Zions Bancorp NA
4,452
310,304
 
73,625,059
 
Capital Goods 7.2%
3M Co.
13,685
2,412,392
A.O. Smith Corp.
3,448
207,328
Acuity, Inc.
916
300,805
Advanced Drainage Systems, Inc.
2,207
305,625
AECOM
3,968
287,243
AeroVironment, Inc. *
1,155
172,522
AGCO Corp.
1,847
188,689
SECURITY
NUMBER
OF SHARES
VALUE ($)
Allegion PLC
2,591
407,823
Allison Transmission Holdings, Inc.
2,133
244,314
AMETEK, Inc.
6,965
1,683,510
API Group Corp. *
11,670
463,066
Applied Industrial Technologies, Inc.
1,115
384,909
Armstrong World Industries, Inc.
952
166,276
Boeing Co. *
8,161
1,763,919
Builders FirstSource, Inc. *
3,237
215,066
BWX Technologies, Inc.
143
24,124
Carlisle Cos., Inc.
1,092
393,033
Carrier Global Corp.
23,780
1,469,842
CNH Industrial NV
26,349
270,077
Core & Main, Inc., Class A *
5,679
249,706
Crane Co.
1,499
319,977
Cummins, Inc.
2,299
1,458,026
Curtiss-Wright Corp.
547
396,028
Deere & Co.
7,518
4,455,693
Donaldson Co., Inc.
3,498
329,651
Dover Corp.
4,058
830,348
Dycom Industries, Inc. *
538
215,776
Eaton Corp. PLC
10,005
4,154,076
Emerson Electric Co.
17,109
2,563,270
Esab Corp.
1,770
153,158
Everus Construction Group, Inc. *
210
26,340
Fastenal Co.
6,418
306,203
Ferguson Enterprises, Inc.
5,534
1,296,782
Flowserve Corp.
3,871
294,157
Fortive Corp.
9,267
548,699
Fortune Brands Innovations, Inc.
3,595
177,090
Gates Industrial Corp. Ltd. *
7,691
215,194
Generac Holdings, Inc. *
1,779
350,659
General Dynamics Corp.
7,793
2,987,992
Graco, Inc.
5,039
399,996
Hayward Holdings, Inc. *
6,329
95,758
Hexcel Corp.
1,866
192,105
Honeywell Aerospace, Inc. *
9,664
1,997,935
Honeywell International, Inc.
9,664
2,348,835
Hubbell, Inc., Class B
1,613
762,223
Huntington Ingalls Industries, Inc.
1,188
387,823
IDEX Corp.
2,248
518,052
Illinois Tool Works, Inc.
6,213
1,782,820
Ingersoll Rand, Inc.
11,918
993,723
ITT, Inc.
2,710
531,106
Johnson Controls International PLC
17,448
2,558,924
Kratos Defense & Security Solutions,
Inc. *
5,235
243,951
L3Harris Technologies, Inc.
5,665
1,569,545
Lennox International, Inc.
672
279,471
Leonardo DRS, Inc.
2,299
105,869
Lincoln Electric Holdings, Inc.
1,231
321,673
Loar Holdings, Inc. *
1,324
90,628
Louisiana-Pacific Corp.
1,967
142,470
Masco Corp.
6,114
437,029
Middleby Corp. *
1,338
178,730
Midera Food Processing, Inc. *
1,338
64,157
MSC Industrial Direct Co., Inc., Class A
1,378
170,045
Mueller Industries, Inc.
6,608
438,837
Nextpower, Inc., Class A *
4,493
403,786
Nordson Corp.
1,615
480,915
Northrop Grumman Corp.
4,068
2,206,809
nVent Electric PLC
2,888
444,261
  
65

Schwab U.S. Large-Cap Value Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Oshkosh Corp.
1,882
268,016
Otis Worldwide Corp.
11,699
841,743
Owens Corning
2,420
336,138
PACCAR, Inc.
15,731
2,087,189
Parker-Hannifin Corp.
3,844
3,753,781
Pentair PLC
4,848
317,253
Primoris Services Corp.
1,545
130,413
QXO, Inc. *
29,237
388,852
RBC Bearings, Inc. *
786
433,330
Regal Rexnord Corp.
2,011
412,718
Rockwell Automation, Inc.
606
290,928
RTX Corp.
41,068
8,838,655
Sensata Technologies Holding PLC
4,379
202,704
Simpson Manufacturing Co., Inc.
1,267
237,867
SiteOne Landscape Supply, Inc. *
1,305
123,244
Snap-on, Inc.
1,541
632,442
SPX Technologies, Inc. *
1,470
322,841
StandardAero, Inc. *
7,037
206,254
Stanley Black & Decker, Inc.
4,760
450,201
Sunbelt Rentals Holdings, Inc.
12,492
898,425
Textron, Inc.
5,247
447,359
Timken Co.
1,954
268,773
Toro Co.
2,925
268,720
TransDigm Group, Inc.
845
1,059,951
Trex Co., Inc. *
3,110
134,850
United Rentals, Inc.
1,463
1,578,957
Valmont Industries, Inc.
582
280,349
Watsco, Inc.
1,056
326,621
Watts Water Technologies, Inc., Class A
827
285,968
WESCO International, Inc.
1,453
499,091
Westinghouse Air Brake Technologies
Corp.
5,138
1,494,439
WillScot Holdings Corp.
5,303
128,757
WW Grainger, Inc.
189
261,240
X-Energy, Inc. *(a)
1,274
20,779
Xylem, Inc.
7,225
845,108
 
81,910,820
 
Commercial & Professional Services 1.4%
Amentum Holdings, Inc. *
4,621
102,586
Automatic Data Processing, Inc.
7,720
2,057,071
Booz Allen Hamilton Holding Corp.,
Class A
2,816
196,331
Broadridge Financial Solutions, Inc.
3,501
538,979
CACI International, Inc., Class A *
665
331,004
Clean Harbors, Inc. *
1,253
392,039
Copart, Inc. *
26,858
782,105
Equifax, Inc.
3,601
621,605
ExlService Holdings, Inc. *
3,785
128,425
FTI Consulting, Inc. *
896
142,804
Genpact Ltd.
4,735
166,530
GFL Environmental, Inc.
7,872
325,271
Jacobs Solutions, Inc.
3,545
478,327
KBR, Inc.
3,897
142,669
Leidos Holdings, Inc.
3,815
441,014
Mobility Global, Inc. *
9,043
184,296
MSA Safety, Inc.
1,096
208,536
Parsons Corp. *
1,111
49,117
Paychex, Inc.
9,802
1,145,266
Paycom Software, Inc.
1,242
203,638
Paylocity Holding Corp. *
1,223
168,646
RB Global, Inc.
5,662
621,348
Republic Services, Inc., Class A
6,059
1,275,722
Robert Half, Inc.
2,999
113,362
Science Applications International Corp.
1,294
151,566
SS&C Technologies Holdings, Inc.
6,343
488,728
Tetra Tech, Inc.
7,874
261,102
TransUnion
5,848
459,770
SECURITY
NUMBER
OF SHARES
VALUE ($)
UL Solutions, Inc., Class A
1,528
140,026
Veralto Corp.
7,474
703,827
Verisk Analytics, Inc., Class A
3,987
776,867
Waste Management, Inc.
8,283
1,876,514
 
15,675,091
 
Consumer Discretionary Distribution & Retail 8.3%
Amazon.com, Inc. *
270,648
73,502,584
AutoNation, Inc. *
745
158,238
AutoZone, Inc. *
433
1,306,036
Bath & Body Works, Inc.
6,050
121,726
Best Buy Co., Inc.
5,983
516,094
CarMax, Inc. *
4,292
245,760
Dick's Sporting Goods, Inc.
1,920
376,147
Dillard's, Inc., Class A
96
56,481
eBay, Inc.
10,578
1,205,998
Etsy, Inc. *
1,438
117,456
Five Below, Inc. *
994
215,827
Floor & Decor Holdings, Inc., Class A *
3,221
185,433
GameStop Corp., Class A *
12,416
269,676
Gap, Inc.
6,771
136,029
Genuine Parts Co.
4,182
520,115
Home Depot, Inc.
7,893
2,620,160
Lithia Motors, Inc., Class A
683
263,242
LKQ Corp.
7,723
173,381
Lowe's Cos., Inc.
17,074
3,548,148
Macy's, Inc.
8,013
198,883
Ollie's Bargain Outlet Holdings, Inc. *
1,844
135,479
O'Reilly Automotive, Inc. *
25,274
2,258,232
Penske Automotive Group, Inc.
529
114,957
Pool Corp.
978
181,624
Ross Stores, Inc.
1,228
308,314
TJX Cos., Inc.
18,312
2,881,210
Tractor Supply Co.
15,974
491,520
Ulta Beauty, Inc. *
1,034
530,266
Valvoline, Inc. *
412
15,825
Wayfair, Inc., Class A *
3,167
268,878
Williams-Sonoma, Inc.
3,095
707,703
 
93,631,422
 
Consumer Durables & Apparel 0.8%
Amer Sports, Inc. *
4,727
167,856
Birkenstock Holding PLC *(a)
1,208
46,774
Brunswick Corp.
2,003
158,237
Columbia Sportswear Co.
646
38,359
Crocs, Inc. *
1,463
187,279
Deckers Outdoor Corp. *
3,951
382,773
Dr. Horton, Inc.
7,654
1,094,981
Garmin Ltd.
5,003
1,469,781
Hasbro, Inc.
3,198
300,420
Lennar Corp., Class A
6,492
534,616
Lululemon Athletica, Inc. *
3,038
361,127
Mattel, Inc. *
8,718
131,555
Mohawk Industries, Inc. *
1,545
190,189
NIKE, Inc., Class B
35,940
1,499,057
NVR, Inc. *
48
295,058
PulteGroup, Inc.
5,759
728,341
PVH Corp.
1,379
119,504
Ralph Lauren Corp., Class A
414
157,461
SharkNinja, Inc. *
2,166
350,394
Somnigroup International, Inc.
5,209
340,304
Toll Brothers, Inc.
2,883
420,601
VF Corp.
10,652
152,537
Whirlpool Corp.
1,936
72,600
YETI Holdings, Inc. *
2,285
111,828
 
9,311,632
 
66
  

Schwab U.S. Large-Cap Value Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Consumer Services 1.4%
ADT, Inc.
17,098
130,629
Aramark
7,954
453,139
Boyd Gaming Corp.
1,547
131,588
Bright Horizons Family Solutions, Inc. *
1,593
118,742
Caesars Entertainment, Inc. *
6,121
182,100
Carnival Corp. Ltd.
38,843
1,080,224
Churchill Downs, Inc.
1,669
140,697
Domino's Pizza, Inc.
862
299,493
Duolingo, Inc. *
1,168
157,458
Flutter Entertainment PLC *
4,307
449,952
Grand Canyon Education, Inc. *
593
86,187
H&R Block, Inc.
3,252
143,186
Hyatt Hotels Corp., Class A
68
11,836
Liberty Live Holdings, Inc., Class C *
2,026
199,764
Marriott International, Inc., Class A
1,680
626,354
McDonald's Corp.
21,627
5,853,131
MGM Resorts International *
5,634
251,107
Norwegian Cruise Line Holdings Ltd. *
13,788
255,492
Restaurant Brands International, Inc.
4,479
331,536
Royal Caribbean Cruises Ltd.
3,316
1,055,483
Service Corp. International
4,077
351,397
Starbucks Corp.
15,651
1,647,268
Texas Roadhouse, Inc., Class A
1,362
279,809
Travel & Leisure Co.
1,276
97,001
Vail Resorts, Inc.
217
32,415
Wyndham Hotels & Resorts, Inc.
232
17,367
Wynn Resorts Ltd.
335
33,269
Yum! Brands, Inc.
5,902
904,659
 
15,321,283
 
Consumer Staples Distribution & Retail 2.5%
Albertsons Cos., Inc., Class A
9,882
114,434
BJ's Wholesale Club Holdings, Inc. *
3,905
381,831
Casey's General Stores, Inc.
131
114,101
Costco Wholesale Corp.
7,604
7,238,172
Dollar General Corp.
6,699
851,108
Dollar Tree, Inc. *
5,638
717,210
Kroger Co.
16,972
979,963
Maplebear, Inc. *
2,477
110,474
Performance Food Group Co. *
4,580
523,906
Sprouts Farmers Market, Inc. *
2,844
247,883
Sysco Corp.
7,645
651,660
Target Corp.
13,822
1,997,141
U.S. Foods Holding Corp. *
6,677
671,639
Walmart, Inc.
122,160
13,584,192
 
28,183,714
 
Energy 5.9%
Antero Midstream Corp.
10,038
220,535
Antero Resources Corp. *
9,027
326,236
APA Corp.
10,685
398,764
Baker Hughes Co., Class A
30,214
1,827,645
Cheniere Energy, Inc.
5,947
1,567,451
Chevron Corp.
56,480
11,116,958
Chord Energy Corp.
1,711
240,190
ConocoPhillips
37,122
4,472,459
Devon Energy Corp.
34,310
1,548,410
Diamondback Energy, Inc.
5,830
1,183,199
DT Midstream, Inc.
3,095
427,110
EOG Resources, Inc.
16,306
2,424,539
EQT Corp.
18,377
979,310
Expand Energy Corp.
6,918
650,500
ExxonMobil Holdings Corp.
126,704
19,694,870
Halliburton Co.
25,311
816,280
HF Sinclair Corp.
4,707
430,549
SECURITY
NUMBER
OF SHARES
VALUE ($)
Kinder Morgan, Inc.
59,158
1,903,705
Marathon Petroleum Corp.
4,388
1,388,670
Matador Resources Co.
3,264
162,841
NOV, Inc.
11,025
214,216
Occidental Petroleum Corp.
22,049
1,258,336
ONEOK, Inc.
19,173
1,741,100
Ovintiv, Inc.
8,576
535,657
Permian Resources Corp., Class A
21,098
449,598
Phillips 66
11,452
2,424,159
Range Resources Corp.
7,085
284,392
SLB Ltd.
45,493
2,255,998
TechnipFMC PLC
7,250
519,535
Valero Energy Corp.
7,920
2,478,168
Viper Energy, Inc., Class A
5,755
256,731
Weatherford International PLC
2,141
187,958
Williams Cos., Inc.
37,122
2,655,708
 
67,041,777
 
Equity Real Estate Investment Trusts (REITs) 3.4%
Agree Realty Corp.
3,596
279,769
Alexandria Real Estate Equities, Inc.
5,181
266,562
American Healthcare REIT, Inc.
5,812
323,147
American Homes 4 Rent, Class A
10,197
340,784
American Tower Corp.
5,008
868,187
Americold Realty Trust, Inc.
8,686
122,386
AvalonBay Communities, Inc.
4,228
784,759
Brixmor Property Group, Inc.
9,276
292,287
BXP, Inc.
4,848
339,942
Camden Property Trust
3,013
333,871
Cousins Properties, Inc.
4,959
156,456
Crown Castle, Inc.
13,288
1,013,874
CubeSmart
6,879
285,203
Digital Realty Trust, Inc.
11,022
2,077,867
EastGroup Properties, Inc.
1,616
337,760
EPR Properties
2,275
141,209
Equinix, Inc.
3,000
3,057,840
Equity LifeStyle Properties, Inc.
5,855
380,985
Equity Residential
11,355
754,540
Essex Property Trust, Inc.
1,947
553,221
Extra Space Storage, Inc.
6,383
944,939
Federal Realty Investment Trust
2,626
325,860
Fermi, Inc. *
6,149
34,988
First Industrial Realty Trust, Inc.
4,011
264,084
Gaming & Leisure Properties, Inc.
8,262
370,055
Healthcare Realty Trust, Inc., Class A
10,109
212,390
Healthpeak Properties, Inc.
21,048
459,478
Host Hotels & Resorts, Inc.
20,652
518,985
Invitation Homes, Inc.
18,002
535,019
Iron Mountain, Inc.
9,001
1,101,002
Janus Living, Inc., Class A-1
1,503
45,406
Kilroy Realty Corp.
3,587
139,247
Kimco Realty Corp.
20,052
510,925
Lamar Advertising Co., Class A
2,011
321,680
Lineage, Inc.
2,111
89,443
Medical Properties Trust, Inc.
15,128
70,043
Mid-America Apartment Communities,
Inc.
3,522
466,101
Millrose Properties, Inc., Class A
4,654
130,219
NNN REIT, Inc.
5,785
274,903
Omega Healthcare Investors, Inc.
9,072
459,315
Prologis, Inc.
28,382
4,104,321
Public Storage
4,570
1,481,457
Rayonier, Inc.
9,248
201,421
Realty Income Corp.
28,424
1,815,441
Regency Centers Corp.
5,586
448,500
Rexford Industrial Realty, Inc.
6,797
256,723
SBA Communications Corp., Class A
3,209
580,765
STAG Industrial, Inc.
5,815
222,482
  
67

Schwab U.S. Large-Cap Value Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Sun Communities, Inc.
3,708
457,864
UDR, Inc.
9,919
378,509
Ventas, Inc.
14,750
1,379,273
VICI Properties, Inc., Class A
33,055
870,999
Vornado Realty Trust
5,385
212,115
Welltower, Inc.
21,531
5,047,728
Weyerhaeuser Co.
21,842
546,705
WP Carey, Inc.
6,721
494,666
 
38,483,700
 
Financial Services 9.5%
Affiliated Managers Group, Inc.
774
283,849
AGNC Investment Corp.
34,725
370,168
Ally Financial, Inc.
7,564
327,748
American Express Co.
11,461
3,853,761
Ameriprise Financial, Inc.
2,530
1,380,975
Annaly Capital Management, Inc.
22,277
506,133
Apollo Global Management, Inc.
12,785
1,605,668
Bank of New York Mellon Corp.
19,590
3,062,505
Berkshire Hathaway, Inc., Class B *
56,701
29,004,830
Blackrock, Inc.
4,650
5,070,313
Blackstone, Inc.
4,751
606,940
Block, Inc. *
15,856
1,288,141
Blue Owl Capital, Inc., Class A
19,855
204,507
Brookfield Asset Management Ltd.,
Class A
738
35,719
Bullish *
591
12,878
Capital One Financial Corp.
18,985
3,968,055
Carlyle Group, Inc.
8,057
370,783
Cboe Global Markets, Inc.
3,190
989,634
Charles Schwab Corp. (b)
45,858
4,826,096
Chime Financial, Inc., Class A *
7,446
171,184
CME Group, Inc.
11,004
2,946,761
Coinbase Global, Inc., Class A *
6,690
978,479
Corebridge Financial, Inc.
7,453
232,459
Corpay, Inc. *
1,221
466,556
Credit Acceptance Corp. *
100
56,891
Equitable Holdings, Inc.
3,995
190,362
Euronet Worldwide, Inc. *
1,089
77,678
Evercore, Inc., Class A
1,114
357,104
FactSet Research Systems, Inc.
1,101
289,783
Fidelity National Information Services,
Inc.
15,757
705,441
Figure Technology Solutions, Inc.,
Class A *
2,305
57,418
Fiserv, Inc. *
16,149
871,077
Franklin Resources, Inc.
8,104
274,401
Freedom Holding Corp. *
81
12,253
Galaxy Digital, Inc., Class A *
5,668
119,085
Global Payments, Inc.
6,994
588,056
Goldman Sachs Group, Inc.
8,782
8,943,413
Hamilton Lane, Inc., Class A
1,188
105,625
Houlihan Lokey, Inc., Class A
1,680
210,823
Interactive Brokers Group, Inc., Class A
7,928
697,585
Intercontinental Exchange, Inc.
17,114
2,609,543
Invesco Ltd.
10,952
324,179
Jack Henry & Associates, Inc.
2,189
337,194
Jefferies Financial Group, Inc.
4,599
251,105
KKR & Co., Inc.
16,312
1,654,526
Lazard, Inc.
2,423
102,687
LPL Financial Holdings, Inc.
1,570
555,309
MarketAxess Holdings, Inc.
1,056
171,389
MGIC Investment Corp.
6,397
192,166
Moody's Corp.
2,456
1,174,901
Morgan Stanley
34,130
7,181,635
Morningstar, Inc.
545
104,951
MSCI, Inc., Class A
2,031
1,162,219
Nasdaq, Inc.
13,610
1,281,926
SECURITY
NUMBER
OF SHARES
VALUE ($)
Northern Trust Corp.
5,305
966,518
OneMain Holdings, Inc.
3,503
219,218
PayPal Holdings, Inc.
27,277
1,560,517
Raymond James Financial, Inc.
5,382
947,124
Rithm Capital Corp.
16,750
165,490
Robinhood Markets, Inc., Class A *
4,003
346,500
Rocket Cos., Inc., Class A *
29,367
378,834
S&P Global, Inc.
9,003
3,708,606
SEI Investments Co.
3,097
318,929
Shift4 Payments, Inc., Class A *
1,023
54,219
SLM Corp.
5,701
148,198
SoFi Technologies, Inc. *
33,814
551,506
Starwood Property Trust, Inc.
10,692
170,858
State Street Corp.
8,146
1,500,167
Stifel Financial Corp.
4,537
376,163
Synchrony Financial
10,228
775,180
T. Rowe Price Group, Inc.
6,413
716,653
TPG, Inc.
4,480
195,597
Tradeweb Markets, Inc., Class A
3,275
329,138
UWM Holdings Corp.
8,788
15,994
Virtu Financial, Inc., Class A
2,508
147,295
Voya Financial, Inc.
2,789
277,310
Western Union Co.
9,435
60,007
WEX, Inc. *
967
180,790
XP, Inc., Class A
11,947
203,816
 
107,539,494
 
Food, Beverage & Tobacco 3.5%
Altria Group, Inc.
50,901
3,478,065
Archer-Daniels-Midland Co.
14,606
1,157,818
Brown-Forman Corp., Class B
5,384
154,682
Bunge Global SA
4,032
428,319
Campbell's Co. (a)
6,031
132,561
Coca-Cola Co.
104,756
9,175,578
Coca-Cola Consolidated, Inc.
1,520
285,608
Conagra Brands, Inc.
14,590
211,701
Constellation Brands, Inc., Class A
4,194
546,185
Darling Ingredients, Inc. *
4,756
288,404
Freshpet, Inc. *
1,458
86,809
General Mills, Inc.
16,238
580,509
Hershey Co.
3,983
697,224
Hormel Foods Corp.
8,894
222,439
Ingredion, Inc.
1,927
191,659
J.M. Smucker Co.
3,166
377,577
JBS NV, Class A
9,876
138,462
Keurig Dr. Pepper, Inc.
39,460
1,227,995
Kraft Heinz Co.
26,041
673,160
Lamb Weston Holdings, Inc.
4,003
210,358
McCormick & Co., Inc. - Non Voting
Shares
7,747
394,322
Molson Coors Beverage Co., Class B
4,686
194,750
Mondelez International, Inc., Class A
39,095
2,436,010
Monster Beverage Corp. *
11,605
1,118,490
PepsiCo, Inc.
36,629
5,111,943
Philip Morris International, Inc.
47,491
9,062,233
Pilgrim's Pride Corp.
1,276
34,911
Post Holdings, Inc. *
1,253
114,537
Primo Brands Corp.
7,407
168,139
Seaboard Corp.
8
35,306
Smithfield Foods, Inc.
1,392
36,248
Tyson Foods, Inc., Class A
8,365
484,835
 
39,456,837
 
Health Care Equipment & Services 4.8%
Abbott Laboratories
52,771
5,577,895
Align Technology, Inc. *
2,031
343,564
Baxter International, Inc.
15,580
407,573
68
  

Schwab U.S. Large-Cap Value Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Becton Dickinson & Co.
8,656
1,433,607
Boston Scientific Corp. *
45,155
2,110,093
Cardinal Health, Inc.
3,865
889,066
Centene Corp. *
13,815
859,569
Chemed Corp.
396
210,771
Cigna Group
7,952
2,219,006
Cooper Cos., Inc. *
5,914
427,700
CVS Health Corp.
39,084
4,081,542
DaVita, Inc. *
927
222,563
Doximity, Inc., Class A *
3,927
82,114
Edwards Lifesciences Corp. *
17,358
1,494,003
Elevance Health, Inc.
6,611
2,484,678
Encompass Health Corp.
2,989
331,988
Ensign Group, Inc.
1,717
305,901
Envista Holdings Corp. *
4,924
134,474
GE HealthCare Technologies, Inc.
13,831
940,785
Globus Medical, Inc., Class A *
3,414
268,989
Guardant Health, Inc. *
431
69,818
HCA Healthcare, Inc.
4,548
1,830,979
Henry Schein, Inc. *
2,980
255,535
Humana, Inc.
3,657
1,330,636
IDEXX Laboratories, Inc. *
386
215,801
Labcorp Holdings, Inc.
2,498
772,382
McKesson Corp.
234
200,348
Medline, Inc., Class A *
13,652
536,250
Medtronic PLC
39,061
3,335,419
Molina Healthcare, Inc. *
1,559
304,972
Quest Diagnostics, Inc.
3,363
783,613
ResMed, Inc.
4,425
933,586
Solventum Corp. *
4,490
383,626
STERIS PLC
2,981
680,860
Stryker Corp.
10,531
3,429,947
Teleflex, Inc.
1,332
182,098
Tenet Healthcare Corp. *
2,601
662,683
UnitedHealth Group, Inc.
27,493
11,393,099
Universal Health Services, Inc., Class B
1,547
260,577
Veeva Systems, Inc., Class A *
4,543
925,772
Zimmer Biomet Holdings, Inc.
5,895
553,717
 
53,867,599
 
Household & Personal Products 1.3%
Church & Dwight Co., Inc.
7,212
712,618
Clorox Co.
3,662
349,831
Colgate-Palmolive Co.
13,789
1,258,936
elf Beauty, Inc. *
1,756
145,555
Estee Lauder Cos., Inc., Class A
6,156
516,488
Kenvue, Inc.
57,730
1,110,725
Kimberly-Clark Corp.
6,824
745,931
Procter & Gamble Co.
71,000
10,258,790
Reynolds Consumer Products, Inc.
1,597
39,829
 
15,138,703
 
Insurance 3.4%
Aflac, Inc.
13,865
1,767,510
Allstate Corp.
7,811
2,062,729
American Financial Group, Inc.
2,026
287,125
American International Group, Inc.
16,225
1,274,960
Aon PLC, Class A
6,338
2,285,166
Arch Capital Group Ltd. *
10,586
1,064,211
Arthur J Gallagher & Co.
7,764
1,936,497
Assurant, Inc.
1,501
419,064
Assured Guaranty Ltd.
1,271
105,137
Axis Capital Holdings Ltd.
2,251
237,075
Brighthouse Financial, Inc. *
1,727
106,918
Brown & Brown, Inc.
8,955
630,432
Chubb Ltd.
10,715
3,757,536
Cincinnati Financial Corp.
4,636
823,724
SECURITY
NUMBER
OF SHARES
VALUE ($)
CNA Financial Corp.
608
31,902
Everest Group Ltd.
1,199
448,606
Fidelity National Financial, Inc.
7,747
399,668
First American Financial Corp.
2,942
220,621
Globe Life, Inc.
2,369
431,750
Hanover Insurance Group, Inc.
1,055
245,425
Hartford Insurance Group, Inc.
8,335
1,182,820
Kinsale Capital Group, Inc.
661
235,594
Lincoln National Corp.
5,205
237,400
Loews Corp.
5,091
590,607
Markel Group, Inc. *
376
707,760
Marsh & McLennan Cos., Inc.
14,687
2,785,977
MetLife, Inc.
16,456
1,581,915
Old Republic International Corp.
6,860
296,421
Primerica, Inc.
952
304,602
Principal Financial Group, Inc.
6,517
740,983
Progressive Corp.
17,789
3,760,950
Prudential Financial, Inc.
10,595
1,293,438
Reinsurance Group of America, Inc.
1,991
471,568
RenaissanceRe Holdings Ltd.
1,267
405,415
RLI Corp.
2,530
154,937
Ryan Specialty Holdings, Inc., Class A
2,838
125,326
Travelers Cos., Inc.
6,456
2,416,868
Unum Group
4,801
413,414
W.R. Berkley Corp.
6,884
499,365
White Mountains Insurance Group Ltd.
74
155,232
Willis Towers Watson PLC
2,873
965,098
 
37,861,746
 
Materials 3.6%
Air Products & Chemicals, Inc.
6,669
1,966,621
Albemarle Corp.
3,577
420,798
Alcoa Corp.
7,987
361,492
Almonty Industries, Inc. *
331
3,661
Amcor PLC
14,040
630,115
Anglogold Ashanti PLC
1,479
117,314
AptarGroup, Inc.
1,940
259,882
Avery Dennison Corp.
2,329
395,301
Axalta Coating Systems Ltd. *
6,584
235,773
Ball Corp.
8,091
525,106
Celanese Corp., Class A
3,400
152,048
CF Industries Holdings, Inc.
4,666
584,137
Cleveland-Cliffs, Inc. *
17,231
198,501
Coeur Mining, Inc.
31,191
465,058
Corteva, Inc.
20,466
1,610,879
CRH PLC
20,358
1,934,214
Crown Holdings, Inc.
3,383
398,687
Dow, Inc.
21,912
663,715
DuPont de Nemours, Inc.
4,148
568,276
Eagle Materials, Inc.
955
195,718
Eastman Chemical Co.
3,421
239,299
Ecolab, Inc.
7,553
2,096,939
Element Solutions, Inc.
7,010
257,477
Freeport-McMoRan, Inc.
43,570
2,728,789
Graphic Packaging Holding Co.
8,882
95,304
Hecla Mining Co.
18,168
256,532
International Flavors & Fragrances, Inc.
7,787
616,886
International Paper Co.
15,977
652,341
James Hardie Industries PLC, ADR *
4,505
118,436
Linde PLC
14,038
6,715,498
LyondellBasell Industries NV, Class A
7,853
487,514
Martin Marietta Materials, Inc.
1,819
955,230
Mosaic Co.
9,600
212,352
MP Materials Corp. *
4,326
178,967
NewMarket Corp.
186
158,130
Newmont Corp.
32,503
3,045,856
Nucor Corp.
6,712
1,726,931
Olin Corp.
3,454
63,934
  
69

Schwab U.S. Large-Cap Value Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Packaging Corp. of America
2,638
648,526
PPG Industries, Inc.
6,793
750,762
Reliance, Inc.
1,551
629,861
Royal Gold, Inc.
2,573
510,355
RPM International, Inc.
3,863
413,611
Scotts Miracle-Gro Co.
1,343
88,208
Sherwin-Williams Co.
5,193
1,770,034
Silgan Holdings, Inc.
2,691
107,586
Smurfit Westrock PLC
15,906
731,199
Sonoco Products Co.
3,026
170,545
Southern Copper Corp.
2,169
396,298
Steel Dynamics, Inc.
3,765
945,994
Vulcan Materials Co.
3,947
1,060,046
Westlake Corp.
1,002
70,641
 
40,587,377
 
Media & Entertainment 1.8%
Charter Communications, Inc., Class A *
2,375
344,328
EchoStar Corp., Class A *
567
47,679
Electronic Arts, Inc.
6,579
1,380,669
Fox Corp., Class A
9,776
569,256
Liberty Broadband Corp., Class C *
4,007
136,398
Liberty Media Corp.-Liberty Formula
One, Class C *
7,277
714,092
Madison Square Garden Sports Corp. *
222
87,397
Match Group, Inc.
7,041
277,486
Meta Platforms, Inc., Class A
12,169
6,774,604
New York Times Co., Class A
4,685
350,860
News Corp., Class A
15,483
426,711
Nexstar Media Group, Inc., Class A
866
164,999
NIQ Global Intelligence PLC *
1,757
19,626
Omnicom Group, Inc.
8,610
677,607
People, Inc. *
1,929
80,189
Pinterest, Inc., Class A *
14,888
357,461
Roku, Inc. *
225
32,627
Sirius XM Holdings, Inc.
5,391
159,681
TKO Group Holdings, Inc.
1,162
211,263
Trade Desk, Inc., Class A *
8,991
162,198
Versant Media Group, Inc.
4,287
154,289
Walt Disney Co.
54,029
5,197,050
Warner Bros Discovery, Inc. *
73,264
1,926,843
 
20,253,313
 
Pharmaceuticals, Biotechnology & Life Sciences 7.8%
AbbVie, Inc.
49,604
12,447,628
Agilent Technologies, Inc.
8,601
1,190,120
Amgen, Inc.
4,810
1,852,620
Arrowhead Pharmaceuticals, Inc. *
1,518
128,499
Ascendis Pharma AS *
93
22,684
Avantor, Inc. *
20,014
275,793
Biogen, Inc. *
4,488
910,840
BioMarin Pharmaceutical, Inc. *
5,827
349,737
Bio-Rad Laboratories, Inc., Class A *
548
178,363
Bio-Techne Corp.
4,734
341,274
Bridgebio Pharma, Inc. *
265
21,224
Bristol-Myers Squibb Co.
62,189
4,061,564
Bruker Corp.
3,375
212,085
Caris Life Sciences, Inc. *
324
5,077
Charles River Laboratories International,
Inc. *
1,487
345,742
Danaher Corp.
19,244
3,752,195
Elanco Animal Health, Inc. *
15,030
396,341
Exelixis, Inc. *
5,650
299,619
Gilead Sciences, Inc.
37,832
4,926,105
Illumina, Inc. *
4,626
948,793
Incyte Corp. *
5,046
603,098
Ionis Pharmaceuticals, Inc. *
281
14,547
SECURITY
NUMBER
OF SHARES
VALUE ($)
IQVIA Holdings, Inc. *
5,067
1,190,846
Jazz Pharmaceuticals PLC *
1,812
458,182
Johnson & Johnson
73,350
18,803,272
Merck & Co., Inc.
75,320
9,806,664
Mettler-Toledo International, Inc. *
615
871,024
Moderna, Inc. *
11,080
607,406
Neurocrine Biosciences, Inc. *
420
70,056
Organon & Co.
7,960
107,858
Pfizer, Inc.
173,398
4,336,684
Qiagen NV
6,255
258,957
Regeneron Pharmaceuticals, Inc.
3,078
2,347,375
Repligen Corp. *
1,608
226,744
Revvity, Inc.
3,394
381,893
Roivant Sciences Ltd. *
14,894
505,056
Royalty Pharma PLC, Class A
12,598
736,101
Sotera Health Co. *
8,440
150,738
Thermo Fisher Scientific, Inc.
11,319
6,500,502
United Therapeutics Corp. *
1,260
652,315
Vertex Pharmaceuticals, Inc. *
7,742
3,693,708
Viatris, Inc.
35,390
621,448
Viking Therapeutics, Inc. *
3,279
104,075
Waters Corp. *
2,993
1,129,289
West Pharmaceutical Services, Inc.
2,127
725,222
Zoetis, Inc.
2,715
209,842
 
87,779,205
 
Real Estate Management & Development 0.2%
CBRE Group, Inc., Class A *
8,051
1,181,967
CoStar Group, Inc. *
10,912
313,829
Howard Hughes Holdings, Inc. *
909
58,103
Jones Lang LaSalle, Inc. *
1,328
471,480
Zillow Group, Inc., Class C *
6,114
208,243
 
2,233,622
 
Semiconductors & Semiconductor Equipment 2.4%
Amkor Technology, Inc.
3,848
191,900
Analog Devices, Inc.
13,811
5,074,300
Cirrus Logic, Inc. *
1,545
199,846
Enphase Energy, Inc. *
3,893
146,143
Entegris, Inc.
4,000
476,200
First Solar, Inc. *
2,931
618,529
GLOBALFOUNDRIES, Inc.
3,808
190,362
Intel Corp. *
133,492
12,040,978
MKS, Inc.
1,867
555,339
ON Semiconductor Corp. *
11,340
925,457
Onto Innovation, Inc. *
1,214
313,916
Qnity Electronics, Inc.
6,385
837,584
Qorvo, Inc. *
2,564
232,222
QUALCOMM, Inc.
32,129
4,742,562
Skyworks Solutions, Inc.
4,552
283,499
Universal Display Corp.
1,309
104,929
 
26,933,766
 
Software & Services 7.6%
Accenture PLC, Class A
18,690
3,101,045
Adobe, Inc. *
3,733
934,781
Akamai Technologies, Inc. *
4,384
504,949
Amdocs Ltd.
3,266
181,981
Applied Digital Corp. *
7,870
215,559
Aurora Innovation, Inc. *
36,627
236,244
Bentley Systems, Inc., Class B
3,933
139,386
Bill Holdings, Inc. *
2,653
119,730
BitMine Immersion Technologies, Inc.
17,145
296,266
CCC Intelligent Solutions Holdings, Inc. *
16,689
101,636
Circle Internet Group, Inc. *
5,421
339,409
70
  

Schwab U.S. Large-Cap Value Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Cognizant Technology Solutions Corp.,
Class A
14,447
799,641
Docusign, Inc., Class A *
5,520
302,662
Dolby Laboratories, Inc., Class A
1,809
106,387
Dropbox, Inc., Class A *
4,610
150,102
Dynatrace, Inc. *
7,429
329,253
Elastic NV *
1,330
87,501
EPAM Systems, Inc. *
1,545
163,090
Fair Isaac Corp. *
123
138,125
Figma, Inc., Class A *
6,460
157,107
Gen Digital, Inc.
14,855
407,770
Gitlab, Inc., Class A *
4,292
148,117
Guidewire Software, Inc. *
1,222
185,671
HubSpot, Inc. *
173
41,063
International Business Machines Corp.
28,639
6,405,112
Intuit, Inc.
5,646
1,784,531
IREN Ltd. *
8,721
320,933
Klaviyo, Inc., Class A *
3,227
57,570
Kyndryl Holdings, Inc. *
6,390
86,584
Microsoft Corp.
113,096
52,557,973
MongoDB, Inc., Class A *
212
71,546
Nutanix, Inc., Class A *
7,882
465,117
Okta, Inc. *
5,126
727,533
Pegasystems, Inc.
1,904
58,167
PTC, Inc. *
3,621
496,801
RingCentral, Inc., Class A
1,989
110,628
Roper Technologies, Inc.
3,114
1,220,595
Rubrik, Inc., Class A *
1,529
110,638
SailPoint, Inc. *
2,009
33,691
Salesforce, Inc.
24,206
4,454,388
SentinelOne, Inc., Class A *
3,008
57,332
Strategy, Inc., Class A *
9,966
929,628
Synopsys, Inc. *
5,673
2,205,435
Trimble, Inc. *
7,041
398,380
Twilio, Inc., Class A *
3,836
757,035
Tyler Technologies, Inc. *
1,276
395,050
UiPath, Inc., Class A *
12,081
154,154
Unity Software, Inc. *
10,966
347,732
VeriSign, Inc.
2,484
720,410
Workday, Inc., Class A *
5,786
927,727
Zoom Communications, Inc. *
8,097
777,879
 
85,820,044
 
Technology Hardware & Equipment 8.3%
Advanced Energy Industries, Inc.
59
17,082
Apple, Inc.
201,700
62,307,147
Arrow Electronics, Inc. *
1,545
334,601
Avnet, Inc.
2,452
217,836
CDW Corp.
3,888
574,685
Cisco Systems, Inc.
120,294
13,952,901
Cognex Corp.
5,062
330,245
Coherent Corp. *
4,271
1,122,803
Dell Technologies, Inc., Class C
8,082
3,276,200
Everpure, Inc., Class A *
1,297
100,089
F5, Inc. *
1,722
693,226
Flex Ltd. *
11,152
1,268,540
Hewlett Packard Enterprise Co.
40,328
1,931,711
HP, Inc.
27,829
758,897
Ingram Micro Holding Corp.
1,316
37,124
IonQ, Inc. *
11,852
431,887
IPG Photonics Corp. *
796
67,708
Keysight Technologies, Inc. *
2,234
712,825
Littelfuse, Inc.
753
332,924
Motorola Solutions, Inc.
3,134
1,365,640
NetApp, Inc.
3,867
690,259
Ralliant Corp.
3,405
222,585
Sanmina Corp. *
1,044
193,725
Super Micro Computer, Inc. *
15,456
438,950
SECURITY
NUMBER
OF SHARES
VALUE ($)
TD SYNNEX Corp.
2,327
595,014
Teledyne Technologies, Inc. *
1,402
919,109
TTM Technologies, Inc. *
423
48,831
Vontier Corp.
4,235
136,071
Zebra Technologies Corp., Class A *
1,458
428,390
 
93,507,005
 
Telecommunication Services 1.5%
AST SpaceMobile, Inc. *
538
31,731
AT&T, Inc.
206,243
4,795,150
Comcast Corp., Class A
107,958
2,586,674
Iridium Communications, Inc.
1,939
91,792
Liberty Global Ltd., Class C *
9,245
95,778
Millicom International Cellular SA
2,743
261,902
Space Exploration Technologies Corp.,
Class A *(a)
1,556
168,624
T-Mobile U.S., Inc.
14,840
2,563,016
Verizon Communications, Inc.
127,474
5,967,058
 
16,561,725
 
Transportation 2.3%
Alaska Air Group, Inc. *
2,842
134,853
Avis Budget Group, Inc. *
364
50,028
CH Robinson Worldwide, Inc.
278
41,069
CSX Corp.
56,552
2,850,221
Delta Air Lines, Inc.
18,720
1,636,877
Expeditors International of Washington,
Inc.
4,031
676,765
FedEx Corp.
6,667
2,049,436
Fedex Freight Holding Co., Inc. *
3,319
466,419
GXO Logistics, Inc. *
3,472
174,156
JB Hunt Transport Services, Inc.
2,287
621,492
Kirby Corp. *
1,609
211,004
Knight-Swift Transportation Holdings,
Inc.
4,793
333,257
Landstar System, Inc.
689
120,417
Lyft, Inc., Class A *
9,862
156,411
Norfolk Southern Corp.
6,850
2,298,038
Old Dominion Freight Line, Inc.
4,506
955,903
Ryder System, Inc.
1,141
292,575
Saia, Inc. *
810
281,580
Schneider National, Inc., Class B
1,652
59,042
Southwest Airlines Co.
12,709
571,524
Uber Technologies, Inc. *
53,778
3,783,820
U-Haul Holding Co., Non Voting Shares
3,173
198,566
Union Pacific Corp.
16,850
4,922,391
United Airlines Holdings, Inc. *
9,258
1,123,273
United Parcel Service, Inc., Class B
22,743
2,370,275
 
26,379,392
 
Utilities 3.7%
AES Corp.
21,532
316,090
Alliant Energy Corp.
7,869
556,968
Ameren Corp.
8,417
922,587
American Electric Power Co., Inc.
16,589
2,120,904
American Water Works Co., Inc.
5,934
796,165
Atmos Energy Corp.
5,022
867,701
Brookfield Renewable Corp.
4,201
140,103
CenterPoint Energy, Inc.
19,919
837,395
Clearway Energy, Inc., Class C
3,660
116,132
CMS Energy Corp.
9,359
673,754
Consolidated Edison, Inc.
11,225
1,221,841
Constellation Energy Corp.
9,115
2,394,966
Dominion Energy, Inc.
26,796
1,853,479
DTE Energy Co.
6,323
897,044
Duke Energy Corp.
23,726
2,975,952
  
71

Schwab U.S. Large-Cap Value Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Edison International
11,597
850,872
Entergy Corp.
13,931
1,499,254
Essential Utilities, Inc.
8,609
343,069
Evergy, Inc.
7,014
582,232
Eversource Energy
11,451
819,777
Exelon Corp.
31,206
1,429,859
FirstEnergy Corp.
16,752
809,289
IDACORP, Inc.
1,679
239,946
MDU Resources Group, Inc.
6,211
123,909
National Fuel Gas Co.
2,830
232,937
NextEra Energy, Inc.
63,574
5,525,852
NiSource, Inc.
14,571
647,390
OGE Energy Corp.
6,264
296,600
Oklo, Inc. *
4,267
165,688
PG&E Corp.
66,810
1,161,158
Pinnacle West Capital Corp.
3,705
374,168
PPL Corp.
22,918
806,943
Public Service Enterprise Group, Inc.
15,200
1,165,536
Sempra
19,910
1,763,030
Southern Co.
34,367
3,249,056
Talen Energy Corp. *
407
135,979
UGI Corp.
6,464
233,480
WEC Energy Group, Inc.
9,926
1,086,103
Xcel Energy, Inc.
19,013
1,486,817
 
41,720,025
Total Common Stocks
(Cost $775,621,090)
1,124,675,644
 
INVESTMENT COMPANIES 0.2% OF NET ASSETS
 
Equity Funds 0.2%
iShares Russell 1000 Value ETF
9,000
2,266,380
Total Investment Companies
(Cost $2,044,590)
2,266,380
 
 
 
 
SHORT-TERM INVESTMENTS 0.3% OF NET ASSETS
 
Money Market Funds 0.3%
State Street Institutional
U.S. Government Money Market
Fund, Premier Class 3.62% (c)
3,135,113
3,135,113
State Street Institutional
U.S. Government Money Market
Fund, Premier Class 3.62% (c)(d)
348,075
348,075
 
3,483,188
Total Short-Term Investments
(Cost $3,483,188)
3,483,188
Total Investments in Securities
(Cost $781,148,868)
1,130,425,212
 
 
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
($)
CURRENT VALUE/
UNREALIZED
APPRECIATION
($)
FUTURES CONTRACTS
Long
DJIA CBOT, e-mini, expires
09/18/26
10
2,631,750
4,394
 
*
Non-income producing security.
(a)
All or a portion of this security is on loan.
(b)
Issuer is affiliated with the fund’s investment adviser.
(c)
The rate shown is the annualized 7-day yield.
(d)
Security purchased with cash collateral received for securities on loan.
Securities on loan were valued at $331,424.
 
ADR —
American Depositary Receipt
CBOT —
Chicago Board of Trade
ETF —
Exchange-Traded Fund
REIT —
Real Estate Investment Trust
 
Below is a summary of the fund’s transactions with affiliated issuers during the period ended July 31, 2026: 
SECURITY
VALUE AT
10/31/25
PURCHASES
SALES
NET REALIZED
GAINS (LOSSES)
NET CHANGE
IN UNREALIZED
APPRECIATION
(DEPRECIATION)
VALUE AT
7/31/26
BALANCE
OF SHARES
HELD AT
7/31/26
DIVIDENDS
RECEIVED
COMMON STOCKS 0.4% OF NET ASSETS
 
Financial Services 0.4%
Charles Schwab Corp. (a)
$4,597,264
$647,585
($889,945
)
($12,270
)
$483,462
$4,826,096
45,858
$44,818
 
(a)
Issuer is affiliated with the fund’s investment adviser.
 
72
  

Schwab U.S. Large-Cap Value Index Fund
Portfolio Holdings (Unaudited) continued
The following is a summary of the inputs used to value the fund’s investments as of July 31, 2026:  
DESCRIPTION
QUOTED PRICES IN
ACTIVE MARKETS FOR
IDENTICAL ASSETS
(LEVEL 1)
OTHER SIGNIFICANT
OBSERVABLE INPUTS
(LEVEL 2)
SIGNIFICANT
UNOBSERVABLE INPUTS
(LEVEL 3)
TOTAL
Assets
Common Stocks 1
$1,124,675,644
$—
$—
$1,124,675,644
Investment Companies 1
2,266,380
—
—
2,266,380
Short-Term Investments 1
3,483,188
—
—
3,483,188
Futures Contracts 2
4,394
—
—
4,394
Total
$1,130,429,606
$—
$—
$1,130,429,606
 
1
As categorized in the Portfolio Holdings.
2
Futures contracts are reported at cumulative unrealized appreciation or depreciation.
  
73

Schwab Capital Trust
Schwab U.S. Mid-Cap Index Fund
Portfolio Holdings as of July 31, 2026 (Unaudited)
 
SECURITY
NUMBER
OF SHARES
VALUE ($)
COMMON STOCKS 99.7% OF NET ASSETS
 
Automobiles & Components 0.8%
Aptiv PLC *
42,837
2,419,005
BorgWarner, Inc.
41,436
2,641,131
Ford Motor Co.
790,212
11,600,312
Gentex Corp.
43,202
1,009,199
Lear Corp.
10,193
1,331,613
QuantumScape Corp., Class A *
100,097
522,506
Rivian Automotive, Inc., Class A *
179,773
2,736,145
Thor Industries, Inc.
10,179
763,120
 
23,023,031
 
Banks 2.8%
Bank OZK
20,838
1,068,989
BOK Financial Corp.
3,777
533,652
Central BanCo, Inc.
4,197
137,662
Citizens Financial Group, Inc.
85,437
6,121,561
Columbia Banking System, Inc.
58,323
1,823,760
Commerce Bancshares, Inc.
27,338
1,620,323
Cullen/Frost Bankers, Inc.
11,903
1,979,945
East West Bancorp, Inc.
27,514
3,604,334
Fifth Third Bancorp
182,844
10,330,686
First Citizens BancShares, Inc., Class A
1,615
3,531,440
First Hawaiian, Inc.
24,212
672,851
First Horizon Corp.
95,852
2,457,645
FNB Corp.
71,051
1,342,864
Huntington Bancshares, Inc.
407,241
6,939,387
KeyCorp
187,233
4,229,593
M&T Bank Corp.
29,671
7,307,671
Pinnacle Financial Partners, Inc.
30,172
3,175,000
Popular, Inc.
12,887
2,257,931
Prosperity Bancshares, Inc.
23,301
1,744,546
Regions Financial Corp.
172,632
5,342,960
Southstate Bank Corp.
19,546
2,054,089
TFS Financial Corp.
10,890
200,485
Webster Financial Corp.
32,630
2,519,689
Western Alliance Bancorp
21,326
1,716,530
Wintrust Financial Corp.
13,448
2,145,494
Zions Bancorp NA
29,241
2,038,098
 
76,897,185
 
Capital Goods 12.5%
A.O. Smith Corp.
22,594
1,358,577
AAON, Inc.
13,761
1,225,555
Acuity, Inc.
6,125
2,011,389
Advanced Drainage Systems, Inc.
14,709
2,036,902
AECOM
26,006
1,882,574
AeroVironment, Inc. *
7,716
1,152,539
AGCO Corp.
12,035
1,229,496
Allegion PLC
17,223
2,710,900
Allison Transmission Holdings, Inc.
16,682
1,910,756
AMETEK, Inc.
46,242
11,177,154
API Group Corp. *
76,981
3,054,606
Applied Industrial Technologies, Inc.
7,424
2,562,839
Armstrong World Industries, Inc.
8,524
1,488,802
ATI, Inc. *
27,362
5,128,733
Axon Enterprise, Inc. *
15,620
8,243,611
SECURITY
NUMBER
OF SHARES
VALUE ($)
Builders FirstSource, Inc. *
21,093
1,401,419
BWX Technologies, Inc.
18,470
3,115,889
Carlisle Cos., Inc.
8,093
2,912,833
Carpenter Technology Corp.
9,766
5,075,000
CNH Industrial NV
176,394
1,808,038
Comfort Systems USA, Inc.
7,046
12,187,396
Core & Main, Inc., Class A *
37,743
1,659,560
Crane Co.
10,009
2,136,521
Curtiss-Wright Corp.
7,458
5,399,592
Donaldson Co., Inc.
23,244
2,190,515
Dover Corp.
26,962
5,516,964
Dycom Industries, Inc. *
6,004
2,408,024
EMCOR Group, Inc.
8,939
7,128,227
Esab Corp.
11,504
995,441
Everus Construction Group, Inc. *
10,292
1,290,926
Fastenal Co.
232,243
11,080,314
Ferguson Enterprises, Inc.
38,685
9,065,056
Flowserve Corp.
25,810
1,961,302
Forgent Power Solutions, Inc., Class A *
33,652
1,119,602
Fortive Corp.
61,580
3,646,152
Fortune Brands Innovations, Inc.
23,402
1,152,783
FTAI Aviation Ltd.
20,507
4,224,442
Gates Industrial Corp. Ltd. *
50,246
1,405,883
Generac Holdings, Inc. *
11,706
2,307,370
Graco, Inc.
33,396
2,650,974
Hayward Holdings, Inc. *
41,680
630,618
HEICO Corp.
19,726
7,029,557
Hexcel Corp.
15,126
1,557,222
Hubbell, Inc., Class B
10,709
5,060,538
Huntington Ingalls Industries, Inc.
7,940
2,592,013
IDEX Corp.
14,993
3,455,137
IES Holdings, Inc. *
1,761
1,311,135
Ingersoll Rand, Inc.
79,129
6,597,776
ITT, Inc.
18,059
3,539,203
Karman Holdings, Inc. *
13,698
659,559
Kratos Defense & Security Solutions,
Inc. *
37,295
1,737,947
L3Harris Technologies, Inc.
37,613
10,421,058
Lennox International, Inc.
6,380
2,653,314
Leonardo DRS, Inc.
15,284
703,828
Lincoln Electric Holdings, Inc.
10,752
2,809,605
Loar Holdings, Inc. *
8,824
604,003
Louisiana-Pacific Corp.
12,734
922,324
Masco Corp.
40,693
2,908,736
MasTec, Inc. *
12,535
3,297,958
Middleby Corp. *
8,728
1,165,886
Midera Food Processing, Inc. *
8,728
418,508
Modine Manufacturing Co. *
10,497
2,110,527
MSC Industrial Direct Co., Inc., Class A
9,184
1,133,306
Mueller Industries, Inc.
43,910
2,916,063
Nextpower, Inc., Class A *
29,896
2,686,754
Nordson Corp.
10,651
3,171,655
nVent Electric PLC
32,484
4,997,014
Oshkosh Corp.
12,542
1,786,106
Otis Worldwide Corp.
77,724
5,592,242
Owens Corning
16,112
2,237,957
Pentair PLC
32,382
2,119,078
Powell Industries, Inc.
5,845
1,219,735
Primoris Services Corp.
10,903
920,322
QXO, Inc. *
194,215
2,583,059
RBC Bearings, Inc. *
6,312
3,479,869
74
  

Schwab U.S. Mid-Cap Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Regal Rexnord Corp.
13,409
2,751,929
Rocket Lab Corp. *
108,591
7,052,985
Rockwell Automation, Inc.
22,713
10,904,057
Sensata Technologies Holding PLC
29,248
1,353,890
Simpson Manufacturing Co., Inc.
8,337
1,565,188
SiteOne Landscape Supply, Inc. *
8,860
836,738
Snap-on, Inc.
10,248
4,205,882
Solv Energy, Inc., Class A *
7,659
217,745
SPX Technologies, Inc. *
9,852
2,163,696
StandardAero, Inc. *
46,187
1,353,741
Stanley Black & Decker, Inc.
31,407
2,970,474
Sterling Infrastructure, Inc. *
6,077
3,626,571
Sunbelt Rentals Holdings, Inc.
82,952
5,965,908
Textron, Inc.
34,908
2,976,256
Timken Co.
13,046
1,794,477
Toro Co.
19,266
1,769,967
Trex Co., Inc. *
20,874
905,097
United Rentals, Inc.
12,620
13,620,261
Valmont Industries, Inc.
3,830
1,844,911
Vicor Corp. *
4,986
1,033,947
Watsco, Inc.
7,065
2,185,204
Watts Water Technologies, Inc., Class A
5,521
1,909,107
WESCO International, Inc.
9,651
3,315,022
Westinghouse Air Brake Technologies
Corp.
34,111
9,921,525
WillScot Holdings Corp.
35,878
871,118
Woodward, Inc.
11,998
4,328,278
WW Grainger, Inc.
8,785
12,142,803
X-Energy, Inc. *(a)
8,385
136,759
Xylem, Inc.
47,992
5,613,624
 
347,381,428
 
Commercial & Professional Services 2.6%
Amentum Holdings, Inc. *
31,067
689,687
Booz Allen Hamilton Holding Corp.,
Class A
24,164
1,684,714
Broadridge Financial Solutions, Inc.
23,342
3,593,501
CACI International, Inc., Class A *
4,418
2,199,060
Clean Harbors, Inc. *
10,264
3,211,400
Copart, Inc. *
178,316
5,192,562
Equifax, Inc.
23,963
4,136,493
ExlService Holdings, Inc. *
29,982
1,017,289
FTI Consulting, Inc. *
6,026
960,424
Genpact Ltd.
31,526
1,108,769
GFL Environmental, Inc.
52,587
2,172,895
Jacobs Solutions, Inc.
23,581
3,181,784
KBR, Inc.
25,504
933,702
Leidos Holdings, Inc.
25,336
2,928,842
MSA Safety, Inc.
7,329
1,394,489
Parsons Corp. *
7,359
325,341
Paychex, Inc.
65,081
7,604,064
Paycom Software, Inc.
8,267
1,355,457
Paylocity Holding Corp. *
8,811
1,214,993
Planet Labs PBC *
56,330
1,153,638
RB Global, Inc.
37,613
4,127,651
Robert Half, Inc.
19,986
755,471
Rollins, Inc.
60,096
2,281,845
Science Applications International Corp.
8,672
1,015,751
SS&C Technologies Holdings, Inc.
41,852
3,224,697
Tetra Tech, Inc.
52,476
1,740,104
TransUnion
38,919
3,059,812
UL Solutions, Inc., Class A
15,511
1,421,428
Veralto Corp.
49,624
4,673,092
Verisk Analytics, Inc., Class A
26,470
5,157,680
 
73,516,635
 
SECURITY
NUMBER
OF SHARES
VALUE ($)
Consumer Discretionary Distribution & Retail 2.4%
AutoNation, Inc. *
4,998
1,061,575
Bath & Body Works, Inc.
40,362
812,083
Best Buy Co., Inc.
39,788
3,432,113
Burlington Stores, Inc. *
12,663
4,666,062
CarMax, Inc. *
28,593
1,637,235
Chewy, Inc., Class A *
47,413
1,071,534
Coupang, Inc., Class A *
251,893
4,118,451
Dick's Sporting Goods, Inc.
12,757
2,499,224
Dillard's, Inc., Class A
641
377,126
eBay, Inc.
89,850
10,243,799
Etsy, Inc. *
18,960
1,548,653
Five Below, Inc. *
10,958
2,379,311
Floor & Decor Holdings, Inc., Class A *
21,565
1,241,497
GameStop Corp., Class A *
82,627
1,794,658
Gap, Inc.
45,223
908,530
Genuine Parts Co.
27,720
3,447,536
Lithia Motors, Inc., Class A
4,518
1,741,328
LKQ Corp.
51,167
1,148,699
Macy's, Inc.
53,283
1,322,484
Murphy USA, Inc.
3,392
2,061,522
Ollie's Bargain Outlet Holdings, Inc. *
12,337
906,399
Penske Automotive Group, Inc.
3,533
767,756
Pool Corp.
6,495
1,206,186
Tractor Supply Co.
106,067
3,263,682
Ulta Beauty, Inc. *
8,793
4,509,314
Valvoline, Inc. *
25,683
986,484
Wayfair, Inc., Class A *
21,058
1,787,824
Williams-Sonoma, Inc.
23,624
5,401,864
 
66,342,929
 
Consumer Durables & Apparel 2.3%
Amer Sports, Inc. *
37,056
1,315,859
Birkenstock Holding PLC *
7,968
308,521
Brunswick Corp.
13,112
1,035,848
Columbia Sportswear Co.
4,451
264,300
Crocs, Inc. *
9,811
1,255,906
Deckers Outdoor Corp. *
28,479
2,759,046
Dr. Horton, Inc.
50,814
7,269,451
Garmin Ltd.
33,217
9,758,490
Hasbro, Inc.
28,359
2,664,044
Lennar Corp., Class A
43,159
3,554,144
Lululemon Athletica, Inc. *
20,197
2,400,817
Mattel, Inc. *
58,334
880,260
Mohawk Industries, Inc. *
10,155
1,250,081
NVR, Inc. *
532
3,270,231
On Holding AG, Class A *
45,628
1,653,559
PulteGroup, Inc.
38,237
4,835,833
PVH Corp.
9,185
795,972
Ralph Lauren Corp., Class A
7,525
2,862,058
SharkNinja, Inc. *
16,939
2,740,222
Somnigroup International, Inc.
41,105
2,685,390
Tapestry, Inc.
40,924
6,235,590
Toll Brothers, Inc.
19,041
2,777,891
VF Corp.
71,113
1,018,338
Whirlpool Corp.
12,562
471,075
YETI Holdings, Inc. *
15,302
748,880
 
64,811,806
 
Consumer Services 3.7%
ADT, Inc.
114,389
873,932
Aramark
52,917
3,014,681
Boyd Gaming Corp.
10,369
881,987
Bright Horizons Family Solutions, Inc. *
10,628
792,211
Caesars Entertainment, Inc. *
40,881
1,216,210
Carnival Corp. Ltd.
257,885
7,171,782
  
75

Schwab U.S. Mid-Cap Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Cava Group, Inc. *
20,385
1,329,714
Chipotle Mexican Grill, Inc., Class A *
258,148
9,608,269
Choice Hotels International, Inc.
5,573
621,334
Churchill Downs, Inc.
13,317
1,122,623
Darden Restaurants, Inc.
23,142
4,711,248
Domino's Pizza, Inc.
6,041
2,098,885
DraftKings, Inc., Class A *
96,451
2,264,669
Duolingo, Inc. *
7,791
1,050,305
Dutch Bros, Inc., Class A *
23,682
1,558,986
Expedia Group, Inc.
23,072
6,800,241
Flutter Entertainment PLC *
28,596
2,987,424
Grand Canyon Education, Inc. *
5,267
765,506
H&R Block, Inc.
25,314
1,114,575
Hyatt Hotels Corp., Class A
7,983
1,389,521
Las Vegas Sands Corp.
55,778
2,726,986
Liberty Live Holdings, Inc., Class C *
13,579
1,338,889
MGM Resorts International *
37,453
1,669,280
Norwegian Cruise Line Holdings Ltd. *
92,484
1,713,729
Planet Fitness, Inc., Class A *
16,016
895,455
Restaurant Brands International, Inc.
69,331
5,131,881
Royal Caribbean Cruises Ltd.
50,836
16,181,099
Service Corp. International
27,124
2,337,818
Texas Roadhouse, Inc., Class A
13,291
2,730,503
Travel & Leisure Co.
11,962
909,351
Vail Resorts, Inc.
7,066
1,055,519
Viking Holdings Ltd. *
35,744
3,729,886
Wingstop, Inc.
5,514
714,008
Wyndham Hotels & Resorts, Inc.
14,844
1,111,222
Wynn Resorts Ltd.
15,337
1,523,117
Yum! Brands, Inc.
55,877
8,564,827
 
103,707,673
 
Consumer Staples Distribution & Retail 1.7%
Albertsons Cos., Inc., Class A
67,079
776,775
BJ's Wholesale Club Holdings, Inc. *
26,099
2,551,960
Casey's General Stores, Inc.
7,455
6,493,305
Dollar General Corp.
44,474
5,650,422
Dollar Tree, Inc. *
37,460
4,765,287
Kroger Co.
112,682
6,506,259
Maplebear, Inc. *
30,907
1,378,452
Performance Food Group Co. *
30,455
3,483,747
Sprouts Farmers Market, Inc. *
18,905
1,647,760
Sysco Corp.
96,698
8,242,537
U.S. Foods Holding Corp. *
44,328
4,458,953
 
45,955,457
 
Energy 6.3%
Antero Midstream Corp.
66,435
1,459,577
Antero Resources Corp. *
60,088
2,171,580
APA Corp.
71,201
2,657,221
Baker Hughes Co., Class A
200,728
12,142,037
Cheniere Energy, Inc.
42,316
11,153,228
Chord Energy Corp.
11,383
1,597,946
Devon Energy Corp.
227,887
10,284,540
Diamondback Energy, Inc.
38,723
7,858,833
DT Midstream, Inc.
20,557
2,836,866
EQT Corp.
121,984
6,500,527
Expand Energy Corp.
45,988
4,324,252
Halliburton Co.
168,504
5,434,254
HF Sinclair Corp.
31,284
2,861,548
Kinder Morgan, Inc.
393,156
12,651,760
Marathon Petroleum Corp.
59,480
18,823,636
Matador Resources Co.
23,379
1,166,378
NOV, Inc.
72,512
1,408,908
Occidental Petroleum Corp.
146,608
8,366,919
ONEOK, Inc.
127,434
11,572,282
Ovintiv, Inc.
57,261
3,576,522
SECURITY
NUMBER
OF SHARES
VALUE ($)
Permian Resources Corp., Class A
159,326
3,395,237
Phillips 66
81,057
17,158,146
Range Resources Corp.
47,239
1,896,173
Targa Resources Corp.
42,917
11,603,469
TechnipFMC PLC
79,911
5,726,422
Texas Pacific Land Corp.
11,899
4,790,299
Viper Energy, Inc., Class A
38,226
1,705,262
Weatherford International PLC
14,221
1,248,462
 
176,372,284
 
Equity Real Estate Investment Trusts (REITs) 6.3%
Agree Realty Corp.
23,928
1,861,598
Alexandria Real Estate Equities, Inc.
34,652
1,782,845
American Healthcare REIT, Inc.
38,702
2,151,831
American Homes 4 Rent, Class A
67,917
2,269,786
Americold Realty Trust, Inc.
57,621
811,880
AvalonBay Communities, Inc.
28,072
5,210,444
Brixmor Property Group, Inc.
61,459
1,936,573
BXP, Inc.
31,920
2,238,230
Camden Property Trust
19,956
2,211,324
Cousins Properties, Inc.
33,077
1,043,579
Crown Castle, Inc.
88,225
6,731,567
CubeSmart
45,635
1,892,027
Digital Realty Trust, Inc.
73,177
13,795,328
EastGroup Properties, Inc.
10,766
2,250,202
EPR Properties
15,079
935,954
Equity LifeStyle Properties, Inc.
39,037
2,540,138
Equity Residential
75,390
5,009,666
Essex Property Trust, Inc.
12,946
3,678,476
Extra Space Storage, Inc.
42,384
6,274,527
Federal Realty Investment Trust
17,307
2,147,626
Fermi, Inc. *
41,004
233,313
First Industrial Realty Trust, Inc.
26,601
1,751,410
Gaming & Leisure Properties, Inc.
55,081
2,467,078
Healthcare Realty Trust, Inc., Class A
67,733
1,423,070
Healthpeak Properties, Inc.
140,200
3,060,566
Host Hotels & Resorts, Inc.
137,472
3,454,671
Invitation Homes, Inc.
119,917
3,563,933
Iron Mountain, Inc.
59,761
7,309,966
Janus Living, Inc., Class A-1
9,517
287,509
Kilroy Realty Corp.
23,450
910,329
Kimco Realty Corp.
133,397
3,398,956
Lamar Advertising Co., Class A
17,223
2,754,991
Lineage, Inc.
13,894
588,689
Medical Properties Trust, Inc.
100,828
466,834
Mid-America Apartment Communities,
Inc.
23,347
3,089,742
Millrose Properties, Inc., Class A
30,936
865,589
NNN REIT, Inc.
38,146
1,812,698
Omega Healthcare Investors, Inc.
60,233
3,049,597
Rayonier, Inc.
60,822
1,324,703
Realty Income Corp.
188,713
12,053,099
Regency Centers Corp.
36,862
2,959,650
Rexford Industrial Realty, Inc.
45,493
1,718,271
SBA Communications Corp., Class A
21,319
3,858,313
Simon Property Group, Inc.
64,619
14,821,660
STAG Industrial, Inc.
38,677
1,479,782
Sun Communities, Inc.
24,621
3,040,201
UDR, Inc.
65,588
2,502,838
Ventas, Inc.
97,929
9,157,341
VICI Properties, Inc., Class A
219,569
5,785,643
Vornado Realty Trust
35,426
1,395,430
Weyerhaeuser Co.
145,791
3,649,149
WP Carey, Inc.
44,645
3,285,872
 
174,294,494
 
76
  

Schwab U.S. Mid-Cap Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Financial Services 7.5%
Affiliated Managers Group, Inc.
5,175
1,897,828
Affirm Holdings, Inc. *
56,624
4,049,182
AGNC Investment Corp.
231,389
2,466,607
Ally Financial, Inc.
55,979
2,425,570
Ameriprise Financial, Inc.
18,340
10,010,706
Annaly Capital Management, Inc.
148,569
3,375,488
ARES Management Corp., Class A
39,788
5,096,445
Block, Inc. *
105,271
8,552,216
Blue Owl Capital, Inc., Class A
132,626
1,366,048
Bullish *
4,108
89,513
Carlyle Group, Inc.
53,748
2,473,483
Cboe Global Markets, Inc.
21,190
6,573,774
Chime Financial, Inc., Class A *
52,607
1,209,435
Coinbase Global, Inc., Class A *
44,413
6,495,845
Corebridge Financial, Inc.
49,643
1,548,365
Corpay, Inc. *
12,891
4,925,780
Credit Acceptance Corp. *
724
411,891
Equitable Holdings, Inc.
56,588
2,696,418
Euronet Worldwide, Inc. *
7,059
503,518
Evercore, Inc., Class A
7,422
2,379,196
FactSet Research Systems, Inc.
7,324
1,927,677
Fidelity National Information Services,
Inc.
104,613
4,683,524
Figure Technology Solutions, Inc.,
Class A *
28,737
715,839
Fiserv, Inc. *
107,305
5,788,032
Franklin Resources, Inc.
54,080
1,831,149
Freedom Holding Corp. *(a)
3,660
553,648
Galaxy Digital, Inc., Class A *
37,951
797,351
Global Payments, Inc.
46,411
3,902,237
Hamilton Lane, Inc., Class A
7,977
709,235
Houlihan Lokey, Inc., Class A
11,036
1,384,908
Invesco Ltd.
72,509
2,146,266
Jack Henry & Associates, Inc.
14,553
2,241,744
Jefferies Financial Group, Inc.
30,578
1,669,559
Lazard, Inc.
18,931
802,296
LPL Financial Holdings, Inc.
16,185
5,724,634
MarketAxess Holdings, Inc.
7,090
1,150,707
MGIC Investment Corp.
42,041
1,262,912
Morningstar, Inc.
3,909
752,756
MSCI, Inc., Class A
14,223
8,138,970
Nasdaq, Inc.
90,363
8,511,291
Northern Trust Corp.
37,129
6,764,532
OneMain Holdings, Inc.
23,332
1,460,117
PayPal Holdings, Inc.
181,096
10,360,502
Raymond James Financial, Inc.
35,741
6,289,701
Rithm Capital Corp.
111,747
1,104,060
Robinhood Markets, Inc., Class A *
155,327
13,445,105
Rocket Cos., Inc., Class A *
195,849
2,526,452
SEI Investments Co.
20,611
2,122,521
Shift4 Payments, Inc., Class A *
11,441
606,373
SLM Corp.
37,747
981,233
SoFi Technologies, Inc. *
255,200
4,162,312
Starwood Property Trust, Inc.
70,722
1,130,138
State Street Corp.
54,085
9,960,294
Stifel Financial Corp.
30,208
2,504,545
Synchrony Financial
67,903
5,146,368
T. Rowe Price Group, Inc.
42,580
4,758,315
Toast, Inc., Class A *
96,288
3,107,214
TPG, Inc.
29,298
1,279,151
Tradeweb Markets, Inc., Class A
23,485
2,360,242
UWM Holdings Corp.
55,545
101,092
Virtu Financial, Inc., Class A
16,734
982,788
Voya Financial, Inc.
18,700
1,859,341
Western Union Co.
62,092
394,905
SECURITY
NUMBER
OF SHARES
VALUE ($)
WEX, Inc. *
6,945
1,298,437
XP, Inc., Class A
79,457
1,355,536
 
209,303,317
 
Food, Beverage & Tobacco 2.2%
Archer-Daniels-Midland Co.
96,970
7,686,812
Brown-Forman Corp., Class B
36,083
1,036,665
Bunge Global SA
26,815
2,848,557
Campbell's Co. (a)
40,306
885,926
Celsius Holdings, Inc. *
34,584
1,010,199
Coca-Cola Consolidated, Inc.
11,422
2,146,194
Conagra Brands, Inc.
96,320
1,397,603
Constellation Brands, Inc., Class A
27,941
3,638,756
Darling Ingredients, Inc. *
31,564
1,914,041
Freshpet, Inc. *
9,881
588,315
General Mills, Inc.
107,868
3,856,281
Hershey Co.
29,558
5,174,128
Hormel Foods Corp.
58,557
1,464,511
Ingredion, Inc.
12,670
1,260,158
J.M. Smucker Co.
21,072
2,513,047
JBS NV, Class A
66,345
930,157
Keurig Dr. Pepper, Inc.
261,985
8,152,973
Kraft Heinz Co.
172,890
4,469,206
Lamb Weston Holdings, Inc.
26,679
1,401,981
McCormick & Co., Inc. - Non Voting
Shares
51,479
2,620,281
Molson Coors Beverage Co., Class B
30,989
1,287,903
Pilgrim's Pride Corp.
8,475
231,876
Post Holdings, Inc. *
8,129
743,072
Primo Brands Corp.
49,407
1,121,539
Seaboard Corp.
50
220,663
Smithfield Foods, Inc.
9,288
241,860
Tyson Foods, Inc., Class A
55,568
3,220,721
 
62,063,425
 
Health Care Equipment & Services 5.5%
Align Technology, Inc. *
13,538
2,290,088
Baxter International, Inc.
104,084
2,722,837
Becton Dickinson & Co.
57,470
9,518,181
Cardinal Health, Inc.
47,335
10,888,470
Cencora, Inc.
37,752
11,753,708
Centene Corp. *
99,741
6,205,885
Chemed Corp.
2,632
1,400,882
Cooper Cos., Inc. *
39,236
2,837,548
DaVita, Inc. *
6,508
1,562,506
Dexcom, Inc. *
77,594
6,475,219
Doximity, Inc., Class A *
26,053
544,768
Edwards Lifesciences Corp. *
115,242
9,918,879
Encompass Health Corp.
19,942
2,214,958
Ensign Group, Inc.
11,392
2,029,599
Envista Holdings Corp. *
32,924
899,154
GE HealthCare Technologies, Inc.
91,861
6,248,385
Globus Medical, Inc., Class A *
22,622
1,782,387
Guardant Health, Inc. *
25,761
4,173,024
Henry Schein, Inc. *
19,884
1,705,053
Humana, Inc.
24,282
8,835,249
IDEXX Laboratories, Inc. *
15,981
8,934,498
Insulet Corp. *
14,004
2,315,561
Labcorp Holdings, Inc.
16,585
5,128,082
Medline, Inc., Class A *
90,841
3,568,234
Molina Healthcare, Inc. *
10,398
2,034,057
Penumbra, Inc. *
7,708
2,475,733
Quest Diagnostics, Inc.
22,324
5,201,715
ResMed, Inc.
29,386
6,199,858
Solventum Corp. *
29,916
2,556,023
STERIS PLC
19,792
4,520,493
Teleflex, Inc.
8,936
1,221,641
  
77

Schwab U.S. Mid-Cap Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Tenet Healthcare Corp. *
17,242
4,392,917
Universal Health Services, Inc., Class B
10,273
1,730,384
Veeva Systems, Inc., Class A *
30,178
6,149,673
Zimmer Biomet Holdings, Inc.
39,185
3,680,647
 
154,116,296
 
Household & Personal Products 1.0%
Church & Dwight Co., Inc.
47,881
4,731,122
Clorox Co.
24,385
2,329,499
elf Beauty, Inc. *
11,724
971,802
Estee Lauder Cos., Inc., Class A
49,891
4,185,855
Kenvue, Inc.
383,283
7,374,365
Kimberly-Clark Corp.
66,770
7,298,629
Reynolds Consumer Products, Inc.
10,917
272,270
 
27,163,542
 
Insurance 4.2%
Allstate Corp.
51,861
13,695,453
American Financial Group, Inc.
13,359
1,893,237
American International Group, Inc.
107,723
8,464,873
Arch Capital Group Ltd. *
70,285
7,065,751
Assurant, Inc.
10,013
2,795,529
Assured Guaranty Ltd.
8,367
692,118
Axis Capital Holdings Ltd.
14,793
1,557,999
Brighthouse Financial, Inc. *
11,363
703,483
Brown & Brown, Inc.
59,672
4,200,909
Cincinnati Financial Corp.
30,776
5,468,280
CNA Financial Corp.
4,000
209,880
Everest Group Ltd.
7,991
2,989,833
Fidelity National Financial, Inc.
51,476
2,655,647
First American Financial Corp.
19,713
1,478,278
Globe Life, Inc.
15,752
2,870,802
Hanover Insurance Group, Inc.
6,998
1,627,945
Hartford Insurance Group, Inc.
55,337
7,852,874
Kinsale Capital Group, Inc.
4,409
1,571,456
Lincoln National Corp.
34,758
1,585,312
Loews Corp.
33,817
3,923,110
Markel Group, Inc. *
2,499
4,703,968
Old Republic International Corp.
45,690
1,974,265
Primerica, Inc.
6,302
2,016,388
Principal Financial Group, Inc.
43,268
4,919,572
Prudential Financial, Inc.
70,341
8,587,229
Reinsurance Group of America, Inc.
13,206
3,127,841
RenaissanceRe Holdings Ltd.
8,441
2,700,951
RLI Corp.
16,535
1,012,603
Ryan Specialty Holdings, Inc., Class A
22,422
990,156
Unum Group
32,006
2,756,037
W.R. Berkley Corp.
45,936
3,332,197
White Mountains Insurance Group Ltd.
487
1,021,594
Willis Towers Watson PLC
19,090
6,412,713
 
116,858,283
 
Materials 5.1%
Albemarle Corp.
23,832
2,803,597
Alcoa Corp.
53,282
2,411,543
Almonty Industries, Inc. *
43,444
480,491
Amcor PLC
93,449
4,193,991
Anglogold Ashanti PLC
102,133
8,101,190
AptarGroup, Inc.
12,750
1,707,990
Aura Minerals, Inc.
8,146
444,527
Avery Dennison Corp.
15,481
2,627,590
Axalta Coating Systems Ltd. *
43,146
1,545,058
Ball Corp.
53,704
3,485,390
Celanese Corp., Class A
22,660
1,013,355
CF Industries Holdings, Inc.
30,926
3,871,626
Cleveland-Cliffs, Inc. *
114,691
1,321,240
SECURITY
NUMBER
OF SHARES
VALUE ($)
Coeur Mining, Inc.
207,498
3,093,795
Corteva, Inc.
135,876
10,694,800
Crown Holdings, Inc.
22,548
2,657,282
Dow, Inc.
145,675
4,412,496
DuPont de Nemours, Inc.
27,652
3,788,324
Eagle Materials, Inc.
6,298
1,290,712
Eastman Chemical Co.
22,923
1,603,464
Element Solutions, Inc.
46,211
1,697,330
Graphic Packaging Holding Co.
59,091
634,046
Hecla Mining Co.
127,493
1,800,201
International Flavors & Fragrances, Inc.
51,711
4,096,545
International Paper Co.
106,123
4,333,002
James Hardie Industries PLC, ADR *
30,177
793,353
LyondellBasell Industries NV, Class A
52,026
3,229,774
Martin Marietta Materials, Inc.
12,075
6,341,066
Mosaic Co.
64,389
1,424,285
MP Materials Corp. *
29,028
1,200,888
NewMarket Corp.
1,249
1,061,850
Nucor Corp.
44,563
11,465,614
Olin Corp.
22,724
420,621
Packaging Corp. of America
17,545
4,313,263
PPG Industries, Inc.
45,100
4,984,452
Reliance, Inc.
10,301
4,183,236
Royal Gold, Inc.
17,144
3,400,512
RPM International, Inc.
25,512
2,731,570
Scotts Miracle-Gro Co.
9,039
593,682
Silgan Holdings, Inc.
17,952
717,721
Smurfit Westrock PLC
105,602
4,854,524
Solstice Advanced Materials, Inc.
32,241
1,939,941
Sonoco Products Co.
19,868
1,119,761
Steel Dynamics, Inc.
27,244
6,845,327
Vulcan Materials Co.
26,207
7,038,414
Westlake Corp.
6,593
464,807
 
143,234,246
 
Media & Entertainment 3.1%
Charter Communications, Inc., Class A *
15,755
2,284,160
EchoStar Corp., Class A *
27,789
2,336,777
Electronic Arts, Inc.
50,630
10,625,212
Fox Corp., Class A
65,206
3,796,945
Liberty Broadband Corp., Class C *
26,628
906,417
Liberty Media Corp.-Liberty Formula
One, Class C *
48,307
4,740,366
Live Nation Entertainment, Inc. *
32,336
5,630,668
Madison Square Garden Sports Corp. *
3,249
1,279,066
Match Group, Inc.
47,091
1,855,856
New York Times Co., Class A
31,192
2,335,969
News Corp., Class A
102,765
2,832,203
Nexstar Media Group, Inc., Class A
5,777
1,100,692
NIQ Global Intelligence PLC *
11,814
131,962
Omnicom Group, Inc.
57,235
4,504,395
People, Inc. *
12,700
527,939
Pinterest, Inc., Class A *
99,081
2,378,935
Reddit, Inc., Class A *
26,973
3,794,292
ROBLOX Corp., Class A *
128,399
4,571,004
Roku, Inc. *
26,424
3,831,744
Sirius XM Holdings, Inc.
35,821
1,061,018
Take-Two Interactive Software, Inc. *
37,027
8,994,599
TKO Group Holdings, Inc.
12,525
2,277,170
Trade Desk, Inc., Class A *
84,314
1,521,025
Versant Media Group, Inc.
28,601
1,029,350
Warner Bros Discovery, Inc. *
486,413
12,792,662
 
87,140,426
 
Pharmaceuticals, Biotechnology & Life Sciences 5.6%
Agilent Technologies, Inc.
57,102
7,901,204
Alnylam Pharmaceuticals, Inc. *
26,947
5,538,148
78
  

Schwab U.S. Mid-Cap Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Arrowhead Pharmaceuticals, Inc. *
27,219
2,304,088
Ascendis Pharma AS *
10,076
2,457,637
Avantor, Inc. *
133,230
1,835,909
Axsome Therapeutics, Inc. *
8,696
1,895,641
Biogen, Inc. *
29,802
6,048,316
BioMarin Pharmaceutical, Inc. *
38,658
2,320,253
Bio-Rad Laboratories, Inc., Class A *
3,667
1,193,535
Bio-Techne Corp.
31,607
2,278,549
Bridgebio Pharma, Inc. *
34,189
2,738,197
Bruker Corp.
22,404
1,407,867
Caris Life Sciences, Inc. *
24,571
385,028
Charles River Laboratories International,
Inc. *
9,937
2,310,452
Corcept Therapeutics, Inc. *
19,158
2,193,399
Elanco Animal Health, Inc. *
100,002
2,637,053
Exelixis, Inc. *
50,393
2,672,341
Halozyme Therapeutics, Inc. *
23,814
1,965,608
Illumina, Inc. *
30,731
6,302,928
Incyte Corp. *
33,530
4,007,506
Insmed, Inc. *
43,374
4,276,676
Ionis Pharmaceuticals, Inc. *
33,146
1,715,968
IQVIA Holdings, Inc. *
33,643
7,906,778
Jazz Pharmaceuticals PLC *
12,057
3,048,733
Madrigal Pharmaceuticals, Inc. *
3,613
1,688,427
Medpace Holdings, Inc. *
4,674
2,697,412
Mettler-Toledo International, Inc. *
4,086
5,787,002
Moderna, Inc. *
73,563
4,032,724
Natera, Inc. *
27,607
7,392,050
Neurocrine Biosciences, Inc. *
19,992
3,334,666
Organon & Co.
52,487
711,199
Qiagen NV
41,475
1,717,065
Repligen Corp. *
10,744
1,515,011
Revolution Medicines, Inc. *
38,676
7,252,910
Revvity, Inc.
22,597
2,542,615
Roivant Sciences Ltd. *
98,773
3,349,392
Royalty Pharma PLC, Class A
83,643
4,887,261
Sotera Health Co. *
56,147
1,002,785
Summit Therapeutics, Inc. *
27,017
351,761
Tempus AI, Inc., Class A *
21,754
954,348
United Therapeutics Corp. *
8,375
4,335,821
Viatris, Inc.
235,107
4,128,479
Viking Therapeutics, Inc. *
23,036
731,163
Waters Corp. *
19,872
7,497,904
West Pharmaceutical Services, Inc.
14,136
4,819,811
Zoetis, Inc.
85,094
6,576,915
 
154,648,535
 
Real Estate Management & Development 0.6%
CBRE Group, Inc., Class A *
59,029
8,666,048
CoStar Group, Inc. *
81,633
2,347,765
Howard Hughes Holdings, Inc. *
6,253
399,692
Jones Lang LaSalle, Inc. *
9,296
3,300,359
Zillow Group, Inc., Class C *
40,908
1,393,326
 
16,107,190
 
Semiconductors & Semiconductor Equipment 3.2%
Allegro MicroSystems, Inc. *
25,173
1,044,679
Amkor Technology, Inc.
25,146
1,254,031
Astera Labs, Inc. *
30,953
9,633,502
Cirrus Logic, Inc. *
10,268
1,328,166
Credo Technology Group Holding Ltd. *
33,304
6,893,595
Enphase Energy, Inc. *
25,725
965,717
Entegris, Inc.
30,730
3,658,406
First Solar, Inc. *
20,565
4,339,832
FormFactor, Inc. *
15,629
1,659,800
GLOBALFOUNDRIES, Inc.
25,380
1,268,746
Lattice Semiconductor Corp. *
27,562
3,425,130
SECURITY
NUMBER
OF SHARES
VALUE ($)
MACOM Technology Solutions Holdings,
Inc. *
13,533
3,402,738
Microchip Technology, Inc.
107,377
7,977,037
MKS, Inc.
13,561
4,033,719
ON Semiconductor Corp. *
79,446
6,483,588
Onto Innovation, Inc. *
10,003
2,586,576
Qnity Electronics, Inc.
42,407
5,562,950
Qorvo, Inc. *
17,026
1,542,045
Rambus, Inc. *
21,772
1,981,905
Semtech Corp. *
18,748
2,208,889
SiTime Corp. *
4,494
2,405,189
Skyworks Solutions, Inc.
30,285
1,886,150
Teradyne, Inc.
31,664
11,642,536
Universal Display Corp.
8,617
690,739
 
87,875,665
 
Software & Services 7.2%
Akamai Technologies, Inc. *
29,086
3,350,126
Amdocs Ltd.
21,423
1,193,690
Appfolio, Inc., Class A *
4,570
823,468
Applied Digital Corp. *
51,406
1,408,010
Atlassian Corp., Class A *
34,095
3,444,106
Aurora Innovation, Inc. *
243,028
1,567,531
Autodesk, Inc. *
42,685
9,996,827
Bentley Systems, Inc., Class B
33,115
1,173,596
Bill Holdings, Inc. *
17,593
793,972
BitMine Immersion Technologies, Inc.
113,705
1,964,822
CCC Intelligent Solutions Holdings, Inc. *
111,362
678,195
Circle Internet Group, Inc. *
36,188
2,265,731
Cloudflare, Inc., Class A *
63,892
17,824,590
Cognizant Technology Solutions Corp.,
Class A
95,956
5,311,165
CoreWeave, Inc., Class A *
70,362
5,049,881
Datadog, Inc., Class A *
66,409
17,795,620
DigitalOcean Holdings, Inc. *
16,324
1,918,070
Docusign, Inc., Class A *
39,233
2,151,145
Dolby Laboratories, Inc., Class A
11,909
700,368
Dropbox, Inc., Class A *
30,700
999,592
Dynatrace, Inc. *
59,964
2,657,605
Elastic NV *
18,425
1,212,181
EPAM Systems, Inc. *
10,321
1,089,485
Fair Isaac Corp. *
4,567
5,128,604
Figma, Inc., Class A *
43,186
1,050,284
Gartner, Inc. *
13,227
1,997,542
Gen Digital, Inc.
108,865
2,988,344
Gitlab, Inc., Class A *
28,991
1,000,479
GoDaddy, Inc., Class A *
26,626
2,203,035
Guidewire Software, Inc. *
17,120
2,601,213
HubSpot, Inc. *
10,059
2,387,604
IREN Ltd. *
65,298
2,402,966
Klaviyo, Inc., Class A *
28,441
507,388
Kyndryl Holdings, Inc. *
44,535
603,449
Manhattan Associates, Inc. *
11,856
2,268,764
MongoDB, Inc., Class A *
15,776
5,324,085
Nutanix, Inc., Class A *
52,399
3,092,065
Okta, Inc. *
34,068
4,835,271
Pegasystems, Inc.
17,771
542,904
Procore Technologies, Inc. *
24,626
1,348,766
PTC, Inc. *
24,045
3,298,974
RingCentral, Inc., Class A
14,725
819,005
Roper Technologies, Inc.
20,674
8,103,588
Rubrik, Inc., Class A *
31,374
2,270,223
SailPoint, Inc. *
13,095
219,603
Samsara, Inc., Class A *
69,553
2,592,240
SentinelOne, Inc., Class A *
64,737
1,233,887
Snowflake, Inc., Class A *
67,715
19,859,455
Terawulf, Inc. *
72,946
1,288,226
Trimble, Inc. *
46,783
2,646,982
  
79

Schwab U.S. Mid-Cap Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Twilio, Inc., Class A *
29,895
5,899,778
Tyler Technologies, Inc. *
8,490
2,628,504
UiPath, Inc., Class A *
81,012
1,033,713
Unity Software, Inc. *
73,071
2,317,081
VeriSign, Inc.
16,491
4,782,720
Workday, Inc., Class A *
41,563
6,664,211
Zoom Communications, Inc. *
53,756
5,164,339
Zscaler, Inc. *
21,107
3,191,378
 
199,666,446
 
Technology Hardware & Equipment 4.6%
Advanced Energy Industries, Inc.
7,641
2,212,222
Applied Optoelectronics, Inc. *
15,558
1,467,431
Arrow Electronics, Inc. *
10,308
2,232,404
Avnet, Inc.
16,326
1,450,402
CDW Corp.
25,768
3,808,768
Cognex Corp.
33,717
2,199,697
Coherent Corp. *
35,804
9,412,514
Everpure, Inc., Class A *
63,061
4,866,417
F5, Inc. *
11,436
4,603,790
Fabrinet *
7,227
3,146,708
Flex Ltd. *
74,038
8,421,822
Hewlett Packard Enterprise Co.
267,745
12,824,985
HP, Inc.
184,760
5,038,405
Ingram Micro Holding Corp.
8,689
245,117
IonQ, Inc. *
77,881
2,837,984
IPG Photonics Corp. *
5,141
437,293
Jabil, Inc.
21,079
6,640,939
Keysight Technologies, Inc. *
34,526
11,016,556
Littelfuse, Inc.
5,029
2,223,472
Lumentum Holdings, Inc. *
14,366
10,256,462
NetApp, Inc.
39,780
7,100,730
Ralliant Corp.
22,613
1,478,212
Sanmina Corp. *
10,285
1,908,485
Super Micro Computer, Inc. *
112,755
3,202,242
TD SYNNEX Corp.
15,487
3,960,026
Teledyne Technologies, Inc. *
9,313
6,105,323
TTM Technologies, Inc. *
20,563
2,373,793
Ubiquiti, Inc.
853
474,712
Viavi Solutions, Inc. *
46,892
1,732,659
Vontier Corp.
28,435
913,616
Zebra Technologies Corp., Class A *
9,696
2,848,879
 
127,442,065
 
Telecommunication Services 0.3%
AST SpaceMobile, Inc. *
51,643
3,045,904
Globalstar, Inc. *
10,478
873,656
Iridium Communications, Inc.
18,856
892,643
Liberty Global Ltd., Class C *
61,532
637,471
Millicom International Cellular SA
18,223
1,739,932
 
7,189,606
 
Transportation 2.4%
Alaska Air Group, Inc. *
22,433
1,064,446
American Airlines Group, Inc. *
131,873
2,013,701
Avis Budget Group, Inc. *
3,481
478,429
CH Robinson Worldwide, Inc.
23,779
3,512,872
Delta Air Lines, Inc.
132,398
11,576,881
Expeditors International of Washington,
Inc.
26,782
4,496,430
Fedex Freight Holding Co., Inc. *
22,170
3,115,550
GXO Logistics, Inc. *
23,132
1,160,301
JB Hunt Transport Services, Inc.
15,199
4,130,328
Kirby Corp. *
10,741
1,408,575
Knight-Swift Transportation Holdings,
Inc.
32,002
2,225,099
SECURITY
NUMBER
OF SHARES
VALUE ($)
Landstar System, Inc.
6,823
1,192,456
Lyft, Inc., Class A *
76,305
1,210,197
Old Dominion Freight Line, Inc.
37,737
8,005,527
Ryder System, Inc.
7,592
1,946,740
Saia, Inc. *
5,390
1,873,726
Schneider National, Inc., Class B
10,572
377,843
Southwest Airlines Co.
93,089
4,186,212
U-Haul Holding Co., Non Voting Shares
22,241
1,391,842
United Airlines Holdings, Inc. *
65,342
7,927,945
XPO, Inc. *
23,037
4,629,746
 
67,924,846
 
Utilities 5.8%
AES Corp.
143,201
2,102,191
Alliant Energy Corp.
52,285
3,700,732
Ameren Corp.
55,885
6,125,555
American Water Works Co., Inc.
39,394
5,285,493
Atmos Energy Corp.
33,356
5,763,250
Brookfield Renewable Corp.
27,296
910,322
CenterPoint Energy, Inc.
132,320
5,562,733
Clearway Energy, Inc., Class C
24,085
764,217
CMS Energy Corp.
62,137
4,473,243
Consolidated Edison, Inc.
74,528
8,112,373
DTE Energy Co.
41,982
5,955,986
Edison International
77,026
5,651,398
Entergy Corp.
92,492
9,953,989
Essential Utilities, Inc.
57,391
2,287,031
Evergy, Inc.
46,600
3,868,266
Eversource Energy
76,080
5,446,567
Exelon Corp.
207,186
9,493,263
FirstEnergy Corp.
111,223
5,373,183
IDACORP, Inc.
11,224
1,604,022
MDU Resources Group, Inc.
40,984
817,631
National Fuel Gas Co.
18,990
1,563,067
NiSource, Inc.
96,742
4,298,247
NRG Energy, Inc.
41,160
5,527,376
OGE Energy Corp.
41,721
1,975,489
Oklo, Inc. *
28,426
1,103,782
PG&E Corp.
443,563
7,709,125
Pinnacle West Capital Corp.
24,452
2,469,407
PPL Corp.
152,160
5,357,554
Public Service Enterprise Group, Inc.
100,918
7,738,392
Talen Energy Corp. *
9,090
3,036,969
UGI Corp.
43,392
1,567,319
Vistra Corp.
68,008
10,078,105
WEC Energy Group, Inc.
65,902
7,210,997
Xcel Energy, Inc.
126,232
9,871,342
 
162,758,616
Total Common Stocks
(Cost $2,151,428,556)
2,775,795,426
 
INVESTMENT COMPANIES 0.2% OF NET ASSETS
 
Equity Funds 0.2%
iShares Russell Mid-Cap ETF
50,000
5,484,500
Total Investment Companies
(Cost $4,516,609)
5,484,500
 
80
  

Schwab U.S. Mid-Cap Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
SHORT-TERM INVESTMENTS 0.1% OF NET ASSETS
 
Money Market Funds 0.1%
State Street Institutional
U.S. Government Money Market
Fund, Premier Class 3.62% (b)
1,710,067
1,710,067
State Street Institutional
U.S. Government Money Market
Fund, Premier Class 3.62% (b)(c)
908,350
908,350
 
2,618,417
Total Short-Term Investments
(Cost $2,618,417)
2,618,417
Total Investments in Securities
(Cost $2,158,563,582)
2,783,898,343
 
 
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
($)
CURRENT VALUE/
UNREALIZED
DEPRECIATION
($)
FUTURES CONTRACTS
Long
S&P 400 Mid-Cap Index, e-mini,
expires 09/18/26
6
2,263,740
(4,222
)
 
*
Non-income producing security.
(a)
All or a portion of this security is on loan.
(b)
The rate shown is the annualized 7-day yield.
(c)
Security purchased with cash collateral received for securities on loan.
Securities on loan were valued at $867,363.
 
ADR —
American Depositary Receipt
ETF —
Exchange-Traded Fund
REIT —
Real Estate Investment Trust
 
The following is a summary of the inputs used to value the fund’s investments as of July 31, 2026:  
DESCRIPTION
QUOTED PRICES IN
ACTIVE MARKETS FOR
IDENTICAL ASSETS
(LEVEL 1)
OTHER SIGNIFICANT
OBSERVABLE INPUTS
(LEVEL 2)
SIGNIFICANT
UNOBSERVABLE INPUTS
(LEVEL 3)
TOTAL
Assets
Common Stocks1
$2,775,795,426
$—
$—
$2,775,795,426
Investment Companies1
5,484,500
—
—
5,484,500
Short-Term Investments1
2,618,417
—
—
2,618,417
Liabilities
Futures Contracts2
(4,222
)
—
—
(4,222
)
Total
$2,783,894,121
$—
$—
$2,783,894,121
 
1
As categorized in the Portfolio Holdings.
2
Futures contracts are reported at cumulative unrealized appreciation or depreciation.
  
81

Schwab Capital Trust
Schwab International Index Fund
Portfolio Holdings as of July 31, 2026 (Unaudited)
 
SECURITY
NUMBER
OF SHARES
VALUE ($)
COMMON STOCKS 99.3% OF NET ASSETS
 
Australia 6.6%
ANZ Group Holdings Ltd.
2,014,395
52,646,354
APA Group
865,410
6,190,631
Aristocrat Leisure Ltd.
362,489
16,292,084
ASX Ltd.
127,397
4,914,176
BHP Group Ltd.
3,415,880
143,981,241
Brambles Ltd.
917,801
12,599,295
CAR Group Ltd.
239,014
4,364,127
Cochlear Ltd.
45,800
3,838,428
Coles Group Ltd.
893,839
15,099,599
Commonwealth Bank of Australia
1,123,662
140,463,157
Computershare Ltd.
346,441
9,954,317
CSL Ltd.
325,870
28,174,801
Evolution Mining Ltd.
1,352,255
10,722,472
Fortescue Ltd.
1,087,196
14,107,731
Goodman Group
1,344,612
27,993,366
Insurance Australia Group Ltd.
1,483,289
8,837,713
Lottery Corp. Ltd.
1,492,005
5,845,653
Lynas Rare Earths Ltd. *
609,530
5,982,396
Macquarie Group Ltd.
246,251
43,714,156
Medibank Pvt Ltd.
1,841,142
6,673,664
National Australia Bank Ltd.
2,060,469
59,662,859
Northern Star Resources Ltd.
903,879
12,526,679
Origin Energy Ltd.
1,151,380
8,686,493
PLS Group Ltd. *
2,085,699
6,060,267
Pro Medicus Ltd.
39,130
4,451,385
Qantas Airways Ltd.
491,059
3,417,287
QBE Insurance Group Ltd.
1,015,484
17,613,330
REA Group Ltd.
35,202
3,975,518
Rio Tinto Ltd.
250,458
29,850,004
Santos Ltd.
2,157,981
11,984,884
Scentre Group
3,496,281
9,599,092
SGH Ltd.
140,040
4,330,837
Sigma Healthcare Ltd.
3,508,158
7,233,805
Sonic Healthcare Ltd.
304,515
4,660,449
South32 Ltd.
2,983,686
9,512,297
Stockland
1,586,903
4,750,187
Suncorp Group Ltd.
727,980
9,794,784
Telstra Group Ltd.
2,621,654
9,255,416
Transurban Group
2,108,242
21,893,587
Vicinity Ltd.
2,653,672
4,987,167
Washington H Soul Pattinson & Co.
Ltd.
230,867
7,492,748
Wesfarmers Ltd.
758,649
47,518,232
Westpac Banking Corp.
2,297,499
60,923,398
WiseTech Global Ltd.
129,615
3,340,818
Woodside Energy Group Ltd.
1,277,155
29,891,718
Woolworths Group Ltd.
822,001
22,938,440
Xero Ltd. *
108,757
5,429,697
 
984,176,739
 
Austria 0.4%
BAWAG Group AG
49,108
9,958,883
Erste Group Bank AG
206,746
27,026,473
OMV AG
98,061
7,170,725
SECURITY
NUMBER
OF SHARES
VALUE ($)
Raiffeisen Bank International AG
91,453
6,279,030
Verbund AG
47,313
3,247,519
 
53,682,630
 
Belgium 1.1%
Ageas SA
99,167
8,206,772
Anheuser-Busch InBev SA
603,321
52,400,822
Argenx SE *
41,440
35,493,236
D'ieteren Group
13,774
2,843,023
Elia Group SA
28,764
4,121,441
Financiere de Tubize SA
13,341
2,983,679
Groupe Bruxelles Lambert NV
49,971
4,507,224
KBC Group NV
154,457
22,219,985
Lotus Bakeries NV
284
3,642,642
Sofina SA
11,110
3,148,407
Syensqo SA
46,364
4,124,412
UCB SA
81,630
20,953,067
 
164,644,710
 
Denmark 1.7%
AP Moller - Maersk AS, Class A
1,669
4,351,450
AP Moller - Maersk AS, Class B
2,169
5,824,043
Carlsberg AS, Class B
62,611
9,219,761
Coloplast AS, Class B
84,552
5,591,400
Danske Bank AS
421,066
24,232,206
Demant AS *
56,467
2,444,111
DSV AS
128,843
27,845,663
Genmab AS *
40,584
11,681,634
Novo Nordisk AS, Class B
2,162,369
102,283,459
Novonesis Novozymes B, Class B
234,127
15,242,455
Orsted AS *
306,916
6,842,799
Pandora AS
51,718
6,476,568
Rockwool AS, B Shares
59,554
1,902,812
Tryg AS
201,699
4,799,951
Vestas Wind Systems AS
646,954
17,414,357
 
246,152,669
 
Finland 1.1%
Elisa OYJ
92,449
3,728,356
Fortum OYJ (a)
301,759
6,860,115
Kesko OYJ, B Shares
178,614
4,450,583
Kone OYJ, B Shares
222,554
12,840,687
Metso OYJ
440,140
8,238,632
Neste OYJ
290,342
10,289,250
Nokia OYJ
3,372,683
31,173,475
Nordea Bank Abp
2,073,373
41,847,196
Orion OYJ, B Shares
74,615
6,975,544
Sampo OYJ, A Shares
1,618,929
17,924,368
Stora Enso OYJ, R Shares
364,844
4,195,546
UPM-Kymmene OYJ
352,741
9,596,595
Wartsila OYJ Abp
325,417
11,035,633
 
169,155,980
 
France 9.9%
Abivax SA *
40,261
4,996,649
Accor SA
124,262
6,462,370
Aeroports de Paris SA (a)
21,235
2,943,289
82
  

Schwab International Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Air Liquide SA
428,582
84,434,283
Airbus SE
399,002
93,669,108
Alstom SA *
224,476
4,158,625
Amundi SA
41,054
4,485,949
ArcelorMittal SA
287,714
20,323,349
AXA SA
1,053,426
54,598,648
Ayvens SA
221,887
2,990,530
BioMerieux
26,386
2,103,175
BNP Paribas SA
665,568
84,572,793
Bollore SE
404,310
1,805,605
Bouygues SA
147,113
8,286,838
Bureau Veritas SA
216,458
6,924,497
Capgemini SE
102,423
12,174,071
Carrefour SA
392,682
7,206,491
Cie de Saint-Gobain SA
298,733
28,077,043
Cie Generale des Etablissements
Michelin SCA
418,415
16,912,524
Covivio SA
36,810
2,247,143
Credit Agricole SA
603,434
13,484,007
Danone SA
421,954
32,822,150
Dassault Aviation SA
11,299
3,903,236
Dassault Systemes SE
444,484
10,340,919
Eiffage SA
45,874
6,520,051
Engie SA
1,194,646
37,238,438
EssilorLuxottica SA
201,467
38,142,092
Eurofins Scientific SE
77,996
6,150,822
Euronext NV
52,535
9,605,807
Gecina SA
29,224
2,531,760
Getlink SE
164,967
3,519,197
Hermes International SCA
17,331
30,708,338
Ipsen SA
22,285
4,306,029
Kering SA
47,967
15,832,628
Klepierre SA
141,916
6,445,971
Legrand SA
171,384
26,055,376
L'Oreal SA
161,483
71,923,754
LVMH Moet Hennessy Louis Vuitton
SE
167,239
91,836,784
Orange SA
1,248,536
23,856,642
Pernod Ricard SA
130,669
10,183,465
Publicis Groupe SA
154,749
16,516,439
Renault SA
127,142
4,014,669
Rexel SA
149,886
6,219,623
Safran SA
231,771
91,081,666
Sanofi SA
733,188
63,136,030
Sartorius Stedim Biotech
20,145
3,894,835
Schneider Electric SE
368,145
123,691,305
Societe Generale SA
430,785
40,492,344
Sodexo SA
51,579
3,391,668
STMicroelectronics NV
422,690
22,579,424
Thales SA
62,578
17,814,733
TotalEnergies SE
1,322,636
116,604,195
Unibail-Rodamco-Westfield *
71,461
8,706,696
Veolia Environnement SA
395,037
15,719,847
Vinci SA
313,136
44,212,529
 
1,472,856,449
 
Germany 8.7%
adidas AG
108,856
20,140,868
Allianz SE
255,594
127,311,859
BASF SE
596,886
34,651,381
Bayer AG
658,852
36,563,473
Bayerische Motoren Werke AG
221,171
15,159,821
Beiersdorf AG
59,578
5,534,264
Brenntag SE
79,355
5,595,835
Commerzbank AG
436,906
19,055,216
Continental AG
73,800
6,137,448
CTS Eventim AG & Co. KGaA
37,866
2,554,849
Daimler Truck Holding AG
310,840
17,581,317
SECURITY
NUMBER
OF SHARES
VALUE ($)
Delivery Hero SE *
110,720
4,826,595
Deutsche Bank AG
1,221,317
44,951,767
Deutsche Boerse AG
121,646
36,641,862
Deutsche Lufthansa AG
403,752
4,236,582
Deutsche Post AG
614,983
41,081,944
Deutsche Telekom AG
2,311,033
71,320,729
E.ON SE
1,505,079
32,424,307
Evonik Industries AG
181,407
3,669,807
Fresenius Medical Care AG
127,117
6,523,878
Fresenius SE & Co. KGaA
283,342
14,562,990
GEA Group AG
98,424
6,992,188
Hannover Rueck SE
40,312
11,619,793
Heidelberg Materials AG
87,992
16,381,021
Henkel AG & Co. KGaA
61,240
5,018,021
Hensoldt AG
42,213
3,877,639
HOCHTIEF AG
9,702
4,972,512
Infineon Technologies AG
876,967
62,934,247
Knorr-Bremse AG
42,665
5,074,392
Mercedes-Benz Group AG
483,815
26,159,466
Merck KGaA
85,784
14,177,366
MTU Aero Engines AG
36,411
15,266,336
Muenchener
Rueckversicherungs-Gesellschaft
AG in Muenchen
87,242
52,406,227
Nemetschek SE
39,402
2,655,880
Qiagen NV
140,346
5,775,079
Rational AG
3,300
2,569,237
Rheinmetall AG
31,097
41,108,635
RWE AG
433,091
28,490,002
SAP SE
702,622
128,787,179
Scout24 SE
48,580
4,164,938
Siemens AG
498,952
163,479,809
Siemens Energy AG
520,328
88,894,380
Siemens Healthineers AG
228,752
9,741,309
Symrise AG
89,786
9,213,839
Talanx AG
39,674
5,273,252
Vonovia SE
478,298
11,603,813
Zalando SE *
139,945
4,564,333
 
1,281,727,685
 
Hong Kong 1.9%
AIA Group Ltd.
7,052,200
71,092,454
BOC Hong Kong Holdings Ltd.
2,461,590
16,369,726
CK Asset Holdings Ltd.
1,164,211
7,091,229
CK Hutchison Holdings Ltd.
1,810,025
16,958,622
CK Infrastructure Holdings Ltd.
416,500
3,322,230
CLP Holdings Ltd.
1,126,926
11,204,286
Futu Holdings Ltd., ADR
32,604
3,427,332
Galaxy Entertainment Group Ltd.
1,359,000
5,926,589
Henderson Land Development Co.
Ltd.
874,735
3,171,236
HKT Trust & HKT Ltd.
2,261,000
3,827,523
Hong Kong & China Gas Co. Ltd.
7,449,696
6,669,241
Hong Kong Exchanges & Clearing
Ltd.
806,365
42,013,878
Hongkong Land Holdings Ltd.
643,201
5,215,548
Jardine Matheson Holdings Ltd.
107,317
7,127,449
Link REIT
1,755,840
8,751,972
MTR Corp. Ltd.
1,084,360
4,575,097
Power Assets Holdings Ltd.
928,938
6,993,452
Sands China Ltd.
1,583,600
2,969,728
Sino Land Co. Ltd.
2,494,538
3,397,663
SITC International Holdings Co. Ltd.
934,000
4,709,036
Sun Hung Kai Properties Ltd.
865,104
13,577,678
Swire Pacific Ltd., A Shares
235,090
2,985,504
Techtronic Industries Co. Ltd.
911,000
15,304,760
  
83

Schwab International Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
WH Group Ltd.
5,139,289
5,529,710
Wharf Real Estate Investment Co.
Ltd.
1,060,188
3,585,540
 
275,797,483
 
Ireland 0.4%
AIB Group PLC
1,415,132
16,831,040
Bank of Ireland Group PLC
636,425
13,364,855
Kerry Group PLC, Class A
108,308
10,340,115
Kingspan Group PLC
103,246
9,596,071
Ryanair Holdings PLC
279,335
7,832,970
 
57,965,051
 
Israel 1.1%
Azrieli Group Ltd.
30,741
4,058,174
Bank Hapoalim BM
870,091
21,124,031
Bank Leumi Le-Israel BM
994,567
23,499,946
Check Point Software Technologies
Ltd. *
51,895
6,597,411
Elbit Systems Ltd.
18,526
14,965,911
Enlight Renewable Energy Ltd. *
92,342
7,837,033
Harel Insurance Investments &
Financial Services Ltd.
78,394
4,494,138
ICL Group Ltd.
471,353
2,408,643
Israel Discount Bank Ltd., A Shares
818,160
8,538,723
Mizrahi Tefahot Bank Ltd.
106,347
7,914,140
Nova Ltd. *
20,204
8,028,487
OPC Energy Ltd. *
120,258
3,773,132
Phoenix Financial Ltd.
151,370
8,487,235
Teva Pharmaceutical Industries Ltd.,
ADR *
783,042
27,414,300
Tower Semiconductor Ltd. *
75,401
16,517,815
 
165,659,119
 
Italy 3.4%
Banca Mediolanum SpA
141,627
3,794,888
Banca Monte dei Paschi di Siena
SpA
1,282,679
17,179,410
Banco BPM SpA
769,946
14,057,821
BPER Banca SpA
1,037,191
16,853,528
Buzzi SpA
52,274
2,479,635
Davide Campari-Milano NV
404,928
2,757,848
Enel SpA
5,117,147
57,789,979
Eni SpA
1,215,235
33,803,801
Ferrari NV
81,153
31,908,791
FinecoBank Banca Fineco SpA
406,015
11,123,532
Generali
551,832
27,966,306
Intesa Sanpaolo SpA
9,316,205
70,424,038
Italgas SpA
415,071
4,281,905
Leonardo SpA
268,255
17,097,100
Moncler SpA
145,743
8,289,679
Poste Italiane SpA
306,794
9,281,303
Prysmian SpA
188,235
25,975,148
Recordati Industria Chimica e
Farmaceutica SpA
69,592
4,145,526
Snam SpA
1,348,112
9,141,301
Stellantis NV *
1,352,317
7,786,053
Telecom Italia SpA *
1,148,333
9,751,476
Tenaris SA
213,036
6,111,920
Terna - Rete Elettrica Nazionale
941,466
10,793,085
UniCredit SpA
911,062
85,923,926
Unipol Assicurazioni SpA
246,845
7,723,656
 
496,441,655
 
SECURITY
NUMBER
OF SHARES
VALUE ($)
Japan 22.9%
Advantest Corp.
491,392
97,090,186
Aeon Co. Ltd.
1,448,700
12,429,439
AGC, Inc.
132,093
4,981,622
Aisin Corp.
320,300
4,415,882
Ajinomoto Co., Inc.
567,700
17,506,936
ANA Holdings, Inc.
105,600
2,062,555
Asahi Group Holdings Ltd.
932,700
9,733,838
Asahi Kasei Corp.
808,200
8,627,488
Asics Corp.
449,600
13,256,196
Astellas Pharma, Inc.
1,140,950
15,670,723
Bandai Namco Holdings, Inc.
346,600
10,040,731
Bridgestone Corp.
704,614
17,400,737
Canon, Inc.
527,795
14,691,228
Capcom Co. Ltd.
176,200
4,426,207
Central Japan Railway Co.
500,600
12,457,351
Chiba Bank Ltd.
365,900
5,947,725
Chubu Electric Power Co., Inc.
443,100
7,672,305
Chugai Pharmaceutical Co. Ltd.
452,000
19,612,888
Dai Nippon Printing Co. Ltd.
245,996
4,460,452
Daifuku Co. Ltd.
209,490
7,716,812
Daiichi Life Group, Inc.
2,311,800
27,874,213
Daiichi Sankyo Co. Ltd.
1,148,800
18,566,360
Daikin Industries Ltd.
176,900
25,624,809
Daito Trust Construction Co. Ltd.
195,400
4,137,536
Daiwa House Industry Co. Ltd.
372,600
10,941,972
Daiwa Securities Group, Inc.
854,800
9,562,337
Denso Corp.
1,066,700
13,097,907
Disco Corp.
58,100
20,766,930
East Japan Railway Co.
641,880
14,768,723
Ebara Corp.
311,700
10,581,463
Eisai Co. Ltd.
174,600
5,248,972
ENEOS Holdings, Inc.
1,742,800
14,392,959
FANUC Corp.
625,600
25,208,848
Fast Retailing Co. Ltd.
128,200
62,775,600
Fuji Electric Co. Ltd.
92,100
8,037,500
FUJIFILM Holdings Corp.
748,133
17,610,768
Fujikura Ltd.
1,009,200
25,609,805
Fujitsu Ltd.
1,139,200
26,257,733
Furukawa Electric Co. Ltd.
446,300
8,516,261
Hankyu Hanshin Holdings, Inc.
150,300
4,447,062
Hikari Tsushin, Inc.
12,993
3,177,005
Hitachi Ltd.
2,968,875
97,291,623
Honda Motor Co. Ltd.
2,429,217
24,485,590
Hoya Corp.
226,807
34,682,627
Hulic Co. Ltd.
312,000
3,430,360
Ibiden Co. Ltd.
157,300
15,736,739
Idemitsu Kosan Co. Ltd.
544,015
4,453,595
IHI Corp.
661,900
11,573,290
Inpex Corp.
584,500
13,471,946
Isuzu Motors Ltd.
339,600
5,066,676
ITOCHU Corp.
3,708,300
46,537,721
Japan Exchange Group, Inc.
644,500
8,767,201
Japan Post Bank Co. Ltd.
1,200,300
23,207,954
Japan Post Holdings Co. Ltd.
1,117,800
16,537,136
Japan Post Insurance Co. Ltd.
341,700
3,762,493
Japan Tobacco, Inc.
741,000
33,038,876
JFE Holdings, Inc.
398,700
4,523,699
JX Advanced Metals Corp.
373,600
8,655,632
Kajima Corp.
262,800
8,781,257
Kansai Electric Power Co., Inc.
639,800
9,689,435
Kao Corp.
619,638
12,737,316
Kawasaki Heavy Industries Ltd.
496,300
8,479,112
Kawasaki Kisen Kaisha Ltd.
231,000
4,116,151
KDDI Corp.
1,968,900
36,274,454
Keyence Corp.
126,200
63,300,231
Kikkoman Corp.
440,285
4,534,479
Kioxia Holdings Corp. *
210,800
58,757,629
84
  

Schwab International Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Kirin Holdings Co. Ltd.
530,400
9,812,267
Komatsu Ltd.
578,009
25,079,943
Konami Group Corp.
65,200
8,399,033
Kubota Corp.
658,400
11,170,074
Kyocera Corp.
786,700
17,942,099
Kyowa Kirin Co. Ltd.
158,600
2,545,931
Lasertec Corp.
52,200
11,992,018
LY Corp.
1,767,400
4,924,405
Makita Corp.
147,400
4,747,814
Marubeni Corp.
946,000
30,575,350
Minebea Mitsumi, Inc.
218,800
4,982,978
Mitsubishi Chemical Group Corp.
798,900
5,878,985
Mitsubishi Corp.
2,027,900
60,619,544
Mitsubishi Electric Corp.
1,277,000
46,001,484
Mitsubishi Estate Co. Ltd.
700,302
17,001,350
Mitsubishi HC Capital, Inc.
601,338
5,536,640
Mitsubishi Heavy Industries Ltd.
2,151,000
50,252,364
Mitsubishi UFJ Financial Group, Inc.
7,171,109
160,177,461
Mitsui & Co. Ltd.
1,577,100
48,392,170
Mitsui Fudosan Co. Ltd.
1,675,131
16,318,135
Mitsui Kinzoku Co. Ltd.
36,200
6,815,482
Mitsui OSK Lines Ltd.
231,500
8,552,054
Mizuho Financial Group, Inc.
1,583,613
82,101,135
MS&AD Insurance Group Holdings,
Inc.
804,686
24,771,104
Murata Manufacturing Co. Ltd.
1,088,200
49,583,091
NEC Corp.
825,000
24,517,892
Nexon Co. Ltd.
217,400
3,407,190
NIDEC Corp.
558,100
8,961,876
Nintendo Co. Ltd.
731,990
34,917,481
Nippon Building Fund, Inc.
5,111
4,311,160
Nippon Paint Holdings Co. Ltd.
633,400
4,779,595
Nippon Sanso Holdings Corp.
112,800
4,055,074
Nippon Steel Corp.
3,225,105
13,138,495
Nippon Yusen KK
257,200
9,875,830
Nissan Motor Co. Ltd. *
1,635,396
3,452,772
Nitori Holdings Co. Ltd.
271,400
4,378,494
Nitto Denko Corp.
466,000
9,840,247
Nomura Holdings, Inc.
1,961,500
18,976,514
Nomura Research Institute Ltd.
257,100
7,605,930
NTT, Inc.
20,382,975
19,537,350
Obayashi Corp.
429,200
8,435,619
Obic Co. Ltd.
226,600
6,499,695
Olympus Corp.
699,000
7,989,135
Oriental Land Co. Ltd.
737,000
14,710,265
ORIX Corp.
734,600
29,647,964
Osaka Gas Co. Ltd.
223,400
7,664,611
Otsuka Corp.
147,600
3,045,659
Otsuka Holdings Co. Ltd.
280,800
19,470,504
Pan Pacific International Holdings
Corp.
1,300,700
7,375,579
Panasonic Holdings Corp.
1,560,812
41,271,712
Rakuten Group, Inc. *
970,620
5,060,957
Recruit Holdings Co. Ltd.
891,900
70,532,179
Renesas Electronics Corp.
1,164,900
23,348,967
Resona Holdings, Inc.
1,399,685
18,980,847
Resonac Holdings Corp.
119,400
9,945,909
Ryohin Keikaku Co. Ltd.
334,700
8,779,269
Sanrio Co. Ltd.
652,900
5,221,805
SBI Holdings, Inc.
347,780
6,565,487
SCREEN Holdings Co. Ltd.
102,600
7,826,802
Secom Co. Ltd.
263,500
11,350,534
Seibu Holdings, Inc.
140,100
3,137,522
Sekisui House Ltd.
395,069
8,648,956
Seven & i Holdings Co. Ltd.
1,276,609
16,927,984
Shimano, Inc.
46,800
5,907,570
Shimizu Corp.
331,500
4,883,269
Shin-Etsu Chemical Co. Ltd.
1,092,500
38,947,740
Shionogi & Co. Ltd.
512,500
9,266,661
SECURITY
NUMBER
OF SHARES
VALUE ($)
Shiseido Co. Ltd.
260,800
5,151,746
SMC Corp.
36,700
15,856,612
SoftBank Corp.
19,396,200
27,224,073
SoftBank Group Corp.
2,492,600
77,638,204
Sompo Holdings, Inc.
550,300
24,431,449
Sony Group Corp.
3,920,900
91,626,979
Subaru Corp.
343,600
5,848,911
Sumitomo Corp.
2,724,700
28,282,269
Sumitomo Electric Industries Ltd.
1,908,800
25,263,141
Sumitomo Metal Mining Co. Ltd.
159,100
7,997,230
Sumitomo Mitsui Financial Group,
Inc.
2,436,538
104,695,375
Sumitomo Mitsui Trust Group, Inc.
1,716,800
17,653,307
Sumitomo Realty & Development Co.
Ltd.
402,800
9,028,491
Suntory Beverage & Food Ltd.
85,500
2,478,820
Suzuki Motor Corp.
1,039,300
13,566,549
T&D Holdings, Inc.
288,600
9,095,468
Taisei Corp.
94,300
7,638,529
Takeda Pharmaceutical Co. Ltd.
1,074,490
36,893,285
TDK Corp.
1,269,200
24,404,757
Terumo Corp.
885,200
12,985,791
Toho Co. Ltd.
347,540
3,324,571
Tokio Marine Holdings, Inc.
1,197,097
61,011,670
Tokyo Electron Ltd.
300,800
100,568,585
Tokyo Gas Co. Ltd.
197,440
7,622,144
TOPPAN Holdings, Inc.
146,100
4,096,769
Toray Industries, Inc.
847,700
6,089,244
Toyota Motor Corp.
6,362,915
120,416,036
Toyota Tsusho Corp.
429,907
17,843,434
Unicharm Corp.
739,200
4,688,710
West Japan Railway Co.
279,264
5,269,659
Yamaha Motor Co. Ltd.
606,600
5,074,136
Yokogawa Electric Corp.
143,600
5,121,451
Yokohama Financial Group, Inc.
657,200
7,480,775
Zensho Holdings Co. Ltd.
62,300
3,890,104
 
3,396,929,572
 
Netherlands 5.7%
ABN AMRO Bank NV, GDR
416,552
18,843,775
Adyen NV *
17,791
18,097,285
Aegon Ltd.
819,740
7,790,318
AerCap Holdings NV
108,882
16,430,294
Akzo Nobel NV
102,141
7,154,211
ASM International NV
31,584
29,251,481
ASML Holding NV
260,581
429,423,131
ASR Nederland NV
105,043
8,587,984
BE Semiconductor Industries NV
47,734
10,946,305
Coca-Cola Europacific Partners PLC
135,498
14,831,611
CSG NV *(a)
99,985
1,904,718
CVC Capital Partners PLC
136,270
2,287,991
DSM-Firmenich AG
109,246
11,777,567
EXOR NV
61,078
4,891,174
Heineken Holding NV
79,058
6,650,832
Heineken NV
194,500
17,610,090
ING Groep NV, Series N
1,961,205
68,919,775
InPost SA *
166,554
2,970,586
Koninklijke Ahold Delhaize NV
594,996
23,575,067
Koninklijke KPN NV
2,544,594
12,015,164
Koninklijke Philips NV
520,505
13,714,182
Magnum Ice Cream Co. NV *
324,532
6,064,822
Nebius Group NV *
135,120
25,728,199
NN Group NV
177,688
16,749,072
Prosus NV *
873,779
40,606,954
Universal Music Group NV
684,616
11,295,857
Wolters Kluwer NV
150,503
11,815,780
 
839,934,225
 
  
85

Schwab International Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
New Zealand 0.2%
Auckland International Airport Ltd.
1,128,089
5,783,947
Contact Energy Ltd.
630,124
3,369,676
Fisher & Paykel Healthcare Corp.
Ltd., Class C
390,699
9,344,265
Infratil Ltd.
601,854
5,224,556
Meridian Energy Ltd.
838,367
2,811,282
 
26,533,726
 
Norway 0.6%
Aker BP ASA
216,001
7,701,386
DNB Bank ASA
543,470
17,498,975
Equinor ASA
474,557
19,480,996
Gjensidige Forsikring ASA
138,747
4,138,952
Kongsberg Gruppen ASA
283,669
8,865,498
Mowi ASA
290,898
6,229,648
Norsk Hydro ASA
857,006
7,905,045
Orkla ASA
491,987
5,464,963
Salmar ASA
43,951
2,396,126
Telenor ASA
416,887
5,885,463
Var Energi ASA
625,621
3,143,124
Yara International ASA
108,124
5,100,404
 
93,810,580
 
Portugal 0.2%
Banco Comercial Portugues SA,
Class R
5,659,685
6,973,325
EDP Renewables SA
223,026
3,460,681
EDP SA
1,958,100
10,082,846
Galp Energia SGPS SA
271,283
6,161,001
Jeronimo Martins SGPS SA
193,668
3,883,991
 
30,561,844
 
Singapore 1.8%
CapitaLand Ascendas REIT *
2,759,400
5,527,013
CapitaLand Integrated Commercial
Trust *
4,085,090
7,928,078
CapitaLand Investment Ltd.
1,543,849
3,199,389
DBS Group Holdings Ltd.
1,384,682
79,891,579
Grab Holdings Ltd., A Shares *
1,595,265
5,583,428
Keppel Ltd.
944,700
8,437,075
Oversea-Chinese Banking Corp. Ltd.
2,188,501
49,707,910
Sea Ltd., ADR *
252,469
26,948,541
Sembcorp Industries Ltd.
616,400
2,651,189
Singapore Airlines Ltd.
1,032,250
6,192,262
Singapore Exchange Ltd.
547,400
10,435,737
Singapore Technologies Engineering
Ltd.
1,030,049
8,093,904
Singapore Telecommunications Ltd.
5,001,437
17,304,457
United Overseas Bank Ltd.
810,333
27,404,710
Wilmar International Ltd.
1,061,434
3,245,971
Yangzijiang Shipbuilding Holdings
Ltd.
1,710,200
5,220,409
 
267,771,652
 
Spain 4.0%
Acciona SA
16,868
4,639,459
ACS Actividades de Construccion y
Servicios SA
120,787
15,396,821
Aena SME SA
500,828
15,439,449
Amadeus IT Group SA
297,723
18,374,562
Banco Bilbao Vizcaya Argentaria SA
3,765,488
105,553,734
Banco de Sabadell SA
3,233,620
12,414,585
Banco Santander SA
9,609,804
136,673,212
SECURITY
NUMBER
OF SHARES
VALUE ($)
Bankinter SA
434,765
7,997,466
CaixaBank SA
2,373,946
34,484,731
Cellnex Telecom SA *
317,369
9,858,768
Endesa SA
210,857
10,267,666
Ferrovial NV
319,168
20,907,423
Iberdrola SA
4,166,227
98,962,821
Indra Sistemas SA
50,646
3,329,800
Industria de Diseno Textil SA
734,072
47,908,183
International Consolidated Airlines
Group SA
783,846
4,578,804
Mapfre SA
628,984
3,216,252
Naturgy Energy Group SA
274,874
9,169,756
Redeia Corp. SA
279,304
4,926,094
Repsol SA
737,752
22,516,947
Telefonica SA
2,446,708
10,101,697
 
596,718,230
 
Sweden 3.5%
AddTech AB, B Shares
176,869
6,435,577
Alfa Laval AB
191,524
11,334,019
Assa Abloy AB, B Shares
660,422
24,505,459
Atlas Copco AB, A Shares
1,685,644
35,617,352
Atlas Copco AB, B Shares
999,139
18,461,637
Beijer Ref AB, Class B
281,317
3,970,030
Boliden AB
190,517
9,586,352
Epiroc AB, A Shares
415,719
10,657,633
Epiroc AB, B Shares
258,914
5,676,841
EQT AB
286,478
9,730,442
Essity AB, B Shares
383,287
11,134,752
Evolution AB *
81,615
6,228,961
Fastighets AB Balder, B Shares *
453,771
2,483,592
H & M Hennes & Mauritz AB,
B Shares
280,717
5,140,978
Hexagon AB, B Shares
1,372,824
13,550,552
Industrivarden AB, A Shares
76,020
4,383,545
Industrivarden AB, C Shares
101,114
5,786,125
Indutrade AB
184,059
4,621,184
Investment AB Latour, B Shares
89,173
1,881,198
Investor AB, B Shares
1,166,004
50,368,878
L E Lundbergforetagen AB, B Shares
49,038
2,945,482
Lifco AB, B Shares
141,303
4,812,508
Millicom International Cellular SA
61,787
5,899,423
Nibe Industrier AB, B Shares
987,305
3,957,645
Octave Intelligence PLC *
150,637
2,700,399
Saab AB, B Shares
218,723
13,744,065
Sagax AB, B Shares
140,471
2,469,257
Sandvik AB
694,152
25,957,627
Securitas AB, B Shares
321,755
5,168,787
Skandinaviska Enskilda Banken AB,
A Shares
976,582
22,883,758
Skanska AB, B Shares
220,970
6,200,472
SKF AB, B Shares
232,364
6,289,452
Spotify Technology SA *
98,558
49,273,087
Svenska Cellulosa AB SCA, B Shares
396,445
4,507,242
Svenska Handelsbanken AB,
A Shares
903,999
13,822,649
Swedbank AB, A Shares
556,256
22,250,217
Swedish Orphan Biovitrum AB *
118,683
5,881,481
Tele2 AB, B Shares
363,850
6,303,368
Telefonaktiebolaget LM Ericsson,
B Shares
1,777,111
17,480,882
Telia Co. AB
1,568,869
7,270,460
Trelleborg AB, B Shares
127,053
5,648,019
Verisure PLC *
154,658
1,923,097
Volvo AB, B Shares
1,044,241
39,944,024
 
518,888,508
 
86
  

Schwab International Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
Switzerland 9.4%
ABB Ltd.
1,052,885
103,876,474
Alcon AG
337,059
23,148,947
Avolta AG *
60,885
3,655,187
Banque Cantonale Vaudoise
20,055
3,150,455
Barry Callebaut AG
2,491
3,470,518
Belimo Holding AG
6,559
6,839,678
BKW AG
13,426
2,218,001
Chocoladefabriken Lindt & Spruengli
AG
67
7,889,291
Chocoladefabriken Lindt & Spruengli
AG, Participation Certificates
644
7,433,091
Cie Financiere Richemont SA,
Class A
361,355
85,403,267
EMS-Chemie Holding AG
4,691
4,750,286
Galderma Group AG *
123,590
26,894,581
Geberit AG
21,427
14,118,259
Givaudan SA
6,208
24,812,469
Helvetia Baloise Holding AG
52,028
13,952,315
Holcim AG *
341,449
31,011,806
Julius Baer Group Ltd.
136,556
12,006,081
Kuehne & Nagel International AG
32,148
8,186,863
Logitech International SA
97,753
9,983,541
Lonza Group AG
47,229
32,917,564
Nestle SA
1,730,358
172,950,974
Novartis AG
1,230,070
192,372,804
Partners Group Holding AG
14,532
12,112,837
Roche Holding AG
471,869
206,250,342
Roche Holding AG, Bearer Shares
19,670
8,719,625
Sandoz Group AG
280,351
22,853,606
Schindler Holding AG
13,597
4,158,966
Schindler Holding AG, Participation
Certificates
26,304
8,279,974
SGS SA
110,009
13,035,667
Sika AG
102,531
23,068,510
Sonova Holding AG
32,888
8,960,462
Straumann Holding AG
75,084
9,298,418
Swatch Group AG, Bearer Shares
19,410
4,339,619
Swiss Life Holding AG
18,697
22,062,421
Swiss Prime Site AG
53,611
8,743,958
Swiss Re AG
200,497
33,365,713
Swisscom AG
17,194
13,212,654
UBS Group AG
2,133,083
112,749,715
VAT Group AG
17,977
13,455,386
Zurich Insurance Group AG
100,587
76,619,945
 
1,392,330,270
 
United Kingdom 14.7%
3i Group PLC
653,978
25,176,709
Admiral Group PLC
172,692
8,754,184
Airtel Africa PLC
507,192
2,289,412
Anglo American PLC
708,887
35,884,924
Antofagasta PLC
234,745
11,699,872
Associated British Foods PLC
188,157
5,286,178
AstraZeneca PLC
1,015,755
172,790,392
Aviva PLC
2,055,043
19,233,555
BAE Systems PLC
1,970,938
55,795,935
Barclays PLC
9,206,908
63,284,031
BP PLC
10,559,513
79,335,383
British American Tobacco PLC
1,349,177
81,842,334
BT Group PLC
3,837,238
10,389,856
Bunzl PLC
213,585
8,060,083
Centrica PLC
3,068,376
6,409,879
Coca-Cola HBC AG *
137,313
9,258,989
Compass Group PLC
1,137,707
36,128,855
Diageo PLC
1,490,530
32,744,468
Endeavour Mining PLC
141,810
6,765,103
SECURITY
NUMBER
OF SHARES
VALUE ($)
Experian PLC
607,904
22,936,045
Fresnillo PLC
122,422
4,123,899
Glencore PLC *
6,323,924
46,577,911
GSK PLC
2,725,727
70,876,686
Haleon PLC
5,978,320
29,267,225
Halma PLC
246,498
11,776,978
HSBC Holdings PLC
11,539,050
245,727,628
Imperial Brands PLC
497,420
18,877,518
Informa PLC
863,016
10,338,605
InterContinental Hotels Group PLC
95,976
15,520,001
Intertek Group PLC
104,878
8,283,597
J Sainsbury PLC
1,164,758
5,616,822
Kingfisher PLC
1,116,883
4,659,568
Land Securities Group PLC
489,213
4,659,722
Legal & General Group PLC
3,489,950
14,170,436
Lloyds Banking Group PLC
39,070,701
60,388,273
London Stock Exchange Group PLC
299,372
33,677,119
M&G PLC
1,489,968
7,197,590
Marks & Spencer Group PLC
1,370,394
7,491,081
Melrose Industries PLC
872,189
5,365,076
National Grid PLC
3,350,305
53,624,481
NatWest Group PLC
5,362,127
50,578,978
Next PLC
77,375
15,494,967
NMC Health PLC *(b)
48,950
0
Pearson PLC
312,557
5,274,289
Prudential PLC
1,695,891
25,486,779
Reckitt Benckiser Group PLC
430,602
30,390,752
RELX PLC
1,192,083
41,927,876
Rentokil Initial PLC
1,683,469
7,752,808
Rio Tinto PLC
717,135
69,683,735
Rolls-Royce Holdings PLC
5,641,444
112,544,898
Sage Group PLC
615,000
8,101,378
Schroders PLC
533,782
4,233,969
Segro PLC
823,856
10,761,789
Severn Trent PLC
181,084
7,343,670
Shell PLC
3,771,044
172,607,061
Smith & Nephew PLC
518,891
8,116,994
Smiths Group PLC
207,840
7,421,881
Spirax Group PLC
49,813
4,670,315
SSE PLC
813,441
25,699,401
Standard Chartered PLC
1,190,860
35,210,882
Standard Life PLC
468,421
5,837,138
Sunbelt Rentals Holdings, Inc.
276,274
19,793,982
Tesco PLC
4,285,934
28,210,696
Unilever PLC
1,467,502
93,373,617
United Utilities Group PLC
495,920
9,236,197
Vodafone Group PLC
12,232,058
19,412,152
Wise Group PLC, Class A *
475,728
5,682,083
 
2,177,134,690
Total Common Stocks
(Cost $7,783,111,548)
14,708,873,467
 
PREFERRED STOCKS 0.2% OF NET ASSETS
 
Germany 0.2%
Dr. Ing hc F Porsche AG
75,923
3,716,914
Henkel AG & Co. KGaA
99,938
8,712,464
Porsche Automobil Holding SE
103,272
3,427,712
Sartorius AG
16,268
4,100,085
Volkswagen AG
136,875
11,829,013
 
31,786,188
Total Preferred Stocks
(Cost $39,461,125)
31,786,188
 
  
87

Schwab International Index Fund
Portfolio Holdings (Unaudited) continued
SECURITY
NUMBER
OF SHARES
VALUE ($)
SHORT-TERM INVESTMENTS 0.1% OF NET ASSETS
 
Money Market Funds 0.1%
State Street Institutional
U.S. Government Money Market
Fund, Premier Class 3.62% (c)(d)
11,285,905
11,285,905
Total Short-Term Investments
(Cost $11,285,905)
11,285,905
Total Investments in Securities
(Cost $7,833,858,578)
14,751,945,560
 
 
NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
($)
CURRENT VALUE/
UNREALIZED
APPRECIATION
($)
FUTURES CONTRACTS
Long
MSCI EAFE Index, expires
09/18/26
387
61,577,505
720,294
 
*
Non-income producing security.
(a)
All or a portion of this security is on loan.
(b)
Fair valued using significant unobservable inputs.
(c)
The rate shown is the annualized 7-day yield.
(d)
Security purchased with cash collateral received for securities on loan.
Securities on loan were valued at $10,831,742.
 
ADR —
American Depositary Receipt
GDR —
Global Depositary Receipt
REIT —
Real Estate Investment Trust
 
The following is a summary of the inputs used to value the fund’s investments as of July 31, 2026:  
DESCRIPTION
QUOTED PRICES IN
ACTIVE MARKETS FOR
IDENTICAL ASSETS
(LEVEL 1)
OTHER SIGNIFICANT
OBSERVABLE INPUTS
(LEVEL 2)
SIGNIFICANT
UNOBSERVABLE INPUTS
(LEVEL 3)
TOTAL
Assets
Common Stocks1
$—
$3,365,166,595
$—
$3,365,166,595
Denmark
25,417,948
220,734,721
—
246,152,669
France
23,856,642
1,448,999,807
—
1,472,856,449
Hong Kong
3,427,332
272,370,151
—
275,797,483
Israel
34,011,711
131,647,408
—
165,659,119
Italy
4,281,905
492,159,750
—
496,441,655
Japan
20,059,491
3,376,870,081
—
3,396,929,572
Netherlands
82,469,889
757,464,336
—
839,934,225
Norway
14,750,961
79,059,619
—
93,810,580
Singapore
32,531,969
235,239,683
—
267,771,652
Sweden
57,872,909
461,015,599
—
518,888,508
Switzerland
3,150,455
1,389,179,815
—
1,392,330,270
United Kingdom
6,409,879
2,170,724,811
0
*
2,177,134,690
Preferred Stocks1
—
31,786,188
—
31,786,188
Short-Term Investments1
11,285,905
—
—
11,285,905
Futures Contracts2
720,294
—
—
720,294
Total
$320,247,290
$14,432,418,564
$0
$14,752,665,854
 
*
Level 3 amount shown includes securities determined to have no value.
1
As categorized in the Portfolio Holdings.
2
Futures contracts are reported at cumulative unrealized appreciation or depreciation.
88
  

Schwab Equity Index Funds
Notes to Portfolio Holdings (Unaudited)
Pursuant to Rule 2a-5 under the Investment Company Act of 1940, as amended (the 1940 Act), the Board of Trustees has designated authority to a Valuation Designee, the funds’ investment adviser, to make fair valuation determinations under adopted procedures, subject to Board of Trustees oversight. The investment adviser has formed a Pricing Committee to administer the pricing and valuation of portfolio securities and other assets and liabilities as well as to ensure that prices used for internal purposes or provided by third parties reasonably reflect fair value. The Valuation Designee may utilize independent pricing services, quotations from securities and financial instrument dealers and other market sources to determine fair value.
Securities held in each fund’s portfolio are valued every business day. The following valuation policies and procedures are used by the Valuation Designee to value various types of securities:
● Securities traded on an exchange or over-the-counter: Traded securities are valued at the closing value for the day, or, on days when no closing value has been reported, at the mean of the most recent bid and ask quotes. Securities that are primarily traded on foreign exchanges are valued at the official closing price or the last sales price on the exchange where the securities are principally traded with these values then translated into U.S. dollars at the current exchange rate, unless these securities are fair valued as discussed below.
● Foreign equity security fair valuation: The Valuation Designee has adopted procedures to fair value foreign equity securities that are traded in markets that close prior to the valuation of a fund’s holdings. By fair valuing securities whose prices may have been affected by events occurring after the close of trading, the Valuation Designee seeks to establish prices that investors might expect to realize upon the current sales of these securities. This methodology is designed to deter “arbitrage” market timers, who seek to exploit delays between the change in the value of a fund’s portfolio holdings and the net asset value of a fund’s shares and seeks to help ensure that the prices at which a fund’s shares are purchased and redeemed are fair and do not result in dilution of shareholder interest or other harm to shareholders. When fair value pricing is used at the open or close of a reporting period, it may cause a temporary divergence between the return of a fund and that of its comparative index or benchmark.
● Futures contracts: Futures contracts are valued at their settlement prices as of the close of their exchanges.
● Mutual funds: Mutual funds are valued at their respective net asset values.
● Securities for which no quoted value is available: The Valuation Designee has adopted procedures to fair value a fund’s securities when market prices are not “readily available” or are unreliable. For example, a security may be fair valued when it’s de-listed or its trading is halted or suspended; when a security’s primary pricing source is unable or unwilling to provide a price; or when a security’s primary trading market is closed during regular market hours. Fair value determinations are made in good faith in accordance with adopted valuation procedures. The Valuation Designee considers a number of factors, including unobservable market inputs, when arriving at fair value. The Valuation Designee may employ methods such as the review of related or comparable assets or liabilities, related market activities, recent transactions, market multiples, book values, transactional back-testing, disposition analysis and other relevant information. Due to the subjective and variable nature of fair value pricing, there can be no assurance that a fund could obtain the fair value assigned to the security upon the sale of such security.
In accordance with the authoritative guidance on fair value measurements and disclosures under generally accepted accounting principles in the United States of America (GAAP), the funds disclose the fair value of their investments in a hierarchy that prioritizes the significant inputs to valuation methods used to measure the fair value. The hierarchy gives the highest priority to valuations based upon unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurements) and the lowest priority to valuations based upon unobservable inputs that are significant to the valuation (Level 3 measurements). If inputs used to measure the financial instruments fall within different levels of the hierarchy, the categorization is based on the lowest level input that is significant to the valuation. If it is determined that either the volume and/or level of activity for an asset or liability has significantly decreased (from normal conditions for that asset or liability) or price quotations or observable inputs are not associated with orderly transactions, increased analysis and the Valuation Designee’s judgment will be required to estimate fair value.
The three levels of the fair value hierarchy are as follows:
● Level 1 — quoted prices in active markets for identical investments — Investments whose values are based on quoted market prices in active markets. These generally include active listed equities, mutual funds, exchange-traded funds and futures contracts. Mutual funds and exchange-traded funds are classified as Level 1 prices, without consideration to the classification level of the underlying securities held which could be Level 1, Level 2, or Level 3 in the fair value hierarchy.
● Level 2 — other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.) — Investments that trade in markets that are not considered to be active, but whose values are based on quoted market prices, dealer quotations or valuations provided by alternative pricing sources supported by observable inputs are classified as Level 2 prices. These generally include forward foreign currency exchange contracts, U.S. government and sovereign obligations, most government agency securities, investment-grade corporate bonds, certain mortgage products, less liquid listed equities, and state, municipal and provincial obligations. In addition, international securities whose markets close
  
89

Schwab Equity Index Funds
Notes to Portfolio Holdings (Unaudited) (continued)
hours before the valuation of a fund’s holdings may require fair valuations due to significant movement in the U.S. markets occurring after the daily close of foreign markets. The Valuation Designee has approved a vendor that calculates fair valuations of international equity securities based on a number of factors that appear to correlate to the movements in the U.S. markets.
● Level 3 — significant unobservable inputs (including the Valuation Designee’s assumptions in determining the fair value of investments) — Investments whose values are classified as Level 3 prices have significant unobservable inputs, as they may trade infrequently or not at all. When observable prices are not readily available for these securities, one or more valuation methods are used for which sufficient and reliable data is available. The inputs used in estimating the value of Level 3 prices may include the original transaction price, quoted prices for similar securities or assets in active markets, completed or pending third-party transactions in the underlying investment or comparable issuers, and changes in financial ratios or cash flows. Level 3 prices may also be adjusted to reflect illiquidity and/or non-transferability, with the amount of such discount estimated in the absence of market information. Assumptions used due to the lack of observable inputs may significantly impact the resulting fair value and therefore a fund’s results of operations.
The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.
The levels associated with valuing the funds’ investments are disclosed in each fund’s Portfolio Holdings.
REG87637JUL26
90