Skip to main content

VPL · VANGUARD PACIFIC STOCK INDEX FUND ETF

VANGUARD INTERNATIONAL EQUITY INDEX FUNDS

SEC fund profile
$118.42 +1.27% At close · Sep 4
Net assets $13,063,655,100
Holdings2,357
1 month
+4.11%
Year to date
+31.00%
52-week range
$85.97–$121.23
30-session avg volume
359,139

Market performance

Adjusted close · up to five years

Since Sep 2021

Fund profile

Structure
Open-end / ETF
SEC series
S000005788
Report date
Apr 30, 2026
Holdings coverage
Full reported portfolio

Portfolio concentration

Top 10 holdings21.94%

Calculated only when the SEC filing is stored with complete portfolio coverage.

Asset allocation

EC98.19%
STIV1.69%
EP0.87%
DE0.06%
DFE0.01%

Country allocation

JP53.95%
KR21.38%
AU15.62%
HK4.30%
SG3.31%
US1.69%
NZ0.51%

Portfolio holdings

Latest linked SEC Form NPORT-P report.

Export CSV
HoldingValueWeight
Samsung Electronics Co Ltd$783,975,2316.00%
SK hynix Inc$532,910,7444.08%
Commonwealth Bank of Australia$232,493,7521.78%
Toyota Motor Corp$225,357,4291.73%
Mitsubishi UFJ Financial Group Inc$218,057,5381.67%
BHP Group Ltd$214,289,9651.64%
Vanguard Cmt Funds-Vanguard Market Liquidity Fund$210,326,3681.61%
Hitachi Ltd$152,165,8971.16%
Advantest Corp$149,467,4401.14%
SoftBank Group Corp$147,760,0631.13%
Tokyo Electron Ltd$144,291,9381.10%
Sumitomo Mitsui Financial Group Inc$142,407,1921.09%
Sony Group Corp$133,023,5591.02%
AIA Group Ltd$127,496,9150.98%
Mitsubishi Corp$116,044,0600.89%
Mizuho Financial Group Inc$114,147,9060.87%
Westpac Banking Corp$105,726,7210.81%
Mitsubishi Heavy Industries Ltd$105,639,1850.81%
Mitsui & Co Ltd$105,042,7100.80%
DBS Group Holdings Ltd$102,807,6050.79%
National Australia Bank Ltd$97,739,5220.75%
Samsung Electronics Co Ltd$95,677,8760.73%
Keyence Corp$94,882,3850.73%
Shin-Etsu Chemical Co Ltd$94,218,4010.72%
Fast Retailing Co Ltd$91,964,7830.70%
Tokio Marine Holdings Inc$91,157,1900.70%
ANZ Group Holdings Ltd$88,444,3300.68%
Mitsubishi Electric Corp$87,490,1010.67%
ITOCHU Corp$86,072,0530.66%
Hong Kong Exchanges & Clearing Ltd$70,384,7460.54%
Fujikura Ltd$69,111,1540.53%
Hoya Corp$68,655,5840.53%
Recruit Holdings Co Ltd$67,771,8480.52%
Wesfarmers Ltd$66,270,3400.51%
Macquarie Group Ltd$65,031,4190.50%
Marubeni Corp$63,256,2000.48%
Oversea-Chinese Banking Corp Ltd$62,060,9970.48%
Murata Manufacturing Co Ltd$59,935,6110.46%
Takeda Pharmaceutical Co Ltd$58,411,2150.45%
SK Square Co Ltd$57,630,8720.44%
Nintendo Co Ltd$55,667,2490.43%
Sumitomo Electric Industries Ltd$54,826,9320.42%
Hyundai Motor Co$54,021,0040.41%
Panasonic Holdings Corp$50,837,4850.39%
KDDI Corp$50,021,9720.38%
Woodside Energy Group Ltd$49,966,5850.38%
Rio Tinto Ltd$49,887,5460.38%
Kioxia Holdings Corp$49,045,0010.38%
CSL Ltd$48,193,5400.37%
Goodman Group$47,405,4010.36%