Annual Report | October 31, 2014 Vanguard Total International Stock Index Fund The mission continues On May 1, 1975, Vanguard began operations, a fledgling company based on the simple but revolutionary idea that a mutual fund company should be managed solely in the interest of its investors. Four decades later, that revolutionary spirit continues to animate the enterprise. Vanguard remains on a mission to give investors the best chance of investment success. As we mark our 40th anniversary, we thank you for entrusting your assets to Vanguard and giving us the opportunity to help you reach your financial goals in the decades to come. Contents Your Fund’s Total Returns. . . . . . . . . . . . . . . . . . . . . . . . . . . 1 Chairman’s Letter. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 2 Fund Profile. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .9 Performance Summary. . . . . . . . . . . . . . . . . . . . . . . . . . . . .11 Financial Statements. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 14 Your Fund’s After-Tax Returns. . . . . . . . . . . . . . . . . . . . . . . 38 About Your Fund’s Expenses. . . . . . . . . . . . . . . . . . . . . . . . 39 Glossary. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 41 Please note: The opinions expressed in this report are just that—informed opinions. They should not be considered promises or advice. Also, please keep in mind that the information and opinions cover the period through the date on the front of this report. Of course, the risks of investing in your fund are spelled out in the prospectus. See the Glossary for definitions of investment terms used in this report. About the cover: Since our founding, Vanguard has drawn inspiration from the enterprise and valor demonstrated by British naval hero Horatio Nelson and his command at the Battle of the Nile in 1798. The photograph displays a replica of a merchant ship from the same era as Nelson’s flagship, the HMS Vanguard. Your Fund’s Total Returns Fiscal Year Ended October 31, 2014 Total Returns Vanguard Total International Stock Index Fund Investor Shares 1.00% Admiral™ Shares 1.09 Institutional Shares 1.12 Institutional Plus Shares 1.14 ETF Shares Market Price 1.40 Net Asset Value 1.10 FTSE Global All Cap ex US Index 0.37 International Funds Average 0.04 International Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company. Admiral Shares carry lower expenses and are available to investors who meet certain account-balance requirements. Institutional Shares and Institutional Plus Shares are available to certain institutional investors who meet specific administrative, service, and account-size criteria. The Vanguard ETF® Shares shown are traded on the Nasdaq exchange and are available only through brokers. The table provides ETF returns based on both the Nasdaq market price and the net asset value for a share. U.S. Pat. Nos. 6,879,964; 7,337,138; 7,720,749; 7,925,573; 8,090,646; and 8,417,623. For the ETF Shares, the market price is determined by the midpoint of the bid-offer spread as of the closing time of the New York Stock Exchange (generally 4 p.m., Eastern time). The net asset value is also determined as of the NYSE closing time. For more information about how the ETF Shares' market prices have compared with their net asset value, visit vanguard.com, select your ETF, and then select the Price and Performance tab. The ETF premium/discount analysis there shows the percentages of days on which the ETF Shares' market price was above or below the NAV. Your Fund’s Performance at a Glance October 31, 2013, Through October 31, 2014 Distributions Per Share Starting Share Price Ending Share Price Income Dividends Capital Gains Investor Shares $16.67 $16.31 $0.534 $0.000 Admiral Shares 27.89 27.29 0.916 0.000 Institutional Shares 111.51 109.12 3.682 0.000 Institutional Plus Shares 111.53 109.14 3.706 0.000 51.86 50.75 1.703 0.000 Vanguard Total International Stock Index Fund ETF Shares 1 Dear Shareholder, For the fiscal year ended October 31, 2014, international stocks significantly lagged their U.S. counterparts. Returns from foreign markets were mixed, with stocks of emerging markets countries, as a whole, outperforming stocks of developed countries. Chairman’s Letter In this investment environment, all share classes of Vanguard Total International Stock Index Fund returned about 1%. Because of temporary price differences arising from fair-value pricing policies (see the box on page 6), the fund’s return diverged from that of its target index. The fund outperformed the average return of its peers. From the standpoint of U.S.-based investors, currency had a negative effect on the returns of international stocks as the dollar’s relative value generally rose during the period. (For more on currency effects and international diversification, see the text box on page 7.) If you own shares of this fund in a taxable account, you may wish to review the table of after-tax returns that appears later in this report. Also, please note that the conversion of the fund’s Signal® Shares to Admiral Shares, which was announced last year, was completed as planned in October 2014. 2 Their smooth ride turned jagged, but U.S. stocks ended higher The global stock market’s occasional zigs and zags over the 12 months were punctuated by a roller-coaster ride in October that left international markets several steps behind the broad U.S. market for the fiscal year. Emerging markets advanced modestly, while the developed European and Pacific markets finished in negative territory. In contrast, the broad U.S. stock market returned about 16%. Impressive corporate earnings and various global stimulus measures generally supported stocks against a bleaker backdrop that included tensions in the Middle East and Ukraine. After falling in the first two weeks of October, then rebounding, several major U.S. indexes finished at record highs. Reflecting confidence in the U.S. economy, the Federal Reserve announced in late October that it was ending its stimulative bond-buying program as anticipated. U.S. bonds posted positive returns as already low yields declined International bond markets (as measured by the Barclays Global Aggregate Index ex USD) slid in September and October en route to a –2.53% return for the 12 months, a modestly steeper decline than in the 12 months ended October 2013. More than reversing its year-ago loss, the broad U.S. taxable bond market returned 4.14%. Bond prices, which backtracked Market Barometer Average Annual Total Returns Periods Ended October 31, 2014 One Year Three Years Five Years Stocks Russell 1000 Index (Large-caps) 16.78% 19.90% 16.98% Russell 2000 Index (Small-caps) 8.06 18.18 17.39 16.07 19.77 17.01 0.45 8.07 6.38 Barclays U.S. Aggregate Bond Index (Broad taxable market) 4.14% 2.73% 4.22% Barclays Municipal Bond Index (Broad tax-exempt market) 7.82 4.93 5.26 Citigroup Three-Month U.S. Treasury Bill Index 0.04 0.04 0.06 1.66% 1.60% 1.89% Russell 3000 Index (Broad U.S. market) FTSE All-World ex US Index (International) Bonds CPI Consumer Price Index 3 at times over the summer, climbed in October as investors sought sanctuary from stock market volatility. Overall, bond returns were strong despite many analysts’ expectations that already low yields wouldn’t decline further. Even as the Fed began steadily reducing its bond purchases in January, prices rose and the yield of the 10-year U.S. Treasury note ended October at 2.31%, down from 2.54% a year earlier. (Bond prices and yields move in opposite directions.) Municipal bonds returned 7.82%, with tax-exempt issues in high demand even at a time of reduced supply. The Fed’s target for short-term interest rates remained at 0%–0.25%, restraining returns for money market funds and savings accounts. Results for international stocks were muted across most markets Vanguard Total International Stock Index Fund provides broad exposure to developed markets outside the United States as well as to the world’s emerging markets. Three major economic groupings—developed Europe, the developed markets of the Pacific region, and emerging markets— account for the bulk of the fund’s holdings. For the fiscal year, their returns ranged from about 4% for emerging markets to nearly –1% for Europe. Expense Ratios Your Fund Compared With Its Peer Group Total International Stock Index Fund Investor Shares Admiral Shares Institutional Shares Institutional Plus Shares ETF Shares Peer Group Average 0.22% 0.14% 0.12% 0.10% 0.14% 1.36% The fund expense ratios shown are from the prospectus dated February 27, 2014, and represent estimated costs for the current fiscal year. For the fiscal year ended October 31, 2014, the fund’s expense ratios were 0.22% for Investor Shares, 0.14% for Admiral Shares, 0.12% for Institutional Shares, 0.10% for Institutional Plus Shares, and 0.14% for ETF Shares. The peer-group expense ratio is derived from data provided by Lipper, a Thomson Reuters Company, and captures information through year-end 2013. Peer group: International Funds. 4 Results in emerging markets were mixed. Several of the biggest economies, including India, China, and Taiwan, posted gains. India, which returned 36%, was the topperforming emerging market and the single biggest contributor to the fund’s return. Stocks of other large emerging-markets, including Brazil and Russia, declined. Amid still-high unemployment and looming deflation, the European Central Bank cut interest rates twice and took other steps to try to stimulate growth. Developed markets in the Pacific region also posted mixed results. Declines in its two biggest economies, Japan and Australia, offset gains in Hong Kong and New Zealand. As a whole, stocks in the region were virtually flat. Against this backdrop, European countries turned in varied performances, while returns for the region as a whole were slightly negative. The United Kingdom, Europe’s largest stock market, was just barely positive. Several countries, including Switzerland, Spain, Sweden, and Denmark, posted gains, while other markets lost ground, including France, Germany, the Netherlands, and Italy. Early in the fiscal year, Europe appeared to have emerged from a double-dip recession, but clouds reappeared on the economic horizon in the second half of the period. The fund has minimal exposure to North America and the Middle East. The North American region, made up almost exclusively of Canadian stocks, Total Returns Ten Years Ended October 31, 2014 Average Annual Return Total International Stock Index Fund Investor Shares 6.41% Spliced Total International Stock Index 6.41 International Funds Average 5.64 For a benchmark description, see the Glossary. International Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company. The figures shown represent past performance, which is not a guarantee of future results. (Current performance may be lower or higher than the performance data cited. For performance data current to the most recent month-end, visit our website at vanguard.com/performance.) Note, too, that both investment returns and principal value can fluctuate widely, so an investor’s shares, when sold, could be worth more or less than their original cost. 5 returned almost 4%. The Middle East region, consisting solely of Israeli stocks and constituting just a tiny percentage of the index, had the most impressive gains— more than 20%. The fund has a long-term record of closely tracking its benchmark For the ten years ended October 31, 2014, Vanguard Total International Stock Index Fund delivered an average annual return of 6.41% for Investor Shares, outperforming its peer group average. The fund has met its primary objective of closely tracking its target index over the long term—no easy feat during a period that included the worst global recession since the Great Depression. This is a testament to the experience, talent, and sophisticated systems of the fund’s advisor, Vanguard Equity Investment Group. The advisor was helped in its task by the fund’s low expenses, which allow shareholders to keep more of the returns on their investment. When market volatility heats up, the best response is to keep cool After several years of strength, stocks hit a rough patch toward the close of the fiscal year, as I noted earlier. For the first half of October, global stock markets (as measured by the FTSE Global All Cap Index) returned –5.56%. Even though stocks rebounded in the second half of the month, many investors undoubtedly were left feeling unsettled. A note on fair-value pricing The reported return of a fund that tracks an index sometimes diverges from the index’s return a bit more than would be expected. This may be the result of a fair-value pricing adjustment. These adjustments, which are required by the Securities and Exchange Commission, address pricing discrepancies that may arise because of time-zone differences among global stock markets. Foreign stocks may trade on exchanges that close many hours before a fund’s closing share price is calculated in the United States, generally at 4 p.m., Eastern time. In the hours between the foreign close and the U.S. close, the value of these foreign securities may change—because of company-specific announcements or market-wide developments, for example. Such price changes are not immediately reflected in international index values. Fair-value pricing takes such changes into account in calculating the fund’s daily net asset value, thus ensuring that the NAV doesn’t include “stale” prices. The result can be a temporary divergence between the return of the fund and that of its benchmark index—a difference that usually corrects itself when the foreign markets reopen. 6 What’s my best advice to anxious shareholders? Remain calm and remember that volatility is a normal part of stock market investing. The value of keeping a cool head is highlighted in a Vanguard research paper that looked at how investors behaved during the financial crisis, when global stocks declined about 58% and U.S. stocks about 55%. Currency fluctuation is one reason U.S. and international stocks diverge Diversification is a proven way to reduce volatility and manage risk. That’s why it can make sense for investors to allocate a portion of their stock portfolios to international equities (20% of the equity allocation can be a good starting point). International stocks, which make up about half of the world’s stock market capitalization, perform somewhat differently than stocks in the U.S. market. One of the many reasons for this is currency fluctuation. Currency movements historically have not been correlated to stock price movements, meaning they tend not to move together. International stocks have underperformed U.S. stocks recently for U.S.-based investors, in part because many foreign currencies have weakened against the U.S. dollar. But that divergence actually highlights the diversification benefit of owning both U.S. and international stocks. As you can see from the accompanying chart, at other times, international stocks have outshone their U.S. counterparts. (For more insight, see Global Equities: Balancing Home Bias and Diversification, available at vanguard.com/research.) Trailing 12-month return differential between U.S. and non-U.S. stocks Difference in total returns 40% U.S. stocks outperform 20 0 –20 Non-U.S. stocks outperform –40 Oct. 1994 Oct. 1998 Oct. 2002 Oct. 2006 Oct. 2010 Oct. 2014 Notes: U.S. equities are represented by the MSCI USA Index; international equities are represented by the MSCI All Country World Index ex USA. Data are from October 31, 1994, through October 31, 2014. Sources: Vanguard, Thomson Reuters Datastream, and MSCI. 7 The 2010 paper, Resilience in Volatile Markets: 401(k) Participant Behavior, September 2007–December 2009, examined the behavior of participants in Vanguard-administered retirement plans. During the period studied, about three-quarters of participants made no changes to their accounts, and only 3% gave up on stocks completely. As stocks recovered, this discipline yielded big benefits. From the end of 2008 to the end of 2013, the average Vanguard 401(k) portfolio nearly doubled in value, largely because of the surge in stock prices. I’m pleased that, over time, our clients have demonstrated an impressive ability to remain focused on their long-term goals. 8 They stayed the course through the 1987 correction, the dot-com boom of the 1990s, and the more recent financial crisis, and they continue to do so today. As always, thank you for investing with Vanguard. Sincerely, F. William McNabb III Chairman and Chief Executive Officer November 13, 2014 Total International Stock Index Fund Fund Profile As of October 31, 2014 Share-Class Characteristics Investor Shares Admiral Shares Institutional Shares Institutional Plus Shares Ticker Symbol VGTSX VTIAX VTSNX VTPSX VXUS Expense Ratio1 0.22% 0.14% 0.12% 0.10% 0.14% Volatility Measures Portfolio Characteristics Number of Stocks ETF Shares Fund FTSE Global All Cap ex US Index 5,798 5,554 Median Market Cap $25.7B $25.7B Price/Earnings Ratio 17.2x 17.1x Spliced Total International Stock Index FTSE Global All Cap ex US Index R-Squared 0.97 0.97 Beta 0.98 0.98 These measures show the degree and timing of the fund’s fluctuations compared with the indexes over 36 months. Price/Book Ratio 1.7x 1.7x Return on Equity 14.3% 14.4% Earnings Growth Rate 11.9% 12.0% 2.8% 2.9% 3% — Novartis AG Pharmaceuticals 1.0 -0.1% — Roche Holding AG Pharmaceuticals 1.0 Dividend Yield Turnover Rate Short-Term Reserves Sector Diversification (% of equity exposure) Basic Materials Consumer Goods Consumer Services Financials Health Care Fund FTSE Global All Cap ex US Index 7.8% 7.8% 14.9 14.9 8.1 8.1 26.5 26.5 7.7 7.7 Industrials 13.9 13.9 Oil & Gas 7.9 7.9 Technology 4.9 4.9 Telecommunications 4.7 4.7 Utilities 3.6 3.6 Ten Largest Holdings (% of total net assets) Nestle SA Food Products 1.1% Royal Dutch Shell plc Integrated Oil & Gas 1.1 HSBC Holdings plc Banks 0.9 Toyota Motor Corp. Automobiles 0.8 BHP Billiton Ltd. General Mining 0.7 BP plc Integrated Oil & Gas 0.6 Samsung Electronics Co. Consumer Ltd. Electronics 0.6 Total SA 0.6 Integrated Oil & Gas 8.4% Top Ten The holdings listed exclude any temporary cash investments and equity index products. Allocation by Region (% of portfolio) 44.4% Europe 28.8% Pacific 18.9% Emerging Markets 7.4% North America 0.5% Middle East 1 The expense ratios shown are from the prospectus dated February 27, 2014, and represent estimated costs for the current fiscal year. For the fiscal year ended October 31, 2014, the expense ratios were 0.22% for Investor Shares, 0.14% for Admiral Shares, 0.12% for Institutional Shares, 0.10% for Institutional Plus Shares, and 0.14% for ETF Shares. 9 Total International Stock Index Fund Market Diversification (% of equity exposure) Fund FTSE Global All Cap ex US Index Europe United Kingdom 14.8% 14.9% Switzerland 6.0 6.0 France 5.9 5.9 Germany 5.7 5.8 Spain 2.3 2.3 Sweden 2.1 2.2 Netherlands 1.9 1.9 Italy 1.7 1.8 Denmark 1.1 1.1 Other Subtotal 2.9 2.9 44.4% 44.8% 16.2% 15.8% Pacific Japan Australia 5.6 5.6 South Korea 3.1 3.1 Hong Kong 2.6 2.6 Singapore 1.1 1.1 Other 0.2 0.2 28.8% 28.4% China 4.0% 4.0% Taiwan 3.0 3.0 India 2.2 2.1 Brazil 2.2 2.2 South Africa 1.6 1.6 Mexico 1.1 1.1 Malaysia 1.0 1.0 Subtotal Emerging Markets Other Subtotal 3.8 3.9 18.9% 18.9% North America Canada Middle East 10 7.4% 7.4% 0.5% 0.5% Total International Stock Index Fund Performance Summary All of the returns in this report represent past performance, which is not a guarantee of future results that may be achieved by the fund. (Current performance may be lower or higher than the performance data cited. For performance data current to the most recent month-end, visit our website at vanguard.com/performance.) Note, too, that both investment returns and principal value can fluctuate widely, so an investor’s shares, when sold, could be worth more or less than their original cost. The returns shown do not reflect taxes that a shareholder would pay on fund distributions or on the sale of fund shares. Cumulative Performance: October 31, 2004, Through October 31, 2014 Initial Investment of $10,000 $25,000 18,607 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 5,000 Average Annual Total Returns Periods Ended October 31, 2014 One Year • • • • • • • • Five Years Ten Years Final Value of a $10,000 Investment $18,607 Total International Stock Index Fund*Investor Shares 1.00% 6.28% 6.41% Spliced Total International Stock Index 0.37 5.94 6.41 18,613 0.04 6.72 5.64 17,309 – – – – International Funds Average For a benchmark description, see the Glossary. International Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company. One Year Since Inception (11/29/2010) Final Value of a $10,000 Investment $12,429 Total International Stock Index Fund Admiral Shares 1.09% 5.70% Spliced Total International Stock Index 0.37 5.48 12,326 "Since Inception" performance is calculated from the Admiral Shares’ inception date for both the fund and its comparative standards. See Financial Highlights for dividend and capital gains information. 11 Total International Stock Index Fund Average Annual Total Returns Periods Ended October 31, 2014 One Year Since Inception (11/29/2010) Final Value of a $5,000,000 Investment $6,221,441 Total International Stock Index Fund Institutional Shares 1.12% 5.73% Spliced Total International Stock Index 0.37 5.47 6,161,541 "Since Inception" performance is calculated from the Institutional Shares’ inception date for both the fund and its comparative standards. One Year Since Inception (11/30/2010) Final Value of a $100,000,000 Investment $125,921,081 Total International Stock Index Fund Institutional Plus Shares 1.14% 6.06% Spliced Total International Stock Index 0.37 5.77 124,601,430 "Since Inception" performance is calculated from the Institutional Plus Shares’ inception date for both the fund and its comparative standards. One Year Since Inception (1/26/2011) Final Value of a $10,000 Investment $11,387 Total International Stock Index Fund ETF Shares Net Asset Value 1.10% 3.51% Spliced Total International Stock Index 0.37 3.34 11,315 "Since Inception" performance is calculated from the ETF Shares’ inception date for both the fund and its comparative standards. Cumulative Returns of ETF Shares: January 26, 2011, Through October 31, 2014 Total International Stock Index Fund ETF Shares Market Price One Year Since Inception (1/26/2011) 1.40% 14.29% Total International Stock Index Fund ETF Shares Net Asset Value 1.10 13.87 Spliced Total International Stock Index 0.37 13.15 "Since Inception" performance is calculated from the ETF Shares’ inception date for both the fund and its comparative standards. 12 Total International Stock Index Fund Fiscal-Year Total Returns (%): October 31, 2004, Through October 31, 2014 2006 2005 19.91 19.78 27.84 28.28 2007 32.47 2008 31.63 2009 31.41 2010 2011 2012 2013 2014 34.48 13.28 20.37 11.88 5.32 –6.54 20.65 4.06 1.00 0.37 –5.33 –48.57 –48.73 Total International Stock Index Fund Investor Shares Spliced Total International Stock Index For a benchmark description, see the Glossary. Average Annual Total Returns: Periods Ended September 30, 2014 This table presents returns through the latest calendar quarter—rather than through the end of the fiscal period. Securities and Exchange Commission rules require that we provide this information. Inception Date One Year Five Years Ten Years Investor Shares 4/29/1996 4.77% 5.88% 6.78% Admiral Shares 11/29/2010 4.89 — 5.901 Institutional Shares 11/29/2010 4.92 — 5.941 Institutional Plus Shares 11/30/2010 4.93 — 6.271 Market Price 5.07 — 3.721 Net Asset Value 4.87 — 3.671 ETF Shares 1/26/2011 1 Return since inception. 13 Total International Stock Index Fund Financial Statements Statement of Net Assets—Investments Summary As of October 31, 2014 This Statement summarizes the fund’s holdings by asset type. Details are reported for each of the fund’s 50 largest individual holdings and for investments that, in total for any issuer, represent more than 1% of the fund’s net assets. The total value of smaller holdings is reported as a single amount within each category. The fund reports a complete list of its holdings in regulatory filings four times in each fiscal year, at the quarter-ends. For the second and fourth fiscal quarters, the complete listing of the fund’s holdings is available electronically on vanguard.com and on the Securities and Exchange Commission’s website (sec.gov), or you can have it mailed to you without charge by calling 800-662-7447. For the first and third fiscal quarters, the fund files the lists with the SEC on Form N-Q. Shareholders can look up the fund’s Forms N-Q on the SEC’s website. Forms N-Q may also be reviewed and copied at the SEC’s Public Reference Room (see the back cover of this report for further information). Shares Market ValueJ ($000) Percentage of Net Assets — 0.0% 725,720 607,367 600,489 517,295 463,608 4,451,428 0.5% 0.5% 0.5% 0.4% 0.3% 3.3% 7,365,907 5.5% 268,849 0.2% 560,516 622,060 0.4% 0.5% 1,182,576 0.9% 2,819,767 2.1% 647,423 575,709 469,748 8,041,298 0.5% 0.4% 0.4% 6.0% 9,734,178 7.3% 386,534 0.3% Common Stocks Argentina †Australia Commonwealth Bank of Australia BHP Billiton Ltd. Westpac Banking Corp. Australia & New Zealand Banking Group Ltd. National Australia Bank Ltd. Australia—Other †10,203,463 20,348,892 19,529,633 17,478,899 15,001,031 Austria †Belgium Anheuser-Busch InBev NV Belgium—Other †5,057,692 Brazil †Canada Royal Bank of Canada Toronto-Dominion Bank Bank of Nova Scotia Canada—Other †Chile †14 9,119,837 11,697,375 7,670,675 Total International Stock Index Fund China * Tencent Holdings Ltd. China Mobile Ltd. China Construction Bank Corp. Industrial & Commercial Bank of China Ltd. Bank of China Ltd. PetroChina Co. Ltd. CNOOC Ltd. China Life Insurance Co. Ltd. China Petroleum & Chemical Corp. Agricultural Bank of China Ltd. China Overseas Land & Investment Ltd. China Telecom Corp. Ltd. CITIC Ltd. China Shenhua Energy Co. Ltd. China Unicom Hong Kong Ltd. China Resources Power Holdings Co. Ltd. PICC Property & Casualty Co. Ltd. China CITIC Bank Corp. Ltd. Dongfeng Motor Group Co. Ltd. China Resources Land Ltd. Sinopharm Group Co. Ltd. Kunlun Energy Co. Ltd. China Oilfield Services Ltd. China Longyuan Power Group Corp. Ltd. China Communications Construction Co. Ltd. China Resources Enterprise Ltd. ^ China Coal Energy Co. Ltd. China State Construction International Holdings Ltd. China Railway Group Ltd. Zhuzhou CSR Times Electric Co. Ltd. CSR Corp. Ltd. China Railway Construction Corp. Ltd. China Resources Gas Group Ltd. * China Taiping Insurance Holdings Co. Ltd. *,^ Aluminum Corp. of China Ltd. AviChina Industry & Technology Co. Ltd. 1 People’s Insurance Co. Group of China Ltd. * China Cinda Asset Management Co. Ltd. Sinotrans Ltd. China Resources Cement Holdings Ltd. Huaneng Renewables Corp. Ltd. China Communications Services Corp. Ltd. Air China Ltd. *,^ China COSCO Holdings Co. Ltd. Beijing Capital International Airport Co. Ltd. Sinopec Shanghai Petrochemical Co. Ltd. 1 Sinopec Engineering Group Co. Ltd. ^ China Power International Development Ltd. 1 China Galaxy Securities Co. Ltd. Franshion Properties China Ltd. ^ Sinopec Kantons Holdings Ltd. Angang Steel Co. Ltd. China Agri-Industries Holdings Ltd. Metallurgical Corp. of China Ltd. China BlueChemical Ltd. Shares Market ValueJ ($000) Percentage of Net Assets 29,111,875 33,011,000 457,360,340 456,817,760 477,341,306 133,712,000 101,915,000 47,160,000 161,698,400 163,707,460 25,897,680 102,719,000 34,797,000 21,586,000 28,531,694 12,073,600 19,029,344 48,213,446 18,528,000 11,814,000 6,188,800 17,896,300 11,468,000 21,321,000 28,040,000 7,606,000 25,924,000 9,827,442 24,443,000 3,201,000 12,003,000 11,887,300 4,311,000 5,229,600 25,253,788 14,236,000 24,030,000 20,124,000 11,782,000 12,537,845 22,008,000 16,281,600 11,682,000 16,181,500 9,670,000 22,297,000 7,108,500 15,027,000 7,017,000 23,198,000 6,314,000 6,986,000 13,140,400 17,929,063 11,608,000 463,493 410,648 340,565 301,927 228,172 168,061 159,541 140,777 140,589 75,932 75,365 65,505 60,892 60,782 42,782 35,668 34,902 31,407 28,640 28,178 24,166 24,051 23,942 22,775 21,639 18,071 16,050 15,396 15,198 14,956 12,476 12,470 12,307 11,482 11,248 10,822 10,371 9,527 9,347 8,514 7,912 7,713 7,559 7,347 7,097 6,921 6,872 6,777 5,585 5,470 5,240 5,137 5,013 4,975 4,148 0.4% 0.3% 0.3% 0.3% 0.2% 0.1% 0.1% 0.1% 0.1% 0.1% 0.1% 0.1% 0.1% 0.1% 0.1% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 15 Total International Stock Index Fund Shares * ^ *,^ ^ ^ * ^ *,^ * *,^ * 1 China Eastern Airlines Corp. Ltd. China Southern Airlines Co. Ltd. Dongfang Electric Corp. Ltd. Hunan Nonferrous Metal Corp. Ltd. MMG Ltd. Dah Chong Hong Holdings Ltd. Harbin Electric Co. Ltd. Sinotrans Shipping Ltd. China Datang Corp. Renewable Power Co. Ltd. China Merchants Property Development Co. Ltd. Class B CITIC Resources Holdings Ltd. Sinofert Holdings Ltd. CPMC Holdings Ltd. China Machinery Engineering Corp. China Foods Ltd. China National Accord Medicines Corp. Ltd. Class B Shanghai Baosight Software Co. Ltd. Class B COSCO International Holdings Ltd. Minmetals Land Ltd. Foshan Huaxin Packaging Co. Ltd. Class B China—Other †10,038,000 10,802,000 2,157,000 9,963,272 9,600,000 5,091,000 4,448,000 8,256,000 15,388,000 1,323,213 14,822,600 11,952,000 2,453,000 3,108,000 4,614,000 331,600 712,370 3,460,000 8,850,000 840,392 Colombia †Czech Republic †Denmark Novo Nordisk A/S Class B Denmark—Other †12,352,216 Egypt †Finland †France Total SA Sanofi BNP Paribas SA France—Other †Germany Bayer AG Siemens AG BASF SE Daimler AG Allianz SE SAP SE Germany—Other †Greece †16 12,880,500 7,257,388 6,192,505 5,243,469 5,026,478 5,853,407 6,057,103 2,886,979 5,667,423 Market ValueJ ($000) Percentage of Net Assets 3,816 3,785 3,658 3,261 3,204 3,005 2,682 2,258 2,223 2,213 2,064 1,855 1,840 1,763 1,746 1,686 1,527 1,516 1,028 465 1,941,089 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 1.5% 5,279,084 4.0% 225,659 0.2% 54,657 0.0% 558,261 913,798 0.4% 0.7% 1,472,059 1.1% 19,325 0.0% 918,741 0.7% 768,635 672,242 390,499 5,963,370 0.6% 0.5% 0.3% 4.5% 7,794,746 5.9% 745,812 566,623 515,580 470,833 458,602 385,329 4,416,305 0.6% 0.4% 0.4% 0.4% 0.3% 0.3% 3.3% 7,559,084 5.7% 142,233 0.1% Total International Stock Index Fund Market Valuet ($000) Percentage of Net Assets 426,122 75,773 5,206 3,292 2,197 1,457 1,126 660 51 2,880,852 0.3% 0.1% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 2.2% 3,396,736 2.6% 51,438 0.0% 15,035 2,822,048 0.0% 2.1% 2,837,083 2.1% Indonesia †722,787 0.5% Ireland †271,174 0.2% 4,685 602,839 0.0% 0.5% 607,524 0.5% 2,317,143 1.7% 1,010,426 534,906 442,226 361,806 42,972 18,988,446 0.8% 0.4% 0.3% 0.3% 0.0% 14.3% 21,380,782 16.1% 1,250,681 0.9% 1,424,389 1.1% 471 0.0% 383,155 2,138,643 0.3% 1.6% 2,521,798 1.9% New Zealand †235,973 0.2% 1Norway 796,480 0.6% Shares Hong Kong AIA Group Ltd. BOC Hong Kong Holdings Ltd. ^ China Travel International Investment Hong Kong Ltd. CITIC Telecom International Holdings Ltd. APT Satellite Holdings Ltd. *,^ Yanchang Petroleum International Ltd. ^ China Merchants Land Ltd. * China Taiping Insurance Holdings Rights Exp. 11/18/2014 * COFCO Land Holdings Ltd. 1 Hong Kong—Other †76,373,037 22,795,039 16,734,000 8,196,875 1,508,000 28,620,000 7,868,000 1,077,972 240,000 Hungary †India Nestle India Ltd. India—Other †Israel Osem Investments Ltd. Israel—Other †146,683 242,462 Italy †Japan Toyota Motor Corp. Mitsubishi UFJ Financial Group Inc. SoftBank Corp. Honda Motor Co. Ltd. Chugai Pharmaceutical Co. Ltd. Japan—Other †1Malaysia 16,796,710 89,710,333 5,968,063 11,371,530 1,410,945 †Mexico †Morocco †Netherlands Unilever NV Netherlands—Other ††9,868,521 17 Total International Stock Index Fund Shares Market ValueJ ($000) Percentage of Net Assets 6,544,509 279,058 0.2% 67,808 0.1% Philippines †461,038 0.3% Poland †477,394 0.4% Portugal †202,736 0.2% 1,123,348 0.8% 2,969 776 1,514,160 0.0% 0.0% 1.1% 1,517,905 1.1% 2,151,145 1.6% 736,832 1,716 3,374,859 0.6% 0.0% 2.5% 4,113,407 3.1% 667,933 416,900 379,087 1,631,495 0.5% 0.3% 0.3% 1.2% 3,095,415 2.3% 2,829,353 2.1% 1,480,270 1,369,409 1,315,819 388,600 3,363,145 1.1% 1.1% 1.0% 0.3% 2.5% 7,917,243 6.0% 568,699 3,372,437 0.4% 2.6% 3,941,136 3.0% Thailand †794,485 0.6% Turkey †468,572 0.4% United Arab Emirates †235,982 0.2% Other ††2 Vanguard FTSE Emerging Markets ETF Peru †1Russia †Singapore COSCO Corp. Singapore Ltd. GMG Global Ltd. 1 Singapore—Other †^ 6,391,513 15,906,000 South Africa †South Korea Samsung Electronics Co. Ltd. Hankook Shell Oil Co. Ltd. 1 South Korea—Other †Spain * Banco Santander SA Banco Bilbao Vizcaya Argentaria SA Telefonica SA Spain—Other †636,046 3,759 75,703,022 37,285,313 25,208,509 Sweden †Switzerland Nestle SA Novartis AG Roche Holding AG UBS AG Switzerland—Other †Taiwan Taiwan Semiconductor Manufacturing Co. Ltd. Taiwan—Other †18 20,219,307 14,765,472 4,455,020 22,358,926 131,752,063 Total International Stock Index Fund Shares United Kingdom HSBC Holdings plc BP plc Royal Dutch Shell plc Class A GlaxoSmithKline plc British American Tobacco plc AstraZeneca plc Royal Dutch Shell plc Class B Vodafone Group plc Diageo plc * Lloyds Banking Group plc Barclays plc Rio Tinto plc Prudential plc BG Group plc Royal Dutch Shell plc Class A (Amsterdam Shares) 1 United Kingdom—Other †120,918,328 117,020,910 22,348,749 30,827,186 11,819,361 8,001,615 15,551,368 168,451,046 15,970,860 342,720,686 103,954,006 7,911,082 16,179,940 21,579,931 2,608,252 Total Common Stocks (Cost $121,655,133) Market Valuet ($000) Percentage of Net Assets 1,237,821 843,075 800,284 698,827 671,314 582,601 576,947 559,741 470,068 423,500 398,476 377,832 373,903 359,645 93,489 11,041,929 0.9% 0.6% 0.6% 0.5% 0.5% 0.5% 0.4% 0.4% 0.4% 0.3% 0.3% 0.3% 0.3% 0.3% 0.1% 8.3% 19,509,452 14.7% 132,223,335 99.5%3 3,077,640 2.3% Coupon Temporary Cash Investments Money Market Fund 4,5 Vanguard Market Liquidity Fund 6,7U.S. Government and Agency Obligations †Total Temporary Cash Investments (Cost $3,131,634) Total Investments (Cost $124,786,767) 0.114% 3,077,639,759 53,994 0.0% 3,131,634 2.3%3 135,354,969 101.8% 476,592 (2,890,570) 0.4% (2.2%) Other Assets and Liabilities Other Assets Liabilities4 (2,413,978) Net Assets 132,940,991 (1.8%) 100.0% At October 31, 2014, net assets consisted of: Amount ($000) Paid-in Capital Undistributed Net Investment Income Accumulated Net Realized Losses Unrealized Appreciation (Depreciation) Investment Securities Futures Contracts Forward Currency Contracts Foreign Currencies 122,613,241 228,065 (437,587) Net Assets 132,940,991 10,568,202 (7,439) (12,877) (10,614) 19 Total International Stock Index Fund Amount ($000) Investor Shares—Net Assets Applicable to 3,128,474,331 outstanding $.001 par value shares of beneficial interest (unlimited authorization) Net Asset Value Per Share—Investor Shares 51,039,515 $16.31 Admiral Shares—Net Assets Applicable to 1,152,398,572 outstanding $.001 par value shares of beneficial interest (unlimited authorization) Net Asset Value Per Share—Admiral Shares 31,444,588 $27.29 Institutional Shares—Net Assets Applicable to 120,804,747 outstanding $.001 par value shares of beneficial interest (unlimited authorization) Net Asset Value Per Share—Institutional Shares 13,182,335 $109.12 Institutional Plus Shares—Net Assets Applicable to 310,747,469 outstanding $.001 par value shares of beneficial interest (unlimited authorization) Net Asset Value Per Share—Institutional Plus Shares 33,914,708 $109.14 ETF Shares—Net Assets Applicable to 66,206,999 outstanding $.001 par value shares of beneficial interest (unlimited authorization) Net Asset Value Per Share—ETF Shares 3,359,845 $50.75 See Note A in Notes to Financial Statements. * Non-income-producing security. ^ Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $2,381,553,000. †Represents the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer, represent 1% or less of net assets. ††“Other” represents securities that are not classified by the fund’s benchmark. 1 Certain of the fund’s securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. At October 31, 2014, the aggregate value of these securities was $144,266,000, representing 0.1% of net assets. 2 Considered an affiliated company of the fund as the issuer is another member of The Vanguard Group. 3 The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect to futures investments, the fund’s effective common stock and temporary cash investment positions represent 100.0% and 1.8%, respectively, of net assets. 4 Includes $2,587,888,000 of collateral received for securities on loan. 5 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield. 6 Securities with a value of $34,166,000 have been segregated as initial margin for open futures contracts. 7 Securities with a value of $14,470,000 have been segregated as collateral for open forward currency contracts. See accompanying Notes, which are an integral part of the Financial Statements. J 20 Total International Stock Index Fund Statement of Operations Year Ended October 31, 2014 ($000) Investment Income Income Dividends1,2 Interest2 Securities Lending Total Income Expenses The Vanguard Group—Note B Investment Advisory Services Management and Administrative—Investor Shares Management and Administrative—Admiral Shares Management and Administrative—Signal Shares Management and Administrative—Institutional Shares Management and Administrative—Institutional Plus Shares Management and Administrative—ETF Shares Marketing and Distribution—Investor Shares Marketing and Distribution—Admiral Shares Marketing and Distribution—Signal Shares Marketing and Distribution—Institutional Shares Marketing and Distribution—Institutional Plus Shares Marketing and Distribution—ETF Shares Custodian Fees Auditing Fees Shareholders’ Reports—Investor Shares Shareholders’ Reports—Admiral Shares Shareholders’ Reports—Signal Shares Shareholders’ Reports—Institutional Shares Shareholders’ Reports—Institutional Plus Shares Shareholders’ Reports—ETF Shares Trustees’ Fees and Expenses Total Expenses Net Investment Income Realized Net Gain (Loss) Investment Securities Sold2 Futures Contracts Foreign Currencies and Forward Currency Contracts Realized Net Gain (Loss) Change in Unrealized Appreciation (Depreciation) Investment Securities Futures Contracts Foreign Currencies and Forward Currency Contracts Change in Unrealized Appreciation (Depreciation) Net Increase (Decrease) in Net Assets Resulting from Operations 4,011,969 837 100,793 4,113,599 5,492 81,951 24,457 3,443 8,099 13,866 2,370 10,324 3,575 1,251 2,910 6,442 615 29,778 48 99 68 80 114 73 84 94 195,233 3,918,366 741,574 39,720 (41,997) 739,297 (3,589,810) (23,229) (29,867) (3,642,906) 1,014,757 1 Dividends are net of foreign withholding taxes of $468,362,000. 2 Dividend income, interest income, and realized net gain (loss) from affiliated companies of the fund were $7,972,000, $795,000, and $8,823,000, respectively. See accompanying Notes, which are an integral part of the Financial Statements. 21 Total International Stock Index Fund Statement of Changes in Net Assets Year Ended October 31, 2014 ($000) 2013 ($000) 3,918,366 2,603,888 Increase (Decrease) in Net Assets Operations Net Investment Income Realized Net Gain (Loss) 739,297 621,418 (3,642,906) 13,845,044 1,014,757 17,070,350 Investor Shares (1,534,033) (1,309,409) Admiral Shares (819,498) (589,421) Signal Shares (144,315) (147,537) Institutional Shares (397,850) (293,827) Institutional Plus Shares (931,850) (547,611) (89,095) (48,365) Investor Shares — — Admiral Shares — — Signal Shares — — Institutional Shares — — Institutional Plus Shares — — Change in Unrealized Appreciation (Depreciation) Net Increase (Decrease) in Net Assets Resulting from Operations Distributions Net Investment Income ETF Shares Realized Capital Gain ETF Shares Total Distributions — — (3,916,641) (2,936,170) Capital Share Transactions Investor Shares 6,874,109 3,372,512 Admiral Shares 10,709,173 3,491,370 Signal Shares (5,394,525) 1,128,876 2,462,701 2,543,728 12,165,427 6,820,257 Institutional Shares Institutional Plus Shares ETF Shares 1,243,544 990,364 Net Increase (Decrease) from Capital Share Transactions 28,060,429 18,347,107 Total Increase (Decrease) 25,158,545 32,481,287 Net Assets Beginning of Period 107,782,446 75,301,159 End of Period1 132,940,991 107,782,446 1 Net Assets—End of Period includes undistributed (overdistributed) net investment income of $228,065,000 and $243,359,000. See accompanying Notes, which are an integral part of the Financial Statements. 22 Total International Stock Index Fund Financial Highlights Investor Shares For a Share Outstanding Throughout Each Period Net Asset Value, Beginning of Period Year Ended October 31, 2014 2013 2012 2011 2010 $16.67 $14.31 $14.24 $15.48 $13.99 Investment Operations Net Investment Income .5261 Net Realized and Unrealized Gain (Loss) on Investments Total from Investment Operations .425 .405 .4342 .356 2 (.352) 2.428 .305 (1.425) 1.478 .174 2.853 .710 (.991) 1.834 (.534) (.493) (.640) (.249) (.344) Distributions Dividends from Net Investment Income Distributions from Realized Capital Gains Total Distributions — — (.534) (.493) — (.640) — (.249) — (.344) Net Asset Value, End of Period $16.31 $16.67 $14.31 $14.24 $15.48 Total Return3 1.00% 20.37% 5.32% -6.54% 13.28% Ratios/Supplemental Data Net Assets, End of Period (Millions) $51,040 $45,205 $35,564 $30,912 $39,443 Ratio of Total Expenses to Average Net Assets 0.22% 0.22% 0.22% 0.22% 0.26% Ratio of Net Investment Income to Average Net Assets 3.16%1 2.79% 3.17% 2.95% 2.52% 3% 5% 3% 3% 6% Portfolio Turnover Rate 4 1 Net investment income per share and the ratio of net investment income to average net assets include $.067 and 0.39%, respectively, resulting from income received from Vodafone Group plc in the form of cash and shares in Verizon Communications Inc. in February 2014. 2 Calculated based on average shares outstanding. 3 Total returns do not include transaction or account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable transaction and account service fees. 4 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units. See accompanying Notes, which are an integral part of the Financial Statements. 23 Total International Stock Index Fund Financial Highlights Admiral Shares 2014 2013 2012 Nov. 29, 20101 to Oct. 31, 2011 $27.89 $23.94 $23.81 $25.00 Year Ended October 31, For a Share Outstanding Throughout Each Period Net Asset Value, Beginning of Period Investment Operations Net Investment Income .9042 .733 Net Realized and Unrealized Gain (Loss) on Investments (.588) Total from Investment Operations .316 (.916) .681 .842 3 4.069 .530 (1.615) 4.802 1.211 (.773) (.852) (1.081) (.417) Distributions Dividends from Net Investment Income Distributions from Realized Capital Gains — Total Distributions (.916) — (.852) — (1.081) — (.417) Net Asset Value, End of Period $27.29 $27.89 $23.94 $23.81 Total Return 4 1.09% 20.51% 5.43% -3.23% $31,445 $21,438 $15,153 $13,190 0.14% 0.14% 0.16% 0.18%5 3.24%2 2.87% 3.23% 2.99%5 3% 5% 3% 3% Ratios/Supplemental Data Net Assets, End of Period (Millions) Ratio of Total Expenses to Average Net Assets Ratio of Net Investment Income to Average Net Assets Portfolio Turnover Rate 6 1 Inception. 2 Net investment income per share and the ratio of net investment income to average net assets include $.111 and 0.39%, respectively, resulting from income received from Vodafone Group plc in the form of cash and shares in Verizon Communications Inc. in February 2014. 3 Calculated based on average shares outstanding. 4 Total returns do not include transaction or account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable transaction and account service fees. 5 Annualized. 6 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units. See accompanying Notes, which are an integral part of the Financial Statements. 24 Total International Stock Index Fund Financial Highlights Signal Shares For a Share Outstanding Throughout Each Period Nov. 1, 2013 to Oct. 24, 20141 2013 2012 Nov. 30, 20102 to Oct. 31, 2011 $33.45 $28.72 $28.57 $29.66 Net Asset Value, Beginning of Period Year Ended October 31, Investment Operations Net Investment Income 1.069 3 .877 Net Realized and Unrealized Gain (Loss) on Investments (1.496) (.427) (1.093) Total from Investment Operations .821 .9314 4.875 .635 (1.520) 5.752 1.456 (.589) (1.022) (1.306) (.501) Distributions Dividends from Net Investment Income Distributions from Realized Capital Gains — Total Distributions (1.093) Net Asset Value, End of Period $31.931 Total Return5 — (1.022) — (1.306) — (.501) $33.45 $28.72 $28.57 -1.39% 20.48% 5.44% -2.16% Ratios/Supplemental Data Net Assets, End of Period (Millions) $— $5,414 $3,583 $2,012 0.14%6 0.14% 0.16% 0.18%6 3.24%3,6 2.87% 3.23% 2.99%6 3% 5% 3% 3% Ratio of Total Expenses to Average Net Assets Ratio of Net Investment Income to Average Net Assets Portfolio Turnover Rate7 1 Net asset value as of October 24, 2014, on which date the Signal Shares were converted to Admiral Shares. 2 Inception. 3 Net investment income per share and the ratio of net investment income to average net assets include $.134 and 0.39%, respectively, resulting from income received from Vodafone Group plc in the form of cash and shares in Verizon Communications Inc. in February 2014. 4 Calculated based on average shares outstanding. 5 Total returns do not include transaction fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable transaction fees. 6 Annualized. 7 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units. See accompanying Notes, which are an integral part of the Financial Statements. 25 Total International Stock Index Fund Financial Highlights Institutional Shares 2014 2013 2012 Nov. 29, 20101 to Oct. 31, 2011 $111.51 $95.75 $95.29 $100.00 Year Ended October 31, For a Share Outstanding Throughout Each Period Net Asset Value, Beginning of Period Investment Operations Net Investment Income 3.630 2 2.948 Net Realized and Unrealized Gain (Loss) on Investments (2.338) 1.292 (3.682) Total from Investment Operations 2.818 3.208 3 16.255 2.048 (6.245) 19.203 4.866 (3.037) (3.443) (4.406) (1.673) Distributions Dividends from Net Investment Income Distributions from Realized Capital Gains — Total Distributions Net Asset Value, End of Period (3.682) — (3.443) — (4.406) — (1.673) $109.12 $111.51 $95.75 $95.29 1.12% 20.51% 5.46% -3.18% $13,182 $11,024 $7,062 $3,788 0.12% 0.12% 0.12% 0.13%5 3.26%2 2.89% 3.27% 3.04%5 3% 5% 3% 3% Total Return4 Ratios/Supplemental Data Net Assets, End of Period (Millions) Ratio of Total Expenses to Average Net Assets Ratio of Net Investment Income to Average Net Assets Portfolio Turnover Rate 6 1 Inception. 2 Net investment income per share and the ratio of net investment income to average net assets include $.446 and 0.39%, respectively, resulting from income received from Vodafone Group plc in the form of cash and shares in Verizon Communications Inc. in February 2014. 3 Calculated based on average shares outstanding. 4 Total returns do not include transaction fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable transaction fees. 5 Annualized. 6 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units. See accompanying Notes, which are an integral part of the Financial Statements. 26 Total International Stock Index Fund Financial Highlights Institutional Plus Shares 2014 2013 2012 Nov. 30, 20101 to Oct. 31, 2011 $111.53 $95.77 $95.31 $98.88 Year Ended October 31, For a Share Outstanding Throughout Each Period Net Asset Value, Beginning of Period Investment Operations Net Investment Income 3.6552 2.968 Net Realized and Unrealized Gain (Loss) on Investments (2.339) 1.316 (3.706) Total from Investment Operations 2.778 2.596 3 16.259 2.110 (4.492) 19.227 4.888 (1.896) (3.467) (4.428) (1.674) Distributions Dividends from Net Investment Income Distributions from Realized Capital Gains — Total Distributions Net Asset Value, End of Period (3.706) — (3.467) — (4.428) — (1.674) $109.14 $111.53 $95.77 $95.31 1.14% 20.54% 5.48% -2.08% $33,915 $22,504 $12,973 $6,965 0.10% 0.10% 0.10% 0.10%5 3.28%2 2.91% 3.29% 3.07%5 3% 5% 3% 3% Total Return4 Ratios/Supplemental Data Net Assets, End of Period (Millions) Ratio of Total Expenses to Average Net Assets Ratio of Net Investment Income to Average Net Assets Portfolio Turnover Rate 6 1 Inception. 2 Net investment income per share and the ratio of net investment income to average net assets include $.446 and 0.39%, respectively, resulting from income received from Vodafone Group plc in the form of cash and shares in Verizon Communications Inc. in February 2014. 3 Calculated based on average shares outstanding. 4 Total returns do not include transaction fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable transaction fees. 5 Annualized. 6 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units. See accompanying Notes, which are an integral part of the Financial Statements. 27 Total International Stock Index Fund Financial Highlights ETF Shares 2014 2013 2012 Jan. 26, 20111 to Oct. 31, 2011 $51.86 $44.53 $44.33 $50.00 Year Ended October 31, For a Share Outstanding Throughout Each Period Net Asset Value, Beginning of Period Investment Operations Net Investment Income 1.680 2 Net Realized and Unrealized Gain (Loss) on Investments (1.087) .593 (1.703) (1.590) (2.048) Total from Investment Operations 1.365 1.283 1.0213 7.555 .965 (6.691) 8.920 2.248 (5.670) Distributions Dividends from Net Investment Income Distributions from Realized Capital Gains Total Distributions Net Asset Value, End of Period Total Return — (1.703) — (1.590) — (2.048) — — — $50.75 $51.86 $44.53 $44.33 1.10% 20.50% 5.43% -11.34% $3,360 $2,198 $966 $435 0.14% 0.14% 0.16% 0.18%4 3.24%2 2.87% 3.23% 2.99%4 3% 5% 3% 3% Ratios/Supplemental Data Net Assets, End of Period (Millions) Ratio of Total Expenses to Average Net Assets Ratio of Net Investment Income to Average Net Assets Portfolio Turnover Rate5 1 Inception. 2 Net investment income per share and the ratio of net investment income to average net assets include $.208 and 0.39%, respectively, resulting from income received from Vodafone Group plc in the form of cash and shares in Verizon Communications Inc. in February 2014. 3 Calculated based on average shares outstanding. 4 Annualized. 5 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units. See accompanying Notes, which are an integral part of the Financial Statements. 28 Total International Stock Index Fund Notes to Financial Statements Vanguard Total International Stock Index Fund is registered under the Investment Company Act of 1940 as an open-end investment company, or mutual fund. The fund invests in securities of foreign issuers, which may subject it to investment risks not normally associated with investing in securities of U.S. corporations. The fund offers five classes of shares: Investor Shares, Admiral Shares, Institutional Shares, Institutional Plus Shares, and ETF Shares. Investor Shares are available to any investor who meets the fund’s minimum purchase requirements. Admiral Shares, Institutional Shares, and Institutional Plus Shares are designed for investors who meet certain administrative, service, and account-size criteria. ETF Shares are listed for trading on NYSE Arca; they can be purchased and sold through a broker. Prior to October 24, 2014, the fund offered Signal Shares. Effective at the close of business on October 24, 2014, the Signal Shares were converted to Admiral Shares. A. The following significant accounting policies conform to generally accepted accounting principles for U.S. investment companies. The fund consistently follows such policies in preparing its financial statements. 1. Security Valuation: Securities are valued as of the close of trading on the New York Stock Exchange (generally 4 p.m., Eastern time) on the valuation date. Equity securities are valued at the latest quoted sales prices or official closing prices taken from the primary market in which each security trades; such securities not traded on the valuation date are valued at the mean of the latest quoted bid and asked prices. Securities for which market quotations are not readily available, or whose values have been affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued at their fair values calculated according to procedures adopted by the board of trustees. These procedures include obtaining quotations from an independent pricing service, monitoring news to identify significant market- or security-specific events, and evaluating changes in the values of foreign market proxies (for example, ADRs, futures contracts, or exchange-traded funds), between the time the foreign markets close and the fund’s pricing time. When fair-value pricing is employed, the prices of securities used by a fund to calculate its net asset value may differ from quoted or published prices for the same securities. Investments in Vanguard Market Liquidity Fund are valued at that fund’s net asset value. Temporary cash investments acquired over 60 days to maturity are valued using the latest bid prices or using valuations based on a matrix system (which considers such factors as security prices, yields, maturities, and ratings), both as furnished by independent pricing services. Other temporary cash investments are valued at amortized cost, which approximates market value. 2. Foreign Currency: Securities and other assets and liabilities denominated in foreign currencies are translated into U.S. dollars using exchange rates obtained from an independent third party as of the fund’s pricing time on the valuation date. Realized gains (losses) and unrealized appreciation (depreciation) on investment securities include the effects of changes in exchange rates since the securities were purchased, combined with the effects of changes in security prices. Fluctuations in the value of other assets and liabilities resulting from changes in exchange rates are recorded as unrealized foreign currency gains (losses) until the assets or liabilities are settled in cash, at which time they are recorded as realized foreign currency gains (losses). 3. Futures and Forward Currency Contracts: The fund uses index futures contracts to a limited extent, with the objectives of maintaining full exposure to the stock market, enhancing returns, maintaining liquidity, and minimizing transaction costs. The fund may purchase futures contracts to immediately invest incoming cash in the market, or sell futures in response to cash outflows, thereby simulating a fully invested position in the underlying index while maintaining a cash balance for liquidity. The fund 29 Total International Stock Index Fund may seek to enhance returns by using futures contracts instead of the underlying securities when futures are believed to be priced more attractively than the underlying securities. The primary risks associated with the use of futures contracts are imperfect correlation between changes in market values of stocks held by the fund and the prices of futures contracts, and the possibility of an illiquid market. Counterparty risk involving futures is mitigated because a regulated clearinghouse is the counterparty instead of the clearing broker. To further mitigate counterparty risk, the fund trades futures contracts on an exchange, monitors the financial strength of its clearing brokers and clearinghouse, and has entered into clearing agreements with its clearing brokers. The clearinghouse imposes initial margin requirements to secure the fund’s performance and requires daily settlement of variation margin representing changes in the market value of each contract. The fund also enters into forward currency contracts to provide the appropriate currency exposure related to any open futures contracts. The fund’s risks in using these contracts include movement in the values of the foreign currencies relative to the U.S. dollar and the ability of the counterparties to fulfill their obligations under the contracts. The fund mitigates its counterparty risk by entering into forward currency contracts only with a diverse group of prequalified counterparties, monitoring their financial strength, entering into master netting arrangements with its counterparties, and requiring its counterparties to transfer collateral as security for their performance. The master netting arrangements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate the forward currency contracts, determine the net amount owed by either party in accordance with its master netting arrangements, and sell or retain any collateral held up to the net amount owed to the fund under the master netting arrangements. The forward currency contracts contain provisions whereby a counterparty may terminate open contracts if the fund’s net assets decline below a certain level, triggering a payment by the fund if the fund is in a net liability position at the time of the termination. The payment amount would be reduced by any collateral the fund has pledged. Any assets pledged as collateral for open contracts are noted in the Statement of Net Assets. The value of collateral received or pledged is compared daily to the value of the forward currency contracts exposure with each counterparty, and any difference, if in excess of a specified minimum transfer amount, is adjusted and settled within two business days. Futures contracts are valued at their quoted daily settlement prices. Forward currency contracts are valued at their quoted daily prices obtained from an independent third party, adjusted for currency risk based on the expiration date of each contract. The aggregate settlement values and notional amounts of the contracts are not recorded in the Statement of Net Assets. Fluctuations in the value of the contracts are recorded in the Statement of Net Assets as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized gains (losses) on futures or forward currency contracts. During the year ended October 31, 2014, the fund’s average investments in long and short futures contracts represented 1% and 0% of net assets, respectively, based on the average of aggregate settlement values at each quarter-end during the period. The fund’s average investment in forward currency contracts represented less than 1% of net assets, based on the average notional amounts at each quarter-end during the period. 4. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. Management has analyzed the fund’s tax positions taken for all open federal income tax years (October 31, 2011–2014), and has concluded that no provision for federal income tax is required in the fund’s financial statements. 30 Total International Stock Index Fund 5. Distributions: Distributions to shareholders are recorded on the ex-dividend date. 6. Securities Lending: To earn additional income, the fund lends its securities to qualified institutional borrowers. Security loans are required to be secured at all times by collateral in an amount at least equal to the market value of securities loaned. Daily market fluctuations could cause the value of loaned securities to be more or less than the value of the collateral received. When this occurs, the collateral is adjusted and settled on the next business day. The fund further mitigates its counterparty risk by entering into securities lending transactions only with a diverse group of prequalified counterparties, monitoring their financial strength, and entering into master securities lending agreements with its counterparties. The master securities lending agreements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate any loans with that borrower, determine the net amount owed, and sell or retain the collateral up to the net amount owed to the fund; however, such actions may be subject to legal proceedings. While collateral mitigates counterparty risk, in the absence of a default the fund may experience delays and costs in recovering the securities loaned. The fund invests cash collateral received in Vanguard Market Liquidity Fund, and records a liability in the Statement of Net Assets for the return of the collateral, during the period the securities are on loan. Securities lending income represents fees charged to borrowers plus income earned on invested cash collateral, less expenses associated with the loan. 7. Credit Facility: The fund and certain other funds managed by The Vanguard Group participate in a $2.89 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement that may be renewed annually; each fund is individually liable for its borrowings, if any, under the credit facility. Borrowings may be utilized for temporary and emergency purposes, and are subject to the fund’s regulatory and contractual borrowing restrictions. The participating funds are charged administrative fees and an annual commitment fee of 0.06% of the undrawn amount of the facility; these fees are allocated to the funds based on a method approved by the fund’s board of trustees and included in Management and Administrative expenses on the fund’s Statement of Operations. Any borrowings under this facility bear interest at a rate equal to the higher of the federal funds rate or LIBOR reference rate plus an agreed-upon spread. The fund had no borrowings outstanding at October 31, 2014, or at any time during the period then ended. 8. Other: Dividend income is recorded on the ex-dividend date. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. Premiums and discounts on debt securities purchased are amortized and accreted, respectively, to interest income over the lives of the respective securities. Security transactions are accounted for on the date securities are bought or sold. Costs used to determine realized gains (losses) on the sale of investment securities are those of the specific securities sold. Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses) and shareholder reporting. Marketing and distribution expenses are allocated to each class of shares based on a method approved by the board of trustees. Income, other non-class-specific expenses, and gains and losses on investments are allocated to each class of shares based on its relative net assets. 31 Total International Stock Index Fund B. The Vanguard Group furnishes at cost investment advisory, corporate management, administrative, marketing, and distribution services. The costs of such services are allocated to the fund based on methods approved by the board of trustees. The fund has committed to invest up to 0.40% of its net assets in Vanguard. At October 31, 2014, the fund had contributed capital of $12,972,000 to Vanguard (included in Other Assets), representing 0.01% of the fund’s net assets and 5.19% of Vanguard’s capitalization. The fund’s trustees and officers are also directors and officers of Vanguard. C. Various inputs may be used to determine the value of the fund’s investments. These inputs are summarized in three broad levels for financial statement purposes. The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities. Level 1—Quoted prices in active markets for identical securities. Level 2—Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.). Level 3—Significant unobservable inputs (including the fund’s own assumptions used to determine the fair value of investments). The following table summarizes the market value of the fund’s investments as of October 31, 2014, based on the inputs used to value them: Investments Common Stocks—North America and South America Common Stocks—Other Temporary Cash Investments Futures Contracts—Assets1 Forward Currency Contracts—Assets Forward Currency Contracts—Liabilities Total Level 1 ($000) Level 2 ($000) Level 3 ($000) 12,192,898 2,740,608 3,887 474,739 116,727,520 83,683 3,077,640 53,994 — 14,027 — — — 1,310 — — (14,187) — 15,759,304 119,509,245 87,570 1 Represents variation margin on the last day of the reporting period. Securites in certain countries may transfer between Level 1 and Level 2 because of differences in stock market closure times that may result from transitions between standard and daylight saving time in those countries and the United States. Based on values on the date of transfer, securities valued at $2,157,465,000 based on Level 1 inputs were transferred from Level 2 during the fiscal year. Additionally, based on values on the date of transfer, securities valued at $2,687,981,000 based on Level 2 inputs were transferred from Level 1 during the fiscal year. 32 Total International Stock Index Fund D. At October 31, 2014, the fair values of derivatives were reflected in the Statement of Net Assets as follows: Equity Contracts ($000) Statement of Net Assets Caption Other Assets Liabilities Foreign Exchange Contracts ($000) Total ($000) 14,027 1,310 15,337 — (14,187) (14,187) Realized net gain (loss) and the change in unrealized appreciation (depreciation) on derivatives for the year ended October 31, 2014, were: Equity Contracts ($000) Realized Net Gain (Loss) on Derivatives Futures Contracts Forward Currency Contracts Realized Net Gain (Loss) on Derivatives Foreign Exchange Contracts ($000) Total ($000) 39,720 — 39,720 — (11,230) (11,230) 39,720 (11,230) 28,490 (23,229) — (23,229) — (19,009) (19,009) (23,229) (19,009) (42,238) Change in Unrealized Appreciation (Depreciation) on Derivatives Futures Contracts Forward Currency Contracts Change in Unrealized Appreciation (Depreciation) on Derivatives At October 31, 2014, the aggregate settlement value of open futures contracts and the related unrealized appreciation (depreciation) were: ($000) Aggregate Settlement Value Long (Short) Unrealized Appreciation (Depreciation) Expiration Number of Long (Short) Contracts FTSE 100 Index December 2014 2,002 208,367 (8,696) Dow Jones EURO STOXX 50 Index December 2014 4,734 183,929 (7,221) Topix Index December 2014 1,101 131,309 4,026 S&P ASX 200 Index December 2014 699 84,760 1,211 E-mini S&P 500 Index December 2014 500 50,285 3,241 Futures Contracts (7,439) Unrealized appreciation (depreciation) on open FTSE 100 Index, Dow Jones EURO STOXX 50 Index, and E-mini S&P 500 Index futures contracts are required to be treated as realized gain (loss) for tax purposes. 33 Total International Stock Index Fund At October 31, 2014, the fund had open forward currency contracts to receive and deliver currencies as follows. Unrealized appreciation (depreciation) on open forward currency contracts is treated as realized gain (loss) for tax purposes. Counterparty Contract Settlement Date Contract Amount (000) Receive Deliver Unrealized Appreciation (Depreciation) ($000) UBS AG 12/24/14 GBP 137,868 USD 224,726 (4,271) BNP Paribas 12/24/14 EUR 140,611 USD 182,421 (6,151) Bank of America, N.A. 12/23/14 AUD 102,433 USD 91,907 (2,109) Credit Suisse International 12/24/14 GBP 14,247 USD 23,162 (381) Morgan Stanley 12/16/14 JPY 1,842,120 USD 17,195 (786) Morgan Stanley 12/24/14 EUR 11,881 USD 15,383 (489) BNP Paribas 12/24/14 USD 26,884 GBP 16,417 632 Bank of America, N.A. 12/16/14 USD 15,688 JPY 1,708,285 471 BNP Paribas 12/23/14 USD 6,533 AUD 7,319 117 BNP Paribas 12/16/14 USD 3,453 JPY 377,509 90 (12,877) AUD—Australian dollar. EUR—Euro. GBP—British pound. JPY—Japanese yen. USD—U.S. dollar. E. Distributions are determined on a tax basis and may differ from net investment income and realized capital gains for financial reporting purposes. Differences may be permanent or temporary. Permanent differences are reclassified among capital accounts in the financial statements to reflect their tax character. Temporary differences arise when certain items of income, expense, gain, or loss are recognized in different periods for financial statement and tax purposes. These differences will reverse at some time in the future. Differences in classification may also result from the treatment of short-term gains as ordinary income for tax purposes. During the year ended October 31, 2014, the fund realized net foreign currency losses of $30,767,000, which decreased distributable net income for tax purposes; accordingly, such losses have been reclassified from accumulated net realized losses to undistributed net investment income. Certain of the fund’s investments are in securities considered to be passive foreign investment companies, for which any unrealized appreciation and/or realized gains are required to be included in distributable net income for tax purposes. During the year ended October 31, 2014, the fund realized gains on the sale of passive foreign investment companies of $13,748,000, which have been included in current and prior periods’ taxable income; accordingly, such gains have been reclassified from accumulated net realized losses to undistributed net investment income. Passive foreign investment companies held at October 31, 2014, had unrealized appreciation of $381,866,000. 34 Total International Stock Index Fund During the year ended October 31, 2014, the fund realized $4,947,000 of net capital gains resulting from in-kind redemptions—in which shareholders exchanged fund shares for securities held by the fund rather than for cash. Because such gains are not taxable to the fund, and are not distributed to shareholders, they have been reclassified from accumulated net realized losses to paid-in capital. For tax purposes, at October 31, 2014, the fund had $677,321,000 of ordinary income available for distribution. The fund used capital loss carryforwards of $706,293,000 to offset taxable capital gains realized during the year ended October 31, 2014. At October 31, 2014, the fund had available capital losses totaling $463,013,000 to offset future net capital gains through October 31, 2017. At October 31, 2014, the cost of investment securities for tax purposes was $125,168,633,000. Net unrealized appreciation of investment securities for tax purposes was $10,186,336,000, consisting of unrealized gains of $21,504,066,000 on securities that had risen in value since their purchase and $11,317,730,000 in unrealized losses on securities that had fallen in value since their purchase. F. During the year ended October 31, 2014, the fund purchased $30,708,463,000 of investment securities and sold $3,254,273,000 of investment securities, other than temporary cash investments. Purchases and sales include $1,271,335,000 and $9,947,000, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares. G. Capital share transactions for each class of shares were: Year Ended October 31, 2014 Amount ($000) Shares (000) Issued 9,303,349 Issued in Lieu of Cash Distributions 1,523,991 2013 Amount ($000) Shares (000) 563,187 7,729,601 505,198 91,155 1,297,848 86,811 (3,953,231) (237,198) (5,654,937) (365,930) 6,874,109 417,144 3,372,512 226,079 12,409,332 444,554 4,839,204 187,784 728,068 25,999 523,852 20,925 Redeemed (2,428,227) (86,941) (1,871,686) (72,877) Net Increase (Decrease)—Admiral Shares 10,709,173 383,612 3,491,370 135,832 1,413,050 42,230 2,320,703 75,263 129,836 3,891 133,247 4,437 (6,937,411) (207,962) (1,325,074) (42,607) (5,394,525) (161,841) 1,128,876 37,093 4,631,261 41,269 4,566,743 44,639 382,641 3,420 282,389 2,820 Redeemed (2,551,201) (22,745) (2,305,404) (22,352) Net Increase (Decrease)—Institutional Shares 2,462,701 21,944 2,543,728 25,107 Investor Shares Redeemed Net Increase (Decrease)—Investor Shares Admiral Shares Issued1 Issued in Lieu of Cash Distributions Signal Shares Issued Issued in Lieu of Cash Distributions Redeemed1 Net Increase (Decrease)—Signal Shares Institutional Shares Issued Issued in Lieu of Cash Distributions 35 Total International Stock Index Fund Year Ended October 31, 2014 2013 Amount ($000) Shares (000) Amount ($000) Shares (000) 12,404,005 111,084 7,960,601 77,447 903,727 8,072 524,781 5,233 Redeemed (1,142,305) (10,174) (1,665,125) (16,374) Net Increase (Decrease)—Institutional Plus Shares 12,165,427 108,982 6,820,257 66,306 1,253,978 24,021 1,043,278 21,792 — — — — (10,434) (200) (52,914) (1,100) 1,243,544 23,821 990,364 20,692 Institutional Plus Shares Issued Issued in Lieu of Cash Distributions ETF Shares Issued Issued in Lieu of Cash Distributions Redeemed Net Increase (Decrease)—ETF Shares 1 Admiral Shares Issued and Signal Shares Redeemed include $4,028,000,000 from the conversion of Signal Shares to Admiral Shares during the 2014 fiscal year. H. Management has determined that no material events or transactions occurred subsequent to October 31, 2014, that would require recognition or disclosure in these financial statements. 36 Report of Independent Registered Public Accounting Firm To the Board of Trustees of Vanguard STAR Funds and the Shareholders of Vanguard Total International Stock Index Fund: In our opinion, the accompanying statement of net assets—investments summary and the related statements of operations and of changes in net assets and the financial highlights present fairly, in all material respects, the financial position of Vanguard Total International Stock Index Fund (constituting a separate portfolio of Vanguard STAR Funds, hereafter referred to as the “Fund”) at October 31, 2014, the results of its operations for the year then ended, the changes in its net assets for each of the two years in the period then ended, and the financial highlights for each of the periods indicated, in conformity with accounting principles generally accepted in the United States of America. These financial statements and financial highlights (hereafter referred to as “financial statements”) are the responsibility of the Fund’s management. Our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these financial statements in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits, which included confirmation of securities at October 31, 2014 by correspondence with the custodian and brokers, by agreement to the underlying ownership records of the transfer agent and the application of alternative auditing procedures where securities purchased had not been received, provide a reasonable basis for our opinion. /s/PricewaterhouseCoopers LLP Philadelphia, Pennsylvania December 11, 2014 Special 2014 tax information (unaudited) for Vanguard Total International Stock Index Fund This information for the fiscal year ended October 31, 2014, is included pursuant to provisions of the Internal Revenue Code. The fund distributed $2,772,799,000 of qualified dividend income to shareholders during the fiscal year. The fund designates to shareholders foreign source income of $3,602,900,000 and foreign taxes paid of $207,740,000. Shareholders will receive more detailed information with their Form 1099-DIV in January 2014 to determine the calendar-year amounts to be included on their 2014 tax returns. 37 Your Fund’s After-Tax Returns This table presents returns for your fund both before and after taxes. The after-tax returns are shown in two ways: (1) assuming that an investor owned the fund during the entire period and paid taxes on the fund’s distributions, and (2) assuming that an investor paid taxes on the fund’s distributions and sold all shares at the end of each period. Calculations are based on the highest individual federal income tax and capital gains tax rates in effect at the times of the distributions and the hypothetical sales. State and local taxes were not considered. After-tax returns reflect any qualified dividend income, using actual prior-year figures and estimates for 2014. (In the example, returns after the sale of fund shares may be higher than those assuming no sale. This occurs when the sale would have produced a capital loss. The calculation assumes that the investor received a tax deduction for the loss.) The table shows returns for Investor Shares only; returns for other share classes will differ. Please note that your actual after-tax returns will depend on your tax situation and may differ from those shown. Also note that if you own the fund in a tax-deferred account, such as an individual retirement account or a 401(k) plan, this information does not apply to you. Such accounts are not subject to current taxes. Finally, keep in mind that a fund’s performance—whether before or after taxes—does not guarantee future results. Average Annual Total Returns: Total International Stock Index Fund Investor Shares Periods Ended October 31, 2014 One Year Ten Years Returns Before Taxes 1.00% 6.28% 6.41% Returns After Taxes on Distributions -0.05 5.59 5.81 0.91 4.89 5.15 Returns After Taxes on Distributions and Sale of Fund Shares 38 Five Years About Your Fund’s Expenses As a shareholder of the fund, you incur ongoing costs, which include costs for portfolio management, administrative services, and shareholder reports (like this one), among others. Operating expenses, which are deducted from a fund’s gross income, directly reduce the investment return of the fund. A fund’s expenses are expressed as a percentage of its average net assets. This figure is known as the expense ratio. The following examples are intended to help you understand the ongoing costs (in dollars) of investing in your fund and to compare these costs with those of other mutual funds. The examples are based on an investment of $1,000 made at the beginning of the period shown and held for the entire period. The accompanying table illustrates your fund’s costs in two ways: • Based on actual fund return. This section helps you to estimate the actual expenses that you paid over the period. The ”Ending Account Value“ shown is derived from the fund�s actual return, and the third column shows the dollar amount that would have been paid by an investor who started with $1,000 in the fund. You may use the information here, together with the amount you invested, to estimate the expenses that you paid over the period. To do so, simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number given for your fund under the heading ”Expenses Paid During Period.“ • Based on hypothetical 5% yearly return. This section is intended to help you compare your fund�s costs with those of other mutual funds. It assumes that the fund had a yearly return of 5% before expenses, but that the expense ratio is unchanged. In this case—because the return used is not the fund’s actual return—the results do not apply to your investment. The example is useful in making comparisons because the Securities and Exchange Commission requires all mutual funds to calculate expenses based on a 5% return. You can assess your fund’s costs by comparing this hypothetical example with the hypothetical examples that appear in shareholder reports of other funds. Note that the expenses shown in the table are meant to highlight and help you compare ongoing costs only and do not reflect transaction costs incurred by the fund for buying and selling securities. Further, the expenses do not include any purchase, redemption, or account service fees described in the fund prospectus. If such fees were applied to your account, your costs would be higher. Your fund does not carry a “sales load.” The calculations assume no shares were bought or sold during the period. Your actual costs may have been higher or lower, depending on the amount of your investment and the timing of any purchases or redemptions. You can find more information about the fund’s expenses, including annual expense ratios, in the Financial Statements section of this report. For additional information on operating expenses and other shareholder costs, please refer to your fund’s current prospectus. 39 Six Months Ended October 31, 2014 Beginning Account Value 4/30/2014 Ending Account Value 10/31/2014 Expenses Paid During Period Investor Shares $1,000.00 $975.98 $1.10 Admiral Shares 1,000.00 976.78 0.70 Institutional Shares 1,000.00 976.84 0.60 Institutional Plus Shares 1,000.00 976.95 0.50 ETF Shares 1,000.00 976.88 0.70 Investor Shares $1,000.00 $1,024.10 $1.12 Admiral Shares 1,000.00 1,024.50 0.71 Institutional Shares 1,000.00 1,024.60 0.61 Institutional Plus Shares 1,000.00 1,024.70 0.51 ETF Shares 1,000.00 1,024.50 0.71 Total International Stock Index Fund Based on Actual Fund Return Based on Hypothetical 5% Yearly Return The calculations are based on expenses incurred in the most recent six-month period. The fund’s annualized six-month expense ratios for that period are 0.22% for Investor Shares, 0.14% for Admiral Shares, 0.12% for Institutional Shares, 0.10% for Institutional Plus Shares, and 0.14% for ETF Shares. The dollar amounts shown as “Expenses Paid” are equal to the annualized expense ratio multiplied by the average account value over the period, multiplied by the number of days in the most recent six-month period, then divided by the number of days in the most recent 12-month period. 40 Glossary Beta. A measure of the magnitude of a fund’s past share-price fluctuations in relation to the ups and downs of a given market index. The index is assigned a beta of 1.00. Compared with a given index, a fund with a beta of 1.20 typically would have seen its share price rise or fall by 12% when the index rose or fell by 10%. For this report, beta is based on returns over the past 36 months for both the fund and the index. Note that a fund’s beta should be reviewed in conjunction with its R-squared (see definition). The lower the R-squared, the less correlation there is between the fund and the index, and the less reliable beta is as an indicator of volatility. Dividend Yield. Dividend income earned by stocks, expressed as a percentage of the aggregate market value (or of net asset value, for a fund). The yield is determined by dividing the amount of the annual dividends by the aggregate value (or net asset value) at the end of the period. For a fund, the dividend yield is based solely on stock holdings and does not include any income produced by other investments. Earnings Growth Rate. The average annual rate of growth in earnings over the past five years for the stocks now in a fund. Equity Exposure. A measure that reflects a fund’s investments in stocks and stock futures. Any holdings in short-term reserves are excluded. Expense Ratio. A fund’s total annual operating expenses expressed as a percentage of the fund’s average net assets. The expense ratio includes management and administrative expenses, but does not include the transaction costs of buying and selling portfolio securities. Inception Date. The date on which the assets of a fund (or one of its share classes) are first invested in accordance with the fund’s investment objective. For funds with a subscription period, the inception date is the day after that period ends. Investment performance is measured from the inception date. Median Market Cap. An indicator of the size of companies in which a fund invests; the midpoint of market capitalization (market price x shares outstanding) of a fund’s stocks, weighted by the proportion of the fund’s assets invested in each stock. Stocks representing half of the fund’s assets have market capitalizations above the median, and the rest are below it. Price/Book Ratio. The share price of a stock divided by its net worth, or book value, per share. For a fund, the weighted average price/book ratio of the stocks it holds. Price/Earnings Ratio. The ratio of a stock’s current price to its per-share earnings over the past year. For a fund, the weighted average P/E of the stocks it holds. P/E is an indicator of market expectations about corporate prospects; the higher the P/E, the greater the expectations for a company’s future growth. R-Squared. A measure of how much of a fund’s past returns can be explained by the returns from the market in general, as measured by a given index. If a fund’s total returns were precisely synchronized with an index’s returns, its R-squared would be 1.00. If the fund’s returns bore no relationship to the index’s returns, its R-squared would be 0. For this report, R-squared is based on returns over the past 36 months for both the fund and the index. 41 Return on Equity. The annual average rate of return generated by a company during the past five years for each dollar of shareholder’s equity (net income divided by shareholder’s equity). For a fund, the weighted average return on equity for the companies whose stocks it holds. Short-Term Reserves. The percentage of a fund invested in highly liquid, short-term securities that can be readily converted to cash. Turnover Rate. An indication of the fund’s trading activity. Funds with high turnover rates incur higher transaction costs and may be more likely to distribute capital gains (which may be taxable to investors). The turnover rate excludes in-kind transactions, which have minimal impact on costs. Benchmark Information Spliced Total International Stock Index: Total International Composite Index through August 31, 2006; MSCI EAFE + Emerging Markets Index through December 15, 2010; MSCI ACWI ex USA IMI Index through June 2, 2013; and FTSE Global All Cap ex US Index thereafter. Benchmark returns are adjusted for withholding taxes. 42 The People Who Govern Your Fund The trustees of your mutual fund are there to see that the fund is operated and managed in your best interests since, as a shareholder, you are a part owner of the fund. Your fund’s trustees also serve on the board of directors of The Vanguard Group, Inc., which is owned by the Vanguard funds and provides services to them on an at-cost basis. A majority of Vanguard’s board members are independent, meaning that they have no affiliation with Vanguard or the funds they oversee, apart from the sizable personal investments they have made as private individuals. The independent board members have distinguished backgrounds in business, academia, and public service. Each of the trustees and executive officers oversees 177 Vanguard funds. The following table provides information for each trustee and executive officer of the fund. More information about the trustees is in the Statement of Additional Information, which can be obtained, without charge, by contacting Vanguard at 800-662-7447, or online at vanguard.com. Interested Trustee1 F. William McNabb III Born 1957. Trustee Since July 2009. Chairman of the Board. Principal Occupation(s) During the Past Five Years: Chairman of the Board of The Vanguard Group, Inc., and of each of the investment companies served by The Vanguard Group, since January 2010; Director of The Vanguard Group since 2008; Chief Executive Officer and President of The Vanguard Group, and of each of the investment companies served by The Vanguard Group, since 2008; Director of Vanguard Marketing Corporation; Managing Director of The Vanguard Group (1995–2008). Independent Trustees Emerson U. Fullwood Born 1948. Trustee Since January 2008. Principal Occupation(s) During the Past Five Years: Executive Chief Staff and Marketing Officer for North America and Corporate Vice President (retired 2008) of Xerox Corporation (document management products and services); Executive in Residence and 2009–2010 Distinguished Minett Professor at the Rochester Institute of Technology; Director of SPX Corporation (multi-industry manufacturing), the United Way of Rochester, Amerigroup Corporation (managed health care), the University of Rochester Medical Center, Monroe Community College Foundation, and North Carolina A&T University. Rajiv L. Gupta Born 1945. Trustee Since December 2001. 2 Principal Occupation(s) During the Past Five Years: Chairman and Chief Executive Officer (retired 2009) and President (2006–2008) of Rohm and Haas Co. (chemicals); Director of Tyco International, Ltd. (diversified manufacturing and services), HewlettPackard Co. (electronic computer manufacturing), and Delphi Automotive LLP (automotive components); Senior Advisor at New Mountain Capital. Amy Gutmann Born 1949. Trustee Since June 2006. Principal Occupation(s) During the Past Five Years: President of the University of Pennsylvania; Christopher H. Browne Distinguished Professor of Political Science, School of Arts and Sciences, and Professor of Communication, Annenberg School for Communication, with secondary faculty appointments in the Department of Philosophy, School of Arts and Sciences, and at the Graduate School of Education, University of Pennsylvania; Trustee of the National Constitution Center; Chair of the Presidential Commission for the Study of Bioethical Issues. JoAnn Heffernan Heisen Born 1950. Trustee Since July 1998. Principal Occupation(s) During the Past Five Years: Corporate Vice President and Chief Global Diversity Officer (retired 2008) and Member of the Executive Committee (1997–2008) of Johnson & Johnson (pharmaceuticals/medical devices/consumer products); Director of Skytop Lodge Corporation (hotels), the University Medical Center at Princeton, the Robert Wood Johnson Foundation, and the Center for Talent Innovation; Member of the Advisory Board of the Maxwell School of Citizenship and Public Affairs at Syracuse University. F. Joseph Loughrey Born 1949. Trustee Since October 2009. Principal Occupation(s) During the Past Five Years: President and Chief Operating Officer (retired 2009) of Cummins Inc. (industrial machinery); Chairman of the Board of Hillenbrand, Inc. (specialized consumer services), and of Oxfam America; Director of SKF AB (industrial machinery), Hyster-Yale Materials Handling, Inc. (forklift trucks), the Lumina Foundation for Education, and the V Foundation for Cancer Research; Member of the Advisory Council for the College of Arts and Letters and of the Advisory Board to the Kellogg Institute for International Studies, both at the University of Notre Dame. Mark Loughridge Born 1953. Trustee Since March 2012. Principal Occupation(s) During the Past Five Years: Senior Vice President and Chief Financial Officer (retired 2013) at IBM (information technology services); Fiduciary Member of IBM’s Retirement Plan Committee (2004– 2013); Member of the Council on Chicago Booth. Scott C. Malpass Born 1962. Trustee Since March 2012. Principal Occupation(s) During the Past Five Years: Chief Investment Officer and Vice President at the University of Notre Dame; Assistant Professor of Finance at the Mendoza College of Business at Notre Dame; Member of the Notre Dame 403(b) Investment Committee; Board Member of TIFF Advisory Services, Inc. (investment advisor); Member of the Investment Advisory Committees of the Financial Industry Regulatory Authority (FINRA) and of Major League Baseball. André F. Perold Born 1952. Trustee Since December 2004. Principal Occupation(s) During the Past Five Years: George Gund Professor of Finance and Banking, Emeritus at the Harvard Business School (retired 2011); Chief Investment Officer and Managing Partner of HighVista Strategies LLC (private investment firm); Director of Rand Merchant Bank; Overseer of the Museum of Fine Arts Boston. Alfred M. Rankin, Jr. Born 1941. Trustee Since January 1993. Principal Occupation(s) During the Past Five Years: Chairman, President, and Chief Executive Officer of NACCO Industries, Inc. (housewares/lignite), and of HysterYale Materials Handling, Inc. (forklift trucks); Chairman of the Board of University Hospitals of Cleveland. Peter F. Volanakis Born 1955. Trustee Since July 2009. Principal Occupation(s) During the Past Five Years: President and Chief Operating Officer (retired 2010) of Corning Incorporated (communications equipment); Trustee of Colby-Sawyer College; Member of the Advisory Board of the Norris Cotton Cancer Center and of the Advisory Board of the Parthenon Group (strategy consulting). Executive Officers Glenn Booraem Born 1967. Controller Since July 2010. Principal Occupation(s) During the Past Five Years: Principal of The Vanguard Group, Inc.; Controller of each of the investment companies served by The Vanguard Group; Assistant Controller of each of the investment companies served by The Vanguard Group (2001–2010). Thomas J. Higgins Born 1957. Chief Financial Officer Since September 2008. Principal Occupation(s) During the Past Five Years: Principal of The Vanguard Group, Inc.; Chief Financial Officer of each of the investment companies served by The Vanguard Group; Treasurer of each of the investment companies served by The Vanguard Group (1998–2008). Kathryn J. Hyatt Born 1955. Treasurer Since November 2008. Principal Occupation(s) During the Past Five Years: Principal of The Vanguard Group, Inc.; Treasurer of each of the investment companies served by The Vanguard Group; Assistant Treasurer of each of the investment companies served by The Vanguard Group (1988–2008). Heidi Stam Born 1956. Secretary Since July 2005. Principal Occupation(s) During the Past Five Years: Managing Director of The Vanguard Group, Inc.; General Counsel of The Vanguard Group; Secretary of The Vanguard Group and of each of the investment companies served by The Vanguard Group; Director and Senior Vice President of Vanguard Marketing Corporation. Vanguard Senior Management Team Mortimer J. Buckley Kathleen C. Gubanich Paul A. Heller Martha G. King John T. Marcante Chris D. McIsaac Michael S. Miller James M. Norris Glenn W. Reed Chairman Emeritus and Senior Advisor John J. Brennan Chairman, 1996–2009 Chief Executive Officer and President, 1996–2008 Founder John C. Bogle Chairman and Chief Executive Officer, 1974–1996 1 Mr. McNabb is considered an “interested person,” as defined in the Investment Company Act of 1940, because he is an officer of the Vanguard funds. 2 December 2002 for Vanguard Equity Income Fund, the Vanguard Municipal Bond Funds, and the Vanguard State Tax-Exempt Funds. P.O. Box 2600 Valley Forge, PA 19482-2600 Connect with Vanguard® > vanguard.com Fund Information > 800-662-7447 Direct Investor Account Services > 800-662-2739 Institutional Investor Services > 800-523-1036 Text Telephone for People Who Are Deaf or Hard of Hearing > 800-749-7273 This material may be used in conjunction with the offering of shares of any Vanguard fund only if preceded or accompanied by the fund’s current prospectus. All comparative mutual fund data are from Lipper, a Thomson Reuters Company, or Morningstar, Inc., unless otherwise noted. You can obtain a free copy of Vanguard’s proxy voting guidelines by visiting vanguard.com/proxyreporting or by calling Vanguard at 800-662-2739. The guidelines are also available from the SEC’s website, sec.gov. In addition, you may obtain a free report on how your fund voted the proxies for securities it owned during the 12 months ended June 30. To get the report, visit either vanguard.com/proxyreporting or sec.gov. You can review and copy information about your fund at the SEC’s Public Reference Room in Washington, D.C. To find out more about this public service, call the SEC at 202-551-8090. Information about your fund is also available on the SEC’s website, and you can receive copies of this information, for a fee, by sending a request in either of two ways: via e-mail addressed to publicinfo@sec.gov or via regular mail addressed to the Public Reference Section, Securities and Exchange Commission, Washington, DC 20549-1520. © 2014 The Vanguard Group, Inc. All rights reserved. Vanguard Marketing Corporation, Distributor. Q1130 122014 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 390 — 10,203,463 20,348,892 19,529,633 17,478,899 15,001,031 7,219,867 7,781,480 3,249,018 4,542,266 2,761,633 27,792,000 8,162,973 32,841,616 1,848,188 18,562,036 6,879,798 8,501,464 12,246,929 14,567,505 9,842,871 11,387,852 7,649,598 6,056,498 7,271,639 14,607,464 12,990,096 10,845,140 4,180,206 3,406,755 2,307,313 2,507,012 11,196,187 36,542,295 1,218,485 818,060 4,724,082 23,256,200 5,137,015 6,196,336 3,138,895 10,195,134 2,125,799 2,407,404 2,780,927 2,759,677 3,405,852 8,743,031 10,316,812 14,201,927 6,623,224 2,183,720 856,506 361,910 3,671,728 3,936,801 15,416,603 9,069,804 4,876,338 4,263,437 725,720 607,367 600,489 517,295 463,608 281,522 247,163 230,027 160,920 147,359 138,012 105,591 102,749 99,901 95,975 86,682 86,530 85,826 83,866 82,902 81,840 79,162 69,023 55,470 54,827 53,735 53,122 50,072 47,111 42,057 41,354 40,705 39,076 38,705 37,743 37,703 36,851 35,688 34,310 34,032 31,627 31,161 30,795 30,542 30,323 27,482 26,777 26,560 26,335 25,769 24,330 23,490 23,464 22,524 22,286 22,273 21,796 21,600 21,352 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ Common Stocks (99.5%)1 Argentina (0.0%) Siderar SAIC Class A __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ Australia (5.5%) Commonwealth Bank of Australia BHP Billiton Ltd. Westpac Banking Corp. Australia & New Zealand Banking Group Ltd. National Australia Bank Ltd. Wesfarmers Ltd. Woolworths Ltd. CSL Ltd. Woodside Petroleum Ltd. Rio Tinto Ltd. Telstra Corp. Ltd. Suncorp Group Ltd. * Scentre Group Macquarie Group Ltd. AMP Ltd. Origin Energy Ltd. QBE Insurance Group Ltd. * Westfield Corp. Insurance Australia Group Ltd. Brambles Ltd. Transurban Group Amcor Ltd. Santos Ltd. Oil Search Ltd. Stockland Aurizon Holdings Ltd. Goodman Group AGL Energy Ltd. Lend Lease Group Orica Ltd. Sonic Healthcare Ltd. GPT Group Dexus Property Group ASX Ltd. Ramsay Health Care Ltd. * Newcrest Mining Ltd. Mirvac Group APA Group Asciano Ltd. Computershare Ltd. Fortescue Metals Group Ltd. Seek Ltd. Crown Resorts Ltd. James Hardie Industries plc Bendigo & Adelaide Bank Ltd. Coca-Cola Amatil Ltd. Tatts Group Ltd. Incitec Pivot Ltd. Novion Property Group Sydney Airport Bank of Queensland Ltd. Caltex Australia Ltd. Cochlear Ltd. Challenger Ltd. Aristocrat Leisure Ltd. * Alumina Ltd. Federation Centres Boral Ltd. Toll Holdings Ltd. 1 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 5,208,392 2,656,871 972,001 7,831,982 4,074,155 4,640,713 1,368,856 3,536,015 1,898,522 5,587,904 331,587 351,884 10,608,295 1,289,059 634,907 2,979,001 3,824,399 2,354,855 1,817,768 7,571,979 2,707,244 275,379 2,321,201 3,237,355 7,092,001 1,958,522 1,006,994 3,179,642 4,377,858 387,322 2,097,183 1,940,934 2,675,229 1,137,246 622,728 2,836,296 2,897,294 8,069,653 1,426,674 9,227,455 10,690,437 640,890 2,727,426 1,081,179 3,673,996 694,064 3,303,081 1,867,151 1,967,048 3,808,566 2,587,271 785,117 291,767 1,950,771 874,589 4,095,217 1,211,526 1,050,726 4,178,546 11,185,480 3,674,482 543,461 845,464 886,477 18,062 17,601 17,076 16,980 16,718 16,668 16,408 16,392 15,158 13,968 13,279 13,031 12,872 12,357 12,347 12,242 12,012 11,727 11,673 11,616 11,357 11,323 10,965 10,856 10,546 10,033 9,916 9,691 9,460 9,297 9,251 9,062 8,852 8,783 8,570 8,413 8,374 8,306 8,286 8,104 7,705 7,631 7,547 7,502 7,442 7,433 7,345 7,205 7,061 6,932 6,925 6,839 6,692 6,684 6,584 6,542 6,540 6,463 6,339 6,304 6,290 6,020 5,979 5,736 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * ^ ^ * * *,^ ^ ^ *,^ ^ ^ Echo Entertainment Group Ltd. Iluka Resources Ltd. Ansell Ltd. DUET Group Treasury Wine Estates Ltd. Tabcorp Holdings Ltd. WorleyParsons Ltd. BlueScope Steel Ltd. IOOF Holdings Ltd. Metcash Ltd. REA Group Ltd. Flight Centre Travel Group Ltd. AusNet Services carsales.com Ltd. Leighton Holdings Ltd. Primary Health Care Ltd. Investa Office Fund ALS Ltd. TPG Telecom Ltd. Orora Ltd. Downer EDI Ltd. Perpetual Ltd. DuluxGroup Ltd. Harvey Norman Holdings Ltd. Qantas Airways Ltd. Recall Holdings Ltd. Sims Metal Management Ltd. CSR Ltd. Qube Holdings Ltd. Domino's Pizza Enterprises Ltd. G8 Education Ltd. Navitas Ltd. Liquefied Natural Gas Ltd. GrainCorp Ltd. Class A JB Hi-Fi Ltd. Adelaide Brighton Ltd. nib holdings Ltd. Beach Energy Ltd. Platinum Asset Management Ltd. Cromwell Property Group Fairfax Media Ltd. Magellan Financial Group Ltd. Ardent Leisure Group M2 Group Ltd. Veda Group Ltd. Invocare Ltd. BWP Trust Charter Hall Group Charter Hall Retail REIT Nine Entertainment Co. Holdings Ltd. Macquarie Atlas Roads Group Iress Ltd. Sirtex Medical Ltd. OZ Minerals Ltd. Mineral Resources Ltd. Shopping Centres Australasia Property Group Slater & Gordon Ltd. UGL Ltd. Seven West Media Ltd. Goodman Fielder Ltd. Myer Holdings Ltd. Monadelphous Group Ltd. iiNET Ltd. Super Retail Group Ltd. 2 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 1,423,764 3,770,457 3,300,474 6,605,156 17,552,598 7,398,520 3,690,020 1,460,899 1,276,457 809,081 3,109,911 1,089,005 1,729,802 1,962,389 499,666 951,332 958,852 1,282,154 388,139 2,361,149 1,321,718 1,743,663 1,088,370 513,969 1,125,032 2,280,475 617,265 813,985 1,045,036 725,702 1,334,005 7,193,081 543,308 771,454 3,191,849 1,675,764 3,466,623 586,770 1,525,882 2,432,883 1,354,893 312,005 896,808 3,355,374 1,458,678 4,237,517 435,926 529,360 2,068,361 1,053,443 2,229,744 883,280 774,342 4,256,553 950,626 6,012,059 7,330,704 2,382,351 374,543 7,709,017 11,312,430 1,081,737 1,158,865 1,611,873 5,719 5,705 5,548 5,243 5,200 5,066 4,950 4,925 4,903 4,868 4,814 4,773 4,756 4,744 4,723 4,719 4,705 4,592 4,501 4,315 4,187 4,155 4,044 3,908 3,788 3,753 3,724 3,721 3,567 3,567 3,488 3,402 3,370 3,362 3,288 3,258 3,237 3,234 3,035 3,010 2,993 2,942 2,931 2,909 2,871 2,803 2,758 2,745 2,703 2,655 2,645 2,624 2,621 2,585 2,542 2,493 2,484 2,479 2,459 2,378 2,265 2,258 2,253 2,199 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * *,^ ^ * * *,^ * *,^ * * * * * * ^ *,^ * * * *,^ * * Independence Group NL PanAust Ltd. Transfield Services Ltd. Transpacific Industries Group Ltd. Arrium Ltd. Sigma Pharmaceuticals Ltd. Whitehaven Coal Ltd. Automotive Holdings Group Ltd. Western Areas Ltd. Breville Group Ltd. AWE Ltd. Nufarm Ltd. Sirius Resources NL GWA Group Ltd. Premier Investments Ltd. Sandfire Resources NL Cardno Ltd. SAI Global Ltd. ARB Corp. Ltd. Aveo Group FlexiGroup Ltd. Abacus Property Group Mesoblast Ltd. Greencross Ltd. Pact Group Holdings Ltd. Mermaid Marine Australia Ltd. Seven Group Holdings Ltd. Bega Cheese Ltd. Bradken Ltd. Retail Food Group Ltd. Karoon Gas Australia Ltd. Senex Energy Ltd. Village Roadshow Ltd. Cabcharge Australia Ltd. Sundance Energy Australia Ltd. Cover-More Group Ltd. Northern Star Resources Ltd. BT Investment Management Ltd. New Hope Corp. Ltd. Australian Agricultural Co. Ltd. OzForex Group Ltd. McMillan Shakespeare Ltd. Tassal Group Ltd. Southern Cross Media Group Ltd. Amcom Telecommunications Ltd. APN News & Media Ltd. GUD Holdings Ltd. Vocus Communications Ltd. Steadfast Group Ltd. Growthpoint Properties Australia Ltd. Regis Resources Ltd. Technology One Ltd. Syrah Resources Ltd. Roc Oil Co. Ltd. Ainsworth Game Technology Ltd. Pacific Brands Ltd. Virgin Australia Holdings Ltd. Drillsearch Energy Ltd. Virtus Health Ltd. Energy World Corp. Ltd. Ten Network Holdings Ltd. SKILLED Group Ltd. Dick Smith Holdings Ltd. TFS Corp. Ltd. 3 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 830,657 1,399,930 74,425 3,208,618 351,643 2,822,267 937,749 3,549,945 7,936,354 2,008,659 240,220 6,324,630 2,443,120 988,669 749,068 1,773,073 4,262,608 790,316 2,008,097 5,486,402 667,490 1,325,409 510,139 2,867,930 436,390 6,435,008 638,003 363,206 185,127 881,484 1,139,805 812,738 1,035,336 1,636,672 747,582 4,647,810 996,540 1,685,958 1,953,210 4,383,020 4,705,279 1,609,262 1,000,202 3,500,881 4,422,465 3,591,108 16,268,629 1,642,190 107,626 1,347,985 1,524,457 3,435,073 1,014,047 481,811 13,665,171 1,471,028 1,662,839 573,281 3,314,276 66,577 2,781,424 1,186,419 833,488 623,537 2,195 2,176 2,161 2,151 2,147 2,146 2,089 2,083 2,065 2,049 2,048 1,824 1,774 1,736 1,705 1,702 1,700 1,700 1,661 1,627 1,601 1,564 1,543 1,521 1,507 1,483 1,429 1,419 1,351 1,335 1,330 1,303 1,265 1,198 1,198 1,146 1,134 1,124 1,085 1,065 1,018 974 969 953 944 918 892 866 858 829 827 819 810 808 797 779 724 696 658 652 640 627 620 595 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * *,^ *,^ *,^ *,^ *,^ ^ ^ *,^ * ^ ^ *,^ * *,^ *,^ * *,^ *,^ ^ * *,^ *,^ *,^ *,^ *,^ *,^ * ^ *,^ * * *,^ *,^ *,^ ^ Wotif.com Holdings Ltd. Platinum Capital Ltd. Blackmores Ltd. Mayne Pharma Group Ltd. Cedar Woods Properties Ltd. GDI Property Group Thorn Group Ltd. Billabong International Ltd. Horizon Oil Ltd. STW Communications Group Ltd. Credit Corp. Group Ltd. Paladin Energy Ltd. Australian Pharmaceutical Industries Ltd. NEXTDC Ltd. Programmed Maintenance Services Ltd. Cash Converters International Ltd. Mount Gibson Iron Ltd. Tox Free Solutions Ltd. Linc Energy Ltd. Atlas Iron Ltd. RCR Tomlinson Ltd. Hills Ltd. Webjet Ltd. Evolution Mining Ltd. SMS Management & Technology Ltd. Tiger Resources Ltd. iProperty Group Ltd. Astro Japan Property Group Reject Shop Ltd. Sunland Group Ltd. MACA Ltd. ERM Power Ltd. CuDeco Ltd. UXC Ltd. Decmil Group Ltd. Indophil Resources NL Energy Resources of Australia Ltd. NRW Holdings Ltd. Starpharma Holdings Ltd. Saracen Mineral Holdings Ltd. Boart Longyear Ltd. Buru Energy Ltd. Acrux Ltd. Resolute Mining Ltd. Beadell Resources Ltd. Perseus Mining Ltd. Sundance Resources Ltd. Ausdrill Ltd. Newcrest Mining Ltd. ADR Kingsgate Consolidated Ltd. Tap Oil Ltd. Infigen Energy Vocation Ltd. Oakton Ltd. Lynas Corp. Ltd. Panoramic Resources Ltd. Crowe Horwath Australasia Ltd. Mineral Deposits Ltd. Intrepid Mines Ltd. Sims Metal Management Ltd. ADR Silver Lake Resources Ltd. Imdex Ltd. Watpac Ltd. BC Iron Ltd. 4 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 1,164,902 3,496,582 341,941 5,743,072 913,826 948,043 884,942 3,024,191 1,302,691 2,282,838 3,440 5,925,255 593 570 521 500 494 470 452 426 420 241 129 68 ___________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * * *,^ *,^ *,^ *,^ * * * Medusa Mining Ltd. Emeco Holdings Ltd. Fleetwood Corp. Ltd. Macmahon Holdings Ltd. Mincor Resources NL Troy Resources Ltd. Silex Systems Ltd. Gunns Ltd. Kingsrose Mining Ltd. Kagara Ltd. Gunns Ltd. Nexus Energy Ltd. 7,365,907 Austria (0.2%) Erste Group Bank AG OMV AG Voestalpine AG ANDRITZ AG * IMMOFINANZ AG Raiffeisen Bank International AG Vienna Insurance Group AG Wiener Versicherung Gruppe Oesterreichische Post AG CA Immobilien Anlagen AG Wienerberger AG ^ Verbund AG Schoeller-Bleckmann Oilfield Equipment AG Flughafen Wien AG BUWOG AG Atrium European Real Estate Ltd. Mayr Melnhof Karton AG Conwert Immobilien Invest SE RHI AG Zumtobel Group AG Lenzing AG Semperit AG Holding S IMMO AG Strabag SE EVN AG Telekom Austria AG Palfinger AG * Kapsch TrafficCom AG 1,849,553 913,506 711,220 461,081 6,086,491 744,628 242,031 214,579 510,576 728,920 419,524 70,689 65,718 321,084 1,044,114 50,746 381,357 160,799 173,437 52,451 60,270 339,210 117,037 190,349 305,251 69,253 28,349 47,232 28,758 28,486 22,281 18,419 15,983 11,649 10,481 9,783 8,816 8,492 6,103 6,033 5,931 5,468 5,443 4,231 4,124 3,059 3,032 2,990 2,612 2,535 2,411 2,287 1,613 597 ___________ 268,849 Belgium (0.9%) Anheuser-Busch InBev NV * KBC Groep NV UCB SA Solvay SA Class A Ageas Delhaize Group SA Groupe Bruxelles Lambert SA Belgacom SA Umicore SA RTL Group SA Ackermans & van Haaren NV Colruyt SA * Telenet Group Holding NV bpost SA Cofinimmo SA Sofina SA Elia System Operator SA Befimmo SA 5,057,692 1,746,022 773,287 357,210 1,345,010 643,357 491,259 887,598 697,866 246,197 156,902 428,106 309,716 631,872 109,545 107,762 166,985 104,187 5 560,516 93,769 62,475 48,731 44,949 44,020 43,906 33,513 27,339 23,015 19,570 19,515 17,533 15,648 12,723 11,678 8,284 8,033 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 194,715 226,423 1,967,134 171,884 134,793 120,984 473,019 70,096 44,158 186,181 51,299 110,133 97,242 1,032,118 422,946 351,501 125,032 109,031 42,807 59,850 179,804 11,488 42,464 2,875,273 7,794 7,118 6,633 6,229 6,158 5,498 5,016 5,007 4,778 3,994 3,781 2,860 2,819 2,604 2,306 2,271 2,185 2,132 1,983 1,940 1,582 1,400 1,173 98 ___________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ *,^ *,^ * *,^ * * * * ^ *,^ *,^ Arseus NV NV Bekaert SA Nyrstar (Voting Shares) D'ieteren SA Melexis NV Gimv NV Euronav NV Warehouses De Pauw SCA Cie d'Entreprises CFE Mobistar SA Barco NV Tessenderlo Chemie NV (Voting Shares) KBC Ancora AGFA-Gevaert NV RHJ International SA Econocom Group SA Ion Beam Applications Cie Maritime Belge SA Van de Velde NV EVS Broadcast Equipment SA ThromboGenics NV Wereldhave Belgium NV Intervest Offices & Warehouses NV Dexia SA 1,182,576 Brazil (2.1%) Itau Unibanco Holding SA Preference Shares AMBEV SA Banco Bradesco SA Preference Shares Petroleo Brasileiro SA Preference Shares BRF SA Petroleo Brasileiro SA Itau Unibanco Holding SA ADR Itausa - Investimentos Itau SA Preference Shares Cielo SA Vale SA Preference Shares Kroton Educacional SA Banco do Brasil SA Banco Bradesco SA ADR Vale SA Ultrapar Participacoes SA BB Seguridade Participacoes SA BM&FBovespa SA Petroleo Brasileiro SA ADR AMBEV SA ADR Banco Bradesco SA CCR SA Vale SA Class B ADR Petroleo Brasileiro SA ADR BRF SA ADR Embraer SA Telefonica Brasil SA Preference Shares Vale SA Class B ADR Lojas Renner SA Cia Brasileira de Distribuicao Grupo Pao de Acucar Preference Shares Tim Participacoes SA * Banco Santander SA BR Malls Participacoes SA WEG SA Grupo BTG Pactual JBS SA Lojas Americanas SA Preference Shares Souza Cruz SA Estacio Participacoes SA 10,231,725 22,320,570 9,353,946 19,098,361 4,415,353 18,208,687 6,136,349 19,948,208 4,582,702 8,293,218 9,637,216 5,431,502 4,004,550 5,818,093 2,431,116 3,803,382 11,464,529 4,121,524 7,340,516 3,194,785 5,501,377 4,045,409 2,697,186 1,114,368 2,984,281 1,332,900 2,553,789 799,000 556,702 4,185,638 7,316,494 2,719,876 1,734,380 1,611,744 4,511,014 3,310,420 2,421,426 1,636,487 6 151,836 147,771 140,898 117,471 115,013 107,286 90,572 79,603 75,195 72,162 68,668 60,784 59,988 58,685 52,982 50,740 50,448 50,406 49,035 47,058 40,953 35,438 31,557 29,029 28,831 27,245 25,768 23,885 23,307 22,754 22,441 21,838 20,464 20,416 20,106 19,543 19,543 18,944 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 1,326,032 3,126,478 1,386,013 3,819,368 2,380,310 3,345,333 1,080,181 366,124 1,130,066 1,570,554 367,303 1,359,071 905,926 877,614 1,170,961 1,539,760 556,151 289,794 20,461,451 481,687 1,261,094 810,455 702,494 1,432,707 1,759,641 889,255 1,549,030 2,622,981 665,653 1,694,519 1,541,400 1,889,406 823,400 2,781,674 734,602 603,062 1,620,278 609,770 915,690 1,089,696 1,267,249 1,777,435 1,878,712 1,678,996 2,596,902 1,799,189 1,501,782 207,108 1,271,162 344,898 3,188,168 713,246 285,000 343,256 955,325 8,313,914 604,160 290,339 589,677 378,443 301,550 8,449,332 200,000 295,550 18,051 17,950 17,532 17,107 16,608 16,538 15,694 15,304 14,905 14,242 14,193 13,823 13,051 12,791 11,546 11,545 11,368 11,261 10,755 9,959 9,870 9,817 9,805 9,681 9,528 8,971 8,953 8,714 8,678 8,420 8,182 7,984 7,907 7,597 7,495 7,375 7,340 7,309 7,106 6,510 6,403 6,389 6,214 6,066 5,971 5,901 5,863 5,700 5,681 5,534 5,457 5,219 4,926 4,840 4,689 4,598 4,568 4,567 4,382 4,309 4,229 4,161 4,155 4,129 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * * * * * *,^ * ^ * * Tractebel Energia SA Cia Energetica de Minas Gerais Preference Shares CETIP SA - Mercados Organizados Gerdau SA Preference Shares Hypermarcas SA Klabin SA Natura Cosmeticos SA Cia Brasileira de Distribuicao ADR Itau Unibanco Holding SA Raia Drogasil SA Embraer SA ADR Qualicorp SA Localiza Rent a Car SA Totvs SA Cia Energetica de Sao Paulo Preference Shares CPFL Energia SA Telefonica Brasil SA ADR M Dias Branco SA Oi SA Preference Shares Multiplan Empreendimentos Imobiliarios SA Cia de Saneamento Basico do Estado de Sao Paulo Fibria Celulose SA Cosan SA Industria e Comercio Bradespar SA Preference Shares Metalurgica Gerdau SA Preference Shares Class A Cia Hering Cia Energetica de Minas Gerais ADR Cia Siderurgica Nacional SA B2W Cia Digital Cyrela Brazil Realty SA Empreendimentos e Participacoes Sul America SA Suzano Papel e Celulose SA Preference Shares Class A Via Varejo SA ALL - America Latina Logistica SA Equatorial Energia SA Fibria Celulose SA ADR Gerdau SA ADR Porto Seguro SA Cia de Saneamento Basico do Estado de Sao Paulo ADR Banco do Estado do Rio Grande do Sul SA Preference Shares BR Properties SA Duratex SA MRV Engenharia e Participacoes SA Odontoprev SA Usinas Siderurgicas de Minas Gerais SA Preference Shares Cia Siderurgica Nacional SA ADR EDP - Energias do Brasil SA Tim Participacoes SA ADR EcoRodovias Infraestrutura e Logistica SA Valid Solucoes e Servicos de Seguranca em Meios de Pagamento e Identificacao S.A Marcopolo SA Preference Shares Braskem SA Preference Shares Smiles SA Cia Paranaense de Energia ADR Lojas Americanas SA Oi SA AES Tiete SA Preference Shares Sao Martinho SA Transmissora Alianca de Energia Eletrica SA Cia de Saneamento de Minas Gerais-COPASA Multiplus SA PDG Realty SA Empreendimentos e Participacoes Linx SA Cia Paranaense de Energia Preference Shares 7 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 1,679,752 381,900 1,017,368 516,140 452,693 223,619 491,523 267,314 460,400 500,706 544,030 751,100 488,279 685,180 604,000 265,706 445,957 868,111 805,103 393,469 500,068 522,800 312,804 1,216,733 1,014,200 1,000,956 654,075 391,602 245,839 319,275 364,287 149,647 322,154 197,600 509,942 781,400 1,340,505 772,134 765,947 295,500 46,925 1,600,223 271,449 111,300 81,733 1,237,245 527,441 363,858 410,800 389,785 130,900 599,200 969,850 603,177 161,400 387,034 83,153 687,194 158,846 1,061,153 1,613,420 651,155 3,156,360 722,283 4,108 3,867 3,849 3,795 3,720 3,469 3,469 3,398 3,377 3,323 3,295 3,200 3,186 3,166 3,108 3,077 3,070 3,042 2,984 2,795 2,743 2,698 2,676 2,635 2,545 2,521 2,376 2,363 2,319 2,282 2,257 2,230 2,196 2,149 2,098 2,083 1,966 1,953 1,872 1,870 1,761 1,745 1,724 1,633 1,612 1,474 1,473 1,434 1,409 1,298 1,294 1,282 1,241 1,200 1,184 1,165 1,158 1,151 1,147 965 855 828 716 706 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * * * * * * * ^ * * * * Marfrig Global Foods SA Iguatemi Empresa de Shopping Centers SA Centrais Eletricas Brasileiras SA Preference Shares Aliansce Shopping Centers SA Light SA Cia de Transmissao de Energia Eletrica Paulista Preference Shares Grendene SA GAEC Educacao SA Alupar Investimento SA Fleury SA Cia Energetica de Minas Gerais Diagnosticos da America SA Mills Estruturas e Servicos de Engenharia SA Abril Educacao SA Minerva SA Arezzo Industria e Comercio SA Iochpe-Maxion SA Alpargatas SA Preference Shares Gerdau SA Tupy SA JSL SA Gol Linhas Aereas Inteligentes SA Preference Shares Ez Tec Empreendimentos e Participacoes SA Even Construtora e Incorporadora SA Centrais Eletricas Brasileiras SA Randon Participacoes SA Preference Shares QGEP Participacoes SA AES Tiete SA Mahle-Metal Leve SA Industria e Comercio International Meal Co. Holdings SA Arteris SA CPFL Energia SA ADR SLC Agricola SA Ser Educacional SA Direcional Engenharia SA Usinas Siderurgicas de Minas Gerais SA Brasil Pharma SA Centrais Eletricas Brasileiras SA ADR Helbor Empreendimentos SA Marisa Lojas SA Guararapes Confeccoes SA Gafisa SA Santos Brasil Participacoes SA Braskem SA ADR Cia de Gas de Sao Paulo COMGAS Preference Shares Class A Magnesita Refratarios SA Eletropaulo Metropolitana Eletricidade de Sao Paulo SA Preference Shares Centrais Eletricas Brasileiras SA ADR LPS Brasil Consultoria de Imoveis SA Magazine Luiza SA Cia Paranaense de Energia Gafisa SA ADR Brasil Brokers Participacoes SA Tecnisa SA Tegma Gestao Logistica Brasil Insurance Participacoes e Administracao SA Cia Energetica do Ceara Preference Shares Cosan Logistica SA Sonae Sierra Brasil SA Paranapanema SA Oi SA ADR JHSF Participacoes SA Prumo Logistica SA Klabin SA Preference Shares 8 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 1,726,188 128,200 1,636,523 31,700 20,500 87,138 45,455 1,775,768 683 663 356 194 112 52 36 ___________7 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * * * Rossi Residencial SA Gol Linhas Aereas Inteligentes SA ADR Eneva SA Banco Santander Brasil SA Banco Santander Brasil SA Oi SA ADR Contax Participacoes SA Preference Shares Prumo Logistica SA Rights Exp. 11/28/2014 2,819,767 Canada (7.3%) Royal Bank of Canada Toronto-Dominion Bank Bank of Nova Scotia Suncor Energy Inc. Canadian National Railway Co. ^ Bank of Montreal * Valeant Pharmaceuticals International Inc. Enbridge Inc. Canadian Natural Resources Ltd. Canadian Imperial Bank of Commerce Manulife Financial Corp. TransCanada Corp. Canadian Pacific Railway Ltd. Potash Corp. of Saskatchewan Inc. Brookfield Asset Management Inc. Class A ^ Sun Life Financial Inc. Magna International Inc. Cenovus Energy Inc. National Bank of Canada Goldcorp Inc. Agrium Inc. ^ Crescent Point Energy Corp. Encana Corp. Rogers Communications Inc. Class B Thomson Reuters Corp. Alimentation Couche-Tard Inc. Class B Pembina Pipeline Corp. Barrick Gold Corp. Imperial Oil Ltd. BCE Inc. Loblaw Cos. Ltd. Tim Hortons Inc. Shaw Communications Inc. Class B Inter Pipeline Ltd. * Catamaran Corp. Fairfax Financial Holdings Ltd. Power Corp. of Canada First Quantum Minerals Ltd. * CGI Group Inc. Class A Intact Financial Corp. Great-West Lifeco Inc. Canadian Tire Corp. Ltd. Class A Canadian Oil Sands Ltd. Teck Resources Ltd. Class B ^ ARC Resources Ltd. TELUS Corp. Franco-Nevada Corp. Gildan Activewear Inc. Saputo Inc. ^ RioCan REIT Husky Energy Inc. ^ Fortis Inc. CI Financial Corp. Cameco Corp. 9,119,837 11,697,375 7,670,675 9,377,031 4,624,223 4,027,664 1,960,955 5,293,060 6,953,870 2,535,355 11,756,749 4,460,657 1,003,271 5,258,554 3,600,616 3,870,325 1,302,720 4,760,376 2,074,423 5,121,077 918,559 2,669,527 4,701,128 2,301,138 2,318,855 2,471,412 2,019,420 6,845,508 1,668,170 1,760,459 1,464,403 843,153 2,529,335 2,053,681 1,316,217 134,349 2,204,836 3,808,634 1,662,709 833,679 1,904,021 478,879 3,067,162 2,986,609 1,996,610 1,300,367 989,365 773,799 1,611,812 1,929,065 1,870,280 1,359,814 1,489,868 2,492,998 9 647,423 575,709 469,748 332,965 326,020 292,073 260,637 250,458 242,665 231,456 223,128 219,857 208,684 179,492 176,253 137,670 128,579 117,800 96,962 96,101 89,871 88,230 87,595 86,529 86,269 83,875 83,783 81,268 80,267 78,178 76,296 68,317 64,947 64,705 62,713 61,382 58,180 57,448 57,078 55,899 53,351 52,504 48,060 47,195 47,087 46,601 46,315 46,096 45,735 45,443 45,154 44,304 43,319 43,288 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 1,476,414 770,319 530,376 6,536,630 965,395 1,182,422 1,113,216 2,265,016 543,650 604,528 841,349 1,712,539 599,112 3,155,439 1,047,722 362,971 557,510 1,330,452 1,994,166 9,047,158 100,400 1,079,443 323,062 628,803 624,142 4,500,411 836,266 949,564 326,308 775,482 5,569,243 1,393,496 1,677,352 445,640 728,510 395,492 203,218 645,084 482,050 1,488,579 436,505 1,605,276 1,286,622 227,572 270,517 508,696 5,050,827 662,985 1,705,474 323,621 513,683 368,780 650,690 250,438 1,095,958 7,257,801 697,813 1,853,036 908,595 628,458 396,776 471,805 3,093,762 330,022 43,242 42,547 42,193 41,700 41,595 40,874 39,934 39,370 38,203 35,927 34,712 34,082 34,000 33,149 32,016 31,890 31,456 31,353 30,079 29,781 28,284 27,871 26,394 25,341 24,965 24,597 23,603 22,917 22,574 22,555 22,187 21,872 21,491 21,360 21,279 20,749 20,544 19,603 19,589 19,270 19,167 18,659 18,425 17,353 17,140 17,039 16,940 16,783 16,585 16,531 16,408 16,246 15,923 15,866 15,802 15,520 15,479 15,439 15,382 15,368 14,948 14,890 14,000 13,821 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * ^ *,^ ^ * * ^ ^ * ^ * ^ ^ * ^ ^ ^ * Power Financial Corp. Open Text Corp. Keyera Corp. Talisman Energy Inc. SNC-Lavalin Group Inc. Canadian Utilities Ltd. Class A Tourmaline Oil Corp. Silver Wheaton Corp. Metro Inc. Methanex Corp. AltaGas Ltd. H&R REIT Vermilion Energy Inc. BlackBerry Ltd. Baytex Energy Corp. Dollarama Inc. Onex Corp. Agnico Eagle Mines Ltd. Pacific Rubiales Energy Corp. Bombardier Inc. Class B Constellation Software Inc. Finning International Inc. George Weston Ltd. Industrial Alliance Insurance & Financial Services Inc. IGM Financial Inc. Eldorado Gold Corp. Peyto Exploration & Development Corp. MEG Energy Corp. Empire Co. Ltd. Gibson Energy Inc. Yamana Gold Inc. Veresen Inc. CAE Inc. Home Capital Group Inc. Class B Progressive Waste Solutions Ltd. West Fraser Timber Co. Ltd. CCL Industries Inc. Class B Amaya Gaming Group Inc. Atco Ltd. Whitecap Resources Inc. Canadian REIT Element Financial Corp. Enerplus Corp. MacDonald Dettwiler & Associates Ltd. Stantec Inc. Canadian Western Bank Turquoise Hill Resources Ltd. Dream Office REIT TransAlta Corp. Linamar Corp. DH Corp. ShawCor Ltd. Calloway REIT Boardwalk REIT Aimia Inc. Kinross Gold Corp. Canadian Apartment Properties REIT Precision Drilling Corp. Cominar REIT TransForce Inc. Cineplex Inc. Allied Properties REIT Penn West Petroleum Ltd. Paramount Resources Ltd. Class A 10 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 563,214 529,489 731,240 3,318,041 741,450 2,774,934 1,286,285 862,011 391,544 520,149 501,700 382,734 3,202,507 237,832 389,811 1,480,233 490,225 1,086,671 1,009,408 206,957 295,515 428,826 421,374 504,357 554,160 513,976 5,640,983 757,875 260,955 803,692 454,003 1,148,212 805,643 501,921 582,958 530,301 1,048,366 905,283 931,282 180,989 176,109 1,388,891 264,303 828,488 224,903 2,301,030 524,462 1,054,003 500,037 97,876 258,971 416,153 542,335 700,467 1,670,476 508,551 633,059 1,352,643 111,005 296,041 815,918 979,822 679,504 860,555 13,767 13,591 13,541 13,395 12,868 12,384 12,086 12,039 11,919 11,806 11,681 11,665 11,622 11,439 11,362 11,334 11,239 11,088 11,088 10,937 10,894 10,239 10,083 9,800 9,603 9,458 9,410 9,246 9,123 9,071 8,882 8,863 8,728 8,684 8,674 8,662 8,558 8,370 8,346 7,962 7,918 7,702 7,675 7,623 7,561 7,452 7,338 7,164 7,143 7,106 6,827 6,484 6,437 6,420 6,418 6,362 6,195 6,168 6,166 6,120 6,088 5,738 5,722 5,604 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ ^ ^ ^ * ^ ^ * * ^ * *,^ *,^ ^ ^ ^ ^ ^ * ^ *,^ * * ^ ^ ^ * * * ^ * *,^ * Ritchie Bros Auctioneers Inc. Quebecor Inc. Class B Secure Energy Services Inc. Pengrowth Energy Corp. Hudson's Bay Co. Lundin Mining Corp. Bonavista Energy Corp. Artis REIT WSP Global Inc. Capital Power Corp. Canfor Corp. Westshore Terminals Investment Corp. New Gold Inc. TMX Group Ltd. Russel Metals Inc. HudBay Minerals Inc. Jean Coutu Group PJC Inc. Class A Chartwell Retirement Residences Celestica Inc. FirstService Corp. Granite REIT Toromont Industries Ltd. Pason Systems Inc. Mullen Group Ltd. Tahoe Resources Inc. Corus Entertainment Inc. Class B B2Gold Corp. RONA Inc. Genworth MI Canada Inc. Ensign Energy Services Inc. Parkland Fuel Corp. Canadian Energy Services & Technology Corp. Superior Plus Corp. Maple Leaf Foods Inc. Northland Power Inc. First Capital Realty Inc. Algonquin Power & Utilities Corp. Pan American Silver Corp. Trican Well Service Ltd. Laurentian Bank of Canada Bonterra Energy Corp. Surge Energy Inc. Stella-Jones Inc. NuVista Energy Ltd. Emera Inc. Athabasca Oil Corp. Dominion Diamond Corp. Raging River Exploration Inc. Enerflex Ltd. Bank of Montreal Manitoba Telecom Services Inc. Trilogy Energy Corp. Barrick Gold Corp. Parex Resources Inc. Bankers Petroleum Ltd. ATS Automation Tooling Systems Inc. Innergex Renewable Energy Inc. Gran Tierra Energy Inc. AutoCanada Inc. North West Co. Inc. Alamos Gold Inc. Detour Gold Corp. Kelt Exploration Ltd. Trinidad Drilling Ltd. 11 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 302,944 398,451 447,471 1,141,503 566,258 673,374 201,737 610,683 164,113 1,210,050 541,555 1,531,145 4,549,104 757,880 360,870 437,517 1,849,857 1,070,048 2,403,742 2,365,565 1,749,780 1,257,735 288,367 561,719 829,575 236,200 1,015,116 1,138,362 70,508 323,981 738,188 301,431 1,473,944 589,434 217,200 1,007,934 1,264,071 240,780 168,701 150,614 1,895,687 2,108,071 511,079 544,000 1,510,890 596,745 448,280 2,736,158 1,344,441 752,230 1,494,285 289,175 420,287 373,355 475,500 496,442 943,065 925,658 635,604 665,483 798,109 293,657 375,562 1,236,043 5,494 5,441 5,360 5,338 5,311 5,210 5,198 5,169 5,099 4,928 4,920 4,904 4,844 4,734 4,691 4,639 4,596 4,586 4,564 4,429 4,269 4,252 4,089 4,067 4,041 4,034 3,963 3,909 3,845 3,797 3,786 3,766 3,623 3,572 3,565 3,443 3,342 3,331 3,301 3,114 3,095 3,030 2,984 2,935 2,896 2,732 2,617 2,573 2,541 2,490 2,479 2,445 2,338 2,296 2,177 2,163 2,008 1,988 1,940 1,895 1,784 1,738 1,713 1,623 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * * * ^ * * * * * * * ^ ^ *,^ *,^ * *,^ * ^ *,^ ^ * *,^ *,^ * *,^ * ^ ^ *,^ *,^ ^ *,^ * ^ *,^ *,^ ^ * * Great Canadian Gaming Corp. Transcontinental Inc. Class A Calfrac Well Services Ltd. Bellatrix Exploration Ltd. TORC Oil & Gas Ltd. Birchcliff Energy Ltd. Northern Property REIT Canaccord Genuity Group Inc. Dorel Industries Inc. Class B Legacy Oil & Gas Inc. AGF Management Ltd. Class B AuRico Gold Inc. Torex Gold Resources Inc. Crew Energy Inc. Aecon Group Inc. Martinrea International Inc. Sherritt International Corp. Advantage Oil & Gas Ltd. IAMGOLD Corp. Capstone Mining Corp. SEMAFO Inc. Nevsun Resources Ltd. Dundee Corp. Class A Extendicare Inc. Just Energy Group Inc. Black Diamond Group Ltd. Centerra Gold Inc. Canexus Corp. Cogeco Cable Inc. Dream Unlimited Corp. Class A First Majestic Silver Corp. Osisko Gold Royalties Ltd. NovaGold Resources Inc. Cott Corp. Morguard REIT Primero Mining Corp. Lightstream Resources Ltd. Avigilon Corp. Norbord Inc. First National Financial Corp. OceanaGold Corp. BlackPearl Resources Inc. Major Drilling Group International Inc. Savanna Energy Services Corp. China Gold International Resources Corp. Ltd. Pretium Resources Inc. Torstar Corp. Class B Denison Mines Corp. Thompson Creek Metals Co. Inc. Wi-Lan Inc. Alacer Gold Corp. Imperial Metals Corp. Cascades Inc. Westport Innovations Inc. InnVest REIT Silver Standard Resources Inc. Argonaut Gold Inc. Sprott Inc. Endeavour Silver Corp. Dundee Precious Metals Inc. Atlantic Power Corp. GMP Capital Inc. Gran Tierra Energy Inc. Taseko Mines Ltd. 12 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 321,743 633,071 38,000 320,721 1,076 1,062 234 — ___________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ ^ *,^ *,^ * Bombardier Inc. Class A Continental Gold Ltd. Westport Innovations Inc. Poseidon Concepts Corp. 9,734,178 Chile (0.3%) Enersis SA Empresas COPEC SA Empresa Nacional de Electricidad SA SACI Falabella * Latam Airlines Group SA Cencosud SA Banco de Chile Empresas CMPC SA Banco Santander Chile Banco de Credito e Inversiones Corpbanca SA Colbun SA Aguas Andinas SA Class A Cia Cervecerias Unidas SA Sociedad Quimica y Minera de Chile SA Preference Shares Class B AES Gener SA Empresa Nacional de Electricidad SA ADR Enersis SA ADR ENTEL Chile SA Sonda SA Parque Arauco SA Vina Concha y Toro SA E.CL SA Banco Santander Chile ADR CAP SA Embotelladora Andina SA Preference Shares Inversiones Aguas Metropolitanas SA Sociedad Quimica y Minera de Chile SA ADR Administradora de Fondos de Pensiones Habitat SA Ripley Corp. SA Inversiones La Construccion SA Sociedad Matriz SAAM SA * Latam Airlines Group SA Sigdo Koppers SA Forus SA Salfacorp SA Coca-Cola Embonor SA Preference Shares Class B * Cia Sud Americana de Vapores SA Besalco SA * Latam Airlines Group SA ADR 99,483,966 2,389,896 16,008,040 3,031,746 1,812,562 7,099,759 150,481,677 7,083,843 303,379,383 275,748 1,011,920,880 44,266,312 18,494,523 928,384 411,472 16,115,491 175,999 507,395 689,130 2,951,589 3,313,349 3,563,204 3,297,934 229,722 484,656 1,496,683 2,827,389 172,961 2,070,574 5,552,188 210,186 34,346,807 217,064 1,612,994 538,145 2,632,661 1,045,588 47,777,113 2,451,379 73,423 31,607 29,168 25,042 23,056 22,261 20,910 18,606 17,583 16,189 15,517 13,689 12,382 11,183 9,915 9,786 8,959 8,216 8,012 7,464 7,174 6,970 6,786 4,879 4,868 4,833 4,719 4,282 4,104 3,349 3,034 3,031 2,881 2,746 2,526 2,397 2,266 1,816 1,801 1,631 896 ___________ 386,534 China (4.0%) * Tencent Holdings Ltd. China Mobile Ltd. China Construction Bank Corp. Industrial & Commercial Bank of China Ltd. Bank of China Ltd. PetroChina Co. Ltd. CNOOC Ltd. China Life Insurance Co. Ltd. China Petroleum & Chemical Corp. Ping An Insurance Group Co. of China Ltd. Agricultural Bank of China Ltd. China Overseas Land & Investment Ltd. China Telecom Corp. Ltd. CITIC Ltd. China Shenhua Energy Co. Ltd. Lenovo Group Ltd. 29,111,875 33,011,000 457,360,340 456,817,760 477,341,306 133,712,000 101,915,000 47,160,000 161,698,400 12,098,200 163,707,460 25,897,680 102,719,000 34,797,000 21,586,000 38,340,000 13 463,493 410,648 340,565 301,927 228,172 168,061 159,541 140,777 140,589 99,079 75,932 75,365 65,505 60,892 60,782 57,602 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 29,072,122 14,061,238 4,638,500 28,531,694 33,207,000 38,654,918 50,970,150 12,073,600 19,029,344 48,213,446 4,660,000 17,386,000 6,573,000 18,528,000 11,814,000 4,346,758 3,300,500 7,554,500 6,188,800 17,896,300 19,432,000 11,468,000 16,798,000 7,266,000 21,321,000 66,554,000 28,040,000 14,230,000 22,913,000 7,606,000 17,932,000 9,752,000 2,402,000 24,606,000 18,572,000 7,906,500 4,498,267 9,466,800 71,128,000 17,548,579 25,924,000 8,306,374 9,827,442 24,443,000 8,487,000 3,201,000 37,835,883 5,596,000 10,190,000 4,796,000 22,464,000 28,485,000 12,003,000 11,887,300 13,931,883 4,311,000 3,563,000 3,083,560 29,539,962 5,327,813 73,357,612 5,229,600 11,348,000 25,253,788 53,782 52,728 49,398 42,782 42,234 38,696 38,595 35,668 34,902 31,407 30,208 30,020 28,790 28,640 28,178 27,592 27,055 24,722 24,166 24,051 24,008 23,942 23,581 22,940 22,775 22,471 21,639 18,872 18,276 18,071 18,027 17,803 17,753 17,617 17,204 16,986 16,809 16,244 16,235 16,146 16,050 15,697 15,396 15,198 15,141 14,956 14,641 13,938 13,394 12,950 12,820 12,749 12,476 12,470 12,402 12,307 12,290 11,855 11,777 11,768 11,534 11,482 11,432 11,248 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ ^ ^ * *,^ ^ *,^ ^ * *,^ China Merchants Bank Co. Ltd. China Pacific Insurance Group Co. Ltd. Hengan International Group Co. Ltd. China Unicom Hong Kong Ltd. Belle International Holdings Ltd. China Minsheng Banking Corp. Ltd. Bank of Communications Co. Ltd. China Resources Power Holdings Co. Ltd. PICC Property & Casualty Co. Ltd. China CITIC Bank Corp. Ltd. ENN Energy Holdings Ltd. Brilliance China Automotive Holdings Ltd. Great Wall Motor Co. Ltd. Dongfeng Motor Group Co. Ltd. China Resources Land Ltd. Byd Co. Ltd. Beijing Enterprises Holdings Ltd. Anhui Conch Cement Co. Ltd. Sinopharm Group Co. Ltd. Kunlun Energy Co. Ltd. Huaneng Power International Inc. China Oilfield Services Ltd. China Everbright International Ltd. China Merchants Holdings International Co. Ltd. China Longyuan Power Group Corp. Ltd. GCL-Poly Energy Holdings Ltd. China Communications Construction Co. Ltd. Guangdong Investment Ltd. Sihuan Pharmaceutical Holdings Group Ltd. China Resources Enterprise Ltd. Sino Biopharmaceutical Ltd. China Gas Holdings Ltd. Tsingtao Brewery Co. Ltd. Beijing Enterprises Water Group Ltd. China National Building Material Co. Ltd. Shimao Property Holdings Ltd. New China Life Insurance Co. Ltd. Haitong Securities Co. Ltd. Hanergy Thin Film Power Group Ltd. CSPC Pharmaceutical Group Ltd. China Coal Energy Co. Ltd. China Vanke Co. Ltd. China State Construction International Holdings Ltd. China Railway Group Ltd. Jiangxi Copper Co. Ltd. Zhuzhou CSR Times Electric Co. Ltd. Evergrande Real Estate Group Ltd. CITIC Securities Co. Ltd. COSCO Pacific Ltd. Haier Electronics Group Co. Ltd. Sino-Ocean Land Holdings Ltd. Geely Automobile Holdings Ltd. CSR Corp. Ltd. China Railway Construction Corp. Ltd. Guangzhou Automobile Group Co. Ltd. China Resources Gas Group Ltd. Shenzhou International Group Holdings Ltd. Weichai Power Co. Ltd. Country Garden Holdings Co. Ltd. Chongqing Changan Automobile Co. Ltd. Class B GOME Electrical Appliances Holding Ltd. China Taiping Insurance Holdings Co. Ltd. Shandong Weigao Group Medical Polymer Co. Ltd. Aluminum Corp. of China Ltd. 14 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 5,660,000 4,621,000 9,165,000 14,236,000 6,621,294 5,432,000 12,445,590 24,030,000 20,711,231 5,390,500 44,375,368 8,562,000 37,951,000 11,123,000 3,950,982 20,124,000 17,960,000 9,276,000 11,782,000 2,582,500 18,090,000 3,640,700 9,782,598 2,907,000 7,806,000 3,677,553 5,377,750 12,537,845 4,248,900 17,616,000 22,008,000 3,673,000 10,252,000 9,982,669 16,281,600 11,682,000 39,963,536 16,181,500 9,970,000 9,670,000 22,297,000 7,108,500 24,091,000 6,195,200 15,027,000 6,473,000 8,094,000 4,142,000 14,422,000 11,793,000 10,662,014 5,075,500 6,934,500 13,383,000 16,060,000 7,017,000 8,194,000 23,198,000 4,028,000 3,202,146 6,762,000 11,979,000 6,314,000 7,389,500 11,136 11,009 10,855 10,822 10,654 10,553 10,509 10,371 10,145 10,099 9,950 9,919 9,724 9,627 9,572 9,527 9,428 9,350 9,347 9,280 9,203 9,113 9,076 8,953 8,713 8,572 8,536 8,514 8,471 8,466 7,912 7,884 7,822 7,726 7,713 7,559 7,362 7,347 7,318 7,097 6,921 6,872 6,858 6,851 6,777 6,763 6,754 6,726 6,531 6,464 6,128 6,060 6,042 5,904 5,727 5,585 5,483 5,470 5,438 5,380 5,330 5,298 5,240 5,215 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ ^ ^ 2 * ^ ^ * *,^ 2 *,^ ^ * ^ *,^ * 2 * * *,^ ^ ANTA Sports Products Ltd. Kingsoft Corp. Ltd. Fosun International Ltd. AviChina Industry & Technology Co. Ltd. Inner Mongolia Yitai Coal Co. Ltd. Class B China Everbright Ltd. Yanzhou Coal Mining Co. Ltd. People's Insurance Co. Group of China Ltd. China Everbright Bank Co. Ltd. China Medical System Holdings Ltd. China Huishan Dairy Holdings Co. Ltd. Longfor Properties Co. Ltd. Zijin Mining Group Co. Ltd. Sunac China Holdings Ltd. ZTE Corp. China Cinda Asset Management Co. Ltd. Datang International Power Generation Co. Ltd. Zhejiang Expressway Co. Ltd. Sinotrans Ltd. Shanghai Fosun Pharmaceutical Group Co. Ltd. Shanghai Electric Group Co. Ltd. Shanghai Pharmaceuticals Holding Co. Ltd. Far East Horizon Ltd. Shanghai Industrial Holdings Ltd. Jiangsu Expressway Co. Ltd. China International Marine Containers Group Co. Ltd. Shenzhen International Holdings Ltd. China Resources Cement Holdings Ltd. Kingboard Chemical Holdings Ltd. Chongqing Rural Commercial Bank Co. Ltd. Huaneng Renewables Corp. Ltd. Haitian International Holdings Ltd. Huadian Power International Corp. Ltd. Nine Dragons Paper Holdings Ltd. China Communications Services Corp. Ltd. Air China Ltd. Yuexiu Property Co. Ltd. China COSCO Holdings Co. Ltd. SOHO China Ltd. Beijing Capital International Airport Co. Ltd. Sinopec Shanghai Petrochemical Co. Ltd. Sinopec Engineering Group Co. Ltd. China Shipping Container Lines Co. Ltd. Guangzhou R&F Properties Co. Ltd. China Power International Development Ltd. TravelSky Technology Ltd. Shunfeng Photovoltaic International Ltd. Sunny Optical Technology Group Co. Ltd. China South City Holdings Ltd. Skyworth Digital Holdings Ltd. Huadian Fuxin Energy Corp. Ltd. BYD Electronic International Co. Ltd. Intime Retail Group Co. Ltd. China Modern Dairy Holdings Ltd. Hua Han Bio-Pharmaceutical Holdings Ltd. China Galaxy Securities Co. Ltd. China Shipping Development Co. Ltd. Franshion Properties China Ltd. Tong Ren Tang Technologies Co. Ltd. Shanghai Lujiazui Finance & Trade Zone Development Co. Ltd. Class B China High Speed Transmission Equipment Group Co. Ltd. Sinopec Yizheng Chemical Fibre Co. Ltd. Sinopec Kantons Holdings Ltd. BBMG Corp. 15 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 7,420,000 6,986,000 4,858,500 9,204,000 13,140,400 17,929,063 8,340,000 2,735,200 8,070,000 6,242,000 1,394,000 2,461,400 5,113,000 8,787,495 8,116,000 10,014,000 5,838,075 11,529,000 6,807,000 3,618,000 4,073,000 11,640,000 8,730,000 1,338,881 4,102,500 11,608,000 8,454,022 11,058,000 13,864,000 9,352,665 18,036,000 9,002,000 10,038,000 10,802,000 8,661,413 23,540,000 1,313,095 11,203,600 2,157,000 4,100,000 3,608,000 3,374,000 4,693,500 942,548 4,755,748 11,067,000 19,433,827 1,814,000 9,963,272 6,117,249 9,146,000 9,600,000 17,017,000 2,568,000 5,446,500 5,432,000 11,595,000 2,924,000 5,792,000 9,758,000 5,091,000 5,584,500 3,316,000 62,320,000 5,150 5,137 5,085 5,050 5,013 4,975 4,964 4,926 4,892 4,855 4,807 4,782 4,757 4,676 4,567 4,491 4,488 4,462 4,458 4,431 4,371 4,319 4,253 4,227 4,213 4,148 4,123 4,076 4,060 4,010 3,936 3,863 3,816 3,785 3,748 3,731 3,730 3,672 3,658 3,640 3,626 3,596 3,589 3,575 3,492 3,422 3,383 3,284 3,261 3,240 3,217 3,204 3,164 3,123 3,085 3,081 3,081 3,048 3,041 3,014 3,005 2,952 2,893 2,893 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ ^ *,^ *,^ ^ ^ ^ ^ ^ ^ * ^ ^ ^ ^ ^ * *,^ *,^ ^ * *,^ ^ *,^ *,^,2 *,^ *,^ ^ ^ * ^ *,^ ^ ^ ^ ^ ^ *,^ KWG Property Holding Ltd. Angang Steel Co. Ltd. Greentown China Holdings Ltd. Lee & Man Paper Manufacturing Ltd. China Agri-Industries Holdings Ltd. Metallurgical Corp. of China Ltd. China Molybdenum Co. Ltd. Xinjiang Goldwind Science & Technology Co. Ltd. Goldin Properties Holdings Ltd. Tech Pro Technology Development Ltd. Guangzhou Baiyunshan Pharmaceutical Holdings Co. Ltd. China Singyes Solar Technologies Holdings Ltd. Digital China Holdings Ltd. China Zhongwang Holdings Ltd. Agile Property Holdings Ltd. Beijing Jingneng Clean Energy Co. Ltd. China Hongqiao Group Ltd. Poly Property Group Co. Ltd. Greatview Aseptic Packaging Co. Ltd. Golden Eagle Retail Group Ltd. PAX Global Technology Ltd. Kaisa Group Holdings Ltd. Lijun International Pharmaceutical Holding Co. Ltd. Yantai Changyu Pioneer Wine Co. Ltd. Class B Zhongsheng Group Holdings Ltd. China BlueChemical Ltd. Zoomlion Heavy Industry Science and Technology Co. Ltd. China Shanshui Cement Group Ltd. Shenzhen Investment Ltd. Huishang Bank Corp. Ltd. Coolpad Group Ltd. Guangshen Railway Co. Ltd. China Eastern Airlines Corp. Ltd. China Southern Airlines Co. Ltd. China Yurun Food Group Ltd. China Oil & Gas Group Ltd. Lao Feng Xiang Co. Ltd. Class B Kingdee International Software Group Co. Ltd. Dongfang Electric Corp. Ltd. Hopson Development Holdings Ltd. CIMC Enric Holdings Ltd. CT Environmental Group Ltd. Baoxin Auto Group Ltd. Weifu High-Technology Group Co. Ltd. Class B CSG Holding Co. Ltd. Class B Hi Sun Technology China Ltd. Tianhe Chemicals Group Ltd. China Shineway Pharmaceutical Group Ltd. Hunan Nonferrous Metal Corp. Ltd. Li Ning Co. Ltd. Tibet 5100 Water Resources Holdings Ltd. MMG Ltd. China Dongxiang Group Co. Ltd. China Metal Recycling Holdings Ltd. China ZhengTong Auto Services Holdings Ltd. China Traditional Chinese Medicine Co. Ltd. China Suntien Green Energy Corp. Ltd. Wasion Group Holdings Ltd. China Lesso Group Holdings Ltd. Phoenix Satellite Television Holdings Ltd. Dah Chong Hong Holdings Ltd. Zhaojin Mining Industry Co. Ltd. Wumart Stores Inc. North Mining Shares Co. Ltd. 16 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 1,388,361 5,538,000 4,394,000 10,600,000 1,326,000 4,251,900 8,374,268 8,008,000 5,784,018 360,611 4,448,000 6,550,000 4,980,500 64,515,635 5,515,600 17,196,000 24,152,000 4,154,000 1,476,508 35,820,000 6,480,000 90,400,000 4,816,000 1,218,500 5,261,767 5,305,500 10,418,000 3,021,000 2,558,000 1,254,613 3,318,400 8,256,000 6,692,000 3,223,000 15,294,000 15,388,000 4,263,000 1,323,213 6,368,000 13,488,000 1,720,700 1,695,900 3,103,500 545,094 5,444,000 19,848,000 1,804,500 12,112,000 11,082,000 5,580,000 14,822,600 1,839,436 25,010,000 896,000 2,282,000 1,601,000 752,927 1,091,800 1,745,125 3,691,800 8,187,000 3,293,000 11,952,000 2,453,000 2,860 2,846 2,811 2,791 2,778 2,758 2,748 2,745 2,706 2,701 2,682 2,668 2,628 2,598 2,589 2,565 2,552 2,518 2,518 2,491 2,462 2,423 2,421 2,415 2,368 2,366 2,352 2,338 2,297 2,293 2,263 2,258 2,250 2,237 2,229 2,223 2,222 2,213 2,199 2,174 2,172 2,152 2,137 2,126 2,105 2,100 2,083 2,076 2,073 2,071 2,064 2,049 2,033 2,029 2,003 2,002 1,991 1,934 1,914 1,872 1,869 1,866 1,855 1,840 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ ^ * *,^ * ^ ^ ^ *,^ *,^ ^ *,^ ^ *,^ ^ *,^ * ^ ^ * * *,^ * ^ *,^ ^ *,^ *,^ ^ ^ *,^ *,^ ^ * ^ * Shanghai Mechanical and Electrical Industry Co. Ltd. Class B China Water Affairs Group Ltd. Shenzhen Expressway Co. Ltd. Maanshan Iron & Steel Co. Ltd. China Conch Venture Holdings Ltd. Guangdong Electric Power Development Co. Ltd. Class B BOE Technology Group Co. Ltd. Class B Shanghai Jin Jiang International Hotels Group Co. Ltd. Comba Telecom Systems Holdings Ltd. Livzon Pharmaceutical Group Inc. Harbin Electric Co. Ltd. Kingboard Laminates Holdings Ltd. China Overseas Grand Oceans Group Ltd. Renhe Commercial Holdings Co. Ltd. Fufeng Group Ltd. Bosideng International Holdings Ltd. China Precious Metal Resources Holdings Co. Ltd. Yuexiu Transport Infrastructure Ltd. NetDragon Websoft Inc. China Power New Energy Development Co. Ltd. Dongyue Group Ltd. China Resources and Transportation Group Ltd. Daphne International Holdings Ltd. Phoenix Healthcare Group Co. Ltd. Shanghai Zhenhua Heavy Industries Co. Ltd. Class B XTEP International Holdings Ltd. Tianjin Port Development Holdings Ltd. Wisdom Holdings Group Hisense Kelon Electrical Holdings Co. Ltd. Class A Shanghai Waigaoqiao Free Trade Zone Development Co. Ltd. Class B Dazhong Transportation Group Co. Ltd. Class B Sinotrans Shipping Ltd. Chinasoft International Ltd. Ajisen China Holdings Ltd. Glorious Property Holdings Ltd. China Datang Corp. Renewable Power Co. Ltd. Sinotruk Hong Kong Ltd. China Merchants Property Development Co. Ltd. Class B Beijing Capital Land Ltd. China Lumena New Materials Corp. Luthai Textile Co. Ltd. Class B Hubei Sanonda Co. Ltd. Class B Bank of Chongqing Co. Ltd. Jiangling Motors Corp. Ltd. Class B Sichuan Expressway Co. Ltd. V1 Group Ltd. China Tian Lun Gas Holdings Ltd. Lonking Holdings Ltd. CIFI Holdings Group Co. Ltd. Yashili International Holdings Ltd. CITIC Resources Holdings Ltd. Hangzhou Steam Turbine Co. Class B China WindPower Group Ltd. Biostime International Holdings Ltd. Tianjin Development Hldgs Ltd. Boer Power Holdings Ltd. Anhui Gujing Distillery Co. Ltd. Class B Guangzhou Shipyard International Co. Ltd. Shanghai Jinqiao Export Processing Zone Development Co. Ltd. Class B Jiangsu Future Land Co. Ltd. Class B NVC Lighting Holding Ltd. Chaowei Power Holdings Ltd. Sinofert Holdings Ltd. CPMC Holdings Ltd. 17 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 5,266,000 2,553,000 7,040,000 2,960,000 5,008,000 5,143,000 10,853,600 3,108,000 947,222 2,236,376 6,133,000 4,614,000 6,138,000 331,600 7,221,000 2,202,000 1,908,000 1,052,200 756,136 2,456,000 3,122,000 8,366,000 4,804,000 2,079,060 712,370 1,005,000 3,460,000 3,070,995 5,616,000 1,360,530 1,102,000 26,380,000 14,534,000 7,302,000 4,780,000 880,000 3,517,000 812,711 6,696,000 3,993,000 7,677,000 2,707,500 4,490,000 4,731,000 4,058,000 2,514,194 5,998,000 13,912,000 3,182,875 1,355,859 7,004,000 11,352,000 5,475,200 25,202,000 2,805,034 2,385,800 1,676,000 8,124,000 1,484,500 13,728,000 7,836,000 1,862,900 17,136,000 2,944,000 1,838 1,826 1,820 1,812 1,789 1,776 1,765 1,763 1,755 1,750 1,750 1,746 1,732 1,686 1,637 1,588 1,587 1,580 1,572 1,569 1,549 1,543 1,529 1,528 1,527 1,523 1,516 1,501 1,478 1,467 1,458 1,446 1,442 1,440 1,411 1,403 1,402 1,400 1,366 1,365 1,364 1,361 1,354 1,353 1,353 1,338 1,329 1,290 1,284 1,281 1,265 1,205 1,185 1,170 1,150 1,150 1,143 1,130 1,116 1,116 1,081 1,073 1,061 1,036 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ ^ ^ ^ *,^ *,^ * ^ *,^ *,^ ^ * ^ *,^ ^ * ^ ^ ^ * * ^ * ^ *,^ * ^ * * ^ ^ *,^ Dalian Port PDA Co. Ltd. China Lilang Ltd. Tiangong International Co. Ltd. Anhui Expressway Co. Ltd. Tianneng Power International Ltd. Xingda International Holdings Ltd. Hengdeli Holdings Ltd. China Machinery Engineering Corp. Shanghai Jinjiang International Hotels Development Co. Ltd. Class B Inner Mongolia Eerduosi Resourses Co. Ltd. Class B Mingfa Group International Co. Ltd. China Foods Ltd. Shenguan Holdings Group Ltd. China National Accord Medicines Corp. Ltd. Class B China National Materials Co. Ltd. Tianjin Capital Environmental Protection Group Co. Ltd. Changshouhua Food Co. Ltd. Huangshan Tourism Development Co. Ltd. Class B Shenzhen Chiwan Petroleum Class B First Tractor Co. Ltd. Lianhua Supermarket Holdings Co. Ltd. Shanghai Industrial Urban Development Group Ltd. Qingling Motors Co. Ltd. Shanghai Diesel Engine Co. Ltd. Class B Shanghai Baosight Software Co. Ltd. Class B Vinda International Holdings Ltd. COSCO International Holdings Ltd. Shandong Chenming Paper Holdings Ltd. Class B Xiamen International Port Co. Ltd. Huaxin Cement Co. Ltd. Class B Shanghai Bailian Group Co. Ltd. Class B EverChina International Holdings Co. Ltd. West China Cement Ltd. China SCE Property Holdings Ltd. Peak Sport Products Co. Ltd. Bloomage BioTechnology Corp. Ltd. China Huiyuan Juice Group Ltd. Shenzhen Chiwan Wharf Holdings Ltd. Class B Hydoo International Holding Ltd. Real Nutriceutical Group Ltd. C C Land Holdings Ltd. Weiqiao Textile Co. Beijing North Star Co. Ltd. 361 Degrees International Ltd. Hilong Holding Ltd. Shanghai Haixin Group Co. Class B Sany Heavy Equipment International Holdings Co. Ltd. Anxin-China Holdings Ltd. Chengde Nanjiang Co. Ltd. Class B Foshan Electrical and Lighting Co. Ltd. Class B Chongqing Machinery & Electric Co. Ltd. Fantasia Holdings Group Co. Ltd. Welling Holding Ltd. Shougang Concord International Enterprises Co. Ltd. Huadian Energy Co. Ltd. Class B Shanghai Chlor-Alkali Chemical Co. Ltd. Class B Texhong Textile Group Ltd. Powerlong Real Estate Holdings Ltd. Double Coin Holdings Ltd. Class B Sinolink Worldwide Holdings Ltd. MIE Holdings Corp. Shanghai Highly Group Co. Ltd. Class B Yuanda China Holdings Ltd. TCL Multimedia Technology Holdings Ltd. 18 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 8,850,000 1,682,600 2,188,000 1,668,790 6,358,000 4,490,000 1,951,173 2,621,372 1,403,896 990,020 4,615,000 3,123,000 1,581,600 6,336,000 2,107,800 3,344,000 983,900 529,380 739,700 1,022,400 6,194,000 5,777,000 794,000 909,600 2,777,000 5,927,000 1,455,101 835,700 3,856,000 1,218,954 10,916,000 17,190,000 514,500 840,392 12,162,000 472,720 18,142,000 1,045,000 1,578,000 10,180,000 464,100 1,342,000 6,237,000 1,345,000 1,562,000 965,500 58,000 1,793,400 1,028 1,016 1,012 1,006 991 987 981 970 948 938 898 869 818 817 810 737 685 658 643 636 631 626 621 605 602 596 582 567 538 536 504 490 483 465 462 449 436 344 342 323 305 249 153 145 127 63 9 ___________9 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ *,^ * * * * * *,^ *,^ * * * *,^ * * * ^ *,^ * * * * * * *,^ *,^ * * *,^ * * Minmetals Land Ltd. Eastern Communications Co. Ltd. Class B Shandong Chenming Paper Holdings Ltd. China Fangda Group Co. Ltd. Class B Maoye International Holdings Ltd. Xinjiang Xinxin Mining Industry Co. Ltd. INESA Electron Co. Ltd. Class B Bengang Steel Plates Co. Class B Shang Gong Group Co. Ltd. Class B Shanghai Jinjiang International Industrial Investment Co. Ltd. Class B China Automation Group Ltd. O-Net Communications Group Ltd. Kama Co. Ltd. Class B China Rare Earth Holdings Ltd. Guangdong Provincial Expressway Development Co. Ltd. Class B Chongqing Iron & Steel Co. Ltd. Jinshan Development & Construction Co. Ltd. Class B Shenzhen International Enterprise Co. Ltd. Class B Shanghai Potevio Co. Ltd. Class B Shanghai Yaohua Pilkington Glass Group Co. Ltd. China Vanadium Titano - Magnetite Mining Co. Ltd. Hidili Industry International Development Ltd. Hainan Meilan International Airport Co. Ltd. Hefei Meiling Co. Ltd. Class B Boshiwa International Holding Ltd. Jinchuan Group International Resources Co. Ltd. Shanghai Dajiang Food Group Co. Ltd. Class B Changchai Co. Ltd. Class B China ITS Holdings Co. Ltd. Jinzhou Port Co. Ltd. Class B Winsway Enterprises Holdings Ltd. SRE Group Ltd. Dalian Refrigeration Co. Ltd. Class B Foshan Huaxin Packaging Co. Ltd. Class B Global Bio-Chem Technology Group Co. Ltd. Fiyta Holdings Ltd. Class B Chigo Holding Ltd. Ausnutria Dairy Corp. Ltd. Daqing Dairy Holdings Ltd. Titan Petrochemicals Group Ltd. Shanghai Automation Instrumentation Co. Ltd. Class B Dynasty Fine Wines Group Ltd. HKC Holdings Ltd. Real Gold Mining Ltd. Trony Solar Holdings Co. Ltd. Agile Property Holdings Ltd Rights Exp. 11/11/2014 Lingbao Gold Co. Ltd. HKC Holdings Ltd. Warrants Exp. 10/17/2015 5,279,084 Colombia (0.2%) Bancolombia SA ADR Grupo de Inversiones Suramericana SA Ecopetrol SA Almacenes Exito SA ^ Ecopetrol SA ADR Cementos Argos SA Grupo Aval Acciones y Valores Preference Shares Corp Financiera Colombiana SA Grupo de Inversiones Suramericana SA Preference Shares Banco Davivienda SA Preference Shares * Cemex Latam Holdings SA Interconexion Electrica SA ESP Isagen SA ESP * Avianca Holdings SA Preference Shares 718,205 1,487,827 16,476,907 1,427,233 739,803 2,633,457 18,311,499 624,088 590,795 633,614 1,052,449 2,121,943 5,129,078 2,148,910 19 40,629 30,935 22,023 20,130 19,827 13,439 12,415 12,285 11,911 9,454 9,391 9,076 6,756 4,031 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 249,000 3,357 ___________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ Grupo Aval Acciones y Valores ADR 225,659 Czech Republic (0.0%) CEZ AS Komercni banka as O2 Czech Republic AS Philip Morris CR AS 1,016,087 96,400 415,389 2,839 28,099 20,660 4,639 1,259 ___________ 54,657 Denmark (1.1%) Novo Nordisk A/S Class B Danske Bank A/S AP Moeller - Maersk A/S Class B Novozymes A/S AP Moeller - Maersk A/S Class A Pandora A/S Carlsberg A/S Class B Coloplast A/S Class B * Vestas Wind Systems A/S TDC A/S DSV A/S * Jyske Bank A/S GN Store Nord A/S Chr Hansen Holding A/S * ISS A/S * Topdanmark A/S Tryg A/S * Sydbank A/S ^ FLSmidth & Co. A/S * Genmab A/S * William Demant Holding A/S * Royal UNIBREW H Lundbeck A/S NKT Holding A/S SimCorp A/S Rockwool International A/S Class B Spar Nord Bank A/S Matas A/S ALK-Abello A/S * Bavarian Nordic A/S * Auriga Industries A/S Class B Dfds A/S Schouw & Co. * Alm Brand A/S * OW Bunker A/S Solar A/S Class B *,^ Bang & Olufsen A/S ^ D/S Norden A/S * Amagerbanken A/S 12,352,216 4,985,546 42,579 1,483,549 28,571 762,186 669,393 635,327 1,406,785 5,070,175 1,100,367 448,707 1,029,726 555,783 599,257 518,420 150,871 465,216 301,034 288,450 157,386 51,311 377,032 148,810 204,210 40,210 527,020 223,596 36,029 122,631 72,790 43,664 72,665 415,057 129,331 35,811 190,625 54,047 537,565 558,261 136,883 99,364 68,776 64,998 64,173 58,950 55,361 47,169 38,705 32,926 24,197 23,997 22,377 16,728 16,514 16,326 14,766 13,648 12,560 11,935 8,381 8,012 7,721 6,165 5,855 5,333 4,914 4,055 3,797 3,760 3,703 3,225 2,266 1,701 1,658 1,478 1,421 — ___________ 1,472,059 Egypt (0.0%) * Global Telecom Holding SAE GDR Talaat Moustafa Group Commercial International Bank Egypt SAE * Egyptian Financial Group-Hermes Holding * Orascom Telecom Media And Technology Holding SAE GDR Telecom Egypt Co. * Egypt Kuwait Holding Co. SAE * Juhayna Food Industries * Six of October Development & Investment * Pioneers Holding for Financial Investments SAE * Medinet Nasr Housing * Palm Hills Developments SAE Sidi Kerir Petrochemicals Co. 2,596,259 2,064,936 404,115 739,881 1,591,123 439,252 536,878 137,456 75,146 79,221 19,744 196,875 37,514 20 7,804 3,035 2,729 1,740 1,217 841 473 183 169 138 113 111 94 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 149,479 10,370 68,038 9,000 384,466 111,842 24,529 81,350 299,524 218,557 22,369 15,071 10,166 702 91 80 68 63 63 62 56 52 47 38 22 22 10 ___________4 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * * * * * * * * Global Telecom Holding SAE Heliopolis Co. for Housing and Construction SAE South Valley Cement Oriental Weavers Orascom Telecom Media And Technology Holding SAE Citadel Capital SAE Ezz Steel Arab Cotton Ginning Amer Group Holding Egyptian Resorts Co. Abu Dhabi Islamic Bank Egyptian Financial & Industrial Co. Maridive & Oil Services SAE ElSwedy Electric Co. 19,325 Finland (0.7%) Nokia Oyj Sampo Oyj Class A ^ Kone Oyj Class B Fortum Oyj UPM-Kymmene Oyj Wartsila OYJ Abp Stora Enso Oyj ^ Elisa Oyj Metso Oyj Nokian Renkaat Oyj Orion Oyj Class B Neste Oil Oyj Huhtamaki Oyj Kesko Oyj Class B Amer Sports Oyj Tieto Oyj Konecranes Oyj Valmet Oyj ^ Cargotec Oyj Class B ^ Outotec Oyj * Outokumpu Oyj Sponda Oyj ^ Kemira Oyj Caverion Corp. Metsa Board Oyj ^ YIT Oyj Citycon Oyj Uponor Oyj Raisio Oyj Ramirent Oyj ^ Sanoma Oyj Cramo Oyj * Oriola-KD Oyj ^ Stockmann OYJ Abp Class B * Finnair Oyj F-Secure Oyj 23,735,606 2,981,687 2,408,703 2,825,577 3,369,041 988,258 3,650,446 1,012,254 849,483 844,037 626,481 806,910 655,590 430,662 745,696 464,057 363,049 851,441 257,418 1,132,080 1,295,588 1,538,412 512,384 782,032 1,266,267 802,781 1,640,508 361,628 789,269 425,154 542,272 161,705 641,528 176,243 366,527 388,660 198,319 142,845 103,666 65,543 53,401 45,815 30,145 27,807 27,735 23,859 21,252 17,455 16,649 16,345 14,284 11,770 10,168 9,003 7,763 7,497 7,352 7,039 6,621 6,291 5,657 5,362 5,312 4,804 3,940 3,390 3,122 2,360 2,124 1,950 1,146 950 ___________ 918,741 France (5.9%) Total SA Sanofi BNP Paribas SA AXA SA Schneider Electric SE LVMH Moet Hennessy Louis Vuitton SA Air Liquide SA Danone SA L'Oreal SA Societe Generale SA 12,880,500 7,257,388 6,192,505 12,033,425 3,504,514 1,588,304 2,171,279 3,534,516 1,506,846 4,527,870 21 768,635 672,242 390,499 278,040 277,433 270,061 262,288 240,252 236,782 219,069 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 9,023,056 3,514,877 8,054,730 11,427,556 3,018,135 1,244,252 1,246,811 2,896,855 3,748,856 1,665,106 1,187,428 6,524,558 1,685,692 468,040 1,182,662 1,243,670 1,156,914 1,884,784 931,951 328,494 491,582 572,649 17,375,097 803,738 680,918 1,649,592 1,365,920 1,097,227 2,742,492 1,192,354 5,877,341 364,924 1,213,691 2,908,146 1,279,224 1,384,853 493,041 1,038,432 147,599 642,981 1,844,742 250,596 217,215 2,365,362 281,763 1,645,977 890,738 741,678 3,995,153 617,116 378,205 361,968 196,775 171,631 214,120 1,049,445 224,628 716,583 34,630 52,702 242,561 217,531 244,646 208,092 219,039 210,423 197,057 181,857 172,711 141,915 137,850 124,590 109,888 105,710 103,263 96,891 90,808 90,512 88,099 86,310 80,468 65,092 61,387 58,220 55,253 55,227 53,443 50,992 49,389 48,770 47,618 46,152 45,911 41,285 40,495 37,512 37,042 36,760 35,486 34,318 34,098 33,721 32,275 31,982 31,032 29,646 29,450 28,161 28,095 27,743 27,326 27,310 26,737 26,694 23,388 22,814 21,711 21,398 19,708 19,626 17,878 17,490 16,475 16,334 16,230 15,142 14,950 14,932 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ ^ ^ * * * ^ ^ GDF Suez Airbus Group NV Vivendi SA Orange SA Vinci SA Pernod Ricard SA Essilor International SA Cie de St-Gobain Carrefour SA Safran SA Cie Generale des Etablissements Michelin Credit Agricole SA Legrand SA Kering Renault SA Publicis Groupe SA Lafarge SA SES SA Cap Gemini SA Christian Dior SA Valeo SA Sodexo Alcatel-Lucent Dassault Systemes Technip SA Electricite de France SA Alstom SA Accor SA Veolia Environnement SA Bouygues SA Natixis SA Casino Guichard Perrachon SA Zodiac Aerospace Groupe Eurotunnel SA Edenred Bureau Veritas SA AtoS Eutelsat Communications SA Iliad SA Thales SA Rexel SA Aeroports de Paris Gecina SA Peugeot SA Ingenico Suez Environnement Co. SCOR SE Vallourec SA STMicroelectronics NV Klepierre Arkema SA Teleperformance Wendel SA Societe BIC SA Fonciere Des Regions CNP Assurances ICADE Lagardere SCA Bollore SA Hermes International Eurazeo SA Neopost SA Orpea Imerys SA 22 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 419,940 168,737 256,774 53,792 1,560,654 384,743 201,482 1,864,159 217,994 150,326 585,400 674,483 89,356 237,768 364,832 82,956 943,618 203,324 750,129 414,303 97,242 1,092,959 208,279 27,989 145,894 203,324 502,938 78,411 264,309 219,287 151,778 137,180 56,810 164,139 86,461 25,209 31,207 171,670 244,347 35,353 117,035 35,995 420,104 121,350 1,073,354 59,965 41,811 480,757 106,137 81,254 33,234 3,196,382 461,649 78,093 25,252 29,483 76,797 1,899 20,488 62,139 500,023 58,065 70,399 51,991 13,943 13,809 13,659 13,620 12,648 12,491 11,860 11,019 10,716 10,714 10,626 10,044 9,429 8,601 8,328 8,134 7,991 7,521 7,374 7,170 6,650 6,378 6,376 6,256 6,248 6,029 6,016 5,885 5,838 5,691 5,461 5,313 5,284 4,894 4,841 4,595 4,559 4,458 3,619 3,549 3,378 3,201 3,120 3,044 2,670 2,522 2,515 2,470 2,305 2,049 2,015 1,972 1,933 1,882 1,418 1,372 1,312 1,298 1,285 1,259 1,255 1,159 1,064 1,050 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * ^ * *,^ *,^ *,^ *,^ * * ^ *,^ * ^ * ^ *,^ * * * * *,^ * ^ JCDecaux SA SEB SA Eiffage SA Eurofins Scientific SE Havas SA Faurecia Rubis SCA Technicolor SA Ipsen SA Remy Cointreau SA UBISOFT Entertainment Societe Television Francaise 1 BioMerieux Korian-Medica Plastic Omnium SA Euler Hermes Group Air France-KLM Numericable Group SA Altran Technologies SA Metropole Television SA Vicat CGG SA Nexans SA Virbac SA Alten SA Numericable Group SA Rights Exp. 11/12/2014 Etablissements Maurel et Prom Sopra Group SA Mercialys SA IPSOS Nexity SA Rallye SA Eramet Saft Groupe SA Gaztransport Et Technigaz SA Sartorius Stedim Biotech Norbert Dentressangle SA Bourbon SA Beneteau SA Vilmorin & Cie SA Tarkett SA Boiron SA Societe d'Edition de Canal & LISI SOITEC Groupe Fnac Faiveley Transport SA GameLoft SE Albioma SA Bonduelle S.C.A. FFP Solocal Group MPI Mersen Societe de la Tour Eiffel Guerbet Jacquet Metal Service Burelle SA Stallergenes SA Trigano SA Derichebourg SA GL Events Haulotte Group SA Assystem 23 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 47,093 58,244 19,633 22,354 14,429 18,209 4,799 894 811 666 616 558 536 90 ___________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * ^ * ^ Parrot SA Manitou BF SA Maisons France Confort SA Union Financiere de France BQE SA Esso SA Francaise Seche Environnement SA Groupe Steria SCA 7,794,746 Germany (5.7%) Bayer AG Siemens AG BASF SE Daimler AG Allianz SE SAP SE Deutsche Telekom AG Deutsche Bank AG Bayerische Motoren Werke AG Linde AG Volkswagen AG Preference Shares E.ON SE Muenchener Rueckversicherungs-Gesellschaft AG Deutsche Post AG Continental AG Fresenius SE & Co. KGaA Henkel AG & Co. KGaA Preference Shares RWE AG Fresenius Medical Care AG & Co. KGaA adidas AG * Commerzbank AG Deutsche Boerse AG Porsche Automobil Holding SE Preference Shares Merck KGaA Infineon Technologies AG Henkel AG & Co. KGaA * ThyssenKrupp AG HeidelbergCement AG ProSiebenSat.1 Media AG GEA Group AG Beiersdorf AG Brenntag AG Symrise AG Deutsche Wohnen AG Volkswagen AG HUGO BOSS AG * QIAGEN NV K&S AG Hannover Rueck SE LANXESS AG MTU Aero Engines AG United Internet AG * METRO AG Wirecard AG * GAGFAH SA MAN SE * Sky Deutschland AG LEG Immobilien AG Deutsche Lufthansa AG * OSRAM Licht AG TUI AG * Kabel Deutschland Holding AG Freenet AG Telefonica Deutschland Holding AG Fuchs Petrolub SE Preference Shares 5,243,469 5,026,478 5,853,407 6,057,103 2,886,979 5,667,423 19,764,983 8,746,769 2,062,063 1,173,419 972,997 11,753,314 970,959 6,026,150 684,485 2,485,229 1,100,745 3,067,292 1,339,616 1,327,403 5,982,910 1,166,569 970,419 819,157 7,113,445 741,709 2,692,910 890,286 1,352,826 1,121,342 631,600 978,396 772,156 1,812,978 186,856 266,007 1,488,535 1,214,247 381,542 581,040 322,496 709,916 840,513 726,740 1,362,740 223,312 2,837,217 321,707 1,445,871 539,780 1,200,848 135,111 680,781 3,399,738 429,864 24 745,812 566,623 515,580 470,833 458,602 385,329 297,941 272,910 220,624 216,430 207,499 202,208 190,870 189,299 134,380 127,930 108,696 108,597 98,271 96,648 90,135 79,647 79,510 74,008 69,015 67,412 64,684 60,636 54,573 51,621 51,125 47,381 43,444 40,844 39,760 35,304 34,949 33,863 31,820 30,214 28,248 27,772 26,796 25,997 25,471 25,434 23,953 22,192 21,357 18,943 18,355 18,297 17,822 16,708 16,690 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 162,922 236,984 444,432 284,034 379,914 234,785 262,786 416,233 435,712 289,522 166,851 286,316 207,514 94,765 198,013 173,645 159,983 293,281 377,279 202,663 271,895 784,444 93,006 352,801 241,458 26,006 173,967 217,820 239,832 240,769 497,269 585,096 547,634 392,717 162,930 58,903 88,234 476,647 74,447 370,082 99,689 212,374 178,515 115,731 424,796 62,892 47,622 14,477 42,097 121,428 20,050 29,550 1,514,197 39,574 145,865 84,155 143,866 56,891 202,557 158,692 110,142 71,365 225,312 260,503 15,460 15,300 14,842 14,822 14,641 14,523 14,444 14,315 12,976 12,949 12,344 12,277 11,880 11,445 11,018 10,925 10,436 9,666 9,634 9,483 9,442 9,178 8,912 8,863 8,791 8,145 7,991 7,986 7,735 7,254 6,914 6,876 6,672 6,639 6,548 6,428 6,183 6,103 5,789 5,726 5,628 5,601 5,454 5,312 5,269 4,891 4,737 4,722 4,262 4,225 4,207 3,862 3,855 3,852 3,345 3,327 3,281 3,274 3,160 3,082 3,073 3,067 3,042 2,978 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * ^ ^ ^ * *,^ * *,^ *,^ *,^ ^ ^ ^ * MorphoSys AG Bilfinger SE Evonik Industries AG Aurubis AG Stada Arzneimittel AG Fraport AG Frankfurt Airport Services Worldwide Axel Springer SE Dialog Semiconductor plc Rhoen Klinikum AG Deutsche Euroshop AG HOCHTIEF AG Aareal Bank AG Leoni AG Wacker Chemie AG Gerresheimer AG KUKA AG Fielmann AG Celesio AG DMG MORI SEIKI AG Norma Group SE Drillisch AG TAG Immobilien AG Krones AG Software AG KION Group AG Rational AG Wincor Nixdorf AG Fuchs Petrolub SE Talanx AG Salzgitter AG Suedzucker AG Kloeckner & Co. SE Aixtron SE Nordex SE Gerry Weber International AG Sartorius AG Preference Shares Duerr AG Grand City Properties SA Bechtle AG SGL Carbon SE Jungheinrich AG Preference Shares CTS Eventim AG & Co. KGaA ElringKlinger AG Indus Holding AG alstria office REIT-AG Pfeiffer Vacuum Technology AG Grenkeleasing AG KWS Saat AG Biotest AG Preference Shares Aurelius AG Puma SE Bertrandt AG Heidelberger Druckmaschinen AG Draegerwerk AG & Co. KGaA Preference Shares CompuGroup Medical AG BayWa AG Stroeer Media SE Vossloh AG Takkt AG Wacker Neuson SE Sixt SE Preference Shares Rheinmetall AG Patrizia Immobilien AG Jenoptik AG 25 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 87,729 104,472 5,284 618,518 126,899 121,305 319,592 213,569 177,355 63,289 68,053 19,447 444,555 54,098 96,104 30,711 125,912 435,712 2,838 2,812 2,806 2,782 2,780 2,312 1,849 1,798 1,794 1,731 1,694 1,610 859 838 825 641 625 367 ___________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ ^ ^ * *,^ ^ * *,^ ^ *,^ Sixt SE Carl Zeiss Meditec AG KSB AG Preference Shares Deutz AG Hamburger Hafen und Logistik AG CAT Oil AG Kontron AG DIC Asset AG comdirect bank AG Deutsche Beteiligungs AG SMA Solar Technology AG Draegerwerk AG & Co. KGaA QSC AG Bauer AG H&R AG Delticom AG CropEnergies AG Rhoen-Klinikum AG Tender Rights Exp. 11/14/2014 7,559,084 Greece (0.1%) * National Bank of Greece SA * Piraeus Bank SA OPAP SA * Alpha Bank AE * Hellenic Telecommunications Organization SA FF Group * Hellenic Telecommunications Organization SA ADR JUMBO SA Titan Cement Co. SA * Public Power Corp. SA * Mytilineos Holdings SA Grivalia Properties REIC Hellenic Exchanges SA Motor Oil Hellas Corinth Refineries SA * Ellaktor SA * Hellenic Petroleum SA * Bank of Cyprus PCL Athens Water Supply & Sewage Co. SA Metka SA * Intralot SA-Integrated Lottery Systems & Services * Marfin Investment Group Holdings SA * Cyprus Popular Bank PCL 9,673,144 12,731,246 1,338,130 24,187,533 875,038 281,040 1,341,580 616,600 283,623 681,565 519,074 243,270 389,242 340,697 862,623 460,274 7,567,873 255,077 158,484 672,359 2,952,029 12,597,118 23,317 18,535 16,251 15,781 9,887 9,208 7,459 6,766 6,294 5,181 3,340 2,637 2,622 2,505 2,443 2,367 1,963 1,762 1,549 953 782 631 ___________ 142,233 Hong Kong (2.6%) AIA Group Ltd. Hong Kong Exchanges and Clearing Ltd. Hutchison Whampoa Ltd. Cheung Kong Holdings Ltd. Sun Hung Kai Properties Ltd. Sands China Ltd. Hong Kong & China Gas Co. Ltd. Jardine Matheson Holdings Ltd. Galaxy Entertainment Group Ltd. Link REIT CLP Holdings Ltd. Hang Seng Bank Ltd. Power Assets Holdings Ltd. BOC Hong Kong Holdings Ltd. Wharf Holdings Ltd. Want Want China Holdings Ltd. Swire Pacific Ltd. Class A Hongkong Land Holdings Ltd. Jardine Strategic Holdings Ltd. Henderson Land Development Co. Ltd. 76,373,037 7,287,170 12,703,075 8,370,960 9,775,039 15,327,958 39,381,543 1,510,800 13,241,811 14,476,214 9,764,843 4,846,750 8,387,820 22,795,039 9,591,270 41,815,500 4,017,608 7,440,000 1,419,500 7,180,397 26 426,122 161,353 161,059 148,323 145,569 95,523 91,850 91,024 90,470 85,100 84,060 82,134 80,906 75,773 70,793 57,784 52,700 51,881 50,593 48,563 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 36,504,479 14,179,915 31,801,716 8,549,000 8,804,924 8,438,144 18,876,066 12,020,000 4,436,000 8,085,400 5,167,000 5,179,464 7,940,500 11,571,219 6,585,997 7,416,994 3,156,311 3,247,600 3,953,802 5,241,942 1,512,684 8,584,292 14,810,395 4,821,600 24,772,452 148,285,000 11,841,003 13,844,500 4,083,592 5,062,000 9,103,676 19,988,744 1,017,300 3,467,137 6,444,514 1,841,000 16,540,000 6,918,400 11,215,279 14,102,000 12,115,000 36,426,479 8,242,200 14,298,714 2,243,750 2,082,000 1,263,603 8,532,000 11,830,000 2,406,000 31,182,957 2,818,750 14,879,000 2,146,000 3,280,000 18,998,000 10,740,000 951,240 11,444,500 2,986,500 3,411,296 11,174,000 50,850,000 1,574,000 44,709 44,259 39,897 37,741 36,075 35,230 31,166 30,163 27,007 26,998 25,965 25,214 24,841 24,408 24,222 23,744 23,042 20,238 18,012 17,673 16,626 16,267 15,996 15,776 15,738 15,417 14,963 14,847 14,130 13,693 13,212 13,070 12,734 12,291 12,172 10,075 10,043 9,757 9,273 8,882 8,757 8,080 7,617 7,616 7,594 7,506 7,188 7,168 6,983 6,942 6,715 6,648 6,570 6,479 6,283 6,054 5,921 5,921 5,826 5,646 5,596 5,377 5,321 5,294 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ ^ ^ * ^ ^ *,2 ^ *,^ * * * * ^ *,^ ^ *,^ * ^ Li & Fung Ltd. Hang Lung Properties Ltd. New World Development Co. Ltd. China Mengniu Dairy Co. Ltd. MTR Corp. Ltd. Bank of East Asia Ltd. Sino Land Co. Ltd. Tingyi Cayman Islands Holding Corp. AAC Technologies Holdings Inc. Samsonite International SA Hang Lung Group Ltd. Wheelock & Co. Ltd. Techtronic Industries Co. Ltd. SJM Holdings Ltd. Wynn Macau Ltd. Swire Properties Ltd. Cheung Kong Infrastructure Holdings Ltd. Prada SPA Hysan Development Co. Ltd. Yue Yuen Industrial Holdings Ltd. ASM Pacific Technology Ltd. NWS Holdings Ltd. First Pacific Co. Ltd. MGM China Holdings Ltd. PCCW Ltd. Semiconductor Manufacturing International Corp. Esprit Holdings Ltd. Sun Art Retail Group Ltd. Kerry Properties Ltd. Melco International Development Ltd. Shangri-La Asia Ltd. WH Group Ltd. VTech Holdings Ltd. Hopewell Holdings Ltd. Cathay Pacific Airways Ltd. Television Broadcasts Ltd. New World China Land Ltd. Chow Tai Fook Jewellery Group Ltd. Goldin Financial Holdings Ltd. Alibaba Health Information Technology Ltd. Huabao International Holdings Ltd. Global Brands Group Holding Ltd. Uni-President China Holdings Ltd. FIH Mobile Ltd. Johnson Electric Holdings Ltd. Cafe de Coral Holdings Ltd. Orient Overseas International Ltd. NagaCorp Ltd. Xinyi Glass Holdings Ltd. Stella International Holdings Ltd. Superb Summit International Group Ltd. L'Occitane International SA Champion REIT Luk Fook Holdings International Ltd. Minth Group Ltd. Brightoil Petroleum Holdings Ltd. United Co. RUSAL plc Dah Sing Financial Holdings Ltd. Shun Tak Holdings Ltd. Lifestyle International Holdings Ltd. Kerry Logistics Network Ltd. Pacific Basin Shipping Ltd. REXLot Holdings Ltd. Great Eagle Holdings Ltd. 27 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 16,734,000 10,220,000 6,470,000 22,397,018 21,907,763 14,344,000 1,698,200 4,542,000 41,620,000 2,360,556 6,134,000 6,715,000 5,411,000 8,072,000 3,080,000 57,880,000 4,368,000 7,638,000 7,103,000 1,492,000 2,824,500 143,597,559 4,964,000 21,848,000 3,900,000 8,196,875 6,592,000 58,720,000 7,856,000 3,142,000 6,123,356 18,287,804 6,613,000 5,050,000 4,674,000 16,881,556 1,807,200 3,601,000 4,800,000 6,910,343 5,576,000 8,961,000 20,156,000 2,132,000 17,792,885 3,112,500 88,080,000 5,634,000 6,747,000 1,508,000 5,830,000 5,319,536 4,304,000 10,585,000 13,802,000 4,510,052 14,980,000 68,843,833 8,261,000 2,834,000 13,780,000 47,612,000 9,502,000 3,334,000 5,206 5,136 5,062 5,053 4,996 4,867 4,775 4,766 4,403 4,284 4,279 4,204 4,145 4,139 4,131 4,105 3,913 3,887 3,836 3,721 3,632 3,517 3,465 3,434 3,420 3,292 3,270 3,158 3,131 3,087 2,961 2,926 2,891 2,834 2,775 2,750 2,704 2,682 2,678 2,637 2,636 2,632 2,624 2,549 2,502 2,386 2,295 2,280 2,252 2,197 2,192 2,167 2,082 2,032 2,018 1,959 1,937 1,776 1,756 1,729 1,671 1,669 1,641 1,638 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ ^ *,^ ^ ^ * ^ *,^ ^ ^ *,^ * ^ ^ * * ^ ^ *,^ ^ ^ ^ ^ * *,^ ^ ^ *,^ ^ *,^ *,^ *,^ ^ ^ ^ ^ ^ *,^ * ^ ^ * *,^ ^ *,^ China Travel International Investment Hong Kong Ltd. Macau Legend Development Ltd. Yingde Gases Group Co. Ltd. Shougang Fushan Resources Group Ltd. Shui On Land Ltd. Xinyi Solar Holdings Ltd. Dynam Japan Holdings Co. Ltd. Towngas China Co. Ltd. China LotSynergy Holdings Ltd. Dah Sing Banking Group Ltd. SA Sa International Holdings Ltd. K Wah International Holdings Ltd. Value Partners Group Ltd. Truly International Holdings Ltd. Pacific Textiles Holdings Ltd. FDG Electric Vehicles Ltd. Nexteer Automotive Group Ltd. Giordano International Ltd. SITC International Holdings Co. Ltd. Chow Sang Sang Holdings International Ltd. SmarTone Telecommunications Holdings Ltd. G-Resources Group Ltd. Guotai Junan International Holdings Ltd. Town Health International Medical Group Ltd. Texwinca Holdings Ltd. CITIC Telecom International Holdings Ltd. Yuexiu REIT Landing International Development Ltd. Hutchison Telecommunications Hong Kong Holdings Ltd. TCL Communication Technology Holdings Ltd. Hopewell Highway Infrastructure Ltd. China Rongsheng Heavy Industries Group Holdings Ltd. Sunlight REIT Ju Teng International Holdings Ltd. Haitong International Securities Group Ltd. Carnival Group International Holdings Ltd. Man Wah Holdings Ltd. Sun Hung Kai & Co. Ltd. Xinchen China Power Holdings Ltd. Springland International Holdings Ltd. Newocean Energy Holdings Ltd. Parkson Retail Group Ltd. United Photovoltaics Group Ltd. Kowloon Development Co. Ltd. Lung Cheong International Holdings Ltd. United Laboratories International Holdings Ltd. Sino Oil And Gas Holdings Ltd. TCC International Holdings Ltd. Prosperity REIT APT Satellite Holdings Ltd. Far East Consortium International Ltd. Goodbaby International Holdings Ltd. HKR International Ltd. Honghua Group Ltd. China Aerospace International Holdings Ltd. Summit Ascent Holdings Ltd. China Dynamics Holdings Ltd. Lai Sun Development Co. Ltd. Wanda Hotel Development Co. Ltd. Regal Hotels International Holdings Ltd. China Household Holdings Ltd. China Public Procurement Ltd. Singamas Container Holdings Ltd. Midland Holdings Ltd. 28 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 5,980,000 728,419 4,822,000 16,392,000 28,620,000 6,798,000 1,649,000 5,714,000 1,056,018 1,599,000 62,250,000 2,615,000 1,508,353 8,345,000 10,516,000 2,512,000 3,111,000 7,868,000 1,620,000 1,976,500 21,360,000 2,602,000 21,490,000 4,716,000 3,413,000 2,846,000 22,120,000 120,984,000 1,288,000 1,077,972 1,880,000 3,050,000 5,897,000 3,381,500 23,372,000 3,756,225 1,573,000 23,385,000 2,774,000 1,027,000 240,000 244,600 1,612 1,582 1,522 1,512 1,457 1,438 1,438 1,377 1,347 1,341 1,331 1,322 1,252 1,225 1,205 1,176 1,139 1,126 1,091 1,084 1,047 1,034 998 924 871 855 718 697 676 660 654 570 555 545 528 465 409 344 318 181 51 39 ___________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * ^ ^ *,^ ^ ^ ^ *,^ *,^ ^ *,^ ^ ^ *,^ * * * * * * * *,^ *,^ *,^ * *,^ * * EVA Precision Industrial Holdings Ltd. Sun Hung Kai Properties Ltd. Warrants Exp. 04/08/2016 SPT Energy Group Inc. Hutchison Harbour Ring Ltd. Yanchang Petroleum International Ltd. Anton Oilfield Services Group Road King Infrastructure Ltd. Trinity Ltd. Liu Chong Hing Investment Ltd. Varitronix International Ltd. Suncorp Technologies Ltd. Microport Scientific Corp. SOCAM Development Ltd. Polytec Asset Holdings Ltd. Sunshine Oilsands Ltd. AMVIG Holdings Ltd. New World Department Store China Ltd. China Merchants Land Ltd. Yip's Chemical Holdings Ltd. Louis XIII Holdings Ltd. L'sea Resources International Holdings Ltd. Hong Kong Television Network Ltd. Emperor Watch & Jewellery Ltd. TPV Technology Ltd. Inspur International Ltd. IT Ltd. PetroAsian Energy Holdings Ltd. CST Mining Group Ltd. Dickson Concepts International Ltd. China Taiping Insurance Holdings Rights Exp. 11/18/2014 Ports Design Ltd. China Forestry Holdings Co. Ltd. Henderson Investment Ltd. Neo-Neon Holdings Ltd. Mongolia Energy Corp. Ltd. Silver base Group Holdings Ltd. Qunxing Paper Holdings Co. Ltd. Heng Tai Consumables Group Ltd. Oriental Press Group Sijia Group Co. COFCO Land Holdings Ltd. China Environmental Energy Investment Ltd. 3,396,736 Hungary (0.0%) OTP Bank plc MOL Hungarian Oil & Gas plc Richter Gedeon Nyrt * Magyar Telekom Telecommunications plc 1,189,851 305,559 880,579 2,693,211 19,715 14,560 13,439 3,724 ___________ 51,438 India (2.1%) Infosys Ltd. Housing Development Finance Corp. Reliance Industries Ltd. Tata Consultancy Services Ltd. Oil & Natural Gas Corp. Ltd. HDFC Bank Ltd. ICICI Bank Ltd. ITC Ltd. Sun Pharmaceutical Industries Ltd. Hindustan Unilever Ltd. Tata Motors Ltd. Bharti Airtel Ltd. * Axis Bank Ltd. HCL Technologies Ltd. 2,941,204 9,879,746 10,052,429 2,977,344 13,015,285 5,340,029 2,926,867 12,063,941 4,860,719 4,511,271 6,002,735 8,109,857 7,268,735 1,682,286 29 195,480 178,153 163,788 127,700 86,850 79,398 77,641 69,898 66,915 54,243 53,153 52,681 52,102 44,089 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 1,908,493 857,338 1,400,285 1,948,779 8,397,048 12,509,625 708,472 507,355 4,014,476 9,121,117 9,974,255 447,308 412,006 2,042,776 1,819,780 1,624,413 2,059,622 440,818 836,081 325,685 417,540 2,967,359 1,935,595 366,350 752,582 3,701,715 146,683 289,334 3,144,100 3,886,793 5,022,603 5,250,864 1,229,645 2,850,184 2,891,183 842,032 1,662,259 1,092,458 1,052,621 238,057 785,389 3,277,806 4,761,790 758,654 1,483,980 1,994,426 6,373,731 2,192,213 2,024,801 1,577,299 1,346,446 6,015,198 489,734 41,422 1,337,908 1,256,407 814,872 547,684 1,719,688 803,894 679,485 755,516 52,674 1,371,946 40,595 37,800 37,744 35,486 35,290 30,577 29,166 25,468 24,389 24,379 23,682 23,452 22,509 22,331 19,625 19,067 18,999 18,744 18,629 18,356 17,433 16,750 16,667 16,513 15,515 15,471 15,035 14,930 14,624 14,483 14,047 13,995 13,729 13,683 13,426 13,280 13,106 13,039 12,842 12,448 12,205 12,148 12,143 11,974 11,970 11,952 11,019 10,779 9,328 9,299 9,289 9,235 8,909 8,702 8,613 8,599 8,454 8,305 8,293 8,291 7,957 7,889 7,820 7,787 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * * Mahindra & Mahindra Ltd. State Bank of India Larsen & Toubro Ltd. Kotak Mahindra Bank Ltd. Sesa Sterlite Ltd. NTPC Ltd. Tech Mahindra Ltd. Hero MotoCorp Ltd. Coal India Ltd. Idea Cellular Ltd. Power Grid Corp. of India Ltd. HDFC Bank Ltd. ADR Maruti Suzuki India Ltd. Cipla Ltd. Asian Paints Ltd. IndusInd Bank Ltd. Wipro Ltd. Bajaj Auto Ltd. Lupin Ltd. ICICI Bank Ltd. ADR Ultratech Cement Ltd. Zee Entertainment Enterprises Ltd. GAIL India Ltd. United Spirits Ltd. JSW Steel Ltd. Bharat Heavy Electricals Ltd. Nestle India Ltd. Dr Reddy's Laboratories Ltd. Adani Ports & Special Economic Zone Ltd. Ambuja Cements Ltd. NMDC Ltd. Hindalco Industries Ltd. Yes Bank Ltd. Bharti Infratel Ltd. Cairn India Ltd. Aurobindo Pharma Ltd. Adani Enterprises Ltd. Bharat Petroleum Corp. Ltd. Wipro Ltd. ADR Dr Reddy's Laboratories Ltd. ADR Shriram Transport Finance Co. Ltd. Dabur India Ltd. IDFC Ltd. Godrej Consumer Products Ltd. Tata Steel Ltd. Indian Oil Corp. Ltd. Reliance Communications Ltd. Rural Electrification Corp. Ltd. Power Finance Corp. Ltd. LIC Housing Finance Ltd. Motherson Sumi Systems Ltd. Tata Power Co. Ltd. Apollo Hospitals Enterprise Ltd. Eicher Motors Ltd. Titan Co. Ltd. Indiabulls Housing Finance Ltd. Reliance Infrastructure Ltd. Bank of Baroda Mahindra & Mahindra Financial Services Ltd. Ranbaxy Laboratories Ltd. Glenmark Pharmaceuticals Ltd. Oil India Ltd. Shree Cement Ltd. UPL Ltd. 30 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 586,109 428,466 134,424 249,619 535,335 1,443,737 130,579 1,528,170 5,233,733 308,286 531,028 458,445 283,642 2,963,955 325,960 2,364,659 769,161 63,719 203,692 126,307 2,664,633 789,829 752,962 439,560 181,846 414,454 808,450 350,833 1,627,166 515,589 180,494 3,599,855 30,509 97,102 64,570 1,200,256 205,740 241,832 377,561 44,251 782,687 279,976 166,538 1,393,883 169,233 572,596 255,051 1,120,325 770,253 340,318 4,678,400 9,713,069 529,138 1,320,183 6,702,640 100,982 1,989,451 523,505 2,567,955 1,312,741 6,578 604,316 9,638,949 1,160,734 7,760 7,697 7,679 7,625 7,612 7,318 7,273 7,169 7,082 7,051 6,952 6,949 6,925 6,871 6,230 6,230 5,964 5,740 5,628 5,591 5,411 5,348 5,083 4,998 4,984 4,935 4,688 4,644 4,543 4,519 4,515 4,475 4,446 4,443 4,317 4,282 4,219 4,207 4,168 3,889 3,856 3,854 3,810 3,797 3,762 3,758 3,678 3,660 3,587 3,586 3,538 3,464 3,458 3,442 3,431 3,426 3,410 3,400 3,387 3,369 3,355 3,259 3,241 3,224 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * * * * * * * Bharat Forge Ltd. Mindtree Ltd. Grasim Industries Ltd. Divi's Laboratories Ltd. Siemens Ltd. Marico Ltd. Oracle Financial Services Software Ltd. Havells India Ltd. Steel Authority of India Ltd. Cadila Healthcare Ltd. Piramal Enterprises Ltd. Punjab National Bank ACC Ltd. Federal Bank Ltd. ABB India Ltd. Jindal Steel & Power Ltd. Reliance Capital Ltd. GlaxoSmithKline Consumer Healthcare Ltd. Colgate-Palmolive India Ltd. GlaxoSmithKline Pharmaceuticals Ltd. DLF Ltd. Pidilite Industries Ltd. Castrol India Ltd. United Breweries Ltd. Aditya Birla Nuvo Ltd. Cummins India Ltd. Max India Ltd. Emami Ltd. Hindustan Zinc Ltd. Hindustan Petroleum Corp. Ltd. Britannia Industries Ltd. Reliance Power Ltd. Page Industries Ltd. Bajaj Finance Ltd. Infosys Ltd. ADR Apollo Tyres Ltd. Jubilant Foodworks Ltd. Bajaj Finserv Ltd. CESC Ltd. State Bank of India GDR Arvind Ltd. Info Edge India Ltd. Bajaj Holdings & Investment Ltd. Gujarat Pipavav Port Ltd. Sundaram Finance Ltd. Canara Bank Torrent Pharmaceuticals Ltd. Petronet LNG Ltd. Bank of India ING Vysya Bank Ltd. Ashok Leyland Ltd. GMR Infrastructure Ltd. Mphasis Ltd. Tata Global Beverages Ltd. Jaiprakash Associates Ltd. Bharat Electronics Ltd. Indian Hotels Co. Ltd. Berger Paints India Ltd. JSW Energy Ltd. Exide Industries Ltd. MRF Ltd. SKS Microfinance Ltd. NHPC Ltd. IIFL Holdings Ltd. 31 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 1,543,608 781,061 709,517 500,957 135,542 3,114,913 3,707,071 891,822 268,152 933,918 765,158 59,700 8,219,708 423,555 4,622,370 112,666 1,185,460 179,481 639,492 481,122 2,605,964 203,099 1,672,273 330,148 477,278 2,087,236 354,503 862,194 259,978 1,674,226 300,954 405,622 433,243 176,011 369,252 508,204 545,762 308,714 183,807 444,366 413,397 1,187,710 400,686 1,604,920 577,873 686,191 256,631 893,371 1,559,653 1,175,231 7,998,486 3,766,407 790,785 1,705,248 491,789 184,582 1,501,039 529,498 510,921 765,131 961,056 488,332 202,804 146,811 3,207 3,207 3,035 3,014 2,966 2,906 2,897 2,894 2,867 2,866 2,818 2,812 2,799 2,778 2,770 2,752 2,700 2,628 2,618 2,558 2,531 2,503 2,474 2,412 2,409 2,408 2,356 2,348 2,312 2,269 2,204 2,198 2,128 2,114 2,073 2,043 2,039 2,018 1,995 1,972 1,941 1,876 1,867 1,864 1,857 1,840 1,804 1,770 1,760 1,753 1,751 1,705 1,624 1,607 1,588 1,458 1,438 1,431 1,390 1,390 1,368 1,345 1,331 1,328 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * * * * * * * * * * * * * * Vakrangee Ltd. IRB Infrastructure Developers Ltd. TVS Motor Co. Ltd. Dewan Housing Finance Corp. Ltd. Credit Analysis & Research Ltd. National Aluminium Co. Ltd. Adani Power Ltd. Hexaware Technologies Ltd. Amara Raja Batteries Ltd. Crompton Greaves Ltd. Union Bank of India Tata Motors Ltd. ADR Unitech Ltd. Tata Communications Ltd. IFCI Ltd. Just Dial Ltd. Jammu & Kashmir Bank Ltd. Thermax Ltd. Voltas Ltd. Sun TV Network Ltd. NCC Ltd. Wockhardt Ltd. Jain Irrigation Systems Ltd. PI Industries Ltd. Hathway Cable & Datacom Ltd. IDBI Bank Ltd. Tata Chemicals Ltd. Amtek Auto Ltd. Karur Vysya Bank Ltd. Housing Development & Infrastructure Ltd. Biocon Ltd. Coromandel International Ltd. Godrej Industries Ltd. Ipca Laboratories Ltd. Ramco Cements Ltd. Oberoi Realty Ltd. Prestige Estates Projects Ltd. Great Eastern Shipping Co. Ltd. Strides Arcolab Ltd. Engineers India Ltd. Gateway Distriparks Ltd. Sintex Industries Ltd. Oriental Bank of Commerce Indiabulls Real Estate Ltd. Muthoot Finance Ltd. Torrent Power Ltd. Sobha Developers Ltd. Essar Oil Ltd. L&T Finance Holdings Ltd. PTC India Ltd. Suzlon Energy Ltd. South Indian Bank Ltd. Syndicate Bank Dish TV India Ltd. Sun Pharma Advanced Research Co. Ltd. Gujarat Gas Co. Ltd. Indian Overseas Bank DEN Networks Ltd. Indian Bank India Cements Ltd. UCO Bank Videocon Industries Ltd. Indraprastha Gas Ltd. Century Textiles & Industries Ltd. 32 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 42,035 1,356,433 811,209 604,857 447,189 2,007,730 254,172 531,867 971,611 74,947 799,193 537,480 535,846 1,246,063 124,727 730,328 678,278 296,791 456,922 156,077 91,683 1,250,160 993,952 826,689 2,476,247 670,306 676,911 1,860,521 316,659 1,597,447 120,494 301,618 701,378 2,782,308 342,887 128,097 2,754,258 855,285 16,320 296,791 1,461,217 312,129 32,150 1,327 1,311 1,281 1,193 1,110 1,084 1,076 1,074 1,061 1,020 1,011 1,007 966 965 940 929 928 912 872 860 794 779 776 740 687 676 664 591 546 489 456 451 441 425 373 363 298 283 275 232 178 57 31 ___________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * * * * * * * * * * * * * * * * CMC Ltd. Mangalore Refinery & Petrochemicals Ltd. Gujarat State Petronet Ltd. Gujarat State Fertilisers & Chemicals Ltd. Gujarat Mineral Development Corp. Ltd. Hindustan Construction Co. Ltd. McLeod Russel India Ltd. Karnataka Bank Ltd. Central Bank of India Multi Commodity Exchange of India Ltd. Jindal Saw Ltd. Allahabad Bank Rolta India Ltd. Srei Infrastructure Finance Ltd. Raymond Ltd. Welspun Corp. Ltd. Andhra Bank Polaris Financial Technology Ltd. Future Retail Ltd. Corp Bank Alstom India Ltd. Punj Lloyd Ltd. Vijaya Bank Balrampur Chini Mills Ltd. Shree Renuka Sugars Ltd. Chambal Fertilizers & Chemicals Ltd. Shipping Corp. of India Ltd. Bajaj Hindusthan Ltd. Bhushan Steel Ltd. IVRCL Ltd. Jet Airways India Ltd. Radico Khaitan Ltd. Pipavav Defence & Offshore Engineering Co. Ltd. Tata Teleservices Maharashtra Ltd. Bombay Dyeing & Manufacturing Co. Ltd. Financial Technologies India Ltd. Lanco Infratech Ltd. Parsvnath Developers Ltd. Sesa Sterlite Ltd. ADR Intellect Design Arena Ltd. Gujarat NRE Coke Ltd. Nagarjuna Fertilizers & Chemicals Ltd. Jain Irrigation Systems Ltd. 2,837,083 Indonesia (0.5%) Bank Central Asia Tbk PT Telekomunikasi Indonesia Persero Tbk PT Astra International Tbk PT Bank Rakyat Indonesia Persero Tbk PT Bank Mandiri Persero Tbk PT Perusahaan Gas Negara Persero Tbk PT Semen Indonesia Persero Tbk PT Bank Negara Indonesia Persero Tbk PT Kalbe Farma Tbk PT Unilever Indonesia Tbk PT Indocement Tunggal Prakarsa Tbk PT Charoen Pokphand Indonesia Tbk PT Indofood Sukses Makmur Tbk PT United Tractors Tbk PT Gudang Garam Tbk PT Lippo Karawaci Tbk PT Tower Bersama Infrastructure Tbk PT XL Axiata Tbk PT Adaro Energy Tbk PT 77,257,200 317,713,300 126,688,400 67,786,900 58,857,124 67,144,200 18,769,200 46,761,995 131,766,410 7,195,400 8,415,800 46,314,458 27,619,800 9,536,903 2,928,500 120,737,500 12,453,400 18,037,423 80,162,478 33 83,587 72,924 71,906 62,305 50,512 33,080 24,998 23,043 18,598 18,112 16,950 16,104 15,619 14,719 14,000 10,750 9,186 8,249 7,617 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 68,663,400 30,637,112 19,831,509 12,919,000 7,429,800 23,798,100 65,679,300 45,957,700 5,073,700 30,513,618 17,269,800 2,516,600 156,201,000 27,152,800 9,898,100 12,702,998 2,053,600 59,491,200 13,553,900 44,367,700 74,853,800 76,528,200 16,918,000 7,942,900 6,961,500 27,778,678 21,934,697 10,608,900 218,863,532 4,483,600 1,542,300 20,994,900 37,275,209 15,680,287 24,588,100 31,201,400 126,413,500 36,846,200 20,004,200 43,804,600 17,643,300 274,678,500 9,091,300 202,316,500 18,949,700 5,296,000 3,267,700 9,803,100 25,926,000 94,762,000 6,953,500 41,394,000 26,000 7,184 7,105 6,948 6,863 6,804 6,722 6,228 6,108 5,441 4,951 4,505 4,413 4,335 4,145 4,053 4,031 4,027 3,736 3,211 2,992 2,903 2,880 2,743 2,547 2,109 2,104 2,066 2,064 2,048 1,971 1,767 1,686 1,636 1,603 1,565 1,537 1,444 1,433 1,293 1,280 1,193 1,136 1,084 837 747 693 568 515 420 392 284 171 ___________7 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * * * * * * * * * * * * * * Summarecon Agung Tbk PT Media Nusantara Citra Tbk PT Bank Danamon Indonesia Tbk PT Jasa Marga Persero Tbk PT Indofood CBP Sukses Makmur Tbk PT Surya Citra Media Tbk PT Ciputra Development Tbk PT Bumi Serpong Damai Tbk PT Tambang Batubara Bukit Asam Persero Tbk PT Global Mediacom Tbk PT Matahari Putra Prima Tbk PT Indo Tambangraya Megah Tbk PT MNC Investama Tbk PT Trada Maritime Tbk PT AKR Corporindo Tbk PT Vale Indonesia Tbk PT Astra Agro Lestari Tbk PT Bank Pembangunan Daerah Jawa Barat Dan Banten Tbk PT Wijaya Karya Persero Tbk PT Ace Hardware Indonesia Tbk PT Alam Sutera Realty Tbk PT Pakuwon Jati Tbk PT Perusahaan Perkebunan London Sumatra Indonesia Tbk PT Medco Energi Internasional Tbk PT Indosat Tbk PT Arwana Citramulia Tbk PT Bank Tabungan Negara Persero Tbk PT Holcim Indonesia Tbk PT Energi Mega Persada Tbk PT Mitra Adiperkasa Tbk PT Siloam International Hospitals Tbk PT Aneka Tambang Persero Tbk PT Garuda Indonesia Persero Tbk PT Timah Persero Tbk PT Surya Semesta Internusa Tbk PT Intiland Development Tbk PT Bumi Resources Tbk PT Sigmagold Inti Perkasa Tbk PT Salim Ivomas Pratama Tbk PT Agung Podomoro Land Tbk PT Ramayana Lestari Sentosa Tbk PT Bakrie and Brothers Tbk PT Gajah Tunggal Tbk PT Bakrieland Development Tbk PT Krakatau Steel Persero Tbk PT Harum Energy Tbk PT Sampoerna Agro PT Indika Energy Tbk PT Berlian Laju Tanker Tbk PT Bakrie Telecom Tbk PT BISI International Tbk PT Darma Henwa Tbk PT Citra Marga Nusaphala Persada Tbk PT 722,787 Ireland (0.2%) * Bank of Ireland Kerry Group plc Class A * Ryanair Holdings plc ADR Smurfit Kappa Group plc Paddy Power plc Kingspan Group plc Glanbia plc C&C Group plc * Ryanair Holdings plc 174,440,454 921,531 719,647 1,452,219 233,610 1,071,135 1,099,497 2,182,543 701,590 34 68,613 62,641 39,969 29,999 17,024 16,743 15,530 9,728 6,690 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 128,674 1,144,792 698,992 2,176 2,061 — ___________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * FBD Holdings plc Aer Lingus Group plc Irish Bank Resolution Corp. Ltd. 271,174 Israel (0.5%) Teva Pharmaceutical Industries Ltd. Bank Hapoalim BM * Bank Leumi Le-Israel BM Bezeq The Israeli Telecommunication Corp. Ltd. Israel Chemicals Ltd. NICE-Systems Ltd. Delek Group Ltd. * Israel Discount Bank Ltd. Class A Elbit Systems Ltd. * Mizrahi Tefahot Bank Ltd. Azrieli Group * Israel Corp. Ltd. Gazit-Globe Ltd. Frutarom Industries Ltd. Osem Investments Ltd. Paz Oil Co. Ltd. * EZchip Semiconductor Ltd. * Partner Communications Co. Ltd. Harel Insurance Investments & Financial Services Ltd. Strauss Group Ltd. Alony Hetz Properties & Investments Ltd. Shikun & Binui Ltd. * Delek Energy Systems Ltd. Reit 1 Ltd. * Nitsba Holdings 1995 Ltd. Cellcom Israel Ltd. (Registered) Ormat Industries * Oil Refineries Ltd. * Compugen Ltd. Melisron Ltd. * Allot Communications Ltd. * Jerusalem Oil Exploration Amot Investments Ltd. * Clal Insurance Enterprises Holdings Ltd. * Tower Semiconductor Ltd. Ituran Location and Control Ltd. Delek Automotive Systems Ltd. First International Bank Of Israel Ltd. Migdal Insurance & Financial Holding Ltd. * Nova Measuring Instruments Ltd. * Evogene Ltd. Rami Levi Chain Stores Hashikma Marketing 2006 Ltd. * Airport City Ltd. * Menorah Mivtachim Holdings Ltd. * Mazor Robotics Ltd. Norstar Holdings Inc. Phoenix Holdings Ltd. * Gilat Satellite Networks Ltd. * Naphtha Israel Petroleum Corp. Ltd. * Silicom Ltd. Electra Ltd. * Africa Israel Investments Ltd. Africa Israel Properties Ltd. Jerusalem Economy Ltd. Shufersal Ltd. Cellcom Israel Ltd. * AudioCodes Ltd. * Discount Investment Corp. Ltd. * Ceragon Networks Ltd. 6,008,906 6,267,681 7,937,349 11,955,394 2,798,051 336,109 29,852 5,748,532 151,098 731,536 232,742 14,720 545,327 224,769 242,462 30,781 186,077 545,046 689,442 201,346 468,437 1,247,835 4,381 933,783 158,355 219,138 321,933 6,715,132 288,543 80,577 180,963 50,542 613,385 121,954 189,640 91,553 178,946 127,666 1,298,386 174,351 151,472 37,513 181,945 137,890 257,363 56,591 457,345 258,325 178,713 33,339 8,651 693,410 74,359 146,266 410,376 96,644 204,540 129,965 364,505 35 339,738 32,046 28,403 20,281 18,873 13,590 10,245 9,300 9,212 8,097 7,499 7,251 6,364 5,594 4,685 4,387 3,848 3,576 3,464 3,256 3,120 2,850 2,818 2,411 2,307 2,223 2,186 2,174 2,133 2,109 2,092 2,009 1,931 1,926 1,893 1,840 1,814 1,789 1,747 1,746 1,686 1,677 1,619 1,467 1,466 1,381 1,365 1,250 1,155 1,130 1,121 1,098 1,072 1,054 1,013 978 965 885 577 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 139,475 11,192 6,314 40,342 146,605 15,894 52,298 572 370 361 335 80 17 ___________3 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * * * * Kamada Ltd. Hadera Paper Ltd. Property & Building Corp. Ltd. Elco Ltd. Babylon Ltd. Clal Biotechnology Industries Ltd. Africa Israel Investments Ltd Warrants Exp. 03/31/2015 607,524 Italy (1.7%) Eni SPA Intesa Sanpaolo SPA (Registered) Enel SPA UniCredit SPA Assicurazioni Generali SPA * Telecom Italia SPA (Registered) Snam SPA *,^ Fiat Chrysler Automobiles NV Atlantia SPA Luxottica Group SPA Tenaris SA CNH Industrial NV Terna Rete Elettrica Nazionale SPA Unione di Banche Italiane SCpA Telecom Italia SPA (Bearer) Banco Popolare SC * Mediobanca SPA Pirelli & C. SPA Exor SPA * Saipem SPA Enel Green Power SPA * Banca Popolare dell'Emilia Romagna SC Prysmian SPA * Finmeccanica SPA Banca Monte dei Paschi di Siena SPA * Banca Popolare di Milano Scarl Azimut Holding SPA * Mediaset SPA UnipolSai SPA Davide Campari-Milano SPA Banca Popolare di Sondrio SCARL Mediolanum SPA Recordati SPA Hera SPA Moncler SPA ^ GTECH SPA Banca Generali SPA A2A SPA Ansaldo STS SPA ^ Tod's SPA Unipol Gruppo Finanziario SPA Preference Shares * Credito Valtellinese SC Salvatore Ferragamo SPA Italcementi SPA * World Duty Free SPA Unipol Gruppo Finanziario SPA Interpump Group SPA * Yoox SPA Brembo SPA ^ UnipolSai SPA Buzzi Unicem SPA De' Longhi Parmalat SPA DiaSorin SPA * Sorin SPA 15,620,357 74,729,910 41,124,172 28,639,252 7,990,010 66,208,701 13,279,862 5,391,848 2,519,491 1,114,034 2,719,708 5,816,321 9,044,990 5,472,875 38,262,108 2,279,248 3,469,835 2,105,385 620,719 1,589,098 9,805,544 3,027,448 1,300,291 2,424,674 27,788,685 27,877,676 642,179 4,260,446 5,213,971 1,797,221 2,843,940 1,634,535 628,407 3,870,597 710,397 413,936 357,432 8,956,180 762,159 85,456 1,733,077 6,962,603 297,606 1,220,766 811,773 1,403,603 498,498 349,130 192,690 2,359,104 455,974 308,210 1,943,061 146,595 2,485,740 36 332,676 219,380 210,017 207,104 163,776 74,795 71,816 60,170 59,312 56,692 53,814 47,419 45,598 42,918 34,209 33,043 30,578 28,196 27,066 24,929 24,099 23,085 22,519 21,889 21,147 20,979 15,025 14,251 14,004 12,924 11,374 11,006 10,876 10,180 9,852 9,641 9,487 8,972 8,760 7,862 7,717 7,209 7,033 7,003 6,867 6,785 6,502 6,451 6,389 6,303 6,165 6,030 5,840 5,664 5,560 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 139,938 796,113 106,562 261,504 297,527 439,877 51,887,903 5,997,988 310,271 481,330 304,175 1,218,353 2,756,748 203,086 233,720 542,290 77,323 1,076,746 148,012 233,044 198,708 2,203,107 2,295,621 300,660 351,133 82,959 106,277 1,586,012 1,908,572 486,445 154,640 177,742 973,486 790,642 494,041 37,665 1,838,517 220,031 799,782 250,655 2,263,804 64,801 220,031 2,837,088 5,547 5,397 5,340 4,717 4,609 4,404 4,352 4,135 3,797 3,704 3,489 3,356 3,332 3,236 3,213 3,177 3,031 3,009 2,995 2,803 2,688 2,318 2,302 2,102 2,101 1,935 1,705 1,617 1,592 1,488 1,275 1,224 1,042 1,000 908 896 859 790 660 652 627 470 245 46 ___________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * ^ *,^ ^ * * *,^ ^ * *,^ * ^ *,^ *,^ *,^ *,^ * ^ *,^ *,^ *,^ *,^ *,^ * Tenaris SA ADR Autogrill SPA Ei Towers SPA Danieli & C Officine Meccaniche SPA Societa Cattolica di Assicurazioni SCRL Societa Iniziative Autostradali e Servizi SPA Banca Carige SPA Beni Stabili SpA SIIQ ACEA SPA Credito Emiliano SPA ERG SPA Salini Impregilo SPA Iren SPA MARR SPA Indesit Co. SPA Amplifon SPA Industria Macchine Automatiche SPA Piaggio & C SPA Brunello Cucinelli SPA ASTM SPA Safilo Group SPA RCS MediaGroup SPA CIR-Compagnie Industriali Riunite SPA Astaldi SPA Cementir Holding SPA Danieli & C Officine Meccaniche SPA Italmobiliare SPA Saras SPA Immobiliare Grande Distribuzione Geox SPA Esprinet SPA Zignago Vetro SPA Gruppo Editoriale L'Espresso SPA Falck Renewables SPA DeA Capital SPA Italmobiliare SPA Cofide SPA Trevi Finanziaria Industriale SPA Arnoldo Mondadori Editore SPA Sogefi SPA Juventus Football Club SPA Fiera Milano SPA Trevi Finanziaria Industriale SPA Rights Exp. 11/06/2014 Gemina SPA CVR 2,317,143 Japan (16.1%) Toyota Motor Corp. Mitsubishi UFJ Financial Group Inc. SoftBank Corp. Honda Motor Co. Ltd. Sumitomo Mitsui Financial Group Inc. ^ Mizuho Financial Group Inc. Hitachi Ltd. Japan Tobacco Inc. KDDI Corp. Astellas Pharma Inc. Canon Inc. FANUC Corp. Takeda Pharmaceutical Co. Ltd. Mitsubishi Estate Co. Ltd. Seven & I Holdings Co. Ltd. Mitsui Fudosan Co. Ltd. East Japan Railway Co. Central Japan Railway Co. 16,796,710 89,710,333 5,968,063 11,371,530 8,518,974 151,739,250 29,425,106 6,686,654 3,471,130 14,006,145 7,177,656 1,245,299 4,905,809 8,015,755 4,945,008 6,009,915 2,406,476 1,201,060 37 1,010,426 534,906 442,226 361,806 346,299 276,509 236,265 231,671 223,622 221,240 221,055 218,793 213,997 205,842 195,258 194,641 190,314 185,299 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 8,959,616 2,613,084 10,967,866 12,523,282 13,482,309 8,913,900 16,083,933 4,520,891 2,344,639 6,037,429 1,271,274 53,605,029 4,225,635 3,026,737 288,964 22,249,385 3,969,306 20,318,400 3,336,322 6,326,590 7,918,394 336,031 9,843,655 26,067,104 8,225,320 393,239 7,172,000 1,692,820 2,747,033 24,271,511 2,682,305 2,051,256 2,907,519 1,411,308 2,650,465 11,094,910 2,442,282 15,005,382 2,728,511 1,314,403 3,377,892 4,094,110 7,136,748 3,447,967 5,843,300 5,630,172 673,295 334,264 8,463,144 11,970,428 1,891,198 11,295,378 10,569,793 1,748,611 1,397,305 1,089,366 499,879 3,564,758 4,861,667 15,363,860 4,408,897 9,826,450 3,265,791 2,447,166 178,629 169,979 168,038 163,308 162,632 149,460 148,869 146,504 146,472 145,072 144,573 143,765 141,221 140,954 139,723 139,515 134,675 129,025 127,986 127,483 126,592 124,700 120,521 116,436 115,159 113,962 109,137 106,582 104,081 100,079 98,063 96,247 95,616 92,739 90,100 88,432 87,556 87,329 85,408 81,480 81,164 78,900 77,245 75,660 74,896 73,600 73,238 72,943 70,302 69,625 69,152 69,126 68,729 68,506 67,783 67,602 67,192 66,892 66,839 66,735 66,693 66,541 65,398 62,797 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * Mitsubishi Corp. Shin-Etsu Chemical Co. Ltd. Mitsui & Co. Ltd. Mitsubishi Electric Corp. Panasonic Corp. NTT DOCOMO Inc. Nissan Motor Co. Ltd. Tokio Marine Holdings Inc. Nippon Telegraph & Telephone Corp. Komatsu Ltd. Murata Manufacturing Co. Ltd. Nippon Steel & Sumitomo Metal Corp. Bridgestone Corp. Denso Corp. Keyence Corp. Nomura Holdings Inc. Fuji Heavy Industries Ltd. Mitsubishi Heavy Industries Ltd. Kao Corp. Sony Corp. Kubota Corp. Fast Retailing Co. Ltd. ITOCHU Corp. Toshiba Corp. ORIX Corp. SMC Corp. Dai-ichi Life Insurance Co. Ltd. Daikin Industries Ltd. Sumitomo Realty & Development Co. Ltd. Sumitomo Mitsui Trust Holdings Inc. Hoya Corp. Kyocera Corp. FUJIFILM Holdings Corp. Nidec Corp. Suzuki Motor Corp. Daiwa Securities Group Inc. Otsuka Holdings Co. Ltd. Tokyo Gas Co. Ltd. Asahi Group Holdings Ltd. Secom Co. Ltd. Mazda Motor Corp. Daiwa House Industry Co. Ltd. Sumitomo Corp. MS&AD Insurance Group Holdings Inc. Inpex Corp. Kirin Holdings Co. Ltd. Nintendo Co. Ltd. Oriental Land Co. Ltd. Asahi Kasei Corp. Resona Holdings Inc. Olympus Corp. Fujitsu Ltd. Marubeni Corp. Eisai Co. Ltd. Omron Corp. Tokyo Electron Ltd. Shimano Inc. Ajinomoto Co. Inc. Sumitomo Electric Industries Ltd. JX Holdings Inc. Daiichi Sankyo Co. Ltd. Toray Industries Inc. JFE Holdings Inc. Sompo Japan Nipponkoa Holdings Inc. 38 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 485,916 591,138 16,502,932 2,309,262 1,206,190 1,045,672 4,939,400 2,550,049 4,187,050 4,495,708 4,034,176 8,005,504 1,424,819 2,025,122 2,243,853 1,073,680 12,521,834 4,917,685 8,001,455 3,370,716 4,440,883 799,475 7,948,448 781,069 3,599,710 9,006,749 4,412,952 1,738,747 8,596,458 1,410,945 972,434 888,011 1,252,057 4,004,824 2,488,495 3,936,130 3,006,952 1,808,144 11,289,546 3,958,353 1,776,733 9,792,304 692,081 3,033,187 449,839 6,741,399 3,955,371 602,566 1,405,391 1,388,819 1,427,116 1,096,928 3,174,189 4,890,445 6,797,285 6,522,678 1,777,409 9,777,919 2,704,527 9,257,809 1,445,000 2,955,695 928,183 2,297,663 61,364 60,589 59,498 58,688 58,210 57,630 56,478 54,971 54,739 54,165 53,988 53,422 53,394 52,646 52,554 51,545 50,460 49,037 48,184 47,420 47,080 46,839 46,354 45,063 45,042 44,468 44,417 43,607 43,085 42,972 42,774 42,053 41,981 41,886 41,624 41,436 40,398 39,910 39,605 39,456 39,225 38,873 38,508 38,363 38,341 38,090 37,591 37,517 36,966 36,847 36,276 36,084 35,923 34,999 34,743 34,402 34,210 34,130 33,620 33,618 32,955 32,342 32,107 31,593 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * *,^ ^ * ^ * Daito Trust Construction Co. Ltd. Ono Pharmaceutical Co. Ltd. NEC Corp. Terumo Corp. West Japan Railway Co. Nitto Denko Corp. Rakuten Inc. Yamato Holdings Co. Ltd. T&D Holdings Inc. Chubu Electric Power Co. Inc. Isuzu Motors Ltd. Tokyu Corp. Dentsu Inc. Shionogi & Co. Ltd. Unicharm Corp. Toyota Industries Corp. Osaka Gas Co. Ltd. Kansai Electric Power Co. Inc. Hankyu Hanshin Holdings Inc. Sumitomo Metal Mining Co. Ltd. Ricoh Co. Ltd. Makita Corp. Bank of Yokohama Ltd. TDK Corp. Sekisui House Ltd. IHI Corp. Aeon Co. Ltd. Japan Exchange Group Inc. Mitsubishi Chemical Holdings Corp. Chugai Pharmaceutical Co. Ltd. Sysmex Corp. Seiko Epson Corp. Aisin Seiki Co. Ltd. Shizuoka Bank Ltd. Shiseido Co. Ltd. Mitsubishi Motors Corp. NSK Ltd. LIXIL Group Corp. Kintetsu Corp. Dai Nippon Printing Co. Ltd. NGK Insulators Ltd. Kawasaki Heavy Industries Ltd. Yakult Honsha Co. Ltd. Tohoku Electric Power Co. Inc. MEIJI Holdings Co. Ltd. Taisei Corp. Odakyu Electric Railway Co. Ltd. Rohm Co. Ltd. JGC Corp. NGK Spark Plug Co. Ltd. Toyota Tsusho Corp. Recruit Holdings Co. Ltd. Konica Minolta Inc. Chiba Bank Ltd. Tobu Railway Co. Ltd. Asahi Glass Co. Ltd. Yamaha Motor Co. Ltd. Sumitomo Chemical Co. Ltd. Sekisui Chemical Co. Ltd. Tokyo Electric Power Co. Inc. Nippon Paint Holdings Co. Ltd. Kyushu Electric Power Co. Inc. Electric Power Development Co. Ltd. Isetan Mitsukoshi Holdings Ltd. 39 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 800,700 483,280 4,154,794 2,216,000 2,238,137 1,237,564 504,847 4,296,404 18,686,912 8,481,100 3,849,175 1,605,827 803,882 1,240,313 416,293 5,448,984 1,212,878 7,605,398 1,178,011 10,284,567 499,969 3,852,365 7,381,969 3,134,187 1,968,745 2,209,104 10,102,150 1,222,593 11,300,037 5,714,425 7,955,570 1,628,033 1,706,883 5,429,284 198,220 794,000 5,523,000 2,004,782 1,459,283 4,307,506 1,277,306 1,437,354 2,617,000 2,007,224 7,113,923 1,589,043 661,363 247,500 1,423,853 1,355,080 359,600 6,013,705 624,279 1,810,500 1,604,936 1,010,751 1,974,653 296,733 2,963,318 1,871,500 1,595,112 625,151 1,212,441 151,400 31,482 31,107 31,090 30,740 30,698 30,610 30,302 30,208 30,088 30,022 29,635 29,402 28,971 28,765 28,463 28,286 28,080 27,950 27,172 27,146 26,721 26,552 26,349 26,345 26,290 25,930 25,848 25,825 25,424 25,408 25,287 25,249 25,083 24,668 24,613 24,570 24,236 23,658 23,498 23,402 23,280 23,279 23,052 22,670 22,638 22,491 22,393 22,161 21,894 21,894 21,712 21,707 21,574 21,541 21,526 21,502 21,387 21,105 21,080 20,901 20,890 20,808 20,801 20,586 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ ^ *,^ ^ ^ ^ NTT Data Corp. Nitori Holdings Co. Ltd. Shimizu Corp. Minebea Co. Ltd. Nikon Corp. Bandai Namco Holdings Inc. Santen Pharmaceutical Co. Ltd. Obayashi Corp. Kobe Steel Ltd. Yahoo Japan Corp. Keio Corp. Brother Industries Ltd. Suntory Beverage & Food Ltd. NH Foods Ltd. Lawson Inc. Fukuoka Financial Group Inc. Kikkoman Corp. Taiheiyo Cement Corp. Asics Corp. Nippon Yusen KK Nissin Foods Holdings Co. Ltd. Toppan Printing Co. Ltd. Aozora Bank Ltd. Keikyu Corp. Chugoku Electric Power Co. Inc. Kuraray Co. Ltd. Sharp Corp. Suruga Bank Ltd. Shinsei Bank Ltd. Nippon Express Co. Ltd. Mitsubishi Materials Corp. Kansai Paint Co. Ltd. Hino Motors Ltd. Kajima Corp. Hirose Electric Co. Ltd. Koito Manufacturing Co. Ltd. Nagoya Railroad Co. Ltd. Daicel Corp. Casio Computer Co. Ltd. Joyo Bank Ltd. JSR Corp. JTEKT Corp. Tokyo Tatemono Co. Ltd. TOTO Ltd. Mitsui OSK Lines Ltd. Yokogawa Electric Corp. Trend Micro Inc. Rinnai Corp. Mitsubishi Tanabe Pharma Corp. USS Co. Ltd. Don Quijote Holdings Co. Ltd. Oji Holdings Corp. Toyo Suisan Kaisha Ltd. Keisei Electric Railway Co. Ltd. J Front Retailing Co. Ltd. Credit Saison Co. Ltd. Iyo Bank Ltd. Taisho Pharmaceutical Holdings Co. Ltd. Tokyu Fudosan Holdings Corp. Hulic Co. Ltd. Yaskawa Electric Corp. Nomura Research Institute Ltd. Hitachi Metals Ltd. Ryohin Keikaku Co. Ltd. 40 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 2,304,492 442,410 766,508 3,589,460 1,265,341 2,310,925 1,721,736 974,737 761,258 1,100,600 1,122,800 723,130 754,556 2,963,289 3,689,166 2,975,425 1,325,097 3,600,000 3,258,573 1,108,532 556,800 5,536,930 7,410,946 938,000 1,098,553 755,297 5,897,556 516,504 4,131,719 907,309 1,145,109 8,589,000 3,821,279 3,164,070 3,786,774 467,100 1,860,882 1,667,690 1,865,080 1,770,000 2,865,000 1,178,718 2,663,271 738,106 1,581,980 1,797,795 373,449 394,793 497,163 1,214,532 1,130,530 426,900 313,600 3,203,000 1,337,910 1,109,956 172,416 170,999 371,100 1,558,340 700,065 6,132,422 1,122,000 1,770,922 20,543 20,466 20,424 20,280 20,243 20,222 20,162 20,046 19,415 19,057 18,924 18,921 18,898 18,765 18,719 18,498 18,494 18,244 17,935 17,892 17,804 17,790 17,751 17,703 17,667 17,499 17,472 17,461 17,282 17,245 17,239 17,048 16,878 16,849 16,830 16,732 16,667 16,647 16,549 16,110 16,065 16,058 16,047 15,922 15,910 15,848 15,834 15,828 15,767 15,677 15,615 15,588 15,587 15,543 15,535 15,396 15,289 15,105 15,077 15,003 14,991 14,961 14,901 14,796 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ ^ ^ * ^ ^ ^ Amada Co. Ltd. Hamamatsu Photonics KK Japan Airlines Co. Ltd. Sumitomo Heavy Industries Ltd. Sega Sammy Holdings Inc. Bank of Kyoto Ltd. Kyowa Hakko Kirin Co. Ltd. Stanley Electric Co. Ltd. THK Co. Ltd. Alps Electric Co. Ltd. M3 Inc. NOK Corp. Nabtesco Corp. Gunma Bank Ltd. Hiroshima Bank Ltd. Hachijuni Bank Ltd. Daihatsu Motor Co. Ltd. Keihan Electric Railway Co. Ltd. Toho Gas Co. Ltd. Sony Financial Holdings Inc. MISUMI Group Inc. Yamada Denki Co. Ltd. ANA Holdings Inc. Nissan Chemical Industries Ltd. Air Water Inc. Toho Co. Ltd. Mitsui Chemicals Inc. Hisamitsu Pharmaceutical Co. Inc. Seven Bank Ltd. Seibu Holdings Inc. Chugoku Bank Ltd. Hokuhoku Financial Group Inc. Tosoh Corp. Mitsubishi UFJ Lease & Finance Co. Ltd. Fuji Electric Co. Ltd. Calbee Inc. Taiyo Nippon Sanso Corp. Nisshin Seifun Group Inc. Shimadzu Corp. Yokohama Rubber Co. Ltd. Ebara Corp. Hokuriku Electric Power Co. Mitsubishi Gas Chemical Co. Inc. Kurita Water Industries Ltd. Hakuhodo DY Holdings Inc. TonenGeneral Sekiyu KK Miraca Holdings Inc. FamilyMart Co. Ltd. Benesse Holdings Inc. Alfresa Holdings Corp. Sumitomo Rubber Industries Ltd. Obic Co. Ltd. Hoshizaki Electric Co. Ltd. Nankai Electric Railway Co. Ltd. SBI Holdings Inc. Yamaha Corp. Mabuchi Motor Co. Ltd. Shimamura Co. Ltd. Japan Airport Terminal Co. Ltd. Yamaguchi Financial Group Inc. AEON Financial Service Co. Ltd. Teijin Ltd. Nippon Kayaku Co. Ltd. Takashimaya Co. Ltd. 41 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 3,300,324 1,470,414 798,900 229,700 930,435 1,671,675 669,340 229,600 985,794 423,800 759,047 2,053,291 1,091,832 223,600 5,780,710 2,345,000 208,700 1,760,400 478,792 1,519,000 254,200 4,566,372 9,547,762 286,000 724,300 1,034,000 640,340 407,063 1,076,315 2,482,526 2,620,931 336,151 612,593 1,081,734 323,231 1,282,000 1,015,492 2,156,429 7,915,787 654,615 396,000 1,015,863 460,000 847,200 621,979 1,098,963 924,640 391,840 458,700 476,900 732,852 1,169,789 746,000 5,225,000 1,544,800 216,100 326,500 2,784,000 632,700 4,776,000 1,219,459 152,700 4,425,000 2,383,000 14,779 14,552 14,495 14,430 14,333 14,264 13,800 13,748 13,630 13,613 13,538 13,472 13,410 13,389 13,350 13,297 13,206 13,143 13,073 12,994 12,920 12,812 12,726 12,688 12,687 12,686 12,676 12,628 12,563 12,493 12,383 12,352 12,292 12,193 12,111 12,043 11,973 11,957 11,885 11,826 11,824 11,760 11,725 11,603 11,600 11,424 11,324 11,248 11,248 11,242 11,056 10,908 10,899 10,825 10,673 10,629 10,624 10,593 10,573 10,507 10,502 10,479 10,441 10,399 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ ^ * ^ ^ ^ ^ NTN Corp. Kamigumi Co. Ltd. COMSYS Holdings Corp. Pigeon Corp. Mitsubishi Logistics Corp. Marui Group Co. Ltd. Hitachi Construction Machinery Co. Ltd. Sawai Pharmaceutical Co. Ltd. Shikoku Electric Power Co. Inc. Zenkoku Hosho Co. Ltd. Nomura Real Estate Holdings Inc. Citizen Holdings Co. Ltd. Toyo Seikan Group Holdings Ltd. Tsuruha Holdings Inc. Kawasaki Kisen Kaisha Ltd. 77 Bank Ltd. Kobayashi Pharmaceutical Co. Ltd. Haseko Corp. Suzuken Co. Ltd. Dowa Holdings Co. Ltd. Nihon Kohden Corp. Nishi-Nippon City Bank Ltd. Showa Denko KK Sugi Holdings Co. Ltd. Kewpie Corp. Nippon Shokubai Co. Ltd. Idemitsu Kosan Co. Ltd. Hitachi High-Technologies Corp. Advantest Corp. GS Yuasa Corp. Nippon Electric Glass Co. Ltd. Sankyo Co. Ltd. Konami Corp. MediPal Holdings Corp. Otsuka Corp. Zeon Corp. Sumitomo Dainippon Pharma Co. Ltd. Kaneka Corp. Sojitz Corp. Hitachi Chemical Co. Ltd. Nippon Shinyaku Co. Ltd. Iida Group Holdings Co. Ltd. Kaken Pharmaceutical Co. Ltd. Kakaku.com Inc. Aeon Mall Co. Ltd. Chiyoda Corp. Yamazaki Baking Co. Ltd. Sanrio Co. Ltd. Azbil Corp. Topcon Corp. Ibiden Co. Ltd. NHK Spring Co. Ltd. Tadano Ltd. DIC Corp. Tokai Tokyo Financial Holdings Inc. Sundrug Co. Ltd. Ezaki Glico Co. Ltd. Sotetsu Holdings Inc. Toyo Tire & Rubber Co. Ltd. Mitsui Engineering & Shipbuilding Co. Ltd. Showa Shell Sekiyu KK Disco Corp. Oki Electric Industry Co. Ltd. Sapporo Holdings Ltd. 42 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 1,432,500 6,715,333 428,600 420,612 676,556 765,500 375,400 408,100 1,561,300 1,171,078 430,013 1,223,500 2,418,000 632,300 469,307 2,920,447 285,300 1,645,000 1,239,484 639,300 1,643,000 550,315 275,955 703,451 2,282,000 1,309,000 281,900 657,878 845,900 3,468,000 469,063 2,070,000 2,260,463 821,143 244,500 1,643,000 433,000 263,200 1,413,000 1,072,000 701,400 797,000 523,900 143,089 632,700 344,300 2,537,800 211,738 499,000 321,500 1,699,000 2,301,494 198,000 335,300 5,647,000 56,000 1,295,900 969,000 326,700 1,619,000 761,006 2,235,000 995,000 466,000 10,260 10,175 10,169 10,125 10,051 9,995 9,965 9,904 9,904 9,844 9,787 9,782 9,764 9,612 9,576 9,575 9,463 9,375 9,371 9,345 9,304 9,303 9,267 9,117 9,098 9,078 9,047 9,026 9,016 8,939 8,872 8,832 8,775 8,754 8,744 8,736 8,644 8,600 8,572 8,519 8,464 8,412 8,409 8,297 8,292 8,286 8,240 8,225 8,222 8,185 8,177 8,166 8,156 8,152 8,148 8,100 8,061 8,020 8,019 8,009 8,007 7,971 7,969 7,941 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ ^ ^ ^ * * ^ ^ ^ ^ ^ ^ ^ *,^ ^ ^ ^ * ^ Sanwa Holdings Corp. Ube Industries Ltd. Sohgo Security Services Co. Ltd. Maruichi Steel Tube Ltd. Nippon Paper Industries Co. Ltd. Nagase & Co. Ltd. Glory Ltd. Resorttrust Inc. Leopalace21 Corp. Hokkaido Electric Power Co. Inc. Tsumura & Co. Takara Holdings Inc. Nishi-Nippon Railroad Co. Ltd. Park24 Co. Ltd. Square Enix Holdings Co. Ltd. Denki Kagaku Kogyo KK Temp Holdings Co. Ltd. Lion Corp. Okasan Securities Group Inc. Rohto Pharmaceutical Co. Ltd. Shiga Bank Ltd. H2O Retailing Corp. Yamato Kogyo Co. Ltd. Dena Co. Ltd. Juroku Bank Ltd. Iwatani Corp. Nifco Inc. Sumco Corp. Sumitomo Forestry Co. Ltd. Mitsui Mining & Smelting Co. Ltd. Toyoda Gosei Co. Ltd. Fujikura Ltd. Daido Steel Co. Ltd. Ushio Inc. Horiba Ltd. Keiyo Bank Ltd. Japan Aviation Electronics Industry Ltd. Izumi Co. Ltd. Awa Bank Ltd. Tsubakimoto Chain Co. DMG Mori Seiki Co. Ltd. Wacoal Holdings Corp. IT Holdings Corp. ABC-Mart Inc. ADEKA Corp. Aoyama Trading Co. Ltd. Acom Co. Ltd. Oracle Corp. Japan OSG Corp. Shimachu Co. Ltd. Sankyu Inc. Japan Steel Works Ltd. Kose Corp. Nihon Parkerizing Co. Ltd. Toyobo Co. Ltd. Cosmos Pharmaceutical Corp. SKY Perfect JSAT Holdings Inc. Nisshinbo Holdings Inc. TS Tech Co. Ltd. Nishimatsu Construction Co. Ltd. Kinden Corp. Kumagai Gumi Co. Ltd. Seino Holdings Co. Ltd. House Foods Group Inc. 43 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 301,100 2,510,000 1,662,000 657,900 1,860,000 678,300 477,500 999,000 365,600 2,169,000 4,344,000 1,135,600 1,820,400 282,136 1,435,160 718,400 261,800 1,368,000 1,292,000 248,500 595,600 1,171,000 156,800 1,393,400 408,893 185,300 832,046 294,100 212,000 361,500 1,753,800 1,000,000 820,000 338,800 104,600 259,400 1,597,000 418,500 314,376 1,054,000 325,900 731,000 904,932 330,700 471,700 180,600 1,551,000 1,655,000 482,500 2,232,000 1,907,000 1,156,000 1,575,000 691,000 247,800 113,300 2,181,000 433,000 194,853 174,500 157,749 4,116,850 300,000 281,000 7,928 7,919 7,881 7,820 7,784 7,778 7,768 7,765 7,760 7,752 7,718 7,699 7,679 7,626 7,621 7,542 7,517 7,485 7,456 7,453 7,431 7,390 7,390 7,377 7,374 7,360 7,345 7,329 7,303 7,290 7,281 7,270 7,191 7,182 7,101 7,085 7,077 6,984 6,937 6,928 6,902 6,902 6,896 6,879 6,875 6,845 6,777 6,765 6,760 6,725 6,687 6,673 6,673 6,640 6,573 6,537 6,459 6,437 6,429 6,426 6,401 6,324 6,311 6,293 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ ^ *,^ ^ ^ *,^ ^ ^ ^ ^ ^ ^ *,^ ^ ^ ^ Century Tokyo Leasing Corp. Sumitomo Osaka Cement Co. Ltd. Kenedix Inc. Daifuku Co. Ltd. Nichirei Corp. NTT Urban Development Corp. Kagome Co. Ltd. San-In Godo Bank Ltd. KYORIN Holdings Inc. Daishi Bank Ltd. Furukawa Electric Co. Ltd. Hazama Ando Corp. Aiful Corp. SCSK Corp. Senshu Ikeda Holdings Inc. Taiyo Yuden Co. Ltd. Tokyo Ohka Kogyo Co. Ltd. SCREEN Holdings Co. Ltd. Higo Bank Ltd. Matsumotokiyoshi Holdings Co. Ltd. Kyowa Exeo Corp. Nachi-Fujikoshi Corp. Asahi Intecc Co. Ltd. UNY Group Holdings Co. Ltd. Coca-Cola East Japan Co. Ltd. Jafco Co. Ltd. Nexon Co. Ltd. Hitachi Capital Corp. Musashino Bank Ltd. Ito En Ltd. North Pacific Bank Ltd. OKUMA Corp. Maeda Corp. Lintec Corp. Hikari Tsushin Inc. K's Holdings Corp. Toagosei Co. Ltd. Nippon Konpo Unyu Soko Co. Ltd. Start Today Co. Ltd. Kagoshima Bank Ltd. Aica Kogyo Co. Ltd. Shochiku Co. Ltd. Anritsu Corp. Canon Marketing Japan Inc. Autobacs Seven Co. Ltd. United Arrows Ltd. Toda Corp. Nanto Bank Ltd. Nissan Shatai Co. Ltd. Japan Display Inc. Hokkoku Bank Ltd. Okumura Corp. Hyakugo Bank Ltd. Matsui Securities Co. Ltd. Kissei Pharmaceutical Co. Ltd. Pilot Corp. Tokuyama Corp. Kiyo Bank Ltd. Japan Petroleum Exploration Co. Kanamoto Co. Ltd. Itochu Techno-Solutions Corp. Cosmo Oil Co. Ltd. Nippon Seiki Co. Ltd. Arcs Co. Ltd. 44 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 318,800 1,422,000 236,100 766,000 700,100 935,000 401,000 158,700 327,000 510,700 414,726 2,119,000 1,776,700 818,000 1,145,000 145,500 696,600 1,237,000 349,600 176,900 1,733,000 89,700 308,418 426,400 561,800 593,792 158,800 270,600 972,000 1,474,006 5,651,413 524,900 224,000 1,223,000 1,447,000 182,100 582,600 539,700 976,100 856,000 123,716 203,000 1,042,000 117,100 459,800 160,024 248,600 208,900 4,179,400 610,000 110,200 1,179,000 184,700 492,600 195,000 97,000 871,000 323,900 375,500 322,400 325,000 1,081,000 1,197,000 67,500 6,274 6,257 6,256 6,255 6,230 6,225 6,213 6,163 6,078 6,053 5,958 5,955 5,932 5,930 5,829 5,828 5,807 5,776 5,774 5,685 5,677 5,663 5,656 5,640 5,622 5,613 5,597 5,573 5,506 5,499 5,498 5,478 5,391 5,352 5,352 5,341 5,309 5,279 5,228 5,189 5,188 5,178 5,177 5,177 5,142 5,122 5,122 5,100 5,085 5,067 5,063 5,060 5,005 4,999 4,992 4,989 4,960 4,958 4,955 4,936 4,916 4,913 4,906 4,883 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ ^ ^ ^ ^ ^ *,^ ^ *,^ ^ ^ ^ ^ ^ * *,^ ^ ^ ^ Tokai Rika Co. Ltd. Rengo Co. Ltd. HIS Co. Ltd. Sanken Electric Co. Ltd. Bic Camera Inc. NOF Corp. Maeda Road Construction Co. Ltd. SHO-BOND Holdings Co. Ltd. Nippo Corp. Miura Co. Ltd. Coca-Cola West Co. Ltd. Ogaki Kyoritsu Bank Ltd. Penta-Ocean Construction Co. Ltd. Toshiba TEC Corp. Fukuyama Transporting Co. Ltd. Fuyo General Lease Co. Ltd. Nipro Corp. Toyo Ink SC Holdings Co. Ltd. Duskin Co. Ltd. Meitec Corp. Hyakujushi Bank Ltd. Mochida Pharmaceutical Co. Ltd. Kadokawa Dwango Corp. Takasago Thermal Engineering Co. Ltd. J Trust Co. Ltd. Nisshin Steel Co. Ltd. Inaba Denki Sangyo Co. Ltd. ZERIA Pharmaceutical Co. Ltd. Calsonic Kansei Corp. UACJ Corp. Nippon Sheet Glass Co. Ltd. Accordia Golf Co. Ltd. IBJ Leasing Co. Ltd. KYB Co. Ltd. Toho Bank Ltd. Nihon M&A Center Inc. Zensho Holdings Co. Ltd. Fuji Machine Manufacturing Co. Ltd. Hitachi Zosen Corp. Onward Holdings Co. Ltd. Pola Orbis Holdings Inc. Asatsu-DK Inc. Kureha Corp. Bank of Okinawa Ltd. Amano Corp. Tokyo TY Financial Group Inc. Heiwa Corp. Nippon Gas Co. Ltd. Sumitomo Mitsui Construction Co. Ltd. Takara Standard Co. Ltd. Bank of Iwate Ltd. Tokyo Dome Corp. MonotaRO Co. Ltd. Fujitec Co. Ltd. Sangetsu Co. Ltd. Hogy Medical Co. Ltd. Nippon Soda Co. Ltd. Capcom Co. Ltd. Toho Holdings Co. Ltd. Nippon Television Holdings Inc. Hitachi Kokusai Electric Inc. Yamanashi Chuo Bank Ltd. Bank of Nagoya Ltd. Relo Holdings Inc. 45 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 191,300 536,000 146,300 808,000 288,800 1,032,000 1,953,000 3,295,100 201,500 451,000 233,400 292,300 1,298,000 348,900 369,000 159,800 917,000 1,592,500 1,236,000 572,500 255,100 227,900 395,700 1,139,000 1,351,000 1,699,200 432,300 259,700 263,300 1,320,000 805,000 642,000 385,478 160,600 752,000 391,000 883,000 195,400 231,500 177,000 189,100 171,500 346,200 810,000 494,000 353,800 141,400 198,200 2,113,000 182,100 582,500 601,255 613,600 67,500 369,800 253,600 642,500 2,546,000 123,000 671,000 245,100 184,200 163,900 114,400 4,865 4,859 4,835 4,832 4,830 4,828 4,810 4,790 4,787 4,752 4,745 4,743 4,731 4,725 4,711 4,671 4,669 4,643 4,619 4,613 4,579 4,573 4,567 4,559 4,546 4,537 4,519 4,511 4,497 4,494 4,484 4,474 4,455 4,449 4,430 4,422 4,409 4,378 4,346 4,330 4,318 4,285 4,246 4,244 4,243 4,226 4,222 4,217 4,216 4,215 4,213 4,192 4,191 4,185 4,182 4,177 4,114 4,088 4,083 4,061 4,059 4,055 4,003 4,002 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ ^ ^ * ^ ^ * ^ ^ ^ ^ ^ ^ ^ ^ ^ ^ ^ ^ Exedy Corp. Shinmaywa Industries Ltd. Mitsubishi Pencil Co. Ltd. Jaccs Co. Ltd. Nichi-iko Pharmaceutical Co. Ltd. Yamagata Bank Ltd. Saibu Gas Co. Ltd. Nippon Light Metal Holdings Co. Ltd. Ship Healthcare Holdings Inc. Fuji Kyuko Co. Ltd. Ai Holdings Corp. Fuji Oil Co. Ltd. Hanwa Co. Ltd. Megmilk Snow Brand Co. Ltd. Fujitsu General Ltd. FP Corp. Toyo Engineering Corp. Nippon Suisan Kaisha Ltd. Meidensha Corp. Kokuyo Co. Ltd. Daiseki Co. Ltd. Unipres Corp. Yoshinoya Holdings Co. Ltd. Sumitomo Bakelite Co. Ltd. Central Glass Co. Ltd. Pioneer Corp. Nikkiso Co. Ltd. Alpine Electronics Inc. Koei Tecmo Holdings Co. Ltd. Morinaga Milk Industry Co. Ltd. Sumitomo Warehouse Co. Ltd. Makino Milling Machine Co. Ltd. Toyota Boshoku Corp. Ain Pharmaciez Inc. Sanden Corp. Mirait Holdings Corp. Seiko Holdings Corp. Taikisha Ltd. Noritz Corp. TPR Co. Ltd. Komeri Co. Ltd. Fuji Soft Inc. Asahi Diamond Industrial Co. Ltd. Itoham Foods Inc. Daio Paper Corp. Colowide Co. Ltd. Fuji Seal International Inc. Ryosan Co. Ltd. Furukawa Co. Ltd. Totetsu Kogyo Co. Ltd. EDION Corp. Gree Inc. DCM Holdings Co. Ltd. Yaoko Co. Ltd. Daibiru Corp. Seikagaku Corp. TSI Holdings Co. Ltd. Kanematsu Corp. Mandom Corp. Nichias Corp. Valor Co. Ltd. NEC Networks & System Integration Corp. Modec Inc. San-A Co. Ltd. 46 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 152,200 212,500 531,800 292,000 869,000 232,500 112,300 276,500 233,900 236,900 1,075,000 390,200 192,080 193,300 305,000 229,200 244,500 131,300 253,200 1,831,400 387,100 141,300 121,900 1,223,000 974,000 224,232 502,400 223,400 107,960 235,500 110,300 246,800 429,200 1,917,000 216,400 211,900 951,100 1,463,000 269,000 615,400 844,500 278,000 641,900 882,000 98,000 620,200 174,900 386,100 810,000 127,000 1,327,400 343,300 238,600 140,700 1,306,000 134,700 341,708 233,100 651,000 306,800 184,100 171,000 653,000 500,000 4,000 3,995 3,988 3,983 3,979 3,961 3,942 3,941 3,940 3,906 3,888 3,859 3,847 3,829 3,827 3,815 3,808 3,803 3,791 3,784 3,768 3,763 3,717 3,711 3,687 3,676 3,663 3,663 3,652 3,647 3,633 3,632 3,630 3,630 3,614 3,597 3,596 3,589 3,572 3,551 3,545 3,541 3,529 3,507 3,501 3,481 3,478 3,463 3,453 3,449 3,447 3,445 3,441 3,439 3,423 3,420 3,404 3,393 3,377 3,353 3,347 3,338 3,332 3,319 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ ^ ^ ^ * ^ *,^ ^ ^ ^ ^ ^ ^ ^ ^ ^ *,^ ^ ^ ^ ^ HI-LEX Corp. Heiwado Co. Ltd. Okamura Corp. Fuji Media Holdings Inc. TOMONY Holdings Inc. Toshiba Plant Systems & Services Corp. Kintetsu World Express Inc. Topre Corp. FCC Co. Ltd. Tokyo Seimitsu Co. Ltd. Nitto Boseki Co. Ltd. Nippon Signal Co. Ltd. Oiles Corp. MOS Food Services Inc. Ulvac Inc. Heiwa Real Estate Co. Ltd. Nissin Kogyo Co. Ltd. Paramount Bed Holdings Co. Ltd. NSD Co. Ltd. Orient Corp. Aida Engineering Ltd. Sato Holdings Corp. Chofu Seisakusho Co. Ltd. Aomori Bank Ltd. Oita Bank Ltd. Nissha Printing Co. Ltd. TOC Co. Ltd. Mitsuba Corp. Welcia Holdings Co. Ltd. Star Micronics Co. Ltd. Taiyo Holdings Co. Ltd. Matsuya Co. Ltd. GMO internet Inc. Daikyo Inc. Bank of the Ryukyus Ltd. Asahi Holdings Inc. Wacom Co. Ltd. Fukui Bank Ltd. Hitachi Transport System Ltd. Japan Securities Finance Co. Ltd. Hokuetsu Kishu Paper Co. Ltd. Keihin Corp. Tokyo Steel Manufacturing Co. Ltd. Yodogawa Steel Works Ltd. Nishio Rent All Co. Ltd. Iino Kaiun Kaisha Ltd. Fuji Co. Ltd. Nihon Unisys Ltd. Tekken Corp. Trusco Nakayama Corp. Monex Group Inc. Komori Corp. Futaba Corp. Teikoku Sen-I Co. Ltd. Tokai Carbon Co. Ltd. Shibuya Kogyo Co. Ltd. Namura Shipbuilding Co. Ltd. Nippon Densetsu Kogyo Co. Ltd. Kandenko Co. Ltd. Showa Corp. Nitto Kogyo Corp. Chiyoda Co. Ltd. Nippon Flour Mills Co. Ltd. Shindengen Electric Manufacturing Co. Ltd. 47 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 920,200 319,400 216,300 889,480 130,200 524,000 504,000 1,388,000 167,600 195,800 103,700 398,900 567,000 472,000 281,000 231,700 218,700 541,800 362,800 801,000 207,100 162,500 176,400 349,000 1,117,000 210,700 324,000 625,000 62,200 97,800 213,600 956,000 82,300 366,000 46,900 167,400 1,098,000 185,500 158,600 262,400 593,000 123,600 932,000 137,800 331,900 841,000 140,200 320,700 428,000 76,400 954,000 997,000 124,500 579,390 137,200 177,600 1,294,000 75,100 186,800 273,800 588,000 249,000 287,700 213,500 3,313 3,310 3,304 3,292 3,289 3,281 3,260 3,249 3,241 3,234 3,224 3,220 3,210 3,201 3,198 3,194 3,185 3,168 3,137 3,132 3,129 3,128 3,121 3,119 3,118 3,107 3,100 3,077 3,074 3,073 3,069 3,065 3,057 3,052 3,028 3,025 3,024 3,010 2,993 2,993 2,981 2,974 2,964 2,964 2,962 2,939 2,937 2,933 2,905 2,902 2,902 2,901 2,881 2,864 2,859 2,857 2,844 2,837 2,830 2,827 2,822 2,814 2,802 2,793 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ ^ ^ ^ ^ ^ ^ ^ *,^ ^ ^ *,^ * ^ ^ ^ ^ Ashikaga Holdings Co. Ltd. Nihon Nohyaku Co. Ltd. Avex Group Holdings Inc. Nippon Steel & Sumikin Bussan Corp. Aeon Delight Co. Ltd. Mitsumi Electric Co. Ltd. Takuma Co. Ltd. Iseki & Co. Ltd. Eagle Industry Co. Ltd. Shima Seiki Manufacturing Ltd. Riso Kagaku Corp. Yamazen Corp. Dainichiseika Color & Chemicals Manufacturing Co. Ltd. PanaHome Corp. Kyudenko Corp. Fancl Corp. Maruha Nichiro Corp. NET One Systems Co. Ltd. Gulliver International Co. Ltd. Showa Sangyo Co. Ltd. Hitachi Maxell Ltd. Nagaileben Co. Ltd. Internet Initiative Japan Inc. Bunka Shutter Co. Ltd. Akita Bank Ltd. Sakata Seed Corp. Raito Kogyo Co. Ltd. TOKAI Holdings Corp. Aichi Bank Ltd. NS Solutions Corp. Kuroda Electric Co. Ltd. Juki Corp. Earth Chemical Co. Ltd. Chugoku Marine Paints Ltd. Mani Inc. Sankyo Tateyama Inc. Gunze Ltd. Chudenko Corp. Transcosmos Inc. AOKI Holdings Inc. Mizuno Corp. Cocokara fine Inc. Pacific Metals Co. Ltd. Kato Sangyo Co. Ltd. CKD Corp. Toho Zinc Co. Ltd. DTS Corp. Nishimatsuya Chain Co. Ltd. Japan Wool Textile Co. Ltd. Enplas Corp. Miyazaki Bank Ltd. Nippon Chemi-Con Corp. Nitta Corp. Tokyu Construction Co. Ltd. ASKUL Corp. Royal Holdings Co. Ltd. Morinaga & Co. Ltd. Obara Group Inc. Doutor Nichires Holdings Co. Ltd. Sakata INX Corp. Takasago International Corp. Max Co. Ltd. Inabata & Co. Ltd. Takata Corp. 48 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 86,792 679,000 290,300 957,000 247,100 189,800 193,400 1,287,000 65,400 307,100 292,000 117,900 1,408,000 395,500 739,000 376,000 149,400 664,000 87,900 301,600 272,000 225,800 565,000 732,000 377,000 941,000 203,700 254,200 87,351 92,300 1,305,000 214,000 350,800 175,200 131,600 507,900 215,100 255,000 68,700 260,400 681,000 180,700 652,000 87,700 966,000 714,000 235,800 80,700 572,300 222,500 57,400 106,500 131,600 204,100 54,200 252,300 155,500 366,100 324,000 419,000 96,469 53,900 1,316,000 130,600 2,787 2,781 2,779 2,774 2,768 2,757 2,757 2,754 2,733 2,714 2,707 2,704 2,704 2,700 2,699 2,697 2,690 2,689 2,675 2,674 2,673 2,668 2,662 2,661 2,652 2,647 2,631 2,622 2,622 2,600 2,597 2,594 2,576 2,573 2,548 2,545 2,534 2,531 2,522 2,520 2,518 2,514 2,508 2,501 2,493 2,490 2,485 2,482 2,478 2,469 2,465 2,464 2,458 2,458 2,456 2,447 2,439 2,434 2,433 2,428 2,426 2,416 2,402 2,398 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ *,^ ^ ^ ^ ^ ^ ^ ^ ^ ^ ^ Milbon Co. Ltd. Tochigi Bank Ltd. Okabe Co. Ltd. Eighteenth Bank Ltd. Tokyo Broadcasting System Holdings Inc. KLab Inc. Kyokuto Kaihatsu Kogyo Co. Ltd. Shikoku Bank Ltd. Roland DG Corp. Seiren Co. Ltd. Descente Ltd. Ariake Japan Co. Ltd. Hokuetsu Bank Ltd. Nichicon Corp. Aichi Steel Corp. San-Ai Oil Co. Ltd. Plenus Co. Ltd. Toshiba Machine Co. Ltd. Okinawa Electric Power Co. Inc. Hitachi Koki Co. Ltd. Wakita & Co. Ltd. Ichiyoshi Securities Co. Ltd. Kitz Corp. Nisshin Oillio Group Ltd. Sanki Engineering Co. Ltd. Tokyotokeiba Co. Ltd. Yokogawa Bridge Holdings Corp. Moshi Moshi Hotline Inc. Kameda Seika Co. Ltd. Fujimori Kogyo Co. Ltd. Minato Bank Ltd. Daido Metal Co. Ltd. Marusan Securities Co. Ltd. Saizeriya Co. Ltd. Musashi Seimitsu Industry Co. Ltd. kabu.com Securities Co. Ltd. Aderans Co. Ltd. Morita Holdings Corp. Ohsho Food Service Corp. Nomura Co. Ltd. Marudai Food Co. Ltd. Sekisui Jushi Corp. Mitsui-Soko Holdings Co. Ltd. As One Corp. Higashi-Nippon Bank Ltd. Sanyo Special Steel Co. Ltd. Ihara Chemical Industry Co. Ltd. Tokai Corp. Takara Leben Co. Ltd. Tsukishima Kikai Co. Ltd. Dydo Drinco Inc. JCR Pharmaceuticals Co. Ltd. Eizo Corp. Paltac Corp. Towa Pharmaceutical Co. Ltd. Toppan Forms Co. Ltd. Xebio Co. Ltd. Shizuoka Gas Co. Ltd. Kato Works Co. Ltd. Shinko Electric Industries Co. Ltd. Mitani Corp. Piolax Inc. Daiwabo Holdings Co. Ltd. Yondoshi Holdings Inc. 49 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 71,900 150,700 143,000 85,100 119,000 49,800 148,500 389,800 141,200 129,600 43,900 384,000 442,200 47,600 443,000 56,900 167,300 849,000 125,200 652,000 134,800 542,000 1,100,500 131,700 1,355,000 556,000 867,400 113,600 149,300 244,000 277,400 78,300 55,600 562,000 219,400 158,500 139,500 397,900 466,000 117,500 61,100 538,000 68,900 308,200 93,000 1,086,000 167,300 73,900 1,145,000 138,000 952,000 375,000 108,700 267,000 920,000 296,000 504,093 103,000 863,700 91,660 276,900 45,150 620,000 96,000 2,396 2,395 2,389 2,386 2,383 2,381 2,372 2,370 2,370 2,368 2,357 2,355 2,353 2,349 2,349 2,347 2,346 2,335 2,328 2,326 2,308 2,285 2,285 2,285 2,272 2,269 2,265 2,260 2,252 2,247 2,247 2,245 2,224 2,224 2,224 2,222 2,220 2,202 2,191 2,188 2,176 2,171 2,166 2,157 2,155 2,153 2,150 2,150 2,147 2,139 2,123 2,122 2,116 2,115 2,115 2,110 2,103 2,103 2,088 2,085 2,085 2,078 2,072 2,070 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ ^ ^ ^ ^ ^ ^ ^ ^ ^ ^ *,^ ^ ^ ^ ^ ^ ^ ^ ^ ^ ^ ^ ^ ^ ^ *,^ ^ COOKPAD Inc. Foster Electric Co. Ltd. Kyoei Steel Ltd. Ricoh Leasing Co. Ltd. OSAKA Titanium Technologies Co. Ltd. Ichibanya Co. Ltd. Broadleaf Co. Ltd. Round One Corp. Doshisha Co. Ltd. Hokuto Corp. St. Marc Holdings Co. Ltd. Sanyo Chemical Industries Ltd. Tomy Co. Ltd. Kusuri No Aoki Co. Ltd. Toei Co. Ltd. Kyoritsu Maintenance Co. Ltd. Gurunavi Inc. Ryobi Ltd. Oyo Corp. Daihen Corp. Kyokuto Securities Co. Ltd. Senko Co. Ltd. Jimoto Holdings Inc. Kisoji Co. Ltd. Kurabo Industries Ltd. Press Kogyo Co. Ltd. Nippon Yakin Kogyo Co. Ltd. TKC Corp. Hibiya Engineering Ltd. Joshin Denki Co. Ltd. Sodick Co. Ltd. Torii Pharmaceutical Co. Ltd. YAMABIKO Corp. Riken Corp. PGM Holdings K K Fujimi Inc. TV Asahi Holdings Corp. Hosiden Corp. Jeol Ltd. Canon Electronics Inc. Jowa Holdings Co. Ltd. Bando Chemical Industries Ltd. Dr Ci:Labo Co. Ltd. Sintokogio Ltd. Mitsubishi Shokuhin Co. Ltd. Topy Industries Ltd. Tachi-S Co. Ltd. SMS Co. Ltd. Toa Corp. T Hasegawa Co. Ltd. Ehime Bank Ltd. Nippon Road Co. Ltd. Tamron Co. Ltd. Nichii Gakkan Co. Bank of Saga Ltd. Mitsuboshi Belting Co. Ltd. Sanyo Electric Railway Co. Ltd. Tv Tokyo Holdings Corp. Fudo Tetra Corp. Sumitomo Real Estate Sales Co. Ltd. Yokohama Reito Co. Ltd. Token Corp. Clarion Co. Ltd. Jin Co. Ltd. 50 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 71,000 137,000 67,700 94,800 107,800 168,600 688,000 397,000 175,000 137,300 282,000 65,700 862,000 508,700 102,600 379,000 207,100 88,400 114,900 268,300 299,000 107,700 227,400 594,000 93,600 86,880 115,600 587,000 753,400 95,500 39,000 332,200 690,000 166,200 802,000 295,800 160,400 147,300 465,000 395,700 295,000 152,800 232,000 522,000 102,100 331,000 291,000 65,300 500,000 212,000 722,000 459,000 257,000 199,300 49,500 287,000 411,000 2,118,000 205,900 855,100 98,620 127,000 62,100 58,700 2,068 2,058 2,056 2,054 2,053 2,049 2,046 2,043 2,036 2,025 2,023 2,022 2,014 2,007 1,994 1,993 1,988 1,986 1,984 1,983 1,970 1,969 1,966 1,958 1,951 1,919 1,914 1,903 1,901 1,901 1,894 1,893 1,889 1,881 1,881 1,877 1,869 1,867 1,857 1,842 1,840 1,836 1,815 1,808 1,806 1,802 1,800 1,792 1,790 1,786 1,786 1,782 1,775 1,772 1,768 1,764 1,760 1,755 1,754 1,753 1,748 1,739 1,731 1,730 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * ^ ^ ^ ^ ^ ^ ^ ^ ^ ^ ^ ^ ^ ^ ^ ^ ^ * ^ ^ ^ Hiday Hidaka Corp. Fujicco Co. Ltd. Pal Co. Ltd. Yellow Hat Ltd. Yuasa Trading Co. Ltd. Katakura Industries Co. Ltd. Japan Pulp & Paper Co. Ltd. Tsugami Corp. Marvelous Inc. Nohmi Bosai Ltd. Sanyo Denki Co. Ltd. BML Inc. Noritake Co. Ltd. Akebono Brake Industry Co. Ltd. Takamatsu Construction Group Co. Ltd. Denki Kogyo Co. Ltd. Kasumi Co. Ltd. Arcland Sakamoto Co. Ltd. Yorozu Corp. Pacific Industrial Co. Ltd. Meisei Industrial Co. Ltd. Noevir Holdings Co. Ltd. Sumitomo Riko Co. Ltd. J-Oil Mills Inc. GMO Payment Gateway Inc. Adastria Holdings Co. Ltd. Tsurumi Manufacturing Co. Ltd. Daiso Co. Ltd. Nippon Denko Co. Ltd. Konoike Transport Co. Ltd. C Uyemura & Co. Ltd. Futaba Industrial Co. Ltd. Fujibo Holdings Inc. Kansai Urban Banking Corp. Prima Meat Packers Ltd. Itochu Enex Co. Ltd. Kohnan Shoji Co. Ltd. Zenrin Co. Ltd. Okamoto Industries Inc. Toyo Construction Co. Ltd. Nippon Synthetic Chemical Industry Co. Ltd. EPS Corp. Shinko Plantech Co. Ltd. Mitsui Sugar Co. Ltd. Japan Digital Laboratory Co. Ltd. Atom Corp. Kumiai Chemical Industry Co. Ltd. Belc Co. Ltd. Fujita Kanko Inc. Vital KSK Holdings Inc. Sanyo Shokai Ltd. Tamura Corp. Shikoku Chemicals Corp. Geo Holdings Corp. CREATE SD HOLDINGS Co. Ltd. Sumitomo Seika Chemicals Co. Ltd. Nippon Koei Co. Ltd. Ishihara Sangyo Kaisha Ltd. F@N Communications Inc. FIDEA Holdings Co. Ltd. Goldcrest Co. Ltd. Artnature Inc. Kura Corp. Macnica Inc. 51 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 82,200 411,000 551,000 188,400 109,100 877,500 1,068,000 96,300 209,500 39,400 877,000 462,000 145,000 97,500 200,000 95,300 297,000 710,000 487,900 791,000 99,300 224,000 161,300 290,000 129,000 1,835,000 671,000 91,000 61,700 1,007,000 223,600 371,000 85,100 52,500 101,100 275,000 137,600 703,000 120,700 278,300 185,000 36,500 545,000 89,400 81,000 1,364,400 341,000 404,600 227,900 179,400 99,100 650,000 36,200 206,400 370,000 276,000 162,800 637,000 73,300 286,000 160,800 192,300 187,400 81,400 1,710 1,699 1,697 1,696 1,694 1,690 1,690 1,688 1,684 1,683 1,682 1,678 1,678 1,675 1,675 1,672 1,667 1,652 1,650 1,646 1,644 1,644 1,630 1,624 1,619 1,618 1,612 1,601 1,601 1,600 1,598 1,594 1,592 1,590 1,589 1,585 1,584 1,582 1,582 1,577 1,567 1,553 1,553 1,550 1,549 1,548 1,546 1,545 1,545 1,541 1,532 1,528 1,519 1,519 1,513 1,511 1,507 1,503 1,501 1,499 1,494 1,489 1,487 1,470 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ ^ *,^ ^ ^ ^ ^ ^ *,^ *,^ ^ ^ ^ ^ *,^ *,^ ^ ^ ^ * ^ ^ S Foods Inc. Nippon Thompson Co. Ltd. Sakai Chemical Industry Co. Ltd. Koa Corp. Ringer Hut Co. Ltd. JVC Kenwood Corp. Daisan Bank Ltd. Happinet Corp. Senshukai Co. Ltd. Trancom Co. Ltd. Michinoku Bank Ltd. Kyodo Printing Co. Ltd. Cosel Co. Ltd. Eiken Chemical Co. Ltd. Taihei Dengyo Kaisha Ltd. Siix Corp. Goldwin Inc. Tokushu Tokai Paper Co. Ltd. Tsukuba Bank Ltd. Kurimoto Ltd. UKC Holdings Corp. Neturen Co. Ltd. T-Gaia Corp. Toyo Kohan Co. Ltd. Maeda Kosen Co. Ltd. Towa Bank Ltd. Toyo Kanetsu KK Aiphone Co. Ltd. Union Tool Co. Janome Sewing Machine Co. Ltd. Chiba Kogyo Bank Ltd. Kinugawa Rubber Industrial Co. Ltd. Toyo Tanso Co. Ltd. OBIC Business Consultants Ltd. Japan Cash Machine Co. Ltd. Keihanshin Building Co. Ltd. ASKA Pharmaceutical Co. Ltd. Mitsubishi Steel Manufacturing Co. Ltd. Megachips Corp. Itoki Corp. Ines Corp. Wowow Inc. Kintetsu Department Store Co. Ltd. Konishi Co. Ltd. Tocalo Co. Ltd. Daiei Inc. Keiyo Co. Ltd. Mito Securities Co. Ltd. Tosei Corp. Nichiha Corp. Alpen Co. Ltd. Kyokuyo Co. Ltd. Japan Drilling Co. Ltd. Justsystems Corp. SMK Corp. Nissin Electric Co. Ltd. Toyo Corp. Mie Bank Ltd. Pack Corp. Daiichi Jitsugyo Co. Ltd. Misawa Homes Co. Ltd. Yahagi Construction Co. Ltd. Aisan Industry Co. Ltd. Optex Co. Ltd. 52 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 3,345,000 140,900 579,000 224,200 142,700 159,100 100,300 134,000 130,300 79,100 62,800 146,000 48,743 57,300 96,300 140,000 1,478,000 184,700 356,000 361,000 306,600 49,300 79,600 42,500 51,100 105,200 140,500 1,015,000 627,200 47,400 148,100 432,000 462,000 72,500 165,100 115,500 300,200 83,000 64,200 91,600 47,961 27,500 154,700 1,706,000 109,400 157,000 522,000 464,000 94,100 257,000 413,000 204,000 114,100 74,200 166,000 59,800 75,600 267,000 422,000 688,000 172,000 132,000 101,200 130,700 1,468 1,463 1,463 1,454 1,451 1,451 1,443 1,440 1,438 1,427 1,424 1,422 1,419 1,414 1,405 1,400 1,399 1,386 1,386 1,385 1,385 1,383 1,383 1,381 1,379 1,377 1,376 1,376 1,372 1,371 1,370 1,369 1,367 1,361 1,361 1,354 1,346 1,343 1,339 1,329 1,319 1,319 1,315 1,307 1,300 1,300 1,298 1,296 1,294 1,292 1,289 1,288 1,286 1,279 1,274 1,272 1,271 1,271 1,263 1,262 1,262 1,259 1,258 1,253 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * ^ *,^ ^ ^ ^ ^ *,^ *,^ ^ ^ ^ ^ ^ * ^ ^ ^ ^ ^ Unitika Ltd. Toa Corp. NS United Kaiun Kaisha Ltd. Toho Titanium Co. Ltd. Ryoyo Electro Corp. Kappa Create Holdings Co. Ltd. Key Coffee Inc. CONEXIO Corp. Sun Frontier Fudousan Co. Ltd. Osaka Steel Co. Ltd. Jamco Corp. Nagatanien Co. Ltd. Maruwa Co. Ltd. Icom Inc. Nippon Ceramic Co. Ltd. Showa Aircraft Industry Co. Ltd. SWCC Showa Holdings Co. Ltd. Mitsubishi Nichiyu Forklift Co. Ltd. Mitsubishi Kakoki Kaisha Ltd. Nittetsu Mining Co. Ltd. Riken Technos Corp. Pressance Corp. Warabeya Nichiyo Co. Ltd. Hamakyorex Co. Ltd. Nippon Kanzai Co. Ltd. Denyo Co. Ltd. Tsukui Corp. Achilles Corp. OSJB Holdings Corp. Shimizu Bank Ltd. Hisaka Works Ltd. Maruzen Showa Unyu Co. Ltd. Fuso Pharmaceutical Industries Ltd. Nitto Kohki Co. Ltd. Idec Corp. WATAMI Co. Ltd. Belluna Co. Ltd. JSP Corp. Yushin Precision Equipment Co. Ltd. Sac's Bar Holdings Inc. Weathernews Inc. Zuiko Corp. Tabuchi Electric Co. Ltd. Mitsubishi Paper Mills Ltd. Kaga Electronics Co. Ltd. Okuwa Co. Ltd. Nissin Corp. Nippon Valqua Industries Ltd. Ikyu Corp. Takiron Co. Ltd. Nippon Sharyo Ltd. Kobelco Eco-Solutions Co. Ltd. Meiko Network Japan Co. Ltd. Mitani Sekisan Co. Ltd. Daiwa Industries Ltd. Elecom Co. Ltd. Chiyoda Integre Co. Ltd. Tokyo Tekko Co. Ltd. Starzen Co. Ltd. Chukyo Bank Ltd. Ryoden Trading Co. Ltd. Sagami Chain Co. Ltd. Sumitomo Densetsu Co. Ltd. Shinko Shoji Co. Ltd. 53 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 29,200 88,200 173,700 248,800 191,000 329,000 413,000 740,000 749,000 139,700 55,300 213,000 47,900 697,000 76,500 101,100 81,500 102,200 340,000 129,400 254,000 636,000 33,600 118,900 782,000 661,000 217,000 208,000 67,200 45,800 484,000 277,000 308,000 205,000 272,000 142,100 195,000 216,000 59,700 75,100 59,500 52,100 170,000 105,200 1,073,000 80,500 347,000 99,700 219,700 301,000 973,700 682,000 53,200 1,449,000 726,000 196,100 731,000 47,800 82,700 264,000 975,000 42,600 50,500 45,300 1,253 1,252 1,250 1,248 1,242 1,215 1,208 1,207 1,199 1,199 1,194 1,187 1,185 1,183 1,175 1,171 1,166 1,156 1,154 1,150 1,128 1,127 1,126 1,123 1,123 1,120 1,119 1,116 1,106 1,103 1,101 1,098 1,094 1,091 1,090 1,085 1,077 1,076 1,075 1,071 1,069 1,063 1,063 1,063 1,052 1,050 1,049 1,047 1,046 1,045 1,042 1,040 1,040 1,034 1,033 1,028 1,028 1,027 1,026 1,019 1,013 1,000 997 994 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ ^ ^ ^ ^ *,^ ^ ^ ^ ^ ^ * ^ ^ ^ ^ ^ ^ * *,^ Ateam Inc. Tenma Corp. Sanshin Electronics Co. Ltd. Tatsuta Electric Wire and Cable Co. Ltd. U-Shin Ltd. JP-Holdings Inc. Toyo Securities Co. Ltd. France Bed Holdings Co. Ltd. Tokyo Rope Manufacturing Co. Ltd. Furuno Electric Co. Ltd. Nichiden Corp. Hosokawa Micron Corp. Tsutsumi Jewelry Co. Ltd. Nippon Beet Sugar Manufacturing Co. Ltd. Cawachi Ltd. Toridoll.corp Yonekyu Corp. Teikoku Electric Manufacturing Co. Ltd. Shibusawa Warehouse Co. Ltd. Cleanup Corp. Yomiuri Land Co. Ltd. Fujiya Co. Ltd. Itochu-Shokuhin Co. Ltd. ESPEC Corp. Sinfonia Technology Co. Ltd. Nippon Carbon Co. Ltd. Nippon Steel & Sumikin Texeng Co. Ltd. Toenec Corp. Gecoss Corp. Kita-Nippon Bank Ltd. Daiken Corp. Kanto Denka Kogyo Co. Ltd. Toyo Denki Seizo - Toyo Electric Manufacturing Co. Ltd. Koatsu Gas Kogyo Co. Ltd. Sinanen Co. Ltd. Torishima Pump Manufacturing Co. Ltd. Yurtec Corp. Maruetsu Inc. Mars Engineering Corp. Ministop Co. Ltd. Open House Co. Ltd. Nissei ASB Machine Co. Ltd. Osaki Electric Co. Ltd. Yusen Logistics Co. Ltd. Nippon Coke & Engineering Co. Ltd. Kanematsu Electronics Ltd. Arata Corp. Arakawa Chemical Industries Ltd. Shin-Etsu Polymer Co. Ltd. Japan Transcity Corp. Nippon Parking Development Co. Ltd. KNT-CT Holdings Co. Ltd. Matsuya Foods Co. Ltd. Nakayama Steel Works Ltd. Dai Nippon Toryo Co. Ltd. Komatsu Seiren Co. Ltd. Godo Steel Ltd. Elematec Corp. K&O Energy Group Inc. Toho Co. Ltd. Atsugi Co. Ltd. Mitsubishi Research Institute Inc. Dai-ichi Seiko Co. Ltd. Tosho Co. Ltd. 54 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 815,571 138,800 58,100 93,000 94,000 131,000 404,000 165,300 65,400 253,000 61,800 281,000 102,400 66,900 150,800 132,700 138,400 278,000 173,000 80,500 385,000 294,000 162,000 458,000 336,000 29,600 109,300 325,000 78,300 201,000 43,400 108,000 359,000 397,000 305,000 268,000 120,000 232,000 57,800 388,000 553,000 321,000 423,000 115,000 357,000 513,000 87,820 252,000 268,500 77,000 322,000 75,000 66,300 43,000 161,800 389,000 52,600 67,400 177,000 80,600 582,000 88,300 230,000 67,771 990 987 986 961 958 956 954 937 935 922 921 919 915 914 913 913 909 902 899 890 889 889 886 885 883 881 878 878 875 870 861 859 857 856 856 852 851 848 846 845 843 842 839 839 838 838 832 830 827 826 826 826 826 825 824 817 817 816 816 812 804 801 798 797 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ ^ * ^ ^ ^ ^ ^ * ^ ^ ^ ^ ^ ^ ^ ^ ^ ^ ^ *,^ Mitsui Matsushima Co. Ltd. Kamei Corp. Rock Field Co. Ltd. Onoken Co. Ltd. Taiho Kogyo Co. Ltd. Tokyo Energy & Systems Inc. T RAD Co. Ltd. Next Co. Ltd. Melco Holdings Inc. Japan Radio Co. Ltd. Chori Co. Ltd. Kyosan Electric Manufacturing Co. Ltd. Benefit One Inc. Fujitsu Frontech Ltd. Mitsui High-Tec Inc. Airport Facilities Co. Ltd. Sanoh Industrial Co. Ltd. Uchida Yoko Co. Ltd. Nippon Chemiphar Co. Ltd. CAC Holdings Corp. Asahi Organic Chemicals Industry Co. Ltd. Gun-Ei Chemical Industry Co. Ltd. Japan Vilene Co. Ltd. Nice Holdings Inc. Hokkaido Gas Co. Ltd. Daikokutenbussan Co. Ltd. Parco Co. Ltd. Sekisui Plastics Co. Ltd. Matsuda Sangyo Co. Ltd. Organo Corp. CHIMNEY Co. Ltd. Nihon Dempa Kogyo Co. Ltd. Seika Corp. Tonami Holdings Co. Ltd. NDS Co. Ltd. Kitano Construction Corp. Kanaden Corp. Toda Kogyo Corp. Takaoka Toko Co. Ltd. Iwasaki Electric Co. Ltd. Nihon Yamamura Glass Co. Ltd. Tomoku Co. Ltd. Chugai Ro Co. Ltd. Asunaro Aoki Construction Co. Ltd. Ichikoh Industries Ltd. Chuetsu Pulp & Paper Co. Ltd. Honeys Co. Ltd. Tosho Printing Co. Ltd. Fuji Oil Co. Ltd. GCA Savvian Corp. Hokkan Holdings Ltd. Asahi Co. Ltd. Yushiro Chemical Industry Co. Ltd. KFC Holdings Japan Ltd. Aichi Corp. Uniden Corp. CMIC Holdings Co. Ltd. Fuji Electronics Co. Ltd. Sanix Inc. Hakuto Co. Ltd. Rhythm Watch Co. Ltd. Funai Electric Co. Ltd. Okura Industrial Co. Ltd. Dunlop Sports Co. Ltd. 55 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 353,000 452,000 40,900 86,600 146,600 75,400 85,900 50,200 55,400 59,800 101,700 137,500 59,200 72,300 192,000 30,000 161,000 280,900 63,900 65,100 184,400 333,000 60,300 149,000 41,600 54,600 243,000 114,300 366,000 508,300 72,700 223,000 96,000 52,000 151,000 132,500 48,900 178,800 287,000 432,000 46,700 26,500 132,000 48,700 26,500 373,000 254,000 60,400 37,400 109,100 83,900 90,300 862,000 202,000 39,200 90,100 139,000 53,700 42,400 518,000 186,000 413,600 18,500 87,600 794 792 787 783 781 779 774 773 767 767 755 749 749 749 738 731 726 718 706 696 693 686 680 679 679 675 665 664 664 662 657 654 646 642 605 599 593 592 587 584 584 577 574 573 564 561 557 554 553 545 544 544 529 523 523 519 510 509 506 503 501 497 492 483 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ ^ ^ ^ ^ *,^ ^ ^ ^ ^ ^ ^ *,^ ^ ^ *,^ ^ ^ ^ ^ ^ *,^ ^ *,^ Gakken Holdings Co. Ltd. Kitagawa Iron Works Co. Ltd. NEC Capital Solutions Ltd. Mimasu Semiconductor Industry Co. Ltd. Fujikura Kasei Co. Ltd. Corona Corp. Class A Zuken Inc. Hioki EE Corp. Axell Corp. Studio Alice Co. Ltd. Shin Nippon Biomedical Laboratories Ltd. Noritsu Koki Co. Ltd. Kourakuen Corp. Maezawa Kasei Industries Co. Ltd. Mory Industries Inc. Taisei Lamick Co. Ltd. Tokyo Rakutenchi Co. Ltd. CMK Corp. Advan Co. Ltd. Information Services International-Dentsu Ltd. Sankyo Seiko Co. Ltd. Oenon Holdings Inc. Endo Lighting Corp. Daidoh Ltd. Daikoku Denki Co. Ltd. Maezawa Kyuso Industries Co. Ltd. Toko Inc. Future Architect Inc. Hodogaya Chemical Co. Ltd. Aplus Financial Co. Ltd. ST Corp. Chuo Spring Co. Ltd. Pronexus Inc. Inaba Seisakusho Co. Ltd. Sumitomo Precision Products Co. Ltd. Paris Miki Holdings Inc. Daisyo Corp. Nissen Holdings Co. Ltd. Shiroki Corp. FDK Corp. Stella Chemifa Corp. Nihon Trim Co. Ltd. Mitsui Home Co. Ltd. Shinwa Co. Ltd. Japan Pure Chemical Co. Ltd. Shoko Co. Ltd. Toli Corp. Shimojima Co. Ltd. Tomen Electronics Corp. Pasona Group Inc. Right On Co. Ltd. Pocket Card Co. Ltd. Daiichi Chuo KK Wood One Co. Ltd. Aeon Fantasy Co. Ltd. ValueCommerce Co. Ltd. Takihyo Co. Ltd. Olympic Group Corp. NIFTY Corp. Yamada SxL Home Co. Ltd. Kinki Sharyo Co. Ltd. Best Denki Co. Ltd. Panasonic Information Systems Panasonic Industrial Devices SUNX Co. Ltd. 56 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 36,300 224,000 63,200 35,500 125,300 281,000 133,100 49,500 172,000 75,900 7,000 482 478 470 465 429 390 369 257 223 213 34 ___________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ ^ *,^ ^ ^ Alpha Systems Inc. Krosaki Harima Corp. Livesense Inc. Tokyo Electron Device Ltd. Cybozu Inc. Toa Oil Co. Ltd. Kojima Co. Ltd. Ohara Inc. Nippon Kasei Chemical Co. Ltd. Mr Max Corp. Mitsuuroko Group Holdings Co. Ltd. 21,380,782 Malaysia (0.9%) Public Bank Bhd. (Local) Malayan Banking Bhd. Axiata Group Bhd. CIMB Group Holdings Bhd. Sime Darby Bhd. DiGi.Com Bhd. Genting Bhd. Tenaga Nasional Bhd. IOI Corp. Bhd. Petronas Gas Bhd. Petronas Chemicals Group Bhd. Maxis Bhd. IHH Healthcare Bhd. SapuraKencana Petroleum Bhd. Genting Malaysia Bhd. Kuala Lumpur Kepong Bhd. AMMB Holdings Bhd. Gamuda Bhd. MISC Bhd. British American Tobacco Malaysia Bhd. PPB Group Bhd. YTL Corp. Bhd. IJM Corp. Bhd. Hong Leong Bank Bhd. Telekom Malaysia Bhd. UMW Holdings Bhd. Felda Global Ventures Holdings Bhd. Dialog Group Bhd. RHB Capital Bhd. Petronas Dagangan Bhd. Bumi Armada Bhd. Malaysia Airports Holdings Bhd. Alliance Financial Group Bhd. 2 Astro Malaysia Holdings Bhd. YTL Power International Bhd. IOI Properties Group Bhd. Lafarge Malaysia Bhd. Hong Leong Financial Group Bhd. Genting Plantations Bhd. KLCCP Stapled Group AirAsia Bhd. Berjaya Sports Toto Bhd. UEM Sunrise Bhd. Bursa Malaysia Bhd. SP Setia Bhd Group HAP Seng Consolidated Bhd. IGB Corp. Bhd. KPJ Healthcare Bhd. MMC Corp. Bhd. Magnum Bhd. BIMB Holdings Bhd. 19,702,014 27,267,890 31,598,600 33,409,000 19,744,400 23,653,700 14,046,600 8,852,800 23,657,386 5,016,500 18,305,027 16,668,450 17,336,877 24,376,422 18,822,600 3,396,086 11,085,800 12,586,500 9,298,230 905,700 3,741,800 34,090,686 7,625,060 3,604,560 6,826,200 4,206,200 11,804,524 25,114,244 4,410,100 1,886,400 22,145,487 4,685,800 6,928,900 9,909,600 19,165,080 10,603,042 2,685,000 1,345,400 2,186,600 2,855,200 7,764,200 5,400,174 9,717,803 2,150,100 5,205,700 3,694,500 5,305,548 3,753,890 5,443,300 4,755,300 3,320,460 57 111,186 80,421 67,911 66,072 58,197 44,751 41,788 35,962 35,177 34,415 34,303 34,253 26,106 25,451 24,705 23,745 22,876 19,582 19,531 19,159 18,009 17,210 16,060 16,020 15,024 14,978 13,141 12,373 11,800 11,733 10,576 10,304 10,131 9,945 9,268 8,905 8,554 7,406 7,047 5,971 5,938 5,905 5,588 5,291 5,244 4,933 4,643 4,484 4,397 4,339 4,311 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 3,235,500 1,982,100 6,868,400 5,171,900 4,680,200 3,708,257 5,235,540 2,515,100 3,513,300 5,619,200 3,982,800 5,401,918 2,304,600 4,783,050 6,858,100 964,700 3,077,564 1,911,340 3,897,458 2,080,600 6,541,500 2,695,800 2,822,900 2,369,700 3,910,190 16,816,800 5,647,800 32,071,600 3,542,800 2,080,000 2,948,300 1,162,895 2,379,900 2,776,000 8,011,050 2,709,700 7,285,800 1,514,500 1,978,200 2,468,671 3,274,600 1,807,600 3,007,200 4,520,900 1,499,100 2,668,040 2,422,004 5,215,000 9,195,600 1,607,066 8,240,100 1,811,400 2,391,600 568,847 319,480 2,286,033 1,550,450 741,960 521,665 111,300 558,140 72,940 165,750 288,480 4,293 4,220 4,100 4,072 4,018 3,890 3,792 3,758 3,678 3,647 3,638 3,564 3,539 3,468 3,297 3,260 3,214 3,014 2,990 2,910 2,864 2,826 2,807 2,670 2,664 2,609 2,583 2,490 2,286 2,271 2,167 2,153 2,107 2,044 1,996 1,932 1,928 1,842 1,759 1,716 1,676 1,627 1,566 1,541 1,511 1,323 1,235 1,222 1,201 1,017 887 863 447 277 263 170 134 129 83 79 67 61 44 32 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * * * * * * * * * * * * * * * * * * * * * * * * * * * Cahya Mata Sarawak Bhd. Hartalega Holdings Bhd. Media Prima Bhd. Malaysia Building Society Bhd. Eastern & Oriental Bhd. Sunway Bhd. Mah Sing Group Bhd. Top Glove Corp. Bhd. Kulim Malaysia Bhd. DRB-Hicom Bhd. Westports Holdings Bhd. WCT Holdings Bhd. Pos Malaysia Bhd. TSH Resources Bhd. Malaysian Resources Corp. Bhd. Carlsberg Brewery Malaysia Bhd. QL Resources Bhd. TIME dotCom Bhd. Parkson Holdings Bhd. Kossan Rubber Industries CapitaMalls Malaysia Trust IJM Land Bhd. UMW Oil & Gas Corp. Bhd. Axis REIT OSK Holdings Bhd. Berjaya Corp. Bhd. Pavilion REIT Malaysian Airline System Bhd. Jaya Tiasa Holdings Bhd. Gas Malaysia Bhd. MPHB Capital Bhd. Keck Seng Malaysia Bhd. Yinson Holdings Bhd. CB Industrial Product Holding Bhd. KNM Group Bhd. Supermax Corp. Bhd. TA Enterprise Bhd. Coastal Contracts Bhd. Muhibbah Engineering M Bhd. Malaysia Marine and Heavy Engineering Holdings Bhd. Datasonic Group Bhd. Dayang Enterprise Holdings Bhd. Unisem M Bhd. Perisai Petroleum Teknologi Bhd. Puncak Niaga Holdings Bhd. Perdana Petroleum Bhd. Wah Seong Corp. Bhd. AirAsia X Bhd. Mulpha International Bhd. Mudajaya Group Bhd. Scomi Group Bhd. Malaysian Bulk Carriers Bhd. Lion Industries Corp. Bhd. Malaysia Building Society Bhd. Warrants Exp. 05/31/2016 KPJ Healthcare Bhd. Warrants Exp. 01/10/2015 Malaysian Resources Corp. Bhd. Warrants Exp. 09/16/2018 KNM Group Bhd. Warrants Exp. 11/15/2017 BIMB Holdings Bhd. Warrants Exp. 12/31/2014 Mah Sing Group Bhd. Warrants Exp. 03/18/2018 Puncak Niaga Holding Bhd. Warrants Exp. 07/20/2018 WCT Holdings Bhd. Warrants Exp. 12/11/2017 Hartalega Holdings Bhd. Warrants Exp. 05/29/2015 Kulim Malaysia Bhd. Warrants Exp. 02/27/2016 WCT Holdings Bhd. Warrants Exp. 03/10/2016 58 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 46,016 88,380 462,666 19 11 ___________1 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * * Coastal Contracts Bhd. Warrants Exp. 07/18/2016 MBM Resources Bhd. Warrants Exp. 06/14/2017 CB Industrial Product Holding Bhd. Warrants Exp. 10/31/2019 1,250,681 Mexico (1.1%) America Movil SAB de CV Fomento Economico Mexicano SAB de CV Grupo Televisa SAB * Cemex SAB de CV Grupo Financiero Banorte SAB de CV Grupo Mexico SAB de CV Class B Wal-Mart de Mexico SAB de CV Alfa SAB de CV Class A Fibra Uno Administracion SA de CV Grupo Financiero Inbursa SAB de CV Grupo Bimbo SAB de CV Class A Mexichem SAB de CV Coca-Cola Femsa SAB de CV Grupo Financiero Santander Mexico SAB de CV Class B Grupo Aeroportuario del Sureste SAB de CV Class B Industrias Penoles SAB de CV Grupo Carso SAB de CV * Promotora y Operadora de Infraestructura SAB de CV Compartamos SAB de CV Grupo Aeroportuario del Pacifico SAB de CV Class B * Genomma Lab Internacional SAB de CV Class B Kimberly-Clark de Mexico SAB de CV Class A * Gruma SAB de CV Class B Arca Continental SAB de CV Controladora Comercial Mexicana SAB de CV * OHL Mexico SAB de CV * Alsea SAB de CV Mexico Real Estate Management SA de CV Grupo Elektra SAB DE CV Bolsa Mexicana de Valores SAB de CV Infraestructura Energetica Nova SAB de CV PLA Administradora Industrial S de RL de CV Grupo Lala SAB de CV Grupo Comercial Chedraui SA de CV Grupo Aeroportuario del Centro Norte Sab de CV Class B * Industrias CH SAB de CV Class B * Empresas ICA SAB de CV * Minera Frisco SAB de CV Corp Inmobiliaria Vesta SAB de CV Organizacion Soriana SAB de CV Class B * Industrias Bachoco SAB de CV Class B TV Azteca SAB de CV Concentradora Fibra Hotelera Mexicana SA de CV * Grupo Aeromexico SAB de CV Grupo Sanborns SAB de CV * Grupo Financiero Interacciones SA de CV Alpek SAB de CV Concentradora Fibra Danhos SA de CV * Megacable Holdings SAB de CV * Qualitas Controladora SAB de CV * Banregio Grupo Financiero SAB de CV * Grupo Simec SAB de CV Class B Grupo Herdez SAB de CV Organizacion Cultiba SAB de CV * Consorcio ARA SAB de CV * Urbi Desarrollos Urbanos SAB de CV * Corp GEO SAB de CV * Cemex SAB de CV ADR 189,528,967 13,699,845 16,689,329 76,823,655 14,433,807 24,720,863 35,603,691 17,908,112 14,208,574 13,106,013 11,964,232 7,053,607 2,615,136 9,463,165 1,421,046 801,940 3,074,084 1,248,728 7,137,110 2,174,612 5,049,972 5,486,069 1,065,926 1,736,978 2,825,235 3,923,548 3,275,106 5,131,640 223,040 3,796,751 1,253,617 3,107,438 2,969,100 1,861,571 1,297,973 1,124,820 3,422,813 3,346,453 2,421,645 1,625,530 1,022,500 9,564,373 2,626,078 2,774,300 2,509,891 485,609 2,199,056 1,296,300 649,503 1,087,744 434,100 484,010 830,616 1,318,134 4,444,366 2,494,600 2,276,157 22,090 59 231,242 131,767 120,613 94,644 92,597 84,941 82,305 57,064 49,380 39,358 34,996 28,856 27,590 25,214 18,997 17,998 17,564 17,154 15,895 14,795 12,747 12,698 11,738 11,186 11,069 11,043 10,229 9,321 8,279 7,971 7,673 7,202 6,813 6,548 6,467 6,094 6,093 5,954 5,316 5,312 5,201 5,000 4,397 4,314 4,017 3,956 3,890 3,286 2,975 2,813 2,511 2,142 2,117 2,071 2,046 295 281 272 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 1,200 82 ___________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ Grupo Aeroportuario del Pacifico SAB de CV ADR 1,424,389 Morocco (0.0%) Douja Promotion Groupe Addoha SA Netherlands (1.9%) Unilever NV * ING Groep NV ASML Holding NV Koninklijke Philips NV Unibail-Rodamco SE Heineken NV Akzo Nobel NV Aegon NV Reed Elsevier NV Koninklijke Ahold NV ArcelorMittal Koninklijke DSM NV Koninklijke KPN NV Wolters Kluwer NV * Ziggo NV Heineken Holding NV ^ Gemalto NV * Altice SA Randstad Holding NV Delta Lloyd NV Boskalis Westminster NV Nutreco NV Koninklijke Vopak NV Corio NV * OCI NV TNT Express NV Aalberts Industries NV * SBM Offshore NV ASM International NV Eurocommercial Properties NV Arcadis NV * PostNL NV Wereldhave NV *,^ APERAM TKH Group NV Fugro NV Corbion NV Vastned Retail NV * TomTom NV Nieuwe Steen Investments NV USG People NV ^ Royal Imtech NV BinckBank NV Koninklijke BAM Groep NV Koninklijke Ten Cate NV Brunel International NV Accell Group Koninklijke Wessanen NV *,^ Grontmij Aegon NV *,^ SNS REAAL NV 84,813 471 9,868,521 24,487,672 2,115,391 5,907,421 616,175 1,388,475 1,539,267 12,045,542 3,985,373 5,209,256 6,331,382 1,108,293 19,652,527 1,868,438 911,322 621,570 500,341 534,077 682,490 1,235,244 491,015 436,725 421,228 432,864 517,264 2,960,645 608,716 1,140,343 313,095 263,462 387,495 2,797,405 137,792 295,866 239,320 477,327 377,824 120,368 730,999 838,191 414,495 729,434 384,570 1,369,691 144,713 119,740 156,273 369,386 443,215 922 672,039 383,155 351,888 211,081 165,241 158,075 103,738 102,468 98,174 91,832 87,169 82,997 69,489 64,537 49,907 44,572 40,275 38,271 33,284 30,145 28,169 26,203 21,886 21,117 21,077 18,043 17,208 16,229 14,297 12,538 12,029 11,929 11,880 11,303 8,522 7,260 6,607 6,107 5,503 5,308 4,168 4,161 3,989 3,813 3,291 3,263 2,691 2,496 2,363 2,042 8 — ___________ 2,521,798 New Zealand (0.2%) Spark New Zealand Ltd. Fletcher Building Ltd. Auckland International Airport Ltd. Ryman Healthcare Ltd. Fisher & Paykel Healthcare Corp. Ltd. 11,545,076 4,094,177 5,630,364 2,591,002 3,410,341 60 28,467 27,533 17,326 15,367 15,054 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 2,425,881 2,301,309 3,649,414 4,407,336 2,537,472 6,509,165 2,642,328 479,674 6,130,970 3,184,199 1,518,931 5,057,419 912,184 2,399,708 4,550,107 515,806 1,622,420 1,239,830 1,230,370 1,400,306 788,305 1,827,208 889,063 1,147,676 240,759 540,063 2,284,512 2,806,676 1,188,709 12,030 11,143 11,126 9,692 7,880 6,123 5,965 5,930 5,265 5,106 4,910 4,180 4,054 3,948 3,904 3,849 3,457 3,073 3,031 3,017 2,680 2,182 2,172 1,763 1,629 1,480 1,309 1,295 33 ___________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ *,^ * ^ *,^ *,^ * SKY Network Television Ltd. Contact Energy Ltd. SKYCITY Entertainment Group Ltd. Mighty River Power Ltd. Trade Me Group Ltd. Kiwi Income Property Trust Infratil Ltd. Xero Ltd. Goodman Property Trust Air New Zealand Ltd. Z Energy Ltd. Argosy Property Ltd. Freightways Ltd. Chorus Ltd. Precinct Properties New Zealand Ltd. Ebos Group Ltd. Vector Ltd. Nuplex Industries Ltd. Kathmandu Holdings Ltd. Summerset Group Holdings Ltd. Metlifecare Ltd. Vital Healthcare Property Trust Warehouse Group Ltd. Tower Ltd. Fletcher Building Ltd. Synlait Milk Ltd. New Zealand Oil & Gas Ltd. a2 Milk Co. Ltd. Bathurst Resources Ltd. 235,973 Norway (0.6%) Statoil ASA DNB ASA Telenor ASA Yara International ASA ^ Seadrill Ltd. Norsk Hydro ASA Orkla ASA Schibsted ASA Marine Harvest ASA ^ Gjensidige Forsikring ASA Subsea 7 SA * DNO ASA ^ TGS Nopec Geophysical Co. ASA * Storebrand ASA ^ Opera Software ASA SpareBank 1 SMN ^ Petroleum Geo-Services ASA Atea ASA *,2 Aker Solutions ASA Salmar ASA *,^ REC Silicon ASA *,^ Nordic Semiconductor ASA SpareBank 1 SR-Bank ASA Prosafe SE * Norwegian Property ASA *,^ Det Norske Oljeselskap ASA ^,2 BW LPG Ltd. Leroy Seafood Group ASA Aker ASA ^ Akastor ASA Austevoll Seafood ASA Wilh Wilhelmsen ASA BW Offshore Ltd. 6,061,768 6,787,020 4,405,515 1,113,487 2,228,957 8,482,250 4,948,015 512,736 1,816,938 1,081,602 1,784,361 6,367,484 648,243 2,828,250 633,673 793,919 1,344,401 582,979 928,145 329,423 14,747,623 993,940 647,356 1,188,892 3,352,360 716,332 454,928 95,570 147,542 905,279 470,829 405,636 2,349,548 61 138,545 124,634 99,004 51,248 50,542 47,438 37,836 27,148 25,756 19,640 19,272 15,473 15,172 14,496 7,938 7,080 6,664 6,378 6,013 5,956 5,896 5,611 5,579 5,445 5,123 4,638 4,307 3,612 3,596 3,122 3,055 2,952 2,890 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 138,874 1,914,997 63,968 137,509 162,731 1,647,659 923,490 344,800 2,504 2,329 2,071 1,953 1,736 1,587 1,222 1,019 ___________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ ^ ^ *,^ * Stolt-Nielsen Ltd. Golden Ocean Group Ltd. Norwegian Air Shuttle ASA Cermaq ASA Fred Olsen Energy ASA Archer Ltd. Kvaerner ASA Odfjell Drilling Ltd. 796,480 Other (0.2%)3 4 Vanguard FTSE Emerging Markets ETF 6,544,509 279,058 Peru (0.1%) Credicorp Ltd. (New York Shares) Credicorp Ltd. Cia de Minas Buenaventura SAA ADR Cia de Minas Buenaventura SAA Volcan Cia Minera SAA Class B 187,961 141,272 1,017,950 289,871 7,791,707 30,262 22,603 9,365 3,312 2,266 ___________ 67,808 Philippines (0.3%) Philippine Long Distance Telephone Co. SM Investments Corp. Ayala Land Inc. Universal Robina Corp. Ayala Corp. Bank of the Philippine Islands BDO Unibank Inc. JG Summit Holdings Inc. SM Prime Holdings Inc. Aboitiz Equity Ventures Inc. Alliance Global Group Inc. International Container Terminal Services Inc. Metropolitan Bank & Trust Co. Jollibee Foods Corp. Manila Electric Co. GT Capital Holdings Inc. Aboitiz Power Corp. DMCI Holdings Inc. Megaworld Corp. Metro Pacific Investments Corp. Globe Telecom Inc. Energy Development Corp. * Bloomberry Resorts Corp. San Miguel Corp. LT Group Inc. Robinsons Land Corp. * Semirara Mining and Power Corp. Class A Security Bank Corp. * Philippine National Bank Puregold Price Club Inc. First Gen Corp. Petron Corp. Robinsons Retail Holdings Inc. * Melco Crown Philippines Resorts Corp. Cosco Capital Inc. Rizal Commercial Banking Corp. * Nickel Asia Corp. Manila Water Co. Inc. Belle Corp. Vista Land & Lifescapes Inc. Emperador Inc. First Philippine Holdings Corp. * Travellers International Hotel Group Inc. Filinvest Land Inc. 542,185 2,022,791 35,713,920 5,514,770 1,469,784 9,984,094 9,077,207 13,772,740 47,565,086 13,940,000 25,975,541 5,171,370 6,911,624 2,676,900 1,928,240 439,265 10,200,023 25,870,000 74,218,000 65,792,600 194,435 42,124,600 19,664,300 4,145,727 18,077,300 10,309,334 1,887,630 1,553,290 2,523,087 5,996,100 7,383,300 16,025,200 2,833,450 10,951,700 20,397,800 2,978,360 3,728,400 5,155,600 26,233,808 21,184,450 11,983,304 1,371,450 10,221,800 60,008,000 62 37,843 35,305 26,647 22,911 22,594 21,135 19,819 19,575 18,593 16,361 14,866 13,525 12,703 11,790 11,302 9,908 9,403 9,338 8,197 7,445 7,298 7,244 6,857 6,705 5,744 5,648 5,132 4,997 4,756 4,631 4,260 4,221 4,042 3,659 3,563 3,532 3,503 3,345 3,062 2,903 2,849 2,670 2,189 2,059 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 1,233,300 9,692,200 12,122,170 4,167,500 2,020 1,973 1,804 1,112 ___________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ Cebu Air Inc. Philex Mining Corp. Lopez Holdings Corp. Atlas Consolidated Mining & Development 461,038 Poland (0.4%) Powszechna Kasa Oszczednosci Bank Polski SA Powszechny Zaklad Ubezpieczen SA Bank Pekao SA KGHM Polska Miedz SA PGE SA ^ Polski Koncern Naftowy Orlen SA LPP SA Bank Zachodni WBK SA Polskie Gornictwo Naftowe i Gazownictwo SA ^ Energa SA Orange Polska SA ^ mBank Cyfrowy Polsat SA Tauron Polska Energia SA ING Bank Slaski SA ^ Lubelski Wegiel Bogdanka SA Asseco Poland SA Bank Handlowy w Warszawie SA Bank Millennium SA *,^ Alior Bank SA Enea SA *,^ Getin Noble Bank SA CCC SA ^ Eurocash SA * PKP Cargo SA *,^ TVN SA Synthos SA ^ Netia SA *,^ Grupa Lotos SA *,^ Globe Trade Centre SA *,^ Jastrzebska Spolka Weglowa SA Budimex SA * Kernel Holding SA Ciech SA Warsaw Stock Exchange * CD Projekt SA * Integer.pl SA * Fabryki Mebli Forte SA *,^ Getin Holding SA * Boryszew SA * Agora SA 5,473,482 355,744 825,690 876,801 4,626,761 2,035,886 8,160 183,013 11,282,089 2,016,345 4,174,712 79,786 1,387,249 6,661,691 204,826 214,719 467,504 204,418 2,681,536 296,669 1,368,466 7,474,445 140,731 495,043 184,674 897,158 2,977,937 2,134,320 417,701 1,652,296 322,106 65,856 326,327 183,260 164,973 377,665 29,486 102,259 2,141,556 592,943 275,178 60,872 53,358 43,202 33,833 30,362 25,360 24,353 20,738 16,852 14,982 12,522 11,810 10,616 10,407 8,482 7,136 6,942 6,907 6,649 6,588 6,505 5,772 5,400 4,881 4,367 4,024 3,698 3,530 3,229 2,984 2,769 2,630 2,570 2,214 2,156 1,873 1,751 1,733 1,553 1,127 657 ___________ 477,394 Portugal (0.2%) EDP - Energias de Portugal SA Galp Energia SGPS SA * Banco Comercial Portugues SA Jeronimo Martins SGPS SA EDP Renovaveis SA * CTT-Correios de Portugal SA NOS SGPS Sonae SGPS SA ^ Portugal Telecom SGPS SA Portucel SA *,^ Banco BPI SA Semapa-Sociedade de Investimento e Gestao Mota-Engil SGPS SA REN - Redes Energeticas Nacionais SGPS SA Altri SGPS SA 16,079,070 2,396,566 237,649,007 1,550,161 1,275,686 821,579 1,206,624 5,110,072 3,561,072 1,337,752 2,230,019 296,928 674,990 898,128 974,854 63 69,318 34,837 26,875 13,585 8,311 7,621 6,933 6,866 5,841 4,993 4,385 3,602 3,548 2,785 2,735 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 19,970,703 501 ___________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * Banco Espirito Santo SA 202,736 Russia (0.8%) Gazprom OAO Magnit PJSC GDR Sberbank of Russia Lukoil OAO Gazprom OAO ADR Lukoil OAO ADR MMC Norilsk Nickel OJSC Mobile Telesystems OJSC ADR NOVATEK OAO GDR NOVATEK OAO Tatneft OAO Tatneft OAO ADR Rosneft OAO Uralkali OJSC AK Transneft OAO Preference Shares VTB Bank OJSC Rostelecom OJSC Rosneft OAO GDR Surgutneftegas OAO Surgutneftegas OAO ADR MegaFon OAO GDR RusHydro JSC 2 VTB Bank OJSC GDR Moscow Exchange MICEX-RTS OAO Sistema JSFC GDR Novolipetsk Steel OJSC GDR * PIK Group Severstal OAO Severstal OAO GDR PhosAgro OAO GDR E.ON Russia JSC LSR Group GDR * Pharmstandard OJSC GDR Sberbank of Russia ADR * Inter RAO JSC M Video OJSC Aeroflot - Russian Airlines OJSC TMK OAO GDR * Magnitogorsk Iron & Steel Works OJSC Federal Grid Co. Unified Energy System JSC Acron JSC * Rosseti JSC TGK-1 OAO * Mechel ADR Mosenergo OAO * OGK-2 OAO Novolipetsk Steel OJSC * Raspadskaya OAO MMC Norilsk Nickel OJSC ADR * Mechel 45,443,500 1,769,653 66,899,502 1,870,275 12,189,650 1,191,285 299,226 3,150,991 390,322 3,218,740 4,727,173 712,870 4,522,009 6,331,396 9,831 19,162,664,410 6,717,563 2,868,319 22,548,236 2,285,127 602,466 811,091,350 6,646,801 8,779,200 876,621 523,106 1,786,200 555,478 504,260 497,304 85,677,911 1,288,122 285,388 459,278 11,773,339,373 478,630 2,585,521 292,619 8,933,490 1,553,612,440 61,723 146,012,055 5,426,746,387 693,432 32,746,556 138,346,306 445,750 773,900 9,538 14,601 149,535 118,720 118,605 92,201 80,902 58,571 55,896 45,059 41,954 33,090 28,637 25,442 25,227 22,672 21,487 17,826 16,751 15,997 15,098 15,057 14,095 13,069 12,581 11,841 7,096 6,704 6,229 5,905 5,334 5,325 4,978 3,769 3,564 3,493 2,591 2,358 2,297 2,295 1,956 1,942 1,929 1,756 652 624 590 577 573 313 178 ___________7 1,123,348 Singapore (1.1%) DBS Group Holdings Ltd. Oversea-Chinese Banking Corp. Ltd. Singapore Telecommunications Ltd. United Overseas Bank Ltd. Keppel Corp. Ltd. Global Logistic Properties Ltd. CapitaLand Ltd. ^ Singapore Press Holdings Ltd. Wilmar International Ltd. 11,007,854 19,309,383 46,358,814 7,490,167 9,051,393 19,044,085 16,055,470 10,072,593 13,341,895 64 159,071 148,706 136,474 134,422 66,785 40,852 39,831 33,642 33,247 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 38,583,536 9,827,188 5,222,769 3,737,619 28,566,813 12,696,254 16,478,481 3,182,442 12,502,763 32,105,374 5,644,579 15,170,000 631,824 40,699,806 12,426,000 5,301,758 2,879,770 9,013,000 3,870,110 4,544,601 13,109,636 8,539,200 4,029,000 1,575,000 8,156,000 9,308,489 11,532,000 7,362,880 9,098,000 2,972,000 8,725,000 8,834,000 6,141,000 3,928,000 1,752,000 3,410,000 3,095,000 1,385,000 4,351,000 1,840,000 2,975,000 3,952,792 2,443,000 4,695,400 4,253,084 7,983,000 3,719,600 4,431,000 3,058,180 4,664,000 3,290,000 5,777,630 28,067,000 2,659,880 4,142,000 5,442,000 4,732,666 6,872,000 2,353,117 11,164,000 4,106,118 3,615,000 6,391,513 2,327,000 33,055 28,731 28,511 27,546 26,655 26,098 25,354 24,541 21,798 21,711 21,437 21,087 19,668 16,580 16,158 15,029 14,487 13,897 12,458 11,835 11,617 10,179 9,728 9,480 9,095 8,847 8,484 8,476 8,318 6,661 5,808 5,606 5,600 5,277 5,183 5,179 5,148 5,134 5,071 5,000 4,819 4,598 4,547 4,542 4,505 4,322 4,118 4,040 3,887 3,853 3,779 3,760 3,733 3,545 3,539 3,517 3,360 3,344 3,284 3,216 3,164 2,977 2,969 2,963 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ ^ ^ ^ * ^ *,^ * 2 ^ * ^ ^ ^ Genting Singapore plc Singapore Technologies Engineering Ltd. Singapore Exchange Ltd. City Developments Ltd. Noble Group Ltd. ComfortDelGro Corp. Ltd. CapitaMall Trust Singapore Airlines Ltd. Ascendas REIT Hutchison Port Holdings Trust Sembcorp Industries Ltd. Suntec REIT Jardine Cycle & Carriage Ltd. Golden Agri-Resources Ltd. CapitaCommercial Trust Sembcorp Marine Ltd. UOL Group Ltd. Singapore Post Ltd. StarHub Ltd. Keppel Land Ltd. Yangzijiang Shipbuilding Holdings Ltd. Ezion Holdings Ltd. SATS Ltd. Venture Corp. Ltd. Mapletree Commercial Trust Keppel REIT Mapletree Greater China Commercial Trust Mapletree Industrial Trust Mapletree Logistics Trust United Engineers Ltd. Asian Pay Television Trust Starhill Global REIT Fortune REIT CDL Hospitality Trusts Raffles Medical Group Ltd. Frasers Centrepoint Trust Olam International Ltd. SIA Engineering Co. Ltd. SMRT Corp. Ltd. M1 Ltd. First Resources Ltd. AIMS AMP Capital Industrial REIT Parkway Life REIT Ascott Residence Trust Silverlake Axis Ltd. Cambridge Industrial Trust Frasers Commercial Trust Cache Logistics Trust CapitaRetail China Trust China Animal Healthcare Ltd. United Envirotech Ltd. Neptune Orient Lines Ltd. SIIC Environment Holdings Ltd. ARA Asset Management Ltd. Yanlord Land Group Ltd. Far East Hospitality Trust OUE Hospitality Trust Biosensors International Group Ltd. Wing Tai Holdings Ltd. Lippo Malls Indonesia Retail Trust Sabana Shari'ah Compliant Industrial REIT SPH REIT COSCO Corp. Singapore Ltd. Frasers Centrepoint Ltd. 65 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 3,025,000 1,714,000 4,348,000 5,036,300 3,479,000 3,534,000 5,178,000 1,093,646 4,107,000 2,650,000 3,140,000 3,723,000 1,427,000 1,511,000 2,837,000 1,318,000 3,448,000 1,987,077 2,711,000 1,918,000 2,287,200 5,922,000 3,642,000 2,792,000 5,164,398 5,776,000 1,612,000 3,558,000 674,000 2,760,000 760,000 4,096,000 15,906,000 2,821,799 1,131,000 758,000 10,261,500 4,588,000 2,900 2,825 2,776 2,768 2,740 2,723 2,716 2,695 2,630 2,452 2,298 2,261 2,214 2,203 2,032 1,889 1,859 1,844 1,775 1,629 1,548 1,508 1,503 1,464 1,368 1,192 987 985 909 849 810 790 776 693 572 518 169 97 ___________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ ^ *,^ * ^ * ^ ^ ^ *,^ ^ *,^ *,^ *,^ *,^ First REIT OUE Ltd. Ascendas India Trust Ascendas Hospitality Trust Hyflux Ltd. Religare Health Trust Yoma Strategic Holdings Ltd. Fraser and Neave Ltd. Ezra Holdings Ltd. Super Group Ltd. Croesus Retail Trust Soilbuild Business Space REIT Ho Bee Land Ltd. OSIM International Ltd. GuocoLeisure Ltd. Boustead Singapore Ltd. Vard Holdings Ltd. Fortune REIT Indofood Agri Resources Ltd. Bumitama Agri Ltd. HanKore Environment Tech Group Ltd. Midas Holdings Ltd. Perennial China Retail Trust CSE Global Ltd. Raffles Education Corp. Ltd. Ying Li International Real Estate Ltd. Tat Hong Holdings Ltd. China Fishery Group Ltd. Keppel Telecommunications & Transportation Ltd. Swiber Holdings Ltd. Hong Leong Asia Ltd. Gallant Venture Ltd. GMG Global Ltd. Tiger Airways Holdings Ltd. Hi-P International Ltd. Metro Holdings Ltd. Blumont Group Ltd. LionGold Corp. Ltd. 1,517,905 South Africa (1.6%) Naspers Ltd. MTN Group Ltd. Sasol Ltd. Standard Bank Group Ltd. FirstRand Ltd. Steinhoff International Holdings Ltd. Sanlam Ltd. Remgro Ltd. Aspen Pharmacare Holdings Ltd. Bidvest Group Ltd. Woolworths Holdings Ltd. Shoprite Holdings Ltd. Growthpoint Properties Ltd. Barclays Africa Group Ltd. Mr Price Group Ltd. Tiger Brands Ltd. Netcare Ltd. Nedbank Group Ltd. Vodacom Group Ltd. Mediclinic International Ltd. * Impala Platinum Holdings Ltd. RMB Holdings Ltd. Life Healthcare Group Holdings Ltd. * AngloGold Ashanti Ltd. 2,292,774 11,136,706 3,504,147 7,625,036 20,630,047 15,702,486 11,134,148 3,052,977 1,933,230 2,032,713 5,683,084 2,751,993 13,345,605 2,040,615 1,455,496 947,847 9,352,921 1,232,579 2,079,345 2,744,477 3,279,653 4,221,031 6,203,403 2,557,068 66 284,990 246,525 175,073 95,999 88,273 80,332 70,302 70,067 69,015 55,872 40,412 39,845 32,355 32,244 30,128 28,487 28,290 26,843 25,244 24,524 23,891 23,447 23,436 21,407 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 1,090,468 2,638,800 1,866,287 6,500,388 2,137,942 4,857,613 3,766,637 1,685,063 1,542,620 1,201,293 3,375,640 1,095,947 1,945,988 752,686 1,415,449 376,947 9,314,825 1,973,786 1,472,130 372,890 694,348 362,294 4,706,900 809,082 730,897 2,898,176 387,950 618,700 657,901 689,604 1,435,651 2,206,830 669,889 579,760 2,921,801 1,125,822 1,867,536 542,725 2,704,516 2,555,981 985,674 12,357,955 2,667,392 452,633 915,513 406,205 2,738,162 212,546 212,812 329,985 2,327,175 1,623,378 555,798 1,038,674 1,393,161 241,621 1,034,410 837,765 192,444 2,352,600 590,840 2,749,774 638,139 942,899 18,795 18,053 16,989 16,618 16,064 15,829 15,363 14,598 14,082 13,580 13,342 12,830 12,680 12,577 12,290 11,887 10,816 10,473 10,026 9,834 9,169 9,055 8,834 8,431 8,183 7,775 7,742 7,630 7,616 7,445 6,943 6,889 6,535 6,490 5,985 5,669 5,344 5,295 5,270 5,251 5,200 5,188 4,901 4,720 4,112 3,997 3,972 3,949 3,942 3,891 3,807 3,407 3,351 3,348 3,336 3,320 3,067 2,853 2,146 2,080 2,021 2,019 1,965 1,964 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * * ^ ^ * ^ * * ^ *,^ *,^ ^ ^ *,^ ^ *,^ ^ * * Imperial Holdings Ltd. Truworths International Ltd. Discovery Ltd. MMI Holdings Ltd. Brait SE Gold Fields Ltd. Nampak Ltd. Coronation Fund Managers Ltd. Investec Ltd. Foschini Group Ltd. Sappi Ltd. SPAR Group Ltd. AVI Ltd. Mondi Ltd. Barloworld Ltd. Anglo American Platinum Ltd. Capital Property Fund Telkom SA SOC Ltd. Clicks Group Ltd. Capitec Bank Holdings Ltd. Tongaat Hulett Ltd. Kumba Iron Ore Ltd. Sibanye Gold Ltd. Exxaro Resources Ltd. Aeci Ltd. PPC Ltd. Omnia Holdings Ltd. African Rainbow Minerals Ltd. Liberty Holdings Ltd. Massmart Holdings Ltd. Pick n Pay Stores Ltd. Northam Platinum Ltd. EOH Holdings Ltd. Sun International Ltd. Grindrod Ltd. DataTec Ltd. Super Group Ltd. JSE Ltd. Attacq Ltd. Murray & Roberts Holdings Ltd. Reunert Ltd. SA Corporate Real Estate Fund Nominees Pty Ltd. Aveng Ltd. PSG Group Ltd. Adcock Ingram Holdings Ltd. Famous Brands Ltd. Emira Property Fund Assore Ltd. Santam Ltd. Wilson Bayly Holmes-Ovcon Ltd. Harmony Gold Mining Co. Ltd. Pick n Pay Holdings Ltd. Lewis Group Ltd. Mpact Ltd. Illovo Sugar Ltd. Astral Foods Ltd. ArcelorMittal South Africa Ltd. Metair Investments Ltd. City Lodge Hotels Ltd. Blue Label Telecoms Ltd. Group Five Ltd. Fountainhead Property Trust Adcorp Holdings Ltd. Peregrine Holdings Ltd. 67 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 349,835 127,327 856,818 872,733 161,050 197,538 2,351,430 736,208 2,425,801 7,114,792 7,766,579 625,859 2,279,068 1,855 1,790 1,735 1,557 1,478 1,359 1,103 812 667 660 218 73 ___________4 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * ^ * * * ^ *,^ *,^ Royal Bafokeng Platinum Ltd. Cashbuild Ltd. Raubex Group Ltd. Clover Industries Ltd. Invicta Holdings Ltd. Oceana Group Ltd. Eqstra Holdings Ltd. Pinnacle Holdings Ltd. DRDGOLD Ltd. Merafe Resources Ltd. African Bank Investments Ltd. Ellies Holdings Ltd. Great Basin Gold Ltd. 2,151,145 South Korea (3.1%) Samsung Electronics Co. Ltd. * SK Hynix Inc. Hyundai Motor Co. NAVER Corp. Shinhan Financial Group Co. Ltd. POSCO Hyundai Mobis Co. Ltd. Kia Motors Corp. KB Financial Group Inc. KT&G Corp. Samsung Fire & Marine Insurance Co. Ltd. Hana Financial Group Inc. Samsung C&T Corp. LG Chem Ltd. 2 Samsung Electronics Co. Ltd. GDR SK Telecom Co. Ltd. Samsung Life Insurance Co. Ltd. Amorepacific Corp. * LG Display Co. Ltd. LG Electronics Inc. Korea Electric Power Corp. Samsung SDI Co. Ltd. LG Household & Health Care Ltd. LG Corp. SK Innovation Co. Ltd. SK C&C Co. Ltd. * Korea Electric Power Corp. ADR POSCO ADR ^ Daum Communications Corp. * Shinhan Financial Group Co. Ltd. ADR Samsung Heavy Industries Co. Ltd. Coway Co. Ltd. Hyundai Steel Co. Hyundai Heavy Industries Co. Ltd. SK Holdings Co. Ltd. Korea Zinc Co. Ltd. Hyundai Glovis Co. Ltd. E-Mart Co. Ltd. Hankook Tire Co. Ltd. Kangwon Land Inc. BS Financial Group Inc. Hotel Shilla Co. Ltd. AMOREPACIFIC Group Woori Finance Holdings Co. Ltd. Industrial Bank of Korea Hyundai Engineering & Construction Co. Ltd. Lotte Shopping Co. Ltd. KCC Corp. Orion Corp. 636,046 3,376,109 971,979 172,404 2,282,704 368,341 425,070 1,638,208 2,004,126 765,689 246,214 1,852,046 786,882 276,563 88,799 185,718 399,223 19,979 1,426,866 683,906 944,769 348,489 59,381 568,380 385,891 138,910 1,364,520 406,691 204,574 605,671 1,123,624 351,563 418,929 278,543 162,841 67,093 99,689 132,020 471,710 716,689 1,430,200 227,467 19,171 1,884,265 1,428,165 456,037 71,892 33,438 23,347 68 736,832 155,531 155,019 121,135 107,494 105,872 101,325 79,920 78,501 68,053 66,350 63,967 53,288 51,459 51,110 46,580 43,565 43,014 42,680 41,820 41,207 41,155 34,668 33,841 31,497 31,492 29,828 29,103 28,668 28,509 27,415 26,746 26,723 25,884 25,387 25,242 24,792 24,524 24,285 23,483 22,229 21,866 21,228 21,182 20,937 20,742 19,953 18,531 18,029 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 585,316 308,511 446,036 47,157 381,284 97,319 355,593 409,164 396,919 91,909 1,361,173 254,380 92,439 92,499 99,644 321,558 1,186,264 315,865 171,009 188,902 774,793 187,697 89,794 1,382,189 375,300 600,540 385,330 265,076 114,891 963,686 306,094 5,242 134,840 934,001 216,736 208,634 154,233 49,781 285,152 334,344 547,732 840,222 176,796 49,748 43,982 44,967 111,025 40,979 250,311 1,243,389 694,791 282,033 89,910 269,358 447,300 306,412 152,526 379,754 603,555 180,811 112,096 26,537 77,417 3,799 17,972 17,296 17,262 17,257 17,076 16,749 16,150 16,076 15,011 14,988 13,980 12,885 12,880 12,737 12,600 12,478 12,455 12,215 11,422 11,415 11,062 10,829 10,721 10,616 10,430 10,297 10,189 10,056 9,907 9,883 9,571 9,425 9,371 9,353 9,331 9,328 9,175 9,101 9,037 8,580 8,548 8,503 8,295 8,218 8,174 8,127 8,018 7,726 7,648 7,630 7,620 7,355 7,119 7,093 6,857 6,730 6,537 6,491 6,442 6,425 6,403 6,204 6,125 6,052 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ ^ ^ ^ ^ ^ ^ ^ ^ * ^ *,^ * * *,^ ^ * ^ * *,^ ^ * ^ * ^ ^ *,^ KT Corp. Dongbu Insurance Co. Ltd. KB Financial Group Inc. ADR CJ CheilJedang Corp. Samsung Securities Co. Ltd. Hyundai Wia Corp. Samsung Electro-Mechanics Co. Ltd. Celltrion Inc. Hyundai Development Co-Engineering & Construction CJ Corp. LG Uplus Corp. Korea Investment Holdings Co. Ltd. Lotte Chemical Corp. NCSoft Corp. Hyundai Department Store Co. Ltd. GS Holdings Corp. Daewoo Securities Co. Ltd. Korea Aerospace Industries Ltd. Daelim Industrial Co. Ltd. Youngone Corp. DGB Financial Group Inc. Samsung Engineering Co. Ltd. Hanssem Co. Ltd. Hanwha Life Insurance Co. Ltd. SK Telecom Co. Ltd. ADR Daewoo Shipbuilding & Marine Engineering Co. Ltd. Hyundai Marine & Fire Insurance Co. Ltd. S-Oil Corp. OCI Co. Ltd. SK Networks Co. Ltd. Paradise Co. Ltd. Lotte Confectionery Co. Ltd. S-1 Corp. Kumho Tire Co. Inc. Samsung Card Co. Ltd. Halla Visteon Climate Control Corp. Hyosung Corp. Com2uSCorp Daewoo International Corp. Hanwha Corp. Cheil Worldwide Inc. Doosan Infracore Co. Ltd. Korea Gas Corp. Yuhan Corp. Shinsegae Co. Ltd. CJ Korea Express Co. Ltd. Kumho Petrochemical Co. Ltd. Mando Corp. Samsung Techwin Co. Ltd. Daewoo Engineering & Construction Co. Ltd. Woori Investment & Securities Co. Ltd. LIG Insurance Co. Ltd. LG Innotek Co. Ltd. GS Engineering & Construction Corp. KT Corp. ADR Doosan Heavy Industries & Construction Co. Ltd. Mirae Asset Securities Co. Ltd. Hyundai Greenfood Co. Ltd. Korean Reinsurance Co. Korean Air Lines Co. Ltd. SK Chemicals Co. Ltd. Medy-Tox Inc. NHN Entertainment Corp. Lotte Chilsung Beverage Co. Ltd. 69 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 107,674 56,347 99,008 37,631 500,983 52,958 107,419 51,024 20,882 133,410 101,700 19,288 57,063 436,381 75,135 36,299 86,190 63,995 698,572 3,858 35,092 350,558 1,072,995 175,156 8,153 216,507 117,650 236,723 651,861 19,962 80,195 76,986 897,078 37,994 121,673 30,029 179,567 152,270 3,350 308,442 116,298 57,778 75,304 59,085 35,685 144,070 103,712 82,935 5,548 26,360 50,164 51,286 159,737 58,004 157,142 121,400 658,999 22,034 108,920 138,761 70,038 38,425 206,050 37,102 6,020 5,855 5,848 5,706 5,703 5,570 5,474 5,282 5,222 5,190 4,990 4,734 4,685 4,677 4,649 4,611 4,589 4,551 4,517 4,512 4,500 4,435 4,367 4,337 4,320 4,266 4,196 4,069 4,028 4,023 3,907 3,861 3,861 3,845 3,824 3,799 3,786 3,758 3,722 3,695 3,664 3,651 3,647 3,590 3,584 3,555 3,545 3,530 3,461 3,445 3,363 3,341 3,239 3,194 3,186 3,144 3,117 3,115 3,039 3,020 2,976 2,974 2,974 2,973 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ ^ ^ ^ *,^ ^ *,^ ^ *,^ ^ ^ ^ ^ ^ * *,^ * *,^ ^ ^ * ^ ^ ^ ^ ^ *,^ *,^ ^ ^ ^ *,^ LS Corp. Doosan Corp. LS Industrial Systems Co. Ltd. LG Hausys Ltd. Hanwha Chemical Corp. Fila Korea Ltd. Kolon Industries Inc. Eo Technics Co. Ltd. NongShim Co. Ltd. Daesang Corp. CJ CGV Co. Ltd. CJ O Shopping Co. Ltd. KEPCO Plant Service & Engineering Co. Ltd. Hyundai Merchant Marine Co. Ltd. LOTTE Himart Co. Ltd. Hyundai Home Shopping Network Corp. Naturalendo Tech Co. Ltd. Hyundai Mipo Dockyard Co. Ltd. Hyundai Securities Co. Ltd. Taekwang Industrial Co. Ltd. Green Cross Corp. Wonik IPS Co. Ltd. Meritz Securities Co. Ltd. Hite Jinro Co. Ltd. Ottogi Corp. Dongsuh Co. Inc. Grand Korea Leisure Co. Ltd. Seoul Semiconductor Co. Ltd. JB Financial Group Co. Ltd. GS Home Shopping Inc. Korea Kolmar Co. Ltd. Hanjin Transportation Co. Ltd. SK Broadband Co. Ltd. Cosmax Inc. CJ E&M Corp. Gamevil Inc. Green Cross Holdings Corp. Poongsan Corp. Young Poong Corp. Meritz Fire & Marine Insurance Co. Ltd. LF Corp. Hana Tour Service Inc. ViroMed Co. Ltd. KEPCO Engineering & Construction Co. Inc. Youngone Holdings Co. Ltd. iMarketKorea Inc. Hansae Co. Ltd. SFA Engineering Corp. Lotte Food Co. Ltd. Hanil Cement Co. Ltd. Chong Kun Dang Pharmaceutical Corp. Hyundai Hysco Co. Ltd. Hankook Tire Worldwide Co. Ltd. Seegene Inc. LG International Corp. SKC Co. Ltd. Hanjin Shipping Co. Ltd. Samchully Co. Ltd. Samsung Fine Chemicals Co. Ltd. Huchems Fine Chemical Corp. KIWOOM Securities Co. Ltd. Binggrae Co. Ltd. Sungwoo Hitech Co. Ltd. Hanmi Pharm Co. Ltd. 70 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 34,668 81,806 293,036 55,080 200,063 137,686 421,424 221,108 78,933 172,919 64,262 270,560 145,286 61,282 81,713 94,382 85,292 8,252 37,560 210,296 244,392 249,922 55,186 56,743 210,289 17,222 15,978 25,348 93,857 644,140 85,966 258,216 85,669 73,973 69,591 245,003 546,970 94,254 106,863 78,228 228,994 29,543 374,563 661,630 40,367 318,442 25,685 329,681 2,924 209,931 51,957 88,889 260,634 81,815 12,406 3,759 91,937 139,132 90,550 120,383 51,233 174,258 44,340 154,070 2,890 2,880 2,842 2,840 2,759 2,747 2,739 2,712 2,706 2,691 2,668 2,622 2,620 2,597 2,585 2,574 2,561 2,535 2,493 2,461 2,347 2,321 2,320 2,314 2,283 2,254 2,198 2,188 2,185 2,174 2,158 2,130 2,127 2,110 2,082 2,082 2,056 2,040 1,996 1,978 1,940 1,925 1,910 1,895 1,894 1,890 1,889 1,880 1,871 1,853 1,847 1,797 1,772 1,764 1,731 1,716 1,695 1,674 1,672 1,658 1,622 1,619 1,607 1,602 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ *,^ * *,^ *,^ ^ * *,^ ^ * *,^ ^ * ^ *,^ * ^ *,^ ^ *,^ *,^ ^ * ^ ^ * ^ *,^ ^ *,^ *,^ *,^ *,^ * * ^ *,^ Samyang Holdings Corp. LG Life Sciences Ltd. Ssangyong Cement Industrial Co. Ltd. Korea Electric Terminal Co. Ltd. Chabiotech Co. Ltd. Hyundai Rotem Co. Ltd. Hyundai Securities Co. Ltd. Preference Shares Nexen Tire Corp. Hyundai Corp. Kolao Holdings Osstem Implant Co. Ltd. Kwang Dong Pharmaceutical Co. Ltd. GemVax & Kael Co. Ltd. YG Entertainment Inc. Muhak Co. Ltd. SM Entertainment Co. Handsome Co. Ltd. Dongwon Industries Co. Ltd. Halla Holdings Corp. Kyongnam Bank Daishin Securities Co. Ltd. Hansol Paper Co. Hyundai Elevator Co. Ltd. KONA I Co. Ltd. Tongyang Life Insurance SK Gas Ltd. Dong-A Socio Holdings Co. Ltd. Dong-A ST Co. Ltd. GS Retail Co. Ltd. Pan Ocean Co. Ltd. Golfzon Co. Ltd. Partron Co. Ltd. Hanjin Kal Corp. Korea Line Corp. Seah Besteel Corp. Interpark Corp. Asiana Airlines Inc. Hancom Inc. Bukwang Pharmaceutical Co. Ltd. Ilyang Pharmaceutical Co. Ltd. Daeduck Electronics Co. Daewoong Pharmaceutical Co. Ltd. Hanwha General Insurance Co. Ltd. Yuanta Securities Korea Medipost Co. Ltd. Dongkuk Steel Mill Co. Ltd. Chongkundang Holdings Corp. Posco ICT Co. Ltd. Namyang Dairy Products Co. Ltd. Meritz Financial Group Inc. WeMade Entertainment Co. Ltd. Seobu T&D Ssangyong Motor Co. Neowiz Games Corp. POSCO Chemtech Co. Ltd. Hankook Shell Oil Co. Ltd. SL Corp. Toray Chemical Korea Inc. KT Skylife Co. Ltd. Hanmi Science Co. ltd Maeil Dairy Industry Co. Ltd. Komipharm International Co. Ltd. S&T Motiv Co. Ltd. Daou Technology Inc. 71 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 94,696 165,203 104,583 31,499 22,337 345,676 107,096 1,579,025 182,329 135,088 19,553 187,630 16,737 50,184 26,339 6,656 242,423 36,178 24,176 56,469 53,527 291,250 107,346 84,891 97,712 42,591 96,635 316,561 527,450 120,448 128,790 73,865 118,990 136,869 144,461 262,928 116,041 100,460 147,681 86,305 54,225 182,712 25,673 258,839 155,564 76,108 30,530 309,713 107,220 256,028 62,700 9,831 313,918 39,516 106,422 84,690 38,558 46,396 144,289 176,490 51,820 34,275 280,023 149,183 1,588 1,585 1,513 1,502 1,479 1,401 1,392 1,379 1,370 1,365 1,323 1,308 1,297 1,289 1,259 1,245 1,245 1,219 1,213 1,212 1,172 1,157 1,146 1,097 1,075 1,075 981 975 966 952 945 944 941 933 929 924 896 859 851 846 843 818 802 791 780 766 736 721 707 705 693 637 633 631 621 567 550 543 537 517 504 501 472 458 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * ^ *,^ * * *,^ ^ ^ *,^ ^ ^ ^ ^ ^ *,^ *,^ * ^ *,^ * * ^ ^ *,^ *,^ *,^ *,^ *,^ *,^ *,^ *,^ *,^ ^ ^ ^ *,^ * * *,^ Hanil E-Hwa Co. Ltd. CJ Hellovision Co. Ltd. Sung Kwang Bend Co. Ltd. OCI Materials Co. Ltd. Sindoh Co. Ltd. Hanjin Heavy Industries & Construction Co. Ltd. Kyobo Securities Co. Ltd. SK Securities Co. Ltd. NH Investment & Securities Co. Ltd. Kwangju Bank E1 Corp. Daekyo Co. Ltd. SeAH Steel Corp. Soulbrain Co. Ltd. Cosmax BTI Inc Dae Han Flour Mills Co. Ltd. Lumens Co. Ltd. Ahnlab Inc. MegaStudy Co. Ltd. Able C&C Co. Ltd. Silicon Works Co. Ltd. Taeyoung Engineering & Construction Co. Ltd. Lock&Lock Co. Ltd. TK Corp. Hansol Technics Co. Ltd. Green Cross Cell Corp. Daeduck GDS Co. Ltd. SBS Media Holdings Co. Ltd. Taihan Electric Wire Co. Ltd. S&T Dynamics Co. Ltd. Dongyang Mechatronics Corp. Youlchon Chemical Co. Ltd. Namhae Chemical Corp. Woongjin Thinkbig Co. Ltd. Daishin Securities Co. Ltd. Preference Shares Hanwha Investment & Securities Co. Ltd. Agabang&Company Hanjin Heavy Industries & Construction Holdings Co. Ltd. Doosan Engine Co. Ltd. Humax Co. Ltd. Taewoong Co. Ltd. Pharmicell Co. Ltd. KISCO Corp. STS Semiconductor & Telecommunications Dongbu HiTek Co. Ltd. Duksan Hi-Metal Co. Ltd. Kolon Corp. Foosung Co. Ltd. DuzonBIzon Co. Ltd. 3S Korea Co. Ltd. Sam Young Electronics Co. Ltd. Samyang Corp. KTB Investment & Securities Co. Ltd. Kumho Electric Co. Ltd. NEPES Corp. Iljin Display Co. Ltd. Seoyeon Co. Ltd. Hitejinro Holdings Co. Ltd. Dongbu Securities Co. Ltd. Jusung Engineering Co. Ltd. Hanjin Shipping Holdings Co. Ltd. INTOPS Co. Ltd. Eugene Investment & Securities Co. Ltd. Insun ENT Co. Ltd. 72 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 43,045 78,007 407,211 25,123 68,842 259,916 312,022 243,082 64,559 98,950 80,200 254,110 205,940 853 836,893 452 448 447 444 424 420 410 393 320 264 263 257 255 154 ___________9 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ *,^ * *,^ ^ *,^ *,^ *,^ *,^ ^ *,^ *,^ *,^ * Interflex Co. Ltd. ICD Co. Ltd. CUROCOM Co. Ltd. EG Corp. SK Communications Co. Ltd. CNK International Co. Ltd. Woongjin Energy Co. Ltd. Dongbu Steel Co. Ltd. Melfas Inc. Capro Corp. STX Engine Co. Ltd. Shinsung Solar Energy Co. Ltd. China Ocean Resources Co. Ltd. Samsung SDS Co. Ltd. Tera Resource Co. Ltd. 4,113,407 Spain (2.3%) * Banco Santander SA Banco Bilbao Vizcaya Argentaria SA Telefonica SA Iberdrola SA * Inditex SA Repsol SA Amadeus IT Holding SA * CaixaBank SA Banco de Sabadell SA Red Electrica Corp. SA * Banco Popular Espanol SA Gas Natural SDG SA Ferrovial SA * Bankia SA Abertis Infraestructuras SA Enagas SA Grifols SA * ACS Actividades de Construccion y Servicios SA Bankinter SA Distribuidora Internacional de Alimentacion SA Mapfre SA * Jazztel plc * Mediaset Espana Comunicacion SA Bolsas y Mercados Espanoles SA *,^ Abengoa SA Viscofan SA Banco Santander SA ADR Zardoya Otis SA * Gamesa Corp. Tecnologica SA * Acerinox SA *,^ Acciona SA ^ Endesa SA Ebro Foods SA Tecnicas Reunidas SA Grupo Catalana Occidente SA Indra Sistemas SA Prosegur Cia de Seguridad SA * Inmobiliaria Colonial SA ^ Obrascon Huarte Lain SA * Almirall SA Corp Financiera Alba SA * Applus Services SA ^ Atresmedia Corp. de Medios de Comunicacion SA *,^ Fomento de Construcciones y Contratas SA * Sacyr SA ^ Construcciones y Auxiliar de Ferrocarriles SA * NH Hotel Group SA 75,703,022 37,285,313 25,208,509 32,376,683 6,715,560 6,502,854 2,694,946 12,420,259 22,207,754 684,328 9,818,215 1,946,459 2,554,440 29,139,067 2,482,721 1,284,544 1,053,479 1,100,751 4,368,299 3,698,383 6,412,769 1,376,477 1,491,680 487,861 4,278,971 295,367 1,665,671 1,100,181 1,286,045 793,108 161,838 536,058 537,112 192,938 311,980 723,347 1,275,335 10,468,377 243,466 375,485 110,729 473,438 377,360 254,215 1,051,592 13,199 937,023 73 667,933 416,900 379,087 229,042 189,112 145,450 99,150 67,880 64,205 59,814 56,330 56,240 52,265 52,198 51,724 43,140 42,920 40,852 36,111 23,518 22,008 22,004 18,714 18,558 18,102 17,362 14,608 12,825 12,719 11,783 11,309 10,452 9,618 9,513 9,407 7,992 7,487 7,390 7,126 6,179 6,101 5,724 5,532 4,678 4,622 4,395 4,283 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 4,963,534 358,192 256,714 1,063,690 1,424,839 9,167,017 632,885 850,187 404,109 274,916 244,631 2,015,631 168,103 476,200 155,449 63,151 4,238 3,581 3,486 3,479 3,300 2,591 1,855 1,843 1,829 1,436 1,042 935 744 694 — — ___________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * ^ * * *,^ ^ ^ * *,^ *,^ *,^ * Liberbank SA Melia Hotels International SA CIE Automotive SA Zeltia SA Faes Farma SA Promotora de Informaciones SA Tubos Reunidos SA Ence Energia y Celulosa S.A Duro Felguera SA Papeles y Cartones de Europa SA Tubacex SA Deoleo SA Abengoa SA Realia Business SA Let's GOWEX SA Pescanova SA 3,095,415 Sweden (2.1%) Nordea Bank AB Hennes & Mauritz AB Class B Telefonaktiebolaget LM Ericsson Class B Swedbank AB Class A Svenska Handelsbanken AB Class A Skandinaviska Enskilda Banken AB Class A Atlas Copco AB Class A Volvo AB Class B Assa Abloy AB Class B Investor AB Class B TeliaSonera AB Svenska Cellulosa AB SCA Class B Sandvik AB Atlas Copco AB Class B Hexagon AB Class B SKF AB Skanska AB Class B Investment AB Kinnevik Swedish Match AB Alfa Laval AB Electrolux AB Class B Boliden AB Getinge AB Trelleborg AB Class B Tele2 AB ^ Elekta AB Class B Industrivarden AB Class A Securitas AB Class B ICA Gruppen AB * Lundin Petroleum AB ^ Meda AB Class A Industrivarden AB Husqvarna AB Castellum AB NCC AB Class B BillerudKorsnas AB Hexpol AB * Swedish Orphan Biovitrum AB Fabege AB Nibe Industrier AB Class B Loomis AB Class B Modern Times Group MTG AB Class B *,^ SSAB AB Class A JM AB Axfood AB Holmen AB 20,129,088 6,016,520 18,888,098 6,616,615 3,042,329 9,219,635 3,927,920 9,674,978 1,985,261 2,864,816 13,720,554 3,676,900 6,837,651 2,476,106 1,604,740 2,631,307 2,282,333 1,298,024 1,261,831 1,981,180 1,409,901 1,728,721 1,151,041 1,530,372 1,953,043 2,242,976 1,222,440 1,931,993 483,540 1,364,741 1,428,682 1,036,712 2,323,996 1,035,981 512,575 963,787 155,997 994,461 832,994 396,492 381,747 337,876 1,408,070 314,221 164,321 306,587 74 258,142 239,548 223,339 174,994 145,064 118,307 113,490 111,695 105,580 102,498 95,114 82,425 75,184 65,454 54,003 52,816 46,609 41,169 41,028 40,766 40,288 28,620 26,693 26,133 24,778 22,917 22,599 21,387 19,356 19,350 18,808 18,125 17,278 15,881 15,056 14,057 13,834 11,382 10,686 10,524 10,494 10,435 10,211 10,173 10,135 10,131 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 634,280 258,204 695,474 160,402 1,219,220 194,716 183,346 582,037 418,058 1,131,251 261,368 1,134,833 236,663 1,015,051 231,926 171,283 347,225 348,878 252,024 449,854 279,241 365,983 268,447 67,244 177,273 137,628 598,161 110,555 107,773 444,777 38,552 594,173 321,393 431,238 344,881 122,568 816,378 198,987 26,182 228,759 551,578 13,762 9,588 9,109 9,009 8,695 8,187 7,864 7,695 7,575 7,325 7,285 7,081 7,061 7,032 6,873 6,340 5,447 5,269 4,489 4,169 3,661 3,432 3,363 3,297 3,185 3,068 2,931 2,622 2,433 2,269 2,265 1,819 1,607 1,550 1,524 1,445 1,407 1,258 1,108 770 694 607 389 ___________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * * ^ ^ ^ * * * * * ^ *,^ *,^ * *,^ *,^ Wallenstam AB Betsson AB Hufvudstaden AB Class A AAK AB Ratos AB Indutrade AB LE Lundbergfortagen AB Class B Fastighets AB Balder Wihlborgs Fastigheter AB SSAB AB Class B Saab AB Class B Kungsleden AB Intrum Justitia AB Peab AB Axis Communications AB Avanza Bank Holding AB AF AB Sanitec Corp. Hemfosa Fastigheter AB Nobia AB Haldex AB Lindab International AB Concentric AB Melker Schorling AB Clas Ohlson AB Investment AB Oresund Rezidor Hotel Group AB Klovern AB Preference Shares Mekonomen AB Klovern AB Fastighets AB Balder Preference Shares CDON Group AB Sagax AB Preference Shares Nordnet AB Bure Equity AB SkiStar AB SAS AB KappAhl AB NCC AB Class A Active Biotech AB Eniro AB Bilia AB 2,829,353 Switzerland (6.0%) Nestle SA Novartis AG Roche Holding AG UBS AG ABB Ltd. Zurich Insurance Group AG Cie Financiere Richemont SA Credit Suisse Group AG Syngenta AG Swiss Re AG Holcim Ltd. Givaudan SA Swatch Group AG (Bearer) Swisscom AG Geberit AG Actelion Ltd. Adecco SA SGS SA ^ Transocean Ltd. Julius Baer Group Ltd. 20,219,307 14,765,472 4,455,020 22,358,926 14,527,007 935,216 3,238,607 10,122,489 581,640 2,169,534 1,445,010 58,599 192,146 144,396 238,370 613,626 1,051,192 32,402 2,188,591 1,385,369 75 1,480,270 1,369,409 1,315,819 388,600 318,566 283,038 272,874 269,631 180,258 175,454 102,464 97,776 91,094 85,108 81,332 72,850 71,225 71,200 65,236 60,698 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 328,527 13,330 185,444 319,392 280,311 646 453,019 297,064 329,052 112,871 5,973 1,706,903 202,155 350,022 30,803 302,611 251,041 38,187 132,732 1,033,794 147,467 45,999 72,083 25,979 179,141 1,091,501 735,018 358,667 12,189 896,402 19,468 49,296 161,755 23,988 87,672 40,292 17,947 259,764 8,479 99,233 19,901 60,134 39,191 70,990 202,199 129,603 2,946 29,386 76,275 29,151 32,143 13,888 29,884 17,803 89,744 561,017 13,380 94,200 35,262 5,963 3,172,667 17,825 162,281 221,258 51,237 47,635 42,554 41,616 39,222 38,736 38,538 37,396 36,296 30,031 29,970 29,779 29,100 26,593 26,348 25,580 21,535 18,145 17,970 17,644 16,792 16,559 15,231 14,992 13,934 13,801 12,995 12,846 12,766 12,699 12,406 12,145 11,956 11,436 11,351 10,232 9,614 9,060 8,802 8,679 8,526 7,958 7,723 7,488 7,349 7,318 7,306 6,409 6,312 5,378 5,055 5,023 4,979 4,852 4,837 4,725 4,718 4,648 4,468 4,303 3,831 3,692 3,655 3,247 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * * *,^ * Sonova Holding AG Sika AG Swiss Life Holding AG Kuehne & Nagel International AG Schindler Holding AG Chocoladefabriken Lindt & Sprungli AG Aryzta AG Baloise Holding AG Lonza Group AG Partners Group Holding AG Chocoladefabriken Lindt & Sprungli AG Clariant AG Dufry AG Swiss Prime Site AG Galenica AG Swatch Group AG (Registered) PSP Swiss Property AG Helvetia Holding AG Schindler Holding AG (Registered) GAM Holding AG Sulzer AG EMS-Chemie Holding AG BB Biotech AG Georg Fischer AG Pargesa Holding SA OC Oerlikon Corp. AG Nobel Biocare Holding AG ams AG Barry Callebaut AG Logitech International SA Flughafen Zuerich AG Straumann Holding AG DKSH Holding AG Kaba Holding AG Class B Panalpina Welttransport Holding AG Bucher Industries AG Banque Cantonale Vaudoise Temenos Group AG Forbo Holding AG Valiant Holding AG Burckhardt Compression Holding AG Allreal Holding AG Mobimo Holding AG Tecan Group AG Vontobel Holding AG Cembra Money Bank AG Belimo Holding AG Leonteq AG Aryzta AG Rieter Holding AG Cosmo Pharmaceuticals SPA St. Galler Kantonalbank AG Autoneum Holding AG Kuoni Reisen Holding AG Implenia AG Meyer Burger Technology AG Emmi AG Huber & Suhner AG Daetwyler Holding AG Schweiter Technologies AG Schmolz & Bickenbach AG Valora Holding AG Gategroup Holding AG Ascom Holding AG 76 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 220,357 16,922 111,497 245,533 63,190 63,540 1,427 26,306 14,881 32,241 61,501 62,941 21,651 17,426 12,361 58,894 14,852 359,027 10,128 2,810 2,793 2,719 2,552 2,534 2,498 2,435 2,393 2,289 2,149 1,919 1,893 1,796 1,754 1,031 1,028 755 518 454 ___________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * ^ * * Kudelski SA VZ Holding AG AFG Arbonia-Forster Holding AG EFG International AG Liechtensteinische Landesbank AG Zehnder Group AG Vetropack Holding AG Basilea Pharmaceutica Siegfried Holding AG Basler Kantonalbank Swissquote Group Holding SA BKW AG VP Bank AG Alpiq Holding AG Schweizerische National-Versicherungs-Gesellschaft AG Orascom Development Holding AG Bachem Holding AG Von Roll Holding AG Cie Financiere Tradition SA 7,917,243 Taiwan (3.0%) Taiwan Semiconductor Manufacturing Co. Ltd. Hon Hai Precision Industry Co. Ltd. MediaTek Inc. Taiwan Semiconductor Manufacturing Co. Ltd. ADR Cathay Financial Holding Co. Ltd. Delta Electronics Inc. Fubon Financial Holding Co. Ltd. Nan Ya Plastics Corp. Formosa Plastics Corp. China Steel Corp. CTBC Financial Holding Co. Ltd. Formosa Chemicals & Fibre Corp. Mega Financial Holding Co. Ltd. Chunghwa Telecom Co. Ltd. Uni-President Enterprises Corp. Asustek Computer Inc. Largan Precision Co. Ltd. Quanta Computer Inc. Catcher Technology Co. Ltd. Hotai Motor Co. Ltd. Taiwan Mobile Co. Ltd. Advanced Semiconductor Engineering Inc. Yuanta Financial Holding Co. Ltd. Taiwan Cement Corp. China Development Financial Holding Corp. First Financial Holding Co. Ltd. Formosa Petrochemical Corp. Cheng Shin Rubber Industry Co. Ltd. E.Sun Financial Holding Co. Ltd. President Chain Store Corp. Innolux Corp. Far Eastern New Century Corp. Hua Nan Financial Holdings Co. Ltd. * Inotera Memories Inc. Taishin Financial Holding Co. Ltd. United Microelectronics Corp. SinoPac Financial Holdings Co. Ltd. Far EasTone Telecommunications Co. Ltd. Chunghwa Telecom Co. Ltd. ADR * HTC Corp. Taiwan Cooperative Financial Holding Co. Ltd. Compal Electronics Inc. Pegatron Corp. 131,752,063 80,465,511 9,245,807 4,026,682 50,333,012 12,856,240 46,068,018 36,205,907 31,079,091 78,821,848 93,904,515 27,873,645 63,271,873 16,985,456 29,469,274 4,526,168 638,376 16,778,950 4,579,800 2,595,000 10,631,400 26,230,201 62,332,825 20,350,700 89,616,856 46,295,082 12,042,950 11,754,828 42,252,683 3,548,536 58,187,024 25,001,693 44,250,531 16,105,002 51,918,407 54,889,175 54,674,694 10,123,000 716,636 4,763,792 39,155,042 26,438,689 10,720,639 77 568,699 254,651 135,275 88,668 83,233 78,732 78,053 75,279 72,182 67,968 65,873 65,647 52,488 51,767 50,825 46,231 44,972 42,226 38,811 38,145 34,502 31,525 31,408 31,127 28,813 28,496 28,411 27,471 26,765 26,647 26,592 26,293 26,219 24,911 24,796 24,297 23,753 22,412 21,743 21,570 20,944 19,630 19,596 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 14,773,567 13,526,426 16,849,517 3,628,275 6,713,705 356,509 19,082,382 2,594,567 6,361,510 14,880,049 2,144,851 1,790,319 2,012,555 29,157,640 19,473,315 43,275,811 11,566,000 20,357,267 8,883,000 2,619,026 1,235,011 16,867,297 8,229,463 9,390,553 1,589,232 1,361,298 3,522,883 2,974,215 2,785,948 5,377,179 4,460,340 1,575,695 4,189,136 5,284,600 1,846,443 5,547,304 4,633,000 5,499,015 3,906,838 5,034,000 4,468,955 2,638,355 3,849,000 4,272,000 3,954,796 6,418,000 20,865,000 22,875,905 8,454,747 6,457,000 8,430,750 853,600 7,008,977 1,673,000 10,632,979 3,976,407 10,164,848 1,790,363 10,218,290 3,107,023 14,495,646 17,392,000 7,052,000 820,510 19,064 19,009 18,950 18,816 17,921 17,282 16,656 16,008 15,709 15,703 14,963 14,505 14,350 13,883 13,551 13,153 12,893 12,832 12,703 12,545 11,744 11,615 11,592 11,442 10,996 10,780 10,143 9,884 9,784 9,752 9,530 9,296 9,174 9,158 9,018 8,280 8,220 8,119 7,975 7,575 7,531 7,251 7,110 7,087 7,072 7,021 6,939 6,883 6,554 6,533 6,496 6,366 6,334 6,318 6,286 6,201 6,096 6,058 5,992 5,815 5,676 5,588 5,584 5,563 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * * * * * * Asia Cement Corp. Lite-On Technology Corp. Pou Chen Corp. Novatek Microelectronics Corp. Foxconn Technology Co. Ltd. Hermes Microvision Inc. China Life Insurance Co. Ltd. Advanced Semiconductor Engineering Inc. ADR Chailease Holding Co. Ltd. Wistron Corp. Advantech Co. Ltd. Giant Manufacturing Co. Ltd. Siliconware Precision Industries Co. ADR AU Optronics Corp. Inventec Corp. Shin Kong Financial Holding Co. Ltd. Teco Electric and Machinery Co. Ltd. Chang Hwa Commercial Bank Ltd. Siliconware Precision Industries Co. AU Optronics Corp. ADR Eclat Textile Co. Ltd. Acer Inc. Synnex Technology International Corp. WPG Holdings Ltd. Merida Industry Co. Ltd. Hiwin Technologies Corp. Chicony Electronics Co. Ltd. Realtek Semiconductor Corp. Radiant Opto-Electronics Corp. Epistar Corp. Ruentex Industries Ltd. TPK Holding Co. Ltd. United Microelectronics Corp. ADR Highwealth Construction Corp. Simplo Technology Co. Ltd. Ruentex Development Co. Ltd. Taiwan Fertilizer Co. Ltd. Yulon Motor Co. Ltd. Kenda Rubber Industrial Co. Ltd. Vanguard International Semiconductor Corp. Powertech Technology Inc. Zhen Ding Technology Holding Ltd. Chipbond Technology Corp. CTCI Corp. Clevo Co. King's Town Bank Co. Ltd. Walsin Lihwa Corp. Taiwan Business Bank Taiwan Glass Industry Corp. Formosa Taffeta Co. Ltd. Unimicron Technology Corp. Airtac International Group Far Eastern Department Stores Ltd. Kinsus Interconnect Technology Corp. Evergreen Marine Corp. Taiwan Ltd. Yageo Corp. Asia Pacific Telecom Co. Ltd. Transcend Information Inc. Eva Airways Corp. Tripod Technology Corp. China Airlines Ltd. Winbond Electronics Corp. King Yuan Electronics Co. Ltd. Phison Electronics Corp. 78 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 2,215,800 2,326,967 1,036,691 408,000 4,305,000 959,000 5,194,001 7,032,325 3,340,428 4,522,626 4,696,209 22,709,878 2,300,000 289,000 3,323,000 1,111,000 1,827,920 442,000 1,854,011 14,884,647 2,406,497 13,698,175 1,085,976 2,759,000 12,446,090 865,105 409,979 9,061,553 669,000 5,182,842 4,440,000 299,000 15,956,060 4,429,000 7,194,193 2,370,485 8,625,880 11,540,707 392,015 2,422,000 1,058,879 370,455 6,938,000 1,294,000 4,265,540 13,008,738 381,805 8,288,000 2,890,000 1,583,293 2,827,000 4,617,700 9,803,451 3,011,000 2,151,000 12,929,491 3,621,831 892,259 8,037,515 9,217,830 1,595,318 3,549,920 2,000,215 468,222 5,527 5,501 5,428 5,365 5,276 5,228 5,220 5,204 5,181 5,160 5,153 5,116 5,112 5,093 4,991 4,912 4,847 4,795 4,792 4,712 4,568 4,425 4,394 4,323 4,197 4,178 4,174 4,149 4,127 4,113 4,047 4,028 4,023 4,005 4,000 3,960 3,875 3,873 3,861 3,856 3,843 3,839 3,834 3,834 3,778 3,694 3,645 3,623 3,589 3,570 3,561 3,520 3,494 3,467 3,460 3,451 3,439 3,410 3,349 3,283 3,271 3,221 3,196 3,163 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * * * * * * * Chroma ATE Inc. Standard Foods Corp. Makalot Industrial Co. Ltd. King Slide Works Co. Ltd. Micro-Star International Co. Ltd. China Steel Chemical Corp. Eternal Materials Co. Ltd. Wan Hai Lines Ltd. Sino-American Silicon Products Inc. TSRC Corp. Nan Kang Rubber Tire Co. Ltd. Macronix International Yungtay Engineering Co. Ltd. St. Shine Optical Co. Ltd. Coretronic Corp. MIN AIK Technology Co. Ltd. Taiwan Secom Co. Ltd. eMemory Technology Inc. Feng TAY Enterprise Co. Ltd. China Petrochemical Development Corp. Everlight Electronics Co. Ltd. Capital Securities Corp. Merry Electronics Co. Ltd. U-Ming Marine Transport Corp. Far Eastern International Bank Richtek Technology Corp. PChome Online Inc. Yang Ming Marine Transport Corp. Casetek Holdings Ltd. Tung Ho Steel Enterprise Corp. China Motor Corp. Ginko International Co. Ltd. HannStar Display Corp. Win Semiconductors Corp. Tainan Spinning Co. Ltd. Cheng Uei Precision Industry Co. Ltd. Qisda Corp. Taichung Commercial Bank Co. Ltd. Wowprime Corp. Elan Microelectronics Corp. Firich Enterprises Co. Ltd. Formosa International Hotels Corp. Compeq Manufacturing Co. Ltd. Lung Yen Life Service Corp. Sanyang Industry Co. Ltd. Tatung Co. Ltd. Parade Technologies Ltd. Kinpo Electronics Feng Hsin Iron & Steel Co. Wistron NeWeb Corp. Kerry TJ Logistics Co. Ltd. Oriental Union Chemical Corp. Shinkong Synthetic Fibers Corp. Gigabyte Technology Co. Ltd. Chin-Poon Industrial Co. Ltd. Jih Sun Financial Holdings Co. Ltd. Neo Solar Power Corp. Tong Hsing Electronic Industries Ltd. YFY Inc. Goldsun Development & Construction Co. Ltd. ScinoPharm Taiwan Ltd. Great Wall Enterprise Co. Ltd. WT Microelectronics Co. Ltd. Poya Co. Ltd. 79 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 850,000 1,351,000 2,914,000 2,745,000 688,032 2,905,126 5,657,000 1,126,468 5,575,926 354,000 8,483,659 2,469,000 4,552,850 4,792,716 657,000 3,543,997 4,451,500 4,676,515 1,267,804 7,139,559 5,585,000 5,479,105 1,605,629 5,383,000 151,600 1,781,684 1,534,087 2,291,110 1,338,780 5,690,600 3,830,767 4,419,733 693,775 6,677,000 1,977,100 1,659,153 308,000 1,340,087 2,100,000 1,885,950 782,000 1,149,968 2,958,792 15,787,000 515,000 1,868,000 1,263,000 1,885,500 1,234,000 1,900,000 1,767,000 2,647,000 1,584,300 1,770,979 345,000 2,488,097 895,000 1,425,000 2,154,815 8,191,000 3,498,380 4,346,288 2,156,000 1,752,965 3,079 3,017 3,013 2,997 2,994 2,968 2,949 2,930 2,920 2,856 2,818 2,796 2,773 2,765 2,746 2,743 2,738 2,693 2,686 2,680 2,679 2,638 2,632 2,627 2,577 2,533 2,523 2,515 2,508 2,491 2,490 2,483 2,481 2,456 2,456 2,450 2,425 2,420 2,417 2,415 2,375 2,366 2,332 2,328 2,309 2,283 2,262 2,259 2,245 2,224 2,216 2,213 2,208 2,202 2,197 2,187 2,182 2,170 2,135 2,134 2,115 2,114 2,069 2,067 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * * * * * * * * * * * Depo Auto Parts Ind Co. Ltd. Sercomm Corp. China Synthetic Rubber Corp. Formosan Rubber Group Inc. Medigen Biotechnology Corp. Tong Yang Industry Co. Ltd. Cathay Real Estate Development Co. Ltd. San Shing Fastech Corp. President Securities Corp. PharmaEngine Inc. Ta Chong Bank Ltd. AcBel Polytech Inc. Ton Yi Industrial Corp. AmTRAN Technology Co. Ltd. Grape King Bio Ltd. Mitac Holdings Corp. TA Chen Stainless Pipe Radium Life Tech Co. Ltd. FLEXium Interconnect Inc. Prince Housing & Development Corp. Grand Pacific Petrochemical USI Corp. Taiwan Hon Chuan Enterprise Co. Ltd. E Ink Holdings Inc. Gigasolar Materials Corp. Taiwan Surface Mounting Technology Co. Ltd. Huaku Development Co. Ltd. Faraday Technology Corp. TTY Biopharm Co. Ltd. Cheng Loong Corp. Lien Hwa Industrial Corp. Mercuries Life Insurance Co. Ltd. Flytech Technology Co. Ltd. China Bills Finance Corp. Motech Industries Inc. Taiwan PCB Techvest Co. Ltd. TWi Pharmaceuticals Inc. A-DATA Technology Co. Ltd. Career Technology MFG. Co. Ltd. Taiwan Sogo Shin Kong SEC Center Laboratories Inc. Chong Hong Construction Co. Ltd. Ardentec Corp. CMC Magnetics Corp. Cleanaway Co. Ltd. Primax Electronics Ltd. Hota Industrial Manufacturing Co. Ltd. Hey Song Corp. YungShin Global Holding Corp. Taigen Biopharmaceuticals Holdings Ltd. Greatek Electronics Inc. Wei Chuan Foods Corp. Taiwan Paiho Ltd. TXC Corp. Gourmet Master Co. Ltd. Universal Cement Corp. Dynapack International Technology Corp. Elite Semiconductor Memory Technology Inc. Farglory Land Development Co. Ltd. BES Engineering Corp. Shining Building Business Co. Ltd. LCY Chemical Corp. Sigurd Microelectronics Corp. Elite Material Co. Ltd. 80 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 6,909,596 3,645,480 1,275,694 1,154,000 249,000 2,378,464 891,000 3,896,613 1,177,503 298,000 1,732,000 5,923,436 1,720,000 2,150,907 1,146,000 16,363,000 2,212,000 3,016,000 1,327,059 6,923,000 2,974,000 5,177,250 309,000 1,798,596 2,084,000 3,066,000 730,000 3,260,000 1,942,000 2,248,149 4,722,900 2,641,314 925,000 141,000 2,173,550 5,005,767 326,300 2,140,740 923,000 331,000 1,305,000 240,000 653,000 919,178 722,711 396,000 3,958,000 2,037,000 1,743,000 1,358,348 2,604,991 1,845,854 932,000 1,823,000 3,089,800 657,408 2,623,500 817,000 1,992,140 585,620 642,000 2,602,096 1,158,500 2,318,824 2,047 2,046 2,026 2,016 2,012 1,983 1,958 1,951 1,926 1,913 1,899 1,888 1,884 1,880 1,869 1,866 1,846 1,844 1,844 1,833 1,827 1,824 1,807 1,803 1,799 1,797 1,786 1,772 1,767 1,757 1,749 1,745 1,734 1,730 1,724 1,714 1,705 1,690 1,688 1,686 1,671 1,666 1,665 1,662 1,657 1,653 1,648 1,646 1,625 1,624 1,623 1,621 1,605 1,579 1,579 1,579 1,564 1,564 1,556 1,554 1,553 1,547 1,540 1,539 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * * * * * * * * * * * * * * * Yieh Phui Enterprise Co. Ltd. D-Link Corp. IEI Integration Corp. Wah Lee Industrial Corp. Voltronic Power Technology Corp. Everlight Chemical Industrial Corp. Shin Zu Shing Co. Ltd. Long Chen Paper Co. Ltd. Test Research Inc. Taiwan FamilyMart Co. Ltd. Ichia Technologies Inc. Masterlink Securities Corp. Chimei Materials Technology Corp. Microbio Co. Ltd. Namchow Chemical Industrial Co. Ltd. Ritek Corp. Lextar Electronics Corp. Long Bon International Co. Ltd. Nan Ya Printed Circuit Board Corp. China Man-Made Fiber Corp. Hung Sheng Construction Ltd. Ho Tung Chemical Corp. FocalTech Corp. Ltd. Rechi Precision Co. Ltd. Kindom Construction Corp. Evergreen International Storage & Transport Corp. Aten International Co. Ltd. Taiwan TEA Corp. Ambassador Hotel Gintech Energy Corp. Continental Holdings Corp. Test-Rite International Co. Ltd. Senao International Co. Ltd. Brogent Technologies Inc. Taiwan Cogeneration Corp. UPC Technology Corp. Chlitina Holding Ltd. Solar Applied Materials Technology Co. Systex Corp. Zeng Hsing Industrial Co. Ltd. Asia Optical Co. Inc. Silergy Corp. Adlink Technology Inc. Topco Scientific Co. Ltd. Pixart Imaging Inc. Lotes Co. Ltd. Rich Development Co. Ltd. CyberTAN Technology Inc. Great China Metal Industry Sinyi Realty Inc. Pan-International Industrial Corp. King's Town Construction Co. Ltd. Holtek Semiconductor Inc. Sincere Navigation Corp. Accton Technology Corp. Johnson Health Tech Co. Ltd. Via Technologies Inc. Syncmold Enterprise Corp. ITEQ Corp. Soft-World International Corp. Sitronix Technology Corp. Federal Corp. Holy Stone Enterprise Co. Ltd. Gloria Material Technology Corp. 81 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 5,411,197 755,000 2,398,000 2,600,641 537,000 1,703,409 4,186,387 4,220,954 4,330,443 998,000 234,000 2,407,577 1,663,096 2,537,740 154,179 5,892,240 525,000 3,358,342 1,847,000 1,709,243 1,537,000 318,000 305,900 2,736,096 1,546,750 301,000 1,649,441 454,000 1,993,300 2,317,000 563,000 1,244,353 363,000 1,035,000 301,000 418,000 3,196,248 3,267,000 370,146 1,546,000 1,311,000 1,536,468 854,852 2,939,696 1,318,000 442,363 2,351,100 680,000 332,189 1,479,334 847,000 547,333 1,051,000 2,304,000 2,484,000 2,835,000 1,557,564 3,461,000 392,000 1,754,364 1,254,306 2,142,000 2,315,112 1,157,500 1,533 1,530 1,508 1,506 1,506 1,504 1,500 1,493 1,491 1,487 1,483 1,479 1,463 1,460 1,446 1,438 1,419 1,417 1,412 1,411 1,408 1,404 1,398 1,395 1,390 1,389 1,388 1,373 1,369 1,368 1,364 1,353 1,353 1,344 1,316 1,315 1,312 1,296 1,294 1,282 1,280 1,272 1,268 1,260 1,254 1,243 1,240 1,232 1,209 1,204 1,196 1,179 1,166 1,165 1,164 1,159 1,145 1,145 1,139 1,123 1,114 1,094 1,093 1,082 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * * * * * * * * * * * * * * * * * * Lealea Enterprise Co. Ltd. Kinik Co. Chung Hsin Electric & Machinery Manufacturing Corp. Mercuries & Associates Ltd. Toung Loong Textile Manufacturing Unity Opto Technology Co. Ltd. Taiwan Land Development Corp. Walsin Technology Corp. Li Peng Enterprise Co. Ltd. Kuo Toong International Co. Ltd. Taiwan Liposome Co. Ltd. Taiwan Life Insurance Co. Ltd. Gigastorage Corp. KEE TAI Properties Co. Ltd. Yulon Nissan Motor Co. Ltd. Chung Hung Steel Corp. Yung Chi Paint & Varnish Manufacturing Co. Ltd. Taiwan Styrene Monomer YC INOX Co. Ltd. China Metal Products Taiwan Semiconductor Co. Ltd. Nan Liu Enterprise Co. Ltd. Green Seal Holding Ltd. E-Ton Solar Tech Co. Ltd. Visual Photonics Epitaxy Co. Ltd. Posiflex Technology Inc. Elitegroup Computer Systems Co. Ltd. Global Unichip Corp. Asia Polymer Corp. Unizyx Holding Corp. Taiwan Acceptance Corp. Altek Corp. Topkey Corp. Huang Hsiang Construction Corp. International Games System Co. Ltd. Elite Advanced Laser Corp. Unitech Printed Circuit Board Corp. Sampo Corp. Vivotek Inc. ALI Corp. Zinwell Corp. Nien Hsing Textile Co. Ltd. Taiflex Scientific Co. Ltd. Kuoyang Construction Co. Ltd. United Integrated Services Co. Ltd. Genius Electronic Optical Co. Ltd. CSBC Corp. Taiwan Pihsiang Machinery Manufacturing Co. Ltd. GeoVision Inc. G Tech Optoelectronics Corp. Sonix Technology Co. Ltd. CHC Healthcare Group Quanta Storage Inc. Getac Technology Corp. Etron Technology Inc. OptoTech Corp. Gemtek Technology Corp. HUA ENG Wire & Cable Lotus Pharmaceutical Co. Ltd. Solartech Energy Corp. Tong-Tai Machine & Tool Co. Ltd. Lingsen Precision Industries Ltd. Chia Hsin Cement Corp. Weltrend Semiconductor 82 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 372,578 1,592,000 475,354 391,000 993,750 1,525,148 1,371,946 1,431,000 2,068,000 2,022,000 2,710,653 2,661,000 3,787,219 1,525,405 1,913,000 2,329,000 1,453,439 1,679,000 1,867,000 2,242,000 3,199,820 3,202,000 716,000 4,116,000 399,400 2,046,925 923,458 2,207,920 2,921,935 2,225,000 1,219,000 2,475,000 1,261,457 2,011,000 1,546,931 731,625 917,000 1,304,000 605,000 2,457,895 1,358,000 1,381,000 2,101,195 1,288,000 2,660,265 631,000 838,478 10,886,974 402,000 372,000 1,456,000 1,313,000 1,108,461 2,842,950 582,000 1,241,625 753,979 747,000 933,000 2,205,000 1,546,000 754,143 715,000 603,617 1,078 1,069 1,068 1,049 1,046 1,042 1,034 1,033 1,031 1,019 1,019 1,016 1,013 995 981 965 957 942 939 939 916 907 873 859 855 853 827 818 815 813 796 788 787 781 766 765 750 749 745 735 735 728 722 709 707 706 698 697 684 683 667 656 628 617 613 609 609 530 515 494 481 477 473 471 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * * * * * * * * * * * * * * * * * * * * * * Cyberlink Corp. China Chemical & Pharmaceutical Co. Ltd. Jentech Precision Industrial Co. Ltd. Global Mixed Mode Technology Inc. Taiwan Sanyo Electric Co. Ltd. Asia Vital Components Co. Ltd. Hung Poo Real Estate Development Corp. Taiwan Fire & Marine Insurance Co. Ltd. Ability Enterprise Co. Ltd. Alpha Networks Inc. Chun Yuan Steel Sunplus Technology Co. Ltd. Concord Securities Corp. Green Energy Technology Inc. Formosa Epitaxy Inc. Gold Circuit Electronics Ltd. Lite-On Semiconductor Corp. Infortrend Technology Inc. Dynamic Electronics Co. Ltd. Pan Jit International Inc. Chung Hwa Pulp Corp. Silicon Integrated Systems Corp. Basso Industry Corp. HannsTouch Solution Inc. Microlife Corp. Wafer Works Corp. Jess-Link Products Co. Ltd. China General Plastics Corp. Waterland Financial Holdings Co. Ltd. China Electric Manufacturing Corp. First Steamship Co. Ltd. Champion Building Materials Co. Ltd. Shih Wei Navigation Co. Ltd. Forhouse Corp. Genesis Photonics Inc. ITE Technology Inc. L&K Engineering Co. Ltd. Hsin Kuang Steel Co. Ltd. ACES Electronic Co. Ltd. Bank of Kaohsiung Co. Ltd. Darfon Electronics Corp. Phihong Technology Co. Ltd. Eastern Media International Corp. Sunrex Technology Corp. AGV Products Corp. Chinese Maritime Transport Ltd. FSP Technology Inc. Wintek Corp. Young Optics Inc. AV Tech Corp. WUS Printed Circuit Co. Ltd. Microelectronics Technology Inc. LES Enphants Co. Ltd. Ta Ya Electric Wire & Cable Tsann Kuen Enterprise Co. Ltd. Globe Union Industrial Corp. Taiyen Biotech Co. Ltd. Taiwan Navigation Co. Ltd. TYC Brother Industrial Co. Ltd. Tyntek Corp. Taiwan Mask Corp. Young Fast Optoelectronics Co. Ltd. Sheng Yu Steel Co. Ltd. Entire Technology Co. Ltd. 83 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 744,135 369,294 1,408,462 1,229,892 619,405 1,888,000 729,000 547,000 246,000 956,000 6,515,351 859,000 233,000 730,000 530,000 181,000 38,879 105,026 87,320 5,975,000 455 450 446 433 424 409 394 362 358 336 335 314 307 299 293 234 220 81 1 — ___________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * * * * * * * * * * ENG Electric Co. Ltd. Newmax Technology Co. Ltd. Global Brands Manufacture Ltd. KYE Systems Corp. Silitech Technology Corp. Mosel Vitelic Inc. J Touch Corp. Advanced International Multitech Co. Ltd. Chinese Gamer International Corp. Giantplus Technology Co. Ltd. Chunghwa Picture Tubes Ltd. Avermedia Technologies Shinkong Textile Co. Ltd. Bright Led Electronics Corp. O-TA Precision Industry Co. Ltd. Shihlin Paper Corp. Tatung Co. Ltd. GDR Great Taipei Gas Co. Ltd. Tong-Tai Machine & Tool Co. Rights Exp. 12/17/2014 ProMOS Technologies Inc. 3,941,136 Thailand (0.6%) Advanced Info Service PCL (Foreign) * PTT PCL CP ALL PCL (Foreign) * Siam Commercial Bank PCL (Local) Kasikornbank PCL (Foreign) PTT Exploration & Production PCL (Foreign) PTT PCL (Foreign) Siam Cement PCL (Foreign) * Kasikornbank PCL Siam Commercial Bank PCL (Foreign) Intouch Holdings PCL Bangkok Bank PCL (Foreign) Airports of Thailand PCL (Foreign) Big C Supercenter PCL Total Access Communication PCL * True Corp. PCL * Central Pattana PCL * Bank of Ayudhya PCL (Local) * PTT Global Chemical PCL * PTT Exploration and Production PCL (Local) * Charoen Pokphand Foods PCL * Minor International PCL * Advanced Info Service PCL (Local) Krung Thai Bank PCL (Foreign) TMB Bank PCL * Bumrungrad Hospital PCL * Bangkok Dusit Medical Services PCL * CP ALL PCL (Local) PTT Global Chemical PCL Charoen Pokphand Foods PCL (Foreign) * Electricity Generating PCL Glow Energy PCL (Foreign) BTS Group Holdings PCL * Delta Electronics Thailand PCL * Land & Houses PCL Thai Oil PCL (Foreign) Thai Union Frozen Products PCL (Foreign) * Siam City Cement PCL (Local) * BEC World PCL Home Product Center PCL * BTS Rail Mass Transit Growth Infrastructure Fund 6,120,100 3,049,400 21,481,570 5,438,500 4,002,300 6,239,769 2,366,115 1,894,500 3,382,600 4,402,600 9,535,400 3,020,100 2,205,300 2,180,300 4,520,100 35,118,300 8,478,686 8,373,726 6,196,400 2,569,300 11,259,400 9,945,700 1,395,076 14,913,137 112,734,300 2,244,800 15,919,000 6,451,700 4,225,236 8,304,300 1,478,600 2,486,345 20,285,100 3,155,800 19,252,200 4,176,800 2,600,700 443,617 3,777,600 19,025,849 17,629,424 84 44,616 34,448 30,006 29,673 29,345 28,128 26,803 26,488 24,548 23,673 21,662 18,751 16,382 15,660 14,362 12,718 12,558 12,279 11,873 11,619 10,803 10,725 10,310 10,158 9,417 9,165 9,041 9,012 8,029 7,968 7,807 7,784 6,414 6,287 6,055 5,765 5,744 5,720 5,603 5,432 5,413 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 10,312,269 7,263,100 16,254,048 13,467,523 2,901,100 29,397,000 2,292,300 3,976,000 2,254,320 3,419,900 63,894,500 4,454,300 514,500 36,243,600 4,592,742 2,577,700 4,822,400 2,370,905 15,089,900 2,432,920 2,729,500 3,917,800 4,205,648 2,059,900 7,317,441 28,064,000 3,558,800 2,537,400 2,710,500 6,920,300 25,020,500 1,771,600 2,322,500 1,775,743 2,194,200 1,876,200 3,791,900 2,745,500 4,211,100 5,115,296 3,313,760 2,651,500 6,440,262 7,790,200 1,211,697 5,881,825 3,882,700 4,447,040 30,769,000 2,586,100 12,774,016 2,388,800 860,700 1,256,062 1,462,200 3,134,000 7,953,700 10,058,300 575,400 957,000 11,989,890 7,424,785 3,415,800 4,060,200 5,224 5,195 5,190 4,799 4,566 4,321 4,276 4,276 4,017 3,963 3,922 3,891 3,822 3,806 3,700 3,601 3,538 3,498 3,389 3,327 3,288 3,119 3,086 2,959 2,920 2,742 2,720 2,688 2,618 2,578 2,367 2,366 2,357 2,278 2,256 2,189 2,153 2,128 2,085 2,010 1,980 1,937 1,839 1,782 1,777 1,770 1,749 1,747 1,709 1,694 1,679 1,636 1,562 1,504 1,504 1,493 1,343 1,328 1,316 1,315 1,308 1,288 1,261 1,260 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * CPN Retail Growth Leasehold Property Fund Krung Thai Bank PCL BTS Group Holdings PCL True Corp. PCL Robinson Department Store PCL Hemaraj Land and Development PCL Ratchaburi Electricity Generating Holding PCL Thanachart Capital PCL Bangkok Life Assurance PCL Central Plaza Hotel PCL Bangkok Land PCL Banpu PCL (Local) Airports of Thailand PCL IRPC PCL Sino-Thai Engineering & Construction PCL Berli Jucker PCL Indorama Ventures PCL BEC World PCL (Foreign) Jasmine International PCL Tisco Financial Group PCL Thaicom PCL Supalai PCL Indorama Ventures PCL Hana Microelectronics PCL (Foreign) Siam Global House PCL IRPC PCL (Foreign) LPN Development PCL Banpu PCL Pruksa Real Estate PCL TTW PCL TMB Bank PCL Hana Microelectronics PCL Samart Corp. PCL Kiatnakin Bank PCL Bangchak Petroleum PCL Bangkok Expressway PCL (Foreign) Bangkok Dusit Medical Services PCL SPCG PCL MBK PCL VGI Global Media PCL Thoresen Thai Agencies PCL Major Cineplex Group PCL Home Product Center PCL Jasmine International PCL Bank of Ayudhya PCL Bangkok Chain Hospital PCL Sri Trang Agro-Industry PCL VGI Global Media PCL TPI Polene PCL Precious Shipping PCL Quality Houses PCL Thai Vegetable Oil PCL Dynasty Ceramic PCL WHA Corp. PCL Pruksa Real Estate PCL Amata Corp. PCL Esso Thailand PCL Quality Houses PCL Thai Union Frozen Products PCL Thai Oil PCL Thai Reinsurance PCL Italian-Thai Development PCL Thai Airways International PCL (Foreign) Univentures PCL 85 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 17,772,200 96,407,100 564,060 10,057,632 810,500 265,466,800 11,922,053 2,038,074 213,000 536,400 4,332,944 1,667,900 14,126,652 464,900 1,807,400 756,900 18,449,500 401,985 667,800 346,000 1,381,400 2,237,500 1,453,100 501,500 853,604 656,618 70 1,124 1,006 1,005 933 823 734 732 676 659 626 623 621 603 603 541 531 530 481 448 444 429 391 297 221 93 58 — ___________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * * * * * * * * * * * * * * * * * * * * * Sansiri PCL (Local) Sahaviriya Steel Industries PCL Bangkok Life Assurance PCL Cal-Comp Electronics Thailand PCL Samart Corp. PCL G J Steel PCL (Local) Bangkok Land PCL Siam Global House PCL Glow Energy PCL Bangkok Expressway PCL Asian Property Development PCL (Foreign) TTW PCL Sansiri PCL (Foreign) Kiatnakin Bank PCL Bangkok Chain Hospital PCL Maybank Kim Eng Securities Thailand PCL Tata Steel Thailand PCL WHA Corp. PCL Thoresen Thai Agencies PCL Saha-Union PCL Univentures PCL Italian-Thai Development PCL AP Thailand PCL Thai Airways International PCL Indorama Ventures PCL Warrants Exp. 08/24/2017 Indorama Ventures Warrants Exp. 08/24/2018 G Steel PCL 794,485 Turkey (0.4%) Turkiye Garanti Bankasi AS Akbank TAS BIM Birlesik Magazalar AS * Turkcell Iletisim Hizmetleri AS Turkiye Halk Bankasi AS Haci Omer Sabanci Holding AS (Bearer) Turkiye Is Bankasi KOC Holding AS Eregli Demir ve Celik Fabrikalari TAS Tupras Turkiye Petrol Rafinerileri AS * Anadolu Efes Biracilik Ve Malt Sanayii AS Turkiye Vakiflar Bankasi Tao Emlak Konut Gayrimenkul Yatirim Ortakligi AS Yapi ve Kredi Bankasi AS * Turk Hava Yollari Turk Telekomunikasyon AS Coca-Cola Icecek AS TAV Havalimanlari Holding AS Ulker Biskuvi Sanayi AS Enka Insaat ve Sanayi AS Arcelik AS * Ford Otomotiv Sanayi AS Turkiye Sise ve Cam Fabrikalari AS Tofas Turk Otomobil Fabrikasi AS Petkim Petrokimya Holding AS Turkiye Sinai Kalkinma Bankasi AS * Kardemir Karabuk Demir Celik Sanayi ve Ticaret AS Yazicilar Holding AS Class A * Pegasus Hava Tasimaciligi AS Turk Traktor ve Ziraat Makineleri AS Aygaz AS Aselsan Elektronik Sanayi Ve Ticaret AS * Migros Ticaret AS Dogus Otomotiv Servis ve Ticaret AS Aksigorta AS 13,289,379 10,387,826 1,418,461 5,005,426 3,962,173 5,159,373 8,506,681 4,021,077 8,666,623 778,021 1,240,840 6,638,863 12,238,384 5,459,894 3,504,919 3,337,128 414,057 950,505 969,696 2,942,057 1,103,224 444,856 3,250,564 784,853 2,877,019 4,767,070 3,459,714 295,080 215,485 83,405 537,967 495,811 236,475 494,110 1,624,218 86 51,882 37,517 32,379 29,047 26,463 23,556 21,272 20,495 18,064 16,890 14,499 14,272 13,762 11,958 11,467 9,597 9,450 7,967 7,157 7,109 6,763 5,672 4,935 4,916 4,581 4,171 3,849 2,858 2,766 2,631 2,268 2,251 2,197 2,123 1,966 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 781,293 2,129,136 295,284 1,407,188 238,004 5,664,568 497,282 4,881,513 391,239 1,743,718 1,011,368 549,213 1,440,203 1,778,915 506,347 113,140 1,202,109 642,034 754,417 543,064 603,765 5,062 305,020 979,512 583,540 3,143,110 1,961 1,942 1,907 1,846 1,759 1,705 1,644 1,583 1,285 1,230 1,204 1,173 1,122 1,048 960 926 924 905 796 696 656 561 552 515 498 424 ___________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * * * * * * * * * Tekfen Holding AS Sekerbank TAS Koza Altin Isletmeleri AS Trakya Cam Sanayii AS Cimsa Cimento Sanayi VE Ticaret AS Dogan Sirketler Grubu Holding AS Vestel Elektronik Sanayi ve Ticaret AS Asya Katilim Bankasi AS Aksa Akrilik Kimya Sanayii AS Albaraka Turk Katilim Bankasi AS Zorlu Enerji Elektrik Uretim AS Akfen Holding AS Koza Anadolu Metal Madencilik Isletmeleri AS Is Gayrimenkul Yatirim Ortakligi AS Gubre Fabrikalari TAS Bizim Toptan Satis Magazalari AS Ipek Dogal Enerji Kaynaklari Ve Uretim AS Torunlar Gayrimenkul Yatirim Ortakligi AS EIS Eczacibasi Ilac ve Sinai ve Finansal Yatirimlar Sanayi ve Ticaret AS Vakif Gayrimenkul Yatirim Ortakligi AS Turcas Petrol AS Konya Cimento Sanayii AS Alarko Holding AS Akenerji Elektrik Uretim AS Anadolu Cam Sanayii AS Ihlas Holding AS 468,572 United Arab Emirates (0.2%) Emaar Properties PJSC First Gulf Bank PJSC Abu Dhabi Commercial Bank PJSC DP World Ltd. Aldar Properties PJSC * Arabtec Holding Co. Union National Bank PJSC * Emaar Malls Group PJSC Dubai Islamic Bank PJSC Dubai Financial Market Air Arabia PJSC Al Waha Capital PJSC Dubai Investments PJSC * Dana Gas PJSC * Union Properties PJSC * Deyaar Development PJSC * Drake & Scull International Eshraq Properties Co. PJSC RAK Properties PJSC National Central Cooling Co. PJSC Aramex PJSC * Islamic Arab Insurance Co. * Eshraq Properties Rights Exp. 11/20/2014 22,150,304 6,119,962 9,159,952 1,036,314 19,654,704 13,642,669 6,877,671 12,962,592 3,743,147 10,032,370 14,596,547 5,891,488 4,838,052 20,974,143 5,763,092 9,356,728 7,030,772 5,175,128 6,216,041 2,227,104 733,646 1,654,679 1,799,909 61,762 30,385 19,968 19,856 17,602 16,231 13,007 11,329 7,832 7,687 5,345 4,544 4,167 3,471 2,849 2,842 2,205 1,544 1,446 942 619 315 34 ___________ 235,982 United Kingdom (14.7%) HSBC Holdings plc BP plc Royal Dutch Shell plc Class A GlaxoSmithKline plc British American Tobacco plc AstraZeneca plc Royal Dutch Shell plc Class B Vodafone Group plc Diageo plc * Lloyds Banking Group plc Barclays plc 120,918,328 117,020,910 22,348,749 30,827,186 11,819,361 8,001,615 15,551,368 168,451,046 15,970,860 342,720,686 103,954,006 87 1,237,821 843,075 800,284 698,827 671,314 582,601 576,947 559,741 470,068 423,500 398,476 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 7,911,082 16,179,940 21,579,931 23,918,075 13,544,785 67,671,680 4,090,740 5,994,681 7,650,550 51,518,001 6,110,199 3,728,262 12,835,657 8,284,639 10,720,041 8,423,249 11,861,758 6,178,164 18,663,980 31,894,023 20,045,151 51,477,391 37,631,594 8,856,843 7,281,144 4,669,767 2,211,406 5,159,368 934,367 5,692,024 31,020,640 15,171,533 6,297,538 6,654,815 2,608,252 1,673,907 4,983,545 13,522,865 1,142,820 23,727,903 6,413,726 4,169,208 15,020,470 2,810,246 10,338,034 1,300,645 4,316,331 2,109,027 1,497,933 3,179,284 3,184,625 10,312,986 6,367,044 1,345,578 1,514,209 4,968,155 1,508,999 2,482,513 1,156,330 1,939,857 8,647,661 5,729,279 1,020,913 6,245,986 377,832 373,903 359,645 354,617 350,694 346,973 343,872 338,585 307,874 303,209 265,304 248,199 193,206 174,781 172,735 164,411 160,261 158,129 155,735 154,504 147,287 143,166 139,220 125,406 119,764 103,691 97,588 96,654 96,451 96,396 96,182 95,709 94,647 94,375 93,489 88,951 88,353 84,059 79,849 77,197 74,839 73,263 72,793 68,922 67,361 61,984 59,092 57,264 56,834 55,796 53,329 52,593 49,271 49,211 48,863 48,786 48,247 46,325 46,108 45,436 44,774 44,595 44,501 43,413 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * * Rio Tinto plc Prudential plc BG Group plc National Grid plc BHP Billiton plc Glencore plc Reckitt Benckiser Group plc SABMiller plc Unilever plc BT Group plc Imperial Tobacco Group plc Shire plc Standard Chartered plc Anglo American plc London Shares Compass Group plc WPP plc Rolls-Royce Holdings plc SSE plc Aviva plc Centrica plc BAE Systems plc Tesco plc Legal & General Group plc ARM Holdings plc Reed Elsevier plc CRH plc Associated British Foods plc Pearson plc Next plc Smith & Nephew plc Old Mutual plc Standard Life plc Experian plc British Sky Broadcasting Group plc Royal Dutch Shell plc Class A (Amsterdam Shares) Wolseley plc Land Securities Group plc Royal Bank of Scotland Group plc Whitbread plc ITV plc British Land Co. plc Capita plc Kingfisher plc Burberry Group plc Marks & Spencer Group plc Johnson Matthey plc United Utilities Group plc Bunzl plc InterContinental Hotels Group plc Babcock International Group plc Ashtead Group plc GKN plc RSA Insurance Group plc Weir Group plc London Stock Exchange Group plc Hammerson plc Severn Trent plc Smiths Group plc Carnival plc Persimmon plc Friends Life Group Ltd. Tullow Oil plc Intertek Group plc Aberdeen Asset Management plc 88 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 6,444,960 9,517,499 6,258,023 6,889,751 1,568,394 9,853,614 2,327,130 6,111,909 20,479,470 3,249,517 5,947,765 1,521,397 5,109,847 8,975,473 582,078 13,726,306 1,734,189 4,453,125 7,228,842 2,473,703 1,372,070 2,877,210 5,509,279 5,813,313 924,714 1,885,711 854,821 533,197 2,693,155 3,221,722 3,800,483 797,308 2,954,233 4,700,860 1,643,449 3,939,559 6,772,153 583,508 716,503 2,284,225 1,249,392 1,243,872 851,449 2,246,361 4,619,705 5,941,968 2,293,504 2,553,356 2,175,049 2,388,534 10,292,371 3,171,951 3,413,086 6,710,380 11,479,236 546,589 2,302,163 480,374 1,376,504 933,154 2,007,407 776,668 749,764 3,941,775 42,294 42,071 41,988 41,682 41,515 40,304 39,283 38,855 38,841 38,781 37,661 37,099 36,911 35,304 34,027 34,015 33,952 33,937 33,684 33,017 33,004 32,048 31,804 31,696 31,442 31,437 31,420 29,851 29,548 29,534 29,284 29,124 28,659 28,628 27,922 27,826 27,784 27,764 27,677 27,621 27,183 26,575 25,846 25,293 25,236 25,208 24,352 24,307 23,910 23,846 23,136 23,125 22,892 22,674 22,652 22,370 22,147 21,929 21,920 21,886 21,881 21,759 21,644 21,629 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * ^ * International Consolidated Airlines Group SA (London Shares) Direct Line Insurance Group plc Barratt Developments plc Sage Group plc Travis Perkins plc G4S plc Mondi plc 3i Group plc Taylor Wimpey plc St. James's Place plc Dixons Carphone plc Aggreko plc Meggitt plc J Sainsbury plc Randgold Resources Ltd. WM Morrison Supermarkets plc IMI plc Rexam plc Cobham plc Pennon Group plc easyJet plc Inchcape plc William Hill plc Intu Properties plc Provident Financial plc AMEC plc Croda International plc DCC plc Inmarsat plc Investec plc Informa plc Berkeley Group Holdings plc Tate & Lyle plc Segro plc Petrofac Ltd. Royal Mail plc Melrose Industries plc Derwent London plc Schroders plc BTG plc Coca-Cola HBC AG Admiral Group plc Hikma Pharmaceuticals plc Antofagasta plc Capital & Counties Properties plc DS Smith plc John Wood Group plc Drax Group plc Great Portland Estates plc Halma plc Booker Group plc Amlin plc ICAP plc Henderson Group plc Rentokil Initial plc Rotork plc IG Group Holdings plc Spirax-Sarco Engineering plc Hargreaves Lansdown plc Close Brothers Group plc Hiscox Ltd. Bellway plc Spectris plc Howden Joinery Group plc 89 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 1,684,843 3,192,670 595,666 1,752,816 10,011,095 2,143,342 9,220,847 1,380,348 8,946,402 1,082,392 3,096,217 1,417,399 2,975,761 2,685,925 2,529,031 1,504,030 1,599,263 3,461,578 1,495,827 3,339,881 1,286,201 5,211,630 2,623,701 2,746,396 1,542,885 1,042,290 878,848 512,119 3,294,976 635,414 1,348,406 1,267,436 7,632,401 3,299,608 1,200,072 4,120,534 730,538 1,204,273 4,000,240 4,216,754 2,465,352 442,611 15,995,148 2,881,702 1,216,763 1,071,247 1,895,139 1,509,696 769,739 1,710,911 859,624 690,867 592,511 2,651,030 2,342,257 1,933,305 1,998,712 5,824,417 2,585,517 2,715,509 4,374,430 953,964 2,681,548 271,670 21,349 20,388 20,133 20,097 19,866 18,415 18,361 17,745 17,692 17,513 17,484 17,090 16,868 16,643 16,614 16,545 16,517 16,504 16,313 16,054 15,888 15,315 15,041 14,640 14,065 13,988 13,944 13,894 13,839 13,814 13,741 13,734 13,727 13,643 13,575 13,338 13,170 12,901 12,638 12,625 12,578 12,368 12,358 12,188 12,168 11,966 11,805 11,757 11,738 11,678 11,596 11,496 11,487 11,361 11,288 11,177 11,105 11,021 10,858 10,846 10,789 10,748 10,699 10,698 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * 2 * * *,^ ^ * * Daily Mail & General Trust plc TUI Travel plc Rightmove plc Shaftesbury plc Man Group plc Catlin Group Ltd. Thomas Cook Group plc Greene King plc Hays plc Berendsen plc Merlin Entertainments plc Phoenix Group Holdings BBA Aviation plc Stagecoach Group plc Intermediate Capital Group plc Essentra plc Sports Direct International plc Serco Group plc Britvic plc TalkTalk Telecom Group plc Telecity Group plc Home Retail Group plc Jupiter Fund Management plc Carillion plc UBM plc CSR plc Micro Focus International plc Victrex plc Beazley plc WS Atkins plc Grafton Group plc Restaurant Group plc Firstgroup plc Premier Oil plc Playtech plc QinetiQ Group plc WH Smith plc Lancashire Holdings Ltd. Regus plc Polyus Gold International Ltd. Ashmore Group plc Ultra Electronics Holdings plc Cable & Wireless Communications plc Elementis plc Bodycote plc Fresnillo plc Michael Page International plc International Personal Finance plc Jardine Lloyd Thompson Group plc Vesuvius plc Bovis Homes Group plc Kennedy Wilson Europe Real Estate plc Betfair Group plc Senior plc Mitie Group plc Paragon Group of Cos. plc Pace plc Ladbrokes plc Greencore Group plc Ocado Group plc Balfour Beatty plc Genel Energy plc National Express Group plc Go-Ahead Group plc 90 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 356,259 1,195,859 1,255,952 2,802,601 868,137 519,127 1,259,219 399,040 1,741,080 3,221,132 914,347 1,331,540 1,482,941 239,408 3,705,070 2,770,008 7,061,839 857,142 3,664,473 1,262,384 342,879 1,680,068 374,884 3,625,708 3,573,839 632,872 1,820,147 1,551,983 7,834,690 781,291 337,323 719,139 582,302 2,577,558 2,740,015 379,884 1,643,713 553,528 1,377,922 4,339,056 1,350,706 1,388,113 821,917 676,966 2,674,145 4,185,327 313,611 963,035 2,301,850 713,736 554,590 850,050 3,242,068 3,207,201 1,235,428 3,222,079 161,483 1,131,782 228,548 1,292,523 1,398,658 4,477,344 650,842 1,655,686 10,642 10,434 10,363 10,279 10,227 10,179 10,004 9,820 9,612 9,567 9,279 9,097 9,039 8,989 8,938 8,872 8,743 8,720 8,648 8,630 8,620 8,479 8,470 8,432 8,380 8,344 8,231 8,178 8,144 8,054 8,049 8,007 7,870 7,808 7,666 7,497 7,474 7,464 7,410 7,360 7,310 7,307 7,190 7,115 7,115 7,104 7,078 7,058 6,977 6,892 6,733 6,672 6,650 6,635 6,627 6,620 6,620 6,574 6,510 6,482 6,474 6,427 6,304 6,106 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * * * * *,^ * * * ^ *,^ Synergy Health plc RPC Group plc Polymetal International plc Electrocomponents plc Hunting plc Galliford Try plc Halfords Group plc AVEVA Group plc HomeServe plc Ophir Energy plc Interserve plc SVG Capital plc Mitchells & Butlers plc Fidessa Group plc Marston's plc Moneysupermarket.com Group plc Afren plc Domino's Pizza Group plc Londonmetric Property plc UNITE Group plc Dignity plc Laird plc Telecom Plus plc Cairn Energy plc SIG plc Vedanta Resources plc Morgan Advanced Materials plc UDG Healthcare plc Debenhams plc Savills plc Kier Group plc Diploma plc Dunelm Group plc Grainger plc Lonmin plc Genus plc Brewin Dolphin Holdings plc J D Wetherspoon plc Crest Nicholson Holdings plc Hansteen Holdings plc Alent plc Soco International plc Big Yellow Group plc Workspace Group plc Petra Diamonds Ltd. Spirit Pub Co. plc Cranswick plc Countrywide plc Premier Farnell plc Domino Printing Sciences plc Dechra Pharmaceuticals plc Northgate plc Enterprise Inns plc Evraz plc Cineworld Group plc F&C Commercial Property Trust Ltd. Bank of Georgia Holdings plc ST Modwen Properties plc Renishaw plc Entertainment One Ltd. Redrow plc Bwin.Party Digital Entertainment plc Greggs plc KAZ Minerals plc 91 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 1,343,606 1,532,905 1,197,906 339,284 437,875 868,769 1,734,979 6,757,423 335,971 643,454 986,040 1,392,964 166,783 4,470,540 1,257,216 3,277,293 489,784 952,234 1,517,426 5,563,302 3,819,732 2,069,465 1,041,920 1,426,827 1,375,571 1,541,902 1,492,693 2,578,761 723,066 1,606,316 3,067,550 2,578,703 600,523 612,295 1,203,405 763,386 406,805 969,660 3,211,432 495,079 1,134,606 2,858,339 3,009,997 1,767,717 816,990 1,626,356 201,062 231,791 31,744 876,473 1,128,419 4,441,053 457,890 7,565,600 18,065,501 563,954 914,331 1,107,038 669,159 902,314 640,816 862,905 396,935 17,233 6,104 5,978 5,910 5,873 5,853 5,795 5,652 5,541 5,481 5,384 5,295 5,233 5,194 4,971 4,908 4,877 4,862 4,797 4,615 4,612 4,593 4,569 4,553 4,353 4,258 4,205 4,031 4,013 3,988 3,773 3,729 3,527 3,488 3,437 3,399 3,321 3,223 3,196 3,186 3,120 3,011 2,905 2,866 2,808 2,773 2,759 2,674 2,560 2,537 2,451 2,404 2,348 2,038 1,999 1,987 1,948 1,875 1,756 1,666 1,510 1,352 1,165 509 383 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * * * * * * ^ * * ^ * * * * * * * *,^ * * Tullett Prebon plc esure Group plc Fenner plc Oxford Instruments plc Keller Group plc Dairy Crest Group plc Synthomer plc Centamin plc Al Noor Hospitals Group plc De La Rue plc N Brown Group plc RPS Group plc Ted Baker plc EnQuest plc Chemring Group plc Kcom Group plc Computacenter plc Poundland Group plc Xchanging plc Redefine International PLC Spirent Communications plc Colt Group SA Devro plc Imagination Technologies Group plc Pets at Home Group plc ITE Group plc Foxtons Group plc Shanks Group plc Chesnara plc Lamprell plc Darty plc UK Commercial Property Trust Ltd. APR Energy plc Helical Bar plc Connect Group plc Cape plc NMC Health plc African Barrick Gold plc Speedy Hire plc SDL plc AO World plc Picton Property Income Ltd. Schroder REIT Ltd. Stobart Group Ltd. Development Securities plc Salamander Energy plc SuperGroup plc Morgan Sindall Group plc Daejan Holdings plc Mothercare plc Just Retirement Group plc Premier Foods plc Xaar plc Aquarius Platinum Ltd. Kenmare Resources plc Infinis Energy plc 888 Holdings plc Hochschild Mining plc Gem Diamonds Ltd. Partnership Assurance Group plc Anglo Pacific Group plc Ferrexpo plc IGAS Energy plc CRH plc 92 Vanguard® Total International Stock Index Fund Schedule of Investments October 31, 2014 Shares Market Value ($000) 491,987 2,619 20 ___________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ Asia Resource Minerals plc Mucklow A & J Group plc 317 19,509,452 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ Total Common Stocks (Cost $121,655,133) 132,223,335 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ Coupon __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ Temporary Cash Investments (2.3%)1 Money Market Fund (2.3%) 5,6 Vanguard Market Liquidity Fund __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ 0.114% 3,077,639,759 Maturity Date 3,077,640 Face Amount ($000) __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ U.S. Government and Agency Obligations (0.0%) Federal Home Loan Bank Discount Notes 7,8,9 Federal Home Loan Bank Discount Notes 7,8,9 Federal Home Loan Bank Discount Notes 7,8,9 Federal Home Loan Bank Discount Notes 8,9,10 Freddie Mac Discount Notes 9,10 Freddie Mac Discount Notes 8,10 Freddie Mac Discount Notes 0.074% 0.074% 0.030-0.033% 0.070% 0.070% 0.100% 0.050% 7,8,9 11/28/14 12/3/14 12/19/14 3/27/15 12/8/14 12/29/14 1/14/15 5,000 18,000 6,000 15,500 4,500 1,000 4,000 5,000 17,999 5,999 15,497 4,500 1,000 3,999 ___________ 53,994 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ 1 Total Temporary Cash Investments (Cost $3,131,634) 3,131,634 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ Total Investments (101.8%) (Cost $124,786,767) 135,354,969 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ Other Assets and Liabilities—Net (-1.8%) 6 (2,413,978) __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ Net Assets (100%) 132,940,991 __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ __________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________ * ^ 1 2 3 4 5 6 7 8 9 10 Securities with a market value of less than $500 are displayed with a dash. Non-income-producing security. Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $2,381,553,000. The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect to futures investments, the fund's effective common stock and temporary cash investment positions represent 100.0% and 1.8%, respectively, of net assets. Security exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. At October 31, 2014, the aggregate value of these securities was $144,266,000, representing 0.1% of net assets. “Other” represents securities that are not classified by the fund’s benchmark index. Considered an affiliated company of the fund as the issuer is another member of The Vanguard Group. Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield. Includes $2,587,888,000 of collateral received for securities on loan. The issuer operates under a congressional charter; its securities are generally neither guaranteed by the U.S. Treasury nor backed by the full faith and credit of the U.S. government. Securities with a value of $34,166,000 have been segregated as initial margin for open futures contracts. Securities with a value of $14,470,000 have been segregated as collateral for open forward currency contracts. The issuer was placed under federal conservatorship in September 2008; since that time, its daily operations have been managed by the Federal Housing Finance Agency and it receives capital from the U.S. Treasury, as needed to maintain a positive net worth, in exchange for senior preferred stock. ADR—American Depositary Receipt. GDR—Global Depositary Receipt. REIT—Real Estate Investment Trust. 93 © 2014 The Vanguard Group, Inc. All rights reserved. Vanguard Marketing Corporation, Distributor. SNA1130 122014
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