バンガード・インデックス・ファンズ-バンガード・スモールキャップ・インデックス・ファンド 半期報告書(外国投資信託受益証券) 第62期(令和4年1月1日-令和4年12月31日)

提出書類 半期報告書(外国投資信託受益証券)-第62期(令和4年1月1日-令和4年12月31日)
提出日
提出者 バンガード・インデックス・ファンズ-バンガード・スモールキャップ・インデックス・ファンド
カテゴリ 半期報告書(外国投資信託受益証券)

                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
    【表紙】

    【提出書類】                半期報告書

    【提出先】                関東財務局長

    【提出日】                令和4年9月       30 日

    【計算期間】                第 62 期中(自 令和4年1月1日 至 令和4年6月                         30 日)

    【ファンド名】                バンガード・インデックス・ファンズ-バンガード・

                    スモールキャップ・インデックス・ファンド
                    ( VANGUARD     INDEX   FUNDS   - VANGUARD     SMALL-CAP      INDEX   FUND  )
    【発行者名】                バンガード・インデックス・ファンズ

                    ( VANGUARD     INDEX   FUNDS   )
    【代表者の役職氏名】                 会長兼最高経営責任者                モーティマー・J.バックリー

                    ( Mortimer     J.  Buckley,     Chairman     and  Chief   Executive      Officer    )
    【本店の所在の場所】                アメリカ合衆国        19355   ペンシルバニア州          マルバーン市

                    バンガード・ブルーヴァード               100
                    ( 100  Vanguard     Boulevard,      Malvern,     Pennsylvania       19355   U.S.A.   )
    【代理人の氏名又は名称】                弁護士  三浦 健

    【代理人の住所又は所在地】                東京都千代田区丸の内二丁目6番1号 丸の内パークビルディング

                    森・濱田松本法律事務所
    【事務連絡者氏名】                弁護士  三浦 健

                      同   大西 信治
    【連絡場所】                東京都千代田区丸の内二丁目6番1号 丸の内パークビルディング

                    森・濱田松本法律事務所
    【電話番号】                03 ( 6212  ) 8316

    【縦覧に供する場所】                該当事項なし

                                 1/72




                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
    1【ファンドの運用状況】

              Ⓡ                               Ⓡ
        バンガード       ・スモールキャップ・インデックス・ファンド                         ( VANGUARD      SMALL   - CAP  INDEX   FUND  )
       (以下「ファンド」という。)の運用状況は次のとおりである。
     (1)【投資状況】
        資産別および地域別の投資状況
    (全受益証券クラス)                                        ( 2022  年7月末日現在)
                                                    (注2)
                                     時価合計
                                               投資比率
        資産の種類                国名
                                    (米ドル)
                                                  (%)
                        米国           118,563,018,039                 97.00
         普通株式
                      ベルギー                 430,980             0.00
                 小計                 118,563,449,019                 97.00
          現金・預金およびその他の資産
                                    3,669,007,627                 3.00
              (負債控除後)
                 合計                 122,232,456,647                 100.00
              (純資産総額)                   (約  16,453,711      百万円)
       (注1)アドミラル受益証券の純資産総額は、                   47,458,188,482      米ドルである。
       (注2)投資比率とは、ファンドの純資産総額に対する当該資産の時価の比率をいう。以下同じ。
       (注3)    米ドルの円貨換算は、便宜上、             2022  年7月   29 日現在の株式会社三菱UFJ銀行の対顧客電信売買相場の仲値                          (1米ドル=
          134.61   円)による。以後、別段の記載がない限り同様とする。
       (注4)ファンド証券は米ドル建のため、以下の金額表示は別段の記載がない限り、米ドルをもって行う。
       (注5)    本書の中で金額および比率を表示する場合、四捨五入してある。したがって、合計の数字が一致しない場合がある。
          また、円貨への換算は、本書の中でそれに対応する数字につき所定の換算率で単純計算のうえ、必要な四捨五入してあ
          る。したがって、本書中の同一情報につき異なった円貨表示がなされている場合がある。
                                 2/72











                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
     (2)【運用実績】

       ①【純資産の推移】
         2022  年7月末日前1年以内における各月末の純資産の推移は次のとおりである。
    (アドミラル受益証券)
                           純資産総額               1口当りの純資産価格
                      百万米ドル          百万円         米ドル          円
        2021  年8月末日               55,543       7,476,643           108.49         14,604
            9月末日              53,629       7,219,000           104.84         14,113
            10 月末日             56,136       7,556,467           109.99         14,806
            11 月末日             53,599       7,214,961           105.23         14,165
            12 月末日             55,266       7,439,356           108.37         14,588
        2022  年1月末日               50,784       6,836,034           99.80        13,434
            2月末日              51,111       6,880,052           100.66         13,550
            3月末日              51,811       6,974,279           101.88         13,714
            4月末日              47,458       6,388,321           93.49        12,585
            5月末日              47,350       6,373,784           93.46        12,581
            6月末日              42,827       5,764,942           84.40        11,361
            7月末日              47,458       6,388,321           93.32        12,562
       ②【分配の推移】

         2021  年8月から      2022  年7月の各月の1口当り分配金の額は次のとおりである。
    (アドミラル受益証券)
                                       1口当り分配金
                                  米ドル               円
               2021  年8月                   -              -
                   9月                0.281             37.825
                   10 月                 -              -
                   11 月                 -              -
                   12 月               0.523             70.401
               2022  年1月                   -              -
                   2月                  -              -
                   3月                0.267             35.941
                   4月                  -              -
                   5月                  -              -
                   6月                0.282             37.960
                   7月                  -              -
                                 3/72




                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
       ③【収益率の推移】

        (アドミラル受益証券)
                  期間                 収益率(%)
          2021  年8月1日-       2022  年7月末日              - 11.01
        (注)収益率(%)=         100×  (a-b)/b
           a=  2022  年7月末日の1口当り純資産価格(当該期間の分配金の合計額を加えた額)
           b=  2021  年7月末日の1口当り純資産価格(分配落の額)
     (3)【その他】

       ①  トータル・リターン
         トータル・リターンは、過去の運用実績を表すものであって、将来の実績を保証するものではな
        い。受益証券価格、リターンは大きく変動することに留意しなければならない。投資者の保有する株
        式は、償還された時、取得時の価格より高くまたは低くなることがある。年次平均リターンは受益証
        券価格の変動、分配およびキャピタル・ゲインの再投資を含む。ただし、リターンには受益者がファ
        ンドの分配金またはファンドの受益証券の買戻しに関して支払う税金は反映されていない。
    (アドミラル受益証券)                                        ( 2022  年7月末日現在)
                                                     *
      過去1か月         過去1年         過去3年         過去5年         過去  10 年
                                                  設定来
       10.57   %     - 11.10   %      8.53  %      8.81  %      11.65   %      9.04  %
        * 設定日は、     2000  年 11 月 13 日である。
       ② 年次運用実績

    (アドミラル受益証券)
        年     キャピタル・リターン(%)               インカム・リターン(%)              トータル・リターン(%)
       2021             16.25               1.48              17.73
       2020             17.45               1.66              19.11
       2019             25.53               1.84              27.37
       ③ 月次運用実績

    (アドミラル受益証券)
           トータル・             トータル・             トータル・             トータル・
           リターン    (% )        リターン    (% )        リターン    (% )        リターン    (% )
     2019  年8月      - 4.01    2020  年5月       7.74    2021  年2月       6.13    2021  年 11 月    - 4.33
     2019  年9月       1.38    2020  年6月       2.54    2021  年3月       1.61    2021  年 12 月     3.48
     2019  年 10 月     1.61    2020  年7月       4.51    2021  年4月       4.04    2022  年1月      - 7.91
     2019  年 11 月     4.15    2020  年8月       4.07    2021  年5月       0.07    2022  年2月       0.86
     2019  年 12 月     2.19    2020  年9月      - 2.72    2021  年6月       1.43    2022  年3月       1.48
     2020  年1月      - 2.03    2020  年 10 月     2.01    2021  年7月      - 1.44    2022  年4月      - 8.24
     2020  年2月      - 8.67    2020  年 11 月     16.02     2021  年8月       1.97    2022  年5月      - 0.03
     2020  年3月      - 21.85     2020  年 12 月     7.39    2021  年9月      - 3.11    2022  年6月      - 9.39
     2020  年4月       14.64     2021  年1月       2.21    2021  年 10 月     4.91    2022  年7月       10.57
                                 4/72




                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
       ④  ポートフォリオの内容(              2022  年7月末日現在)

         (全受益証券クラス)
          ファンドアセットアロケーション
                短期準備金                 0.00  %
                 株式              100.00   %
     株式の特徴

     組入れ銘柄数                                          1,520
     メジアン・マーケット・キャピタリゼーション                                       55 億 米ドル
     PER  (株価収益率)                                        13.1  倍
     PBR  (株価純資産倍率)                                         2.2  倍
     ROE  (株主資本利益率)                                         9.6  %
     利益成長率                                          14.8  %
     米国以外の保有率                                           0 %
     回転率(年)(        2021  年 12 月末現在)                              17 %
     現金等比率                                           0 %
       ⑤ 歴史的変動率(米ドルベース実績値)(                       2022  年7月末日現在)

    ( アドミラル受益証券          )
     参考指数                         Rスクウェア                 ベータ
     スプライスト・スモールキャップ・
                                   1.00                1.00
     インデックス
     ダウ・ジョーンズ米国トータル・
                                   0.91                0.97
     ストック・マーケット・インデックス
        (注1)    Rスクウェアおよびベータは、ベンチマーク・インデックス(スプライスト・スモールキャップ・インデックス)およ
           び市場全体のインデックス(ダウ・ジョーンズ米国トータル・ストック・マーケット・インデックス)に相関するファ
           ンドのリターンを       36 か月間遡ることにより算出される。               スプライスト・スモールキャップ・インデックスは                     2003  年5月
           16 日までラッセル      2000  インデックスに、その後          2013  年1月   30 日まで   MSCI  US スモールキャップ       1750  インデックスに、そ
           の後は   CRSP  US スモールキャップ・インデックスに連動している。
        (注2)「Rスクウェア」とは、一般的にファンドの過去のリターンが市場からのリターンによってどの程度説明できるかの指
           標であり、ベンチマーク・インデックスまたは市場全体のインデックスによって計測される。ファンドのトータル・リ
           ターンがインデックスのリターンと正確に一致している場合、Rスクウェアは                                1.00  となる。ファンドのリターンがイン
           デックスのリターンと無関係である場合、Rスクウェアは0となる。
        (注3)「ベータ」とは、ベンチマーク・インデックスおよび市場全体のインデックスの変動に関連するファンドの過去の受益
           証券価格の変動の規模を計測する指標である。各インデックスはベータ                             1.00  を付与される。インデックスが             10 %上昇ま
           たは下降した場合、従前のインデックスと比較すると、ベータ                         1.20  であるファンドは、受益証券価格が               12 %上昇または
           下降したことになる。しかし、ファンドのベータはRスクウェアと関連して精査されなくてはならない。Rスクウェア
           が低下すると、ファンドとベンチマークの相関関係は弱まり、ベータの変動の指標としての信頼性はより低くなる。
                                 5/72






                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
    2【販売及び買戻しの実績】

       2022  年7月末日前1年間における販売および買戻しの実績ならびに                                2022  年7月末日現在の発行済口数は
     次のとおりである。
    (アドミラル受益証券)

                         本邦内に             本邦内に             本邦内に

                   販売口数            買戻し口数             発行済口数
                          おける             おける             おける
                   (千口)             (千口)             (千口)
                         販売口数            買戻し口数             発行済口数
     21 /8/1-      22 /7/
                    70,776         0    76,531       2,968     508,540       78,161
     31
                                 6/72
















                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
    3【ファンドの経理状況】

       ① ファンドの日本文の中間財務書類は、米国における諸法令及び一般に公正妥当と認められた会計原

        則に準拠して作成された原文の中間財務書類を翻訳したものである。これは、「中間財務諸表等の用
        語、様式及び作成方法に関する規則」第                    76 条第4項ただし書きの規定の適用によるものである。
       ② ファンドの原文の中間財務書類は、外国監査法人等(公認会計士法(昭和                                        23 年法律第     103  号)第1条

        の3第7項に規定する外国監査法人等をいう。)の監査を受けていない。
       ③ ファンドの原文の中間財務書類は米ドルで表示されている。日本文の中間財務書類には、主要な金

        額について円換算額が併記されている。日本円による金額は、                                2022  年7月   29 日現在における株式会社
        三菱UFJ銀行の対顧客電信売買相場の仲値(1米ドル=                              134.61   円)で換算されている。なお、百万
        円未満の金額は四捨五入されている。日本円に換算された金額は、四捨五入のため合計欄の数値が総
        数と一致しない場合がある。
                                 7/72















                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
     (1)【資産及び負債の状況】
    スモールキャップ・インデックス・ファンド

    財務書類(未監査)
    投資有価証券明細表

    2022  年6月   30 日現在
    当ファンドは、各計算期間の第1四半期および第3四半期に、証券取引委員会                                        (SEC)   に保有ポートフォ

    リオを網羅した表を様式             N-PORT   に係る報告書の付属書類として提出する。当ファンドの様式                               N-PORT   に
    係る報告書は、        SEC  のウェブサイト        (www.sec.gov)       で入手可能である。
                                                   市場価格     •

                                             株数     ( 千米ドル     )
    普通株式     (99.3   % )
    素材   (4.0  % )
        Steel   Dynamics     Inc.
                                          4,530,833          299,715
        Reliance     Steel   & Aluminum     Co.
                                          1,565,656          265,942
        Alcoa   Corp.
                                          4,661,493          212,471
    *
        Cleveland-Cliffs          Inc.
                                          11,937,082          183,473
        Royal   Gold   Inc.
                                          1,658,881          177,135
        Olin   Corp.
                                          3,645,872          168,731
    *
        RBC  Bearings     Inc.
                                           729,579        134,936
        Valvoline      Inc.
                                          4,504,243          129,857
        Ashland     Global    Holdings     Inc.
                                          1,240,432          127,826
        Huntsman     Corp.
                                          4,508,582          127,818
        Chemours     Co.
                                          3,929,000          125,807
        Hexcel    Corp.
                                          2,123,251          111,067
    *
        Univar    Solutions      Inc.
                                          4,275,800          106,339
        United    States    Steel   Corp.
                                          5,930,800          106,221
        Element     Solutions      Inc.
                                          5,946,582          105,849
        UFP  Industries      Inc.
                                          1,504,337          102,506
        Commercial      Metals    Co.
                                          3,068,418          101,565
        Balchem     Corp.
                                           730,263         94,744
    *
        Livent    Corp.
                                          4,087,792          92,752
        Avient    Corp.
                                          2,309,974          92,584
        Cabot   Corp.
                                          1,426,459          90,994
        Timken    Co.
                                          1,686,555          89,472
        Sensient     Technologies       Corp.
                                          1,062,436          85,590
    *,1
        MP  Materials      Corp.
                                          2,465,413          79,090
        Scotts    Miracle-Gro       Co.
                                           980,198         77,426
    *
        Arconic     Corp.
                                          2,672,310          74,958
        Mueller     Industries      Inc.
                                          1,366,971          72,846
    *
        Ingevity     Corp.
                                           977,557         61,723
        Innospec     Inc.
                                           627,142         60,074
        Boise   Cascade     Co.
                                           997,751         59,356
        NewMarket      Corp.
                                           193,939         58,368
        Stepan    Co.
                                           535,783         54,302
        Hecla   Mining    Co.
                                          13,622,109           53,399
        Minerals     Technologies       Inc.
                                           831,167         50,984
        Quaker    Chemical     Corp.
                                           338,754         50,650
        Tronox    Holdings     plc  Class   A
                                          2,950,532          49,569
    *
        GCP  Applied     Technologies       Inc.
                                          1,403,386          43,898
        Westlake     Corp.
                                           405,821         39,779
                                 8/72



                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
                                                   市場価格     •
                                             株数     ( 千米ドル     )
        Materion     Corp.
                                           516,427         38,076
        GrafTech     International        Ltd.
                                          4,924,095          34,813
        Carpenter      Technology      Corp.
                                          1,219,247          34,029
        Worthington       Industries      Inc.
                                           760,913         33,556
        Kaiser    Aluminum     Corp.
                                           400,813         31,700
        Compass     Minerals     International        Inc.
                                           860,760         30,462
        Schnitzer      Steel   Industries      Inc.   Class   A
                                           620,609         20,381
        Schweitzer-Mauduit           International        Inc.
                                           788,126         19,798
    *
        Coeur   Mining    Inc.
                                          6,396,800          19,446
        Ecovyst     Inc.
                                          1,592,859          15,690
        Koppers     Holdings     Inc.
                                           511,478         11,580
    *,1
        Amyris    Inc.
                                          5,282,904           9,773
    *
        Century     Aluminum     Co.
                                          1,271,065           9,368
        Glatfelter      Corp.
                                           557,922          3,838
    *
        Hycroft     Mining    Holding     Corp.   Warrants     Exp.   10/22/22                       -
                                              19
                                                   4,332,326
    消費財    (14.0   % )
    *
        Liberty     Media   Corp.-Liberty        Formula     One  Class    C 
                                          4,894,705          310,667
        Service     Corp.   International
                                          3,810,915          263,410
    *
        BJ's   Wholesale      Club   Holdings     Inc.
                                          3,409,102          212,455
        Lithia    Motors    Inc.   Class   A
                                           731,278        200,962
        Aramark                                   6,501,821          199,151
    *
        Mattel    Inc.
                                          8,908,239          198,921
        Williams-Sonoma         Inc.
                                          1,769,874          196,367
        Tapestry     Inc.
                                          6,364,117          194,233
        Newell    Brands    Inc.
                                          9,403,677          179,046
    *
        Deckers     Outdoor     Corp.
                                           688,403        175,784
        Pool   Corp.
                                           481,186        169,007
        Gentex    Corp.
                                          5,925,528          165,737
        Churchill      Downs   Inc.
                                           864,732        165,622
    *
        Floor   & Decor   Holdings     Inc.   Class   A
                                          2,541,170          159,992
    *
        Five   Below   Inc.
                                          1,402,776          159,117
        Nexstar     Media   Group   Inc.   Class   A
                                           969,961        157,987
    *
        Capri   Holdings     Ltd.
                                          3,730,612          152,992
        Wyndham     Hotels    & Resorts     Inc.
                                          2,327,638          152,972
        Nielsen     Holdings     plc
                                          6,363,817          147,768
    *
        Planet    Fitness     Inc.   Class   A
                                          2,146,402          145,977
        H&R  Block   Inc.
                                          4,033,179          142,452
        Polaris     Inc.
                                          1,428,200          141,792
        Interpublic       Group   of  Cos.   Inc.
                                          4,974,295          136,942
    *
        SiteOne     Landscape      Supply    Inc.
                                          1,135,162          134,937
        Macy's    Inc.
                                          7,198,958          131,885
    *
        AutoNation      Inc.
                                          1,179,243          131,792
        Murphy    USA  Inc.
                                           550,706        128,243
    *
        Penn   National     Gaming    Inc.
                                          4,215,078          128,223
    *
        Alaska    Air  Group   Inc.
                                          3,184,601          127,543
    *
        Bright    Horizons     Family    Solutions      Inc.
                                          1,500,905          126,856
        Texas   Roadhouse      Inc.   Class   A
                                          1,722,713          126,103
        Toll   Brothers     Inc.
                                          2,814,571          125,530
    *
        Terminix     Global    Holdings     Inc.
                                          3,069,596          124,779
    *
        Skechers     USA  Inc.   Class   A
                                          3,408,480          121,274
                                 9/72



                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
                                                   市場価格     •
                                             株数     ( 千米ドル     )
        TEGNA   Inc.
                                          5,631,993          118,103
    *,1
        Norwegian      Cruise    Line   Holdings     Ltd.
                                          10,587,339          117,731
        Leggett     & Platt   Inc.
                                          3,374,477          116,689
        Kohl's    Corp.
                                          3,249,349          115,969
    *
        Light   & Wonder    Inc.
                                          2,417,023          113,576
        Vail   Resorts     Inc.
                                           512,500        111,751
        New  York   Times   Co.  Class   A
                                          4,001,129          111,631
    *
        IAA  Inc.
                                          3,385,945          110,957
        Choice    Hotels    International        Inc.
                                           986,760        110,152
    *,1
        DraftKings      Inc.   Class   A
                                          9,393,933          109,627
        Marriott     Vacations      Worldwide      Corp.
                                           942,311        109,497
    *
        Avis   Budget    Group   Inc.
                                           732,166        107,687
        AMERCO                                    222,960        106,626
        Harley-Davidson         Inc.
                                          3,353,618          106,176
    *
        RH                                    498,561        105,825
    *
        American     Airlines     Group   Inc.
                                          8,205,017          104,040
    1
        Dick's    Sporting     Goods   Inc.
                                          1,366,868          103,021
    *,1
        GameStop     Corp.   Class   A
                                           819,831        100,265
        Thor   Industries      Inc.
                                          1,320,201          98,659
    *
        Helen   of  Troy   Ltd.
                                           602,325         97,824
        PVH  Corp.
                                          1,706,880          97,121
        Boyd   Gaming    Corp.
                                          1,937,722          96,402
        Lear   Corp.
                                           755,480         95,107
    *
        Asbury    Automotive      Group   Inc.
                                           559,341         94,719
        Ralph   Lauren    Corp.
                                          1,028,297          92,187
    *
        Hyatt   Hotels    Corp.   Class   A
                                          1,230,309          90,932
        Hanesbrands       Inc.
                                          8,818,148          90,739
    *,1
        Hertz   Global    Holdings     Inc.
                                          5,727,802          90,728
        Tempur    Sealy   International        Inc.
                                          4,214,324          90,060
    *
        YETI   Holdings     Inc.
                                          2,068,054          89,485
    *,1
        AMC  Entertainment        Holdings     Inc.   Class   A
                                          6,529,534          88,475
    *
        Fox  Factory     Holding     Corp.
                                          1,064,844          85,763
        Wendy's     Co.
                                          4,332,701          81,801
    *
        Hilton    Grand   Vacations      Inc.
                                          2,278,787          81,421
        Travel    + Leisure     Co.
                                          2,050,460          79,599
        Academy     Sports    & Outdoors     Inc.
                                          2,181,288          77,523
        Bath   & Body   Works   Inc.
                                          2,864,042          77,100
    *
        Grand   Canyon    Education      Inc.
                                           816,866         76,941
    *
        Goodyear     Tire   & Rubber    Co.
                                          7,139,614          76,465
    *
        Coty   Inc.   Class   A
                                          9,543,200          76,441
    *
        Wynn   Resorts     Ltd.
                                          1,318,836          75,147
    *
        Dorman    Products     Inc.
                                           675,246         74,081
    *
        Visteon     Corp.
                                           710,541         73,598
    *
        Crocs   Inc.
                                          1,478,492          71,958
    *
        Callaway     Golf   Co.
                                          3,500,074          71,401
    *
        Ollie's     Bargain     Outlet    Holdings     Inc.
                                          1,206,447          70,879
        Penske    Automotive      Group   Inc.
                                           671,132         70,261
        LCI  Industries
                                           610,053         68,253
        World   Wrestling      Entertainment        Inc.   Class   A
                                          1,091,554          68,211
        Carter's     Inc.
                                           966,481         68,118
        Papa   John's    International        Inc.
                                           814,397         68,018
                                10/72


                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
                                                   市場価格     •
                                             株数     ( 千米ドル     )
    *
        JetBlue     Airways     Corp.
                                          8,106,658          67,853
    *
        Peloton     Interactive       Inc.   Class   A
                                          7,378,935          67,739
        Group   1 Automotive      Inc.
                                           398,837         67,722
    *
        Meritage     Homes   Corp.
                                           927,716         67,259
    *
        Taylor    Morrison     Home   Corp.   Class   A
                                          2,873,105          67,116
    *,1
        Spirit    Airlines     Inc.
                                          2,746,116          65,467
    *
        Skyline     Champion     Corp.
                                          1,365,107          64,733
        Columbia     Sportswear      Co.
                                           874,490         62,596
        Foot   Locker    Inc.
                                          2,426,131          61,260
        Signet    Jewelers     Ltd.
                                          1,138,846          60,883
        KB  Home
                                          2,130,303          60,628
    *
        Madison     Square    Garden    Sports    Corp.
                                           397,395         60,007
        Nordstrom      Inc.
                                          2,813,834          59,456
        Rush   Enterprises       Inc.   Class   A
                                          1,217,546          58,686
    *
        Victoria's      Secret    & Co.
                                          2,094,906          58,594
        Steven    Madden    Ltd.
                                          1,814,716          58,452
    *
        Sonos   Inc.
                                          3,234,294          58,347
    *
        Chegg   Inc.
                                          3,017,608          56,671
    *
        National     Vision    Holdings     Inc.
                                          2,059,492          56,636
        Wingstop     Inc.
                                           755,479         56,487
        Gap  Inc.
                                          6,531,511          53,820
        Graham    Holdings     Co.  Class   B
                                            94,021        53,295
    *
        Leslie's     Inc.
                                          3,460,309          52,527
    *
        Gentherm     Inc.
                                           836,162         52,185
        John   Wiley   & Sons   Inc.   Class   A
                                          1,058,524          50,555
        MillerKnoll       Inc.
                                          1,911,139          50,206
    *
        Frontdoor      Inc.
                                          2,080,416          50,096
        Cracker     Barrel    Old  Country     Store   Inc.
                                           585,667         48,897
    *
        SeaWorld     Entertainment        Inc.
                                          1,103,173          48,738
    *
        Lyft   Inc.   Class   A
                                          3,639,152          48,328
    *
        Sabre   Corp.
                                          8,233,254          48,000
        Kontoor     Brands    Inc.
                                          1,413,340          47,163
        MDC  Holdings     Inc.
                                          1,434,658          46,354
        Dana   Inc.
                                          3,253,643          45,779
    *,1
        Duolingo     Inc.   Class   A
                                           521,477         45,655
    *
        TripAdvisor       Inc.
                                          2,560,336          45,574
    *
        KAR  Auction     Services     Inc.
                                          3,072,077          45,375
        PriceSmart      Inc.
                                           623,196         44,640
    *
        Tri  Pointe    Homes   Inc.
                                          2,617,767          44,162
        Red  Rock   Resorts     Inc.   Class   A
                                          1,322,309          44,112
    *
        LGI  Homes   Inc.
                                           507,239         44,079
    *,1
        QuantumScape       Corp.   Class   A
                                          5,126,212          44,034
    *
        Allegiant      Travel    Co.
                                           388,423         43,927
    1
        American     Eagle   Outfitters      Inc.
                                          3,855,346          43,103
    *
        Six  Flags   Entertainment        Corp.
                                          1,963,434          42,606
    *
        Under   Armour    Inc.   Class    C 
                                          5,594,314          42,405
    *
        Stride    Inc.
                                          1,027,404          41,908
    *
        Wayfair     Inc.   Class   A
                                           953,798         41,547
    *
        Cinemark     Holdings     Inc.
                                          2,734,741          41,076
        Wolverine      World   Wide   Inc.
                                          2,036,889          41,064
    *
        Central     Garden    & Pet  Co.  Class   A
                                          1,023,698          40,958
    *
        Knowles     Corp.
                                          2,318,212          40,175
                                11/72


                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
        Strategic      Education      Inc.
                                           569,030         40,162
                                12/72




















                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
                                                   市場価格     •
                                             株数     ( 千米ドル     )
    *
        Adtalem     Global    Education      Inc.
                                          1,081,461          38,900
    *
        Under   Armour    Inc.   Class   A
                                          4,628,673          38,557
    *
        elf  Beauty    Inc.
                                          1,250,977          38,380
        Laureate     Education      Inc.   Class   A
                                          3,262,504          37,747
        Bloomin'     Brands    Inc.
                                          2,237,217          37,183
    *
        Shake   Shack   Inc.   Class   A
                                           940,730         37,140
    *
        Madison     Square    Garden    Entertainment        Corp.
                                           689,802         36,297
    *
        Tenneco     Inc.   Class   A
                                          2,104,056          36,106
    *
        Liberty     Media   Corp.-Liberty        Formula     One  Class   A
                                           621,716         36,041
    *
        Coursera     Inc.
                                          2,540,687          36,027
        Levi   Strauss     & Co.  Class   A
                                          2,199,158          35,890
        HNI  Corp.
                                          1,015,259          35,219
    *
        Driven    Brands    Holdings     Inc.
                                          1,267,136          34,897
        Oxford    Industries      Inc.
                                           392,480         34,829
        Monro   Inc.
                                           805,929         34,558
        Acushnet     Holdings     Corp.
                                           820,461         34,197
    *,1
        Fisker    Inc.   Class   A
                                          3,956,305          33,906
        Cheesecake      Factory     Inc.
                                          1,268,388          33,511
        Inter   Parfums     Inc.
                                           446,787         32,642
    *
        Dave   & Buster's     Entertainment        Inc.
                                           983,391         32,236
    *
        Sally   Beauty    Holdings     Inc.
                                          2,699,078          32,173
    *
        ODP  Corp.
                                          1,057,199          31,970
    *,1
        Luminar     Technologies       Inc.   Class   A
                                          5,097,635          30,229
        Jack   in  the  Box  Inc.
                                           531,004         29,768
    *,1
        Petco   Health    & Wellness     Co.  Inc.   Class   A
                                          2,013,672          29,682
    *
        Figs   Inc.   Class   A
                                          3,200,928          29,160
    *
        Carvana     Co.
                                          1,267,131          28,612
        Sturm   Ruger   & Co.  Inc.
                                           445,969         28,386
    *,1
        Overstock.com        Inc.
                                          1,089,015          27,236
    *
        SkyWest     Inc.
                                          1,269,823          26,984
    *,1
        Dutch   Bros   Inc.   Class   A
                                           848,257         26,847
    *
        Revolve     Group   Inc.   Class   A
                                          1,032,713          26,758
    *
        Urban   Outfitters      Inc.
                                          1,430,040          26,685
        Dine   Brands    Global    Inc.
                                           401,288         26,116
    *
        Boot   Barn   Holdings     Inc.
                                           376,587         25,951
        La-Z-Boy     Inc.
                                          1,087,560          25,786
    *
        Lions   Gate   Entertainment        Corp.   Class   B
                                          2,919,930          25,783
    *,1
        Sweetgreen      Inc.   Class   A
                                          2,181,024          25,409
    *
        iRobot    Corp.
                                           686,472         25,228
        Rent-A-Center        Inc.
                                          1,268,386          24,670
        Qurate    Retail    Inc.   Class   A
                                          8,501,567          24,399
    *
        Brinker     International        Inc.
                                          1,105,888          24,363
    *
        PowerSchool       Holdings     Inc.   Class   A
                                          1,999,361          24,092
    1
        Dillard's      Inc.   Class   A
                                           108,067         23,836
    1
        Krispy    Kreme   Inc.
                                          1,688,408          22,962
    *
        PROG   Holdings     Inc.
                                          1,363,784          22,502
    *
        iHeartMedia       Inc.   Class   A
                                          2,771,192          21,865
        Sinclair     Broadcast      Group   Inc.   Class   A
                                          1,066,047          21,747
    *
        Cavco   Industries      Inc.
                                           110,832         21,722
    *
        Abercrombie       & Fitch   Co.  Class   A
                                          1,272,442          21,530
        Matthews     International        Corp.   Class   A
                                           747,900         21,442
        Buckle    Inc.
                                           762,574         21,116
                                13/72

                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
                                14/72





















                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
                                                   市場価格     •
                                             株数     ( 千米ドル     )
    *
        G-III   Apparel     Group   Ltd.
                                          1,033,581          20,909
    *
        Mister    Car  Wash   Inc.
                                          1,919,707          20,886
    *
        American     Axle   & Manufacturing        Holdings     Inc.
                                          2,756,620          20,757
    *,1
        ContextLogic       Inc.   Class   A
                                          12,854,535           20,567
    1
        Camping     World   Holdings     Inc.   Class   A
                                           946,902         20,444
        Steelcase      Inc.   Class   A
                                          1,866,158          20,024
    *
        AMC  Networks     Inc.   Class   A
                                           676,426         19,697
    *
        2U  Inc.
                                          1,857,113          19,444
    *
        EW  Scripps     Co.  Class   A
                                          1,542,670          19,237
        Designer     Brands    Inc.   Class   A
                                          1,467,426          19,165
        Interface      Inc.   Class   A
                                          1,516,743          19,020
    *
        Vista   Outdoor     Inc.
                                           676,667         18,879
    *
        ACV  Auctions     Inc.   Class   A
                                          2,840,695          18,578
    *
        Hawaiian     Holdings     Inc.
                                          1,248,435          17,865
        Sonic   Automotive      Inc.   Class   A
                                           486,177         17,809
    *
        GoPro   Inc.   Class   A
                                          3,146,299          17,399
    *
        Cardlytics      Inc.
                                           777,766         17,352
    *
        Sleep   Number    Corp.
                                           532,386         16,477
    *
        Cars.com     Inc.
                                          1,674,182          15,788
    *
        Life   Time   Group   Holdings     Inc.
                                          1,218,972          15,700
    *
        Sun  Country     Airlines     Holdings     Inc.
                                           810,694         14,868
        Scholastic      Corp.
                                           411,774         14,811
    *
        Udemy   Inc.
                                          1,407,984          14,375
    1
        Big  Lots   Inc.
                                           685,091         14,366
    1
        Guess?    Inc.
                                           829,486         14,143
    *
        Lions   Gate   Entertainment        Corp.   Class   A
                                          1,413,487          13,160
    *,1
        Corsair     Gaming    Inc.
                                           970,907         12,748
    *
        BJ's   Restaurants       Inc.
                                           568,918         12,334
        Caleres     Inc.
                                           457,579         12,007
        Aaron's     Co.  Inc.
                                           733,509         10,673
    *
        Zumiez    Inc.
                                           391,455         10,178
    *
        Central     Garden    & Pet  Co.
                                           228,929          9,711
    *
        Clear   Channel     Outdoor     Holdings     Inc.
                                          9,072,886           9,708
    *,1
        Allbirds     Inc.   Class   A
                                          2,361,265           9,280
    *
        Stitch    Fix  Inc.   Class   A
                                          1,877,596           9,275
    *
        WW  International        Inc.
                                          1,342,073           8,576
    *
        Sciplay     Corp.   Class   A
                                           594,235          8,301
    *,1
        Portillo's      Inc.   Class   A
                                           504,517          8,249
    *
        Genesco     Inc.
                                           163,010          8,136
    *,1
        Bed  Bath   & Beyond    Inc.
                                          1,611,590           8,010
    *,1
        Vizio   Holding     Corp.   Class   A
                                          1,165,088           7,946
    *,1
        Frontier     Group   Holdings     Inc.
                                           827,695          7,755
        Global    Industrial      Co.
                                           229,463          7,749
    *
        Integral     Ad  Science     Holding     Corp.
                                           780,125          7,747
        Smith   & Wesson    Brands    Inc.
                                           577,539          7,583
    *
        Latham    Group   Inc.
                                          1,071,189           7,423
    *
        Angi   Inc.   Class   A
                                          1,601,876           7,337
    *,1
        Canoo   Inc.
                                          3,948,034           7,304
    *,1
        Poshmark     Inc.   Class   A
                                           677,110          6,846
    *
        Children's      Place   Inc.
                                           160,953          6,264
                                15/72


                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
    *
        Rush   Street    Interactive       Inc.
                                          1,298,976           6,066
    *,1
        Dream   Finders     Homes   Inc.   Class   A
                                           499,013          5,309
    *
        Selectquote       Inc.
                                          1,593,304           3,951
                                16/72



















                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
                                                   市場価格     •
                                             株数     ( 千米ドル     )
    1
        Weber   Inc.   Class   A
                                           535,811          3,863
    *,1
        Cricut    Inc.   Class   A
                                           606,815          3,726
    *
        Quotient     Technology      Inc.
                                          1,082,439           3,215
    *,1
        Traeger     Inc.
                                           742,910          3,157
    *,1
        Bowlero     Corp.
                                           268,724          2,846
    *
        RealReal     Inc.
                                          1,016,330           2,531
    *
        Arhaus    Inc.   Class   A
                                           534,161          2,404
        Rush   Enterprises       Inc.   Class   B
                                            48,187         2,391
    *,1
        Solo   Brands    Inc.   Class   A
                                           493,496          2,004
    *,1
        ThredUp     Inc.   Class   A
                                           703,515          1,759
    *
        Brilliant      Earth   Group   Inc.   Class   A                           1,131
                                           238,057
                                                  15,226,840
    生活必需品      (3.4  % )
        Bunge   Ltd.
                                          3,834,578          347,758
    *
        Darling     Ingredients       Inc.
                                          4,081,382          244,067
    *
        Performance       Food   Group   Co.
                                          3,916,561          180,083
    *
        US  Foods   Holding     Corp.
                                          5,656,716          173,548
        Casey's     General     Stores    Inc.
                                           937,677        173,451
        Ingredion      Inc.
                                          1,589,251          140,108
        Lamb   Weston    Holdings     Inc.
                                          1,824,860          130,404
        Molson    Coors   Beverage     Co.  Class   B
                                          2,280,621          124,317
        Flowers     Foods   Inc.
                                          4,554,256          119,868
        Sanderson      Farms   Inc.
                                           536,453        115,622
    *
        Post   Holdings     Inc.
                                          1,381,388          113,757
    *
        Grocery     Outlet    Holding     Corp.
                                          2,191,270          93,414
        Spectrum     Brands    Holdings     Inc.
                                          1,029,289          84,422
    *
        Simply    Good   Foods   Co.
                                          2,155,661          81,419
    *
        Hostess     Brands    Inc.   Class   A
                                          3,490,590          74,035
    *
        BellRing     Brands    Inc.
                                          2,930,111          72,930
    *
        Boston    Beer   Co.  Inc.   Class   A
                                           232,304         70,381
    *
        Sprouts     Farmers     Market    Inc.
                                          2,765,668          70,027
        WD-40   Co.
                                           344,851         69,439
    *
        Celsius     Holdings     Inc.
                                          1,048,071          68,397
        Coca-Cola      Consolidated       Inc.
                                           116,409         65,643
        Lancaster      Colony    Corp.
                                           485,886         62,572
    *
        Freshpet     Inc.
                                          1,145,945          59,463
    *
        TreeHouse      Foods   Inc.
                                          1,415,268          59,187
    *
        United    Natural     Foods   Inc.
                                          1,472,608          58,021
        Medifast     Inc.
                                           291,128         52,552
        Nu  Skin   Enterprises       Inc.   Class   A
                                          1,203,400          52,107
    *
        Hain   Celestial      Group   Inc.
                                          2,152,271          51,095
        Energizer      Holdings     Inc.
                                          1,799,220          51,008
    *
        Herbalife      Nutrition      Ltd.
                                          2,461,115          50,330
        Cal-Maine      Foods   Inc.
                                          1,003,628          49,589
        Edgewell     Personal     Care   Co.
                                          1,331,702          45,970
    1
        B&G  Foods   Inc.
                                          1,739,304          41,361
        J & J Snack   Foods   Corp.
                                           292,387         40,835
    *
        Pilgrim's      Pride   Corp.
                                          1,212,234          37,858
        Reynolds     Consumer     Products     Inc.
                                          1,321,206          36,029
        Universal      Corp.
                                           586,864         35,505
        Vector    Group   Ltd.
                                          3,347,542          35,149
    *,1
        Beyond    Meat   Inc.
                                          1,446,808          34,637
                                17/72


                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
    *
        Beauty    Health    Co.
                                          2,473,783          31,813
                                18/72




















                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
                                                   市場価格     •
                                             株数     ( 千米ドル     )
        Weis   Markets     Inc.
                                           409,507         30,525
        National     Beverage     Corp.
                                           590,911         28,919
        Fresh   Del  Monte   Produce     Inc.
                                           968,297         28,594
        Andersons      Inc.
                                           771,410         25,449
        Utz  Brands    Inc.
                                          1,734,716          23,974
        Seaboard     Corp.
                                             5,861        22,756
    *
        USANA   Health    Sciences     Inc.
                                           290,810         21,043
    *
        Duckhorn     Portfolio      Inc.
                                           879,233         18,517
        ACCO   Brands    Corp.
                                          2,343,481          15,303
        Tootsie     Roll   Industries      Inc.
                                           367,137         12,978
    *
        Sovos   Brands    Inc.
                                           646,105         10,254
    *,1
        Rite   Aid  Corp.
                                           664,397          4,478
    *
        Honest    Co.  Inc.
                                           630,658          1,842
    *
        Vital   Farms   Inc.
                                           202,288          1,770
    *,1
        BRC  Inc.   Class   A                                     1,365
                                           167,223
                                                   3,745,938
    エネルギー      (5.4  % )
        Targa   Resources      Corp.
                                          5,762,446          343,845
        APA  Corp.
                                          8,549,236          298,368
        EQT  Corp.
                                          8,404,415          289,112
        Ovintiv     Inc.
                                          6,523,669          288,281
        Chesapeake      Energy    Corp.
                                          3,215,995          260,817
        Texas   Pacific     Land   Corp.
                                           156,485        232,853
    *
        Antero    Resources      Corp.
                                          7,075,422          216,862
        Marathon     Oil  Corp.
                                          8,946,549          201,118
    *
        Southwestern       Energy    Co.
                                          28,204,419          176,278
        NOV  Inc.
                                          9,924,303          167,820
        HF  Sinclair     Corp.
                                          3,666,891          165,597
    *
        First   Solar   Inc.
                                          2,424,019          165,148
    *
        Range   Resources      Corp.
                                          6,476,992          160,306
        PDC  Energy    Inc.
                                          2,508,879          154,572
        Matador     Resources      Co.
                                          2,836,279          132,142
        DT  Midstream      Inc.
                                          2,444,221          119,816
        Murphy    Oil  Corp.
                                          3,729,935          112,607
        SM  Energy    Co.
                                          3,079,653          105,293
        Helmerich      & Payne   Inc.
                                          2,392,078          103,003
        ChampionX      Corp.
                                          5,140,984          102,049
        Magnolia     Oil  & Gas  Corp.   Class   A
                                          4,353,589          91,382
    *,1
        ChargePoint       Holdings     Inc.
                                          6,368,380          87,183
        Patterson-UTI        Energy    Inc.
                                          5,461,123          86,067
        California      Resources      Corp.
                                          1,963,078          75,578
    *
        PBF  Energy    Inc.   Class   A
                                          2,591,798          75,214
    *
        Denbury     Inc.
                                          1,207,383          72,431
        Antero    Midstream      Corp.
                                          7,861,940          71,151
        Civitas     Resources      Inc.
                                          1,288,925          67,398
        Whiting     Petroleum      Corp.
                                           990,179         67,362
        Equitrans      Midstream      Corp.
                                          10,372,671           65,970
    *
        CNX  Resources      Corp.
                                          3,939,035          64,837
    *
        Peabody     Energy    Corp.
                                          2,909,404          62,058
        Cactus    Inc.   Class   A
                                          1,450,256          58,402
                                19/72



                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
                                                   市場価格     •
                                             株数     ( 千米ドル     )
        Arcosa    Inc.
                                          1,220,415          56,664
    1
        Arch   Resources      Inc.
                                           390,961         55,943
        Chord   Energy    Corp.
                                           443,336         53,932
        New  Fortress     Energy    Inc.   Class   A
                                          1,309,149          51,803
    *
        NexTier     Oilfield     Solutions      Inc.
                                          5,235,485          49,789
    *
        Transocean      Ltd.
                                          14,654,227           48,799
    *
        Delek   US  Holdings     Inc.
                                          1,785,424          46,135
    *
        Liberty     Energy    Inc.   Class   A
                                          3,537,877          45,143
        Enviva    Inc.
                                           755,383         43,223
    *
        Callon    Petroleum      Co.
                                          1,089,688          42,716
        Warrior     Met  Coal   Inc.
                                          1,306,376          39,988
    *
        Array   Technologies       Inc.
                                          3,601,810          39,656
    *
        Ameresco     Inc.   Class   A
                                           767,738         34,978
    *,1
        SunPower     Corp.
                                          2,194,103          34,689
    *,1
        FuelCell     Energy    Inc.
                                          8,809,999          33,037
        World   Fuel   Services     Corp.
                                          1,510,405          30,903
        Archrock     Inc.
                                          3,715,296          30,725
    *
        NOW  Inc.
                                          2,790,924          27,295
    *
        Oceaneering       International        Inc.
                                          2,527,560          26,994
    *
        Stem   Inc.
                                          3,702,519          26,510
        Alpha   Metallurgical        Resources      Inc.
                                           201,013         25,957
    *
        Shoals    Technologies       Group   Inc.   Class   A
                                          1,559,668          25,703
        CVR  Energy    Inc.
                                           763,525         25,578
        Core   Laboratories       NV
                                          1,167,942          23,137
    *
        ProPetro     Holding     Corp.
                                          2,253,539          22,535
    *
        Dril-Quip      Inc.
                                           868,316         22,403
    *
        MRC  Global    Inc.
                                          2,012,476          20,044
    *
        Tellurian      Inc.
                                          6,452,625          19,229
    *
        RPC  Inc.
                                          1,935,917          13,377
    *
        Comstock     Resources      Inc.
                                          1,028,894          12,429
    *,1
        EVgo   Inc.
                                          1,754,242          10,543
    *,1
        Fluence     Energy    Inc.   Class   A
                                           904,309          8,573
    *,1
        ProFrac     Holding     Corp.   Class   A
                                           398,460          7,296
    *
        Helix   Energy    Solutions      Group   Inc.
                                          1,868,038           5,791
        Kinetik     Holdings     Inc.   Class   A
                                           167,823          5,729
    1
        Crescent     Energy    Co.  Class   A
                                           395,434          4,935
    *
        Denbury     Inc.   Warrants     Exp.   9/18/23                                -
                                               2
                                                   5,813,101
    金融   (15.2   % )
        LPL  Financial      Holdings     Inc.
                                          1,919,875          354,179
        Brown   & Brown   Inc.
                                          5,707,346          332,967
        First   Horizon     Corp.
                                          13,521,042          295,570
        American     Financial      Group   Inc.
                                          1,828,127          253,762
        Comerica     Inc.
                                          3,305,586          242,564
        Assurant     Inc.
                                          1,367,127          236,308
        Signature      Bank
                                          1,298,861          232,769
        East   West   Bancorp     Inc.
                                          3,586,925          232,433
        Carlyle     Group   Inc.
                                          6,399,315          202,602
        Reinsurance       Group   of  America     Inc.
                                          1,692,641          198,530
        First   Citizens     BancShares      Inc.   Class   A
                                           303,249        198,258
        Zions   Bancorp     NA
                                          3,826,230          194,755
        Webster     Financial      Corp.
                                          4,501,439          189,736
                                20/72


                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
                                                   市場価格     •
                                             株数     ( 千米ドル     )
        Invesco     Ltd.
                                          11,501,778          185,524
        Western     Alliance     Bancorp
                                          2,599,964          183,557
        Commerce     Bancshares      Inc.
                                          2,746,713          180,322
        RenaissanceRe        Holdings     Ltd.
                                          1,116,581          174,600
        Cullen/Frost       Bankers     Inc.
                                          1,458,155          169,802
        SEI  Investments       Co.
                                          3,125,062          168,816
        Old  Republic     International        Corp.
                                          7,013,753          156,828
        Morningstar       Inc.
                                           647,884        156,678
        Starwood     Property     Trust   Inc.
                                          7,365,096          153,857
        Voya   Financial      Inc.
                                          2,583,404          153,790
        Prosperity      Bancshares      Inc.
                                          2,214,403          151,177
        SouthState      Corp.
                                          1,907,681          147,178
        Unum   Group
                                          4,319,612          146,953
        AGNC   Investment      Corp.
                                          13,219,664          146,342
        Stifel    Financial      Corp.
                                          2,558,931          143,351
        First   American     Financial      Corp.
                                          2,578,609          136,460
        Popular     Inc.
                                          1,766,073          135,864
    *
        Alleghany      Corp.
                                           161,584        134,616
        First   Financial      Bankshares      Inc.
                                          3,425,669          134,526
        Glacier     Bancorp     Inc.
                                          2,798,058          132,684
        Pinnacle     Financial      Partners     Inc.
                                          1,834,195          132,631
        Selective      Insurance      Group   Inc.
                                          1,524,662          132,554
        RLI  Corp.
                                          1,087,428          126,783
        Kinsale     Capital     Group   Inc.
                                           549,868        126,272
        Synovus     Financial      Corp.
                                          3,490,438          125,830
    *,1
        Robinhood      Markets     Inc.   Class   A
                                          15,036,231          123,598
        Erie   Indemnity      Co.  Class   A
                                           642,051        123,396
        Wintrust     Financial      Corp.
                                          1,523,586          122,115
        United    Bankshares      Inc.
                                          3,419,132          119,909
        Hanover     Insurance      Group   Inc.
                                           809,267        118,355
        Primerica      Inc.
                                           983,319        117,693
        Jefferies      Financial      Group   Inc.
                                          4,237,136          117,030
        Cadence     Bank
                                          4,866,086          114,256
        Affiliated      Managers     Group   Inc.
                                           977,470        113,973
        Valley    National     Bancorp
                                          10,878,109          113,241
        Blackstone      Mortgage     Trust   Inc.   Class   A
                                          4,088,228          113,121
        Axis   Capital     Holdings     Ltd.
                                          1,939,840          110,745
        New  Residential       Investment      Corp.
                                          11,798,565          109,963
        Old  National     Bancorp
                                          7,409,108          109,581
        Globe   Life   Inc.
                                          1,121,671          109,329
        SLM  Corp.
                                          6,803,979          108,455
        Bank   OZK
                                          2,885,665          108,299
        OneMain     Holdings     Inc.
                                          2,849,457          106,513
    1
        Blue   Owl  Capital     Inc.   Class   A
                                          10,573,836          106,056
        Home   BancShares      Inc.
                                          4,937,310          102,548
        New  York   Community      Bancorp     Inc.
                                          11,216,136          102,403
        Houlihan     Lokey   Inc.   Class   A
                                          1,279,946          101,026
        Essent    Group   Ltd.
                                          2,581,803          100,432
        MGIC   Investment      Corp.
                                          7,828,772          98,643
        ServisFirst       Bancshares      Inc.
                                          1,234,561          97,432
        FNB  Corp.
                                          8,881,557          96,454
        Hancock     Whitney     Corp.
                                          2,074,371          91,957
        Umpqua    Holdings     Corp.
                                          5,481,127          91,918
                                21/72



                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
                                                   市場価格     •
                                             株数     ( 千米ドル     )
        Lincoln     National     Corp.
                                          1,956,153          91,489
    *,1
        SoFi   Technologies       Inc.
                                          17,358,221           91,478
        First   Interstate      BancSystem      Inc.   Class   A
                                          2,352,879          89,668
        Independent       Bank   Corp.   (Massachusetts)
                                          1,123,202          89,216
        White   Mountains      Insurance      Group   Ltd.
                                            71,547        89,157
    1
        Lazard    Ltd.   Class   A
                                          2,708,787          87,792
        Community      Bank   System    Inc.
                                          1,360,172          86,072
        Assured     Guaranty     Ltd.
                                          1,539,775          85,904
        Radian    Group   Inc.
                                          4,367,659          85,824
        UMB  Financial      Corp.
                                           978,776         84,273
        CVB  Financial      Corp.
                                          3,386,240          84,013
    *
        Ryan   Specialty      Holdings     Inc.   Class   A
                                          2,090,935          81,944
        Evercore     Inc.   Class   A
                                           872,660         81,690
        United    Community      Banks   Inc.
                                          2,676,955          80,817
        Janus   Henderson      Group   plc
                                          3,393,814          79,789
        FirstCash      Holdings     Inc.
                                          1,139,687          79,220
        PacWest     Bancorp
                                          2,970,826          79,202
    *,1
        Credit    Acceptance      Corp.
                                           166,077         78,623
    *
        Brighthouse       Financial      Inc.
                                          1,893,308          77,663
        Kemper    Corp.
                                          1,609,381          77,089
        Eastern     Bankshares      Inc.
                                          4,155,469          76,710
        Walker    & Dunlop    Inc.
                                           794,230         76,516
        Bank   of  Hawaii    Corp.
                                          1,017,162          75,677
        BankUnited      Inc.
                                          2,066,336          73,500
        First   Hawaiian     Inc.
                                          3,232,223          73,404
        Cathay    General     Bancorp
                                          1,800,144          70,476
        Pacific     Premier     Bancorp     Inc.
                                          2,397,517          70,103
        Federated      Hermes    Inc.   Class   B
                                          2,198,039          69,876
        American     Equity    Investment      Life   Holding     Co.
                                          1,882,621          68,847
    *
        Texas   Capital     Bancshares      Inc.
                                          1,280,134          67,386
        Ameris    Bancorp
                                          1,665,308          66,912
        Simmons     First   National     Corp.   Class   A
                                          3,135,814          66,667
        Associated      Banc-Corp
                                          3,597,478          65,690
        WSFS   Financial      Corp.
                                          1,633,495          65,487
        Moelis    & Co.  Class   A
                                          1,639,948          64,532
        First   Bancorp
                                          4,988,562          64,402
    *
        Mr  Cooper    Group   Inc.
                                          1,680,457          61,740
        Independent       Bank   Group   Inc.
                                           907,443         61,624
        Atlantic     Union   Bankshares      Corp.
                                          1,797,336          60,966
        Virtu   Financial      Inc.   Class   A
                                          2,526,522          59,146
        Fulton    Financial      Corp.
                                          4,002,678          57,839
    *
        Enstar    Group   Ltd.
                                           270,074         57,790
        Artisan     Partners     Asset   Management      Inc.   Class   A
                                          1,618,977          57,587
        Columbia     Banking     System    Inc.
                                          1,986,364          56,909
    *
        Trupanion      Inc.
                                           926,234         55,815
        International        Bancshares      Corp.
                                          1,353,876          54,263
    *,1
        Upstart     Holdings     Inc.
                                          1,712,719          54,156
        Hamilton     Lane   Inc.   Class   A
                                           798,679         53,655
        First   Merchants      Corp.
                                          1,500,197          53,437
        CNO  Financial      Group   Inc.
                                          2,926,353          52,938
        Chimera     Investment      Corp.
                                          5,975,766          52,706
        Jackson     Financial      Inc.   Class   A
                                          1,960,725          52,449
        BOK  Financial      Corp.
                                           686,975         51,922
                                22/72



                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
                                                   市場価格     •
                                             株数     ( 千米ドル     )
        Arbor   Realty    Trust   Inc.
                                          3,846,847          50,432
        Navient     Corp.
                                          3,545,973          49,608
        Washington      Federal     Inc.
                                          1,648,326          49,483
        Banner    Corp.
                                           867,200         48,745
    *
        Axos   Financial      Inc.
                                          1,355,143          48,582
        Piper   Sandler     Cos.
                                           426,788         48,381
        Towne   Bank
                                          1,740,017          47,241
        WesBanco     Inc.
                                          1,443,737          45,781
    *
        Genworth     Financial      Inc.   Class   A
                                          12,910,484           45,574
        Flagstar     Bancorp     Inc.
                                          1,276,899          45,266
        Park   National     Corp.
                                           368,338         44,661
        First   Financial      Bancorp
                                          2,258,340          43,812
        BancFirst      Corp.
                                           454,398         43,490
        Two  Harbors     Investment      Corp.
                                          8,665,610          43,155
    *
        Focus   Financial      Partners     Inc.   Class   A
                                          1,236,607          42,119
        Trustmark      Corp.
                                          1,394,324          40,700
    *
        Silvergate      Capital     Corp.   Class   A
                                           758,941         40,626
        Horace    Mann   Educators      Corp.
                                          1,044,737          40,097
        Hope   Bancorp     Inc.
                                          2,884,861          39,926
        PJT  Partners     Inc.   Class   A
                                           559,244         39,304
        Cohen   & Steers    Inc.
                                           616,209         39,185
        Northwest      Bancshares      Inc.
                                          3,035,688          38,857
        NBT  Bancorp     Inc.
                                          1,025,627          38,553
        Renasant     Corp.
                                          1,337,438          38,532
        Eagle   Bancorp     Inc.
                                           809,985         38,401
        Provident      Financial      Services     Inc.
                                          1,716,635          38,212
    *
        Cannae    Holdings     Inc.
                                          1,937,005          37,462
        Apollo    Commercial      Real   Estate    Finance     Inc.
                                          3,533,402          36,889
        Westamerica       Bancorp
                                           643,776         35,833
    *
        PRA  Group   Inc.
                                           953,522         34,670
        Safety    Insurance      Group   Inc.
                                           352,303         34,209
    *
        BRP  Group   Inc.   Class   A
                                          1,415,500          34,184
        StepStone      Group   Inc.   Class   A
                                          1,305,857          33,991
    *
        Encore    Capital     Group   Inc.
                                           582,925         33,676
    1
        Hilltop     Holdings     Inc.
                                          1,223,490          32,618
        Argo   Group   International        Holdings     Ltd.
                                           881,611         32,496
        ProAssurance       Corp.
                                          1,364,463          32,242
    1
        Compass     Diversified       Holdings
                                          1,504,349          32,223
        PennyMac     Mortgage     Investment      Trust
                                          2,313,511          31,996
        OFG  Bancorp
                                          1,227,401          31,176
        Mercury     General     Corp.
                                           696,964         30,876
        Virtus    Investment      Partners     Inc.
                                           178,981         30,609
        Capitol     Federal     Financial      Inc.
                                          3,316,339          30,444
        Ladder    Capital     Corp.
                                          2,874,754          30,300
    *
        LendingClub       Corp.
                                          2,589,109          30,267
        First   Commonwealth       Financial      Corp.
                                          2,253,782          30,246
        PennyMac     Financial      Services     Inc.
                                           688,279         30,085
        City   Holding     Co.
                                           357,777         28,579
    1
        Franklin     BSP  Realty    Trust   Inc.
                                          2,105,007          28,375
        Employers      Holdings     Inc.
                                           671,622         28,134
        BGC  Partners     Inc.   Class   A
                                          8,307,017          27,995
        National     Bank   Holdings     Corp.   Class   A
                                           730,462         27,955
        MFA  Financial      Inc.
                                          2,578,464          27,718
                                23/72


                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
                                                   市場価格     •
                                             株数     ( 千米ドル     )
    *
        Open   Lending     Corp.   Class   A
                                          2,704,496          27,667
        iStar   Inc.
                                          1,984,812          27,212
        Berkshire      Hills   Bancorp     Inc.
                                          1,074,331          26,611
        S&T  Bancorp     Inc.
                                           957,492         26,264
        Brookline      Bancorp     Inc.
                                          1,877,050          24,984
        Redwood     Trust   Inc.
                                          3,062,087          23,609
        TPG  Inc.   Class   A
                                           982,884         23,501
        KKR  Real   Estate    Finance     Trust   Inc.
                                          1,262,310          22,027
        Broadmark      Realty    Capital     Inc.
                                          3,237,374          21,723
    *
        Columbia     Financial      Inc.
                                           990,354         21,600
        Goosehead      Insurance      Inc.   Class   A
                                           465,392         21,254
        Tompkins     Financial      Corp.
                                           291,237         20,998
        United    Fire   Group   Inc.
                                           609,252         20,855
    *
        Blucora     Inc.
                                          1,129,022          20,842
    1
        Claros    Mortgage     Trust   Inc.
                                          1,230,220          20,606
        Nelnet    Inc.   Class   A
                                           237,786         20,271
        TFS  Financial      Corp.
                                          1,445,034          19,840
    *
        Palomar     Holdings     Inc.
                                           302,518         19,482
    *
        Triumph     Bancorp     Inc.
                                           303,234         18,970
        Heartland      Financial      USA  Inc.
                                           452,260         18,787
    1
        ARMOUR    Residential       REIT   Inc.
                                          2,643,018          18,607
    *,1
        Lemonade     Inc.
                                          1,018,142          18,591
        Kearny    Financial      Corp.
                                          1,589,420          17,658
        Enact   Holdings     Inc.
                                           819,788         17,609
        WisdomTree      Investments       Inc.
                                          3,165,662          16,050
        Northfield      Bancorp     Inc.
                                          1,131,852          14,748
        Central     Pacific     Financial      Corp.
                                           679,007         14,565
        TPG  RE  Finance     Trust   Inc.
                                          1,578,731          14,224
        Live   Oak  Bancshares      Inc.
                                           417,707         14,156
    *,1
        Marathon     Digital     Holdings     Inc.
                                          2,544,263          13,586
    *,1
        Oscar   Health    Inc.   Class   A
                                          3,115,113          13,239
    *
        Ambac   Financial      Group   Inc.
                                          1,133,305          12,863
    *,1
        Riot   Blockchain      Inc.
                                          3,054,655          12,799
    *
        SiriusPoint       Ltd.
                                          2,302,438          12,479
    1
        Invesco     Mortgage     Capital     Inc.
                                           848,836         12,461
    *
        World   Acceptance      Corp.
                                           107,671         12,085
    *
        LendingTree       Inc.
                                           274,120         12,012
        BrightSpire       Capital     Inc.   Class   A
                                          1,473,420          11,124
    *
        AssetMark      Financial      Holdings     Inc.
                                           550,063         10,325
    1
        P10  Inc.   Class   A
                                           899,514         10,003
        National     Western     Life   Group   Inc.   Class   A
                                            48,627         9,857
        Victory     Capital     Holdings     Inc.   Class   A
                                           347,638          8,378
    1
        UWM  Holdings     Corp.   Class   A
                                          2,105,887           7,455
        Granite     Point   Mortgage     Trust   Inc.
                                           706,305          6,759
    1
        GCM  Grosvenor      Inc.   Class   A
                                           952,754          6,526
    *
        Clearwater      Analytics      Holdings     Inc.   Class   A
                                           419,912          5,056
    *,1
        Hagerty     Inc.   Class   A
                                           333,803          3,835
    *,1
        Bakkt   Holdings     Inc.
                                          1,423,074           2,988
        Associated      Capital     Group   Inc.   Class   A
                                            43,845         1,571
        loanDepot      Inc.   Class   A
                                           921,531          1,327
        Goldman     Sachs   Group   Inc.                                    -
                                               1
                                                  16,465,929
                                24/72


                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
                                                   市場価格     •
                                             株数     ( 千米ドル     )
    ヘルスケア      (11.4   % )
    *
        Molina    Healthcare      Inc.
                                          1,483,520          414,807
        Bio-Techne      Corp.
                                           991,378        343,651
    *
        United    Therapeutics       Corp.
                                          1,024,243          241,353
    *
        Neurocrine      Biosciences       Inc.
                                          2,413,826          235,300
    *
        Jazz   Pharmaceuticals         plc
                                          1,495,405          233,298
    *
        Repligen     Corp.
                                          1,400,741          227,480
        Organon     & Co.
                                          6,407,622          216,257
    *
        Syneos    Health    Inc.
                                          2,591,764          185,778
        Chemed    Corp.
                                           378,277        177,559
    *
        Exelixis     Inc.
                                          8,098,835          168,618
        Bruker    Corp.
                                          2,639,659          165,665
    *
        Masimo    Corp.
                                          1,262,266          164,940
    *
        Shockwave      Medical     Inc.
                                           859,179        164,249
    *
        Envista     Holdings     Corp.
                                          4,109,298          158,372
    *
        Sarepta     Therapeutics       Inc.
                                          2,098,922          157,335
    *
        Novocure     Ltd.
                                          2,246,109          156,105
    *
        Acadia    Healthcare      Co.  Inc.
                                          2,287,376          154,695
    *
        Halozyme     Therapeutics       Inc.
                                          3,483,175          153,260
    *
        Tenet   Healthcare      Corp.
                                          2,722,339          143,086
        Encompass      Health    Corp.
                                          2,522,132          141,366
        Perrigo     Co.  plc
                                          3,396,033          137,777
    *
        Charles     River   Laboratories       International        Inc.
                                           641,971        137,363
    *
        HealthEquity       Inc.
                                          2,131,725          130,867
    *
        Inspire     Medical     Systems     Inc.
                                           697,013        127,323
    *
        Omnicell     Inc.
                                          1,116,803          127,036
    *
        Alkermes     plc
                                          4,128,295          122,982
    *
        Intra-Cellular         Therapies      Inc.
                                          2,144,685          122,419
    *
        LHC  Group   Inc.
                                           744,949        116,018
    *
        QuidelOrtho       Corp.
                                          1,183,951          115,056
    *
        Ionis   Pharmaceuticals         Inc.
                                          3,044,141          112,694
    *
        Penumbra     Inc.
                                           904,429        112,620
    *
        Globus    Medical     Inc.   Class   A
                                          2,004,118          112,511
    *
        Lantheus     Holdings     Inc.
                                          1,647,546          108,787
    *
        Apellis     Pharmaceuticals         Inc.
                                          2,286,170          103,381
    *
        Medpace     Holdings     Inc.
                                           680,047        101,783
    *,1
        Novavax     Inc.
                                          1,973,808          101,513
    *
        Option    Care   Health    Inc.
                                          3,639,446          101,140
        Premier     Inc.   Class   A
                                          2,831,238          101,019
    *
        Ultragenyx      Pharmaceutical         Inc.
                                          1,676,564          100,024
    *
        Guardant     Health    Inc.
                                          2,446,778          98,703
        Ensign    Group   Inc.
                                          1,331,335          97,813
    *
        10X  Genomics     Inc.   Class   A
                                          2,135,592          96,636
    *
        Integra     LifeSciences       Holdings     Corp.
                                          1,786,194          96,508
    *
        Tandem    Diabetes     Care   Inc.
                                          1,616,518          95,682
    *
        ICU  Medical     Inc.
                                           573,861         94,337
    *
        Intellia     Therapeutics       Inc.
                                          1,724,548          89,263
    *
        Arrowhead      Pharmaceuticals         Inc.
                                          2,533,290          89,197
    *
        Amedisys     Inc.
                                           823,141         86,529
    *
        STAAR   Surgical     Co.
                                          1,208,241          85,701
                                25/72


                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
    *
        Mirati    Therapeutics       Inc.
                                          1,261,478          84,683
    *
        Haemonetics       Corp.
                                          1,296,215          84,487
    *
        Cytokinetics       Inc.
                                          2,054,393          80,717
                                26/72



















                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
                                                   市場価格     •
                                             株数     ( 千米ドル     )
    *
        Turning     Point   Therapeutics       Inc.
                                          1,067,063          80,296
    *
        Maravai     LifeSciences       Holdings     Inc.   Class   A
                                          2,826,240          80,293
    *
        Merit   Medical     Systems     Inc.
                                          1,433,023          77,770
    *
        Natera    Inc.
                                          2,187,883          77,539
    *
        iRhythm     Technologies       Inc.
                                           715,027         77,244
    *
        Blueprint      Medicines      Corp.
                                          1,502,932          75,913
    *
        Amicus    Therapeutics       Inc.
                                          7,067,673          75,907
    *
        Prestige     Consumer     Healthcare      Inc.
                                          1,269,038          74,619
    *,1
        Doximity     Inc.   Class   A
                                          2,129,604          74,153
    *
        R1  RCM  Inc.
                                          3,533,133          74,054
    *
        Inari   Medical     Inc.
                                          1,074,373          73,047
    *
        PTC  Therapeutics       Inc.
                                          1,799,344          72,082
        CONMED    Corp.
                                           746,663         71,500
    *
        Karuna    Therapeutics       Inc.
                                           565,055         71,485
        Patterson      Cos.   Inc.
                                          2,221,516          67,312
    *,1
        Neogen    Corp.
                                          2,720,448          65,536
    *
        NuVasive     Inc.
                                          1,314,198          64,606
    *
        Evolent     Health    Inc.   Class   A
                                          2,082,733          63,961
    *
        Denali    Therapeutics       Inc.
                                          2,169,666          63,853
    *
        Enovis    Corp.
                                          1,160,890          63,849
    *
        Pacira    BioSciences       Inc.
                                          1,088,882          63,482
        Select    Medical     Holdings     Corp.
                                          2,641,940          62,403
    *
        Teladoc     Health    Inc.
                                          1,829,980          60,774
    *
        Certara     Inc.
                                          2,828,625          60,702
    *
        Insmed    Inc.
                                          3,012,276          59,402
    *,1
        Ginkgo    Bioworks     Holdings     Inc.
                                          24,885,076           59,226
    *
        Integer     Holdings     Corp.
                                           835,186         59,014
        Owens   & Minor   Inc.
                                          1,828,760          57,515
    *
        agilon    health    Inc.
                                          2,570,852          56,122
    *,1
        Beam   Therapeutics       Inc.
                                          1,417,760          54,881
    *,1
        Global    Blood   Therapeutics       Inc.
                                          1,642,360          52,473
    *
        Fate   Therapeutics       Inc.
                                          2,088,415          51,751
    *
        Glaukos     Corp.
                                          1,137,036          51,644
    *
        Corcept     Therapeutics       Inc.
                                          2,147,007          51,056
    *
        Progyny     Inc.
                                          1,742,919          50,632
    *
        Sotera    Health    Co.
                                          2,502,938          49,033
    *,1
        Multiplan      Corp.
                                          8,869,634          48,694
    *
        Vir  Biotechnology        Inc.
                                          1,837,095          46,791
    *
        Pediatrix      Medical     Group   Inc.
                                          2,201,331          46,250
    *
        AtriCure     Inc.
                                          1,110,540          45,377
    *
        Arvinas     Inc.
                                          1,073,165          45,170
    *
        Oak  Street    Health    Inc.
                                          2,743,109          45,097
    *
        Twist   Bioscience      Corp.
                                          1,280,849          44,778
    *
        ACADIA    Pharmaceuticals         Inc.
                                          3,055,336          43,050
    *
        Xencor    Inc.
                                          1,497,199          40,978
    *
        Sage   Therapeutics       Inc.
                                          1,265,040          40,861
    *
        ChemoCentryx       Inc.
                                          1,616,822          40,065
    *
        Iovance     Biotherapeutics         Inc.
                                          3,571,777          39,432
    *
        Nevro   Corp.
                                           889,864         39,003
                                27/72


                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
    *
        Apollo    Medical     Holdings     Inc.
                                           989,256         38,175
    *
        Ironwood     Pharmaceuticals         Inc.   Class   A
                                          3,298,650          38,033
                                28/72




















                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
                                                   市場価格     •
                                             株数     ( 千米ドル     )
    *
        Supernus     Pharmaceuticals         Inc.
                                          1,278,506          36,974
    *
        Embecta     Corp.
                                          1,458,829          36,938
    *
        Harmony     Biosciences       Holdings     Inc.
                                           744,895         36,329
    *
        Ligand    Pharmaceuticals         Inc.
                                           406,132         36,235
    *
        CorVel    Corp.
                                           244,027         35,938
    *
        Privia    Health    Group   Inc.
                                          1,232,267          35,884
    *
        Veracyte     Inc.
                                          1,801,077          35,841
    *
        Emergent     BioSolutions       Inc.
                                          1,140,214          35,392
    *
        Myriad    Genetics     Inc.
                                          1,940,119          35,252
    *
        Cerevel     Therapeutics       Holdings     Inc.
                                          1,316,518          34,809
    *
        1Life   Healthcare      Inc.
                                          4,402,247          34,514
    *
        Zentalis     Pharmaceuticals         Inc.
                                          1,219,071          34,256
    *
        Meridian     Bioscience      Inc.
                                          1,099,693          33,453
    *
        Avanos    Medical     Inc.
                                          1,191,151          32,566
        Healthcare      Services     Group   Inc.
                                          1,868,364          32,528
    *
        Relay   Therapeutics       Inc.
                                          1,917,264          32,114
    *
        Agios   Pharmaceuticals         Inc.
                                          1,404,438          31,136
    *
        Silk   Road   Medical     Inc.
                                           841,481         30,621
    *
        AdaptHealth       Corp.   Class   A
                                          1,693,575          30,552
    *
        Surgery     Partners     Inc.
                                          1,022,157          29,561
    *
        OPKO   Health    Inc.
                                          11,669,096           29,523
    *
        REVOLUTION      Medicines      Inc.
                                          1,497,297          29,182
    *
        CareDx    Inc.
                                          1,341,873          28,823
    *
        Axonics     Inc.
                                           504,820         28,608
    *
        Axsome    Therapeutics       Inc.
                                           735,049         28,152
    *
        Allogene     Therapeutics       Inc.
                                          2,352,899          26,823
    *
        Adaptive     Biotechnologies         Corp.
                                          3,240,756          26,218
    *,1
        PROCEPT     BioRobotics       Corp.
                                           779,974         25,497
    *
        Pacific     Biosciences       of  California      Inc.
                                          5,655,869          24,999
    *
        BioCryst     Pharmaceuticals         Inc.
                                          2,339,930          24,756
    *
        NeoGenomics       Inc.
                                          3,010,923          24,539
    *,1
        Signify     Health    Inc.   Class   A
                                          1,777,067          24,524
        National     HealthCare      Corp.
                                           350,100         24,472
    *
        REGENXBIO      Inc.
                                           983,465         24,292
    *
        Vaxcyte     Inc.
                                          1,115,840
    *
        Bridgebio      Pharma    Inc.
                                          2,646,068          24,026
    *
        NextGen     Healthcare      Inc.
                                          1,367,548          23,850
    *
        Innoviva     Inc.
                                          1,595,724          23,553
    *
        Madrigal     Pharmaceuticals         Inc.
                                           327,755         23,461
    *,1
        Warby   Parker    Inc.   Class   A
                                          2,042,903          23,003
    *
        FibroGen     Inc.
                                          2,141,016          22,609
    *,1
        Lyell   Immunopharma       Inc.
                                          3,413,153          22,254
    *
        Alignment      Healthcare      Inc.
                                          1,892,544          21,594
    *
        Varex   Imaging     Corp.
                                          1,008,809          21,578
    *
        Editas    Medicine     Inc.
                                          1,756,957          20,785
    *
        Reata   Pharmaceuticals         Inc.   Class   A
                                           682,650         20,746
    *
        Brookdale      Senior    Living    Inc.
                                          4,493,591          20,401
    *
        American     Well   Corp.   Class   A
                                          4,713,239          20,361
    *
        Cytek   Biosciences       Inc.
                                          1,863,373          19,994
                                29/72


                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
    *
        Health    Catalyst     Inc.
                                          1,297,992          18,808
    *
        SpringWorks       Therapeutics       Inc.
                                           747,878         18,413
    *,1
        Clover    Health    Investments       Corp.   Class   A
                                          8,598,797          18,401
    *,1
        Cano   Health    Inc.
                                          4,191,702          18,360
                                30/72



















                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
                                                   市場価格     •
                                             株数     ( 千米ドル     )
    *
        Nektar    Therapeutics
                                          4,736,689          17,999
    *
        Outset    Medical     Inc.
                                          1,211,053          17,996
    *
        Agiliti     Inc.
                                           843,834         17,307
    *,1
        Recursion      Pharmaceuticals         Inc.   Class   A
                                          2,056,619          16,741
    *
        Arcus   Biosciences       Inc.
                                           638,296         16,174
    *
        Phreesia     Inc.
                                           632,378         15,816
    *
        Alector     Inc.
                                          1,483,734          15,075
    *
        Kymera    Therapeutics       Inc.
                                           729,828         14,370
    *
        Natus   Medical     Inc.
                                           437,804         14,347
    *,1
        Invitae     Corp.
                                          5,807,381          14,170
    *,1
        Sana   Biotechnology        Inc.
                                          2,180,622          14,021
    *
        TG  Therapeutics       Inc.
                                          3,298,671          14,019
    *,1
        PMV  Pharmaceuticals         Inc.
                                           977,154         13,924
    *
        Gossamer     Bio  Inc.
                                          1,646,774          13,784
    *,1
        Hims   & Hers   Health    Inc.
                                          2,983,251          13,514
    *
        Inogen    Inc.
                                           553,194         13,376
    *
        Atea   Pharmaceuticals         Inc.
                                          1,882,517          13,366
    *
        HealthStream       Inc.
                                           608,262         13,205
    *
        Treace    Medical     Concepts     Inc.
                                           905,733         12,988
    *
        Theravance      Biopharma      Inc.
                                          1,431,304          12,968
    *,1
        23andMe     Holding     Co.
                                          5,085,137          12,611
    *
        Pulmonx     Corp.
                                           842,210         12,397
    *,1
        Nuvation     Bio  Inc.
                                          3,596,907          11,654
    *
        NGM  Biopharmaceuticals           Inc.
                                           899,808         11,536
    *
        Orthofix     Medical     Inc.
                                           480,950         11,322
    *
        Seer   Inc.   Class   A
                                          1,242,436          11,120
    *
        GoodRx    Holdings     Inc.   Class   A
                                          1,877,776          11,116
    *
        Amneal    Pharmaceuticals         Inc.
                                          3,476,571          11,055
    *,1
        Butterfly      Network     Inc.
                                          3,487,555          10,707
    *,1
        LifeStance      Health    Group   Inc.
                                          1,893,239          10,526
    *,1
        Verve   Therapeutics       Inc.
                                           686,825         10,495
    *
        Cullinan     Oncology     Inc.
                                           789,202         10,118
        Phibro    Animal    Health    Corp.   Class   A
                                           522,293          9,991
    *,1
        Day  One  Biopharmaceuticals           Inc.
                                           553,514          9,908
    *,1
        AnaptysBio      Inc.
                                           460,377          9,346
    *,1
        Erasca    Inc.
                                          1,558,675           8,682
    *
        Atara   Biotherapeutics         Inc.
                                          1,113,551           8,675
    *
        Rocket    Pharmaceuticals         Inc.
                                           596,134          8,203
    *,1
        ImmunityBio       Inc.
                                          2,062,949           7,674
    *
        NanoString      Technologies       Inc.
                                           585,292          7,433
    *
        Kiniksa     Pharmaceuticals         Ltd.   Class   A
                                           764,515          7,408
    *
        Stoke   Therapeutics       Inc.
                                           533,944          7,053
    *
        Sangamo     Therapeutics       Inc.
                                          1,582,628           6,552
    *,1
        Instil    Bio  Inc.
                                          1,331,081           6,150
    *,1
        Amylyx    Pharmaceuticals         Inc.
                                           288,167          5,550
    *
        Accolade     Inc.
                                           674,809          4,994
    *
        Design    Therapeutics       Inc.
                                           349,785          4,897
    *,1
        Monte   Rosa   Therapeutics       Inc.
                                           469,034          4,536
    *
        Pennant     Group   Inc.
                                           326,713          4,185
                                31/72

                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
    *
        Immunovant      Inc.
                                          1,057,994           4,126
    *
        Heron   Therapeutics       Inc.
                                          1,287,092           3,591
    *,1
        Nuvalent     Inc.   Class   A
                                           242,059          3,282
    *
        Phathom     Pharmaceuticals         Inc.
                                           368,703          3,112
                                32/72



















                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
                                                   市場価格     •
                                             株数     ( 千米ドル     )
    *,1
        P3  Health    Partners     Inc.
                                           806,094          2,999
    *,1
        SmileDirectClub         Inc.   Class   A
                                          2,790,203           2,902
    *
        Aveanna     Healthcare      Holdings     Inc.
                                          1,207,753           2,730
    *,1
        Innovage     Holding     Corp.
                                           528,993          2,317
    *,1
        Adagio    Therapeutics       Inc.
                                           691,872          2,269
    *,1
        Bright    Green   Corp.
                                          1,018,589           2,261
    *
        ALX  Oncology     Holdings     Inc.
                                           226,339          1,831
    *,1
        Absci   Corp.
                                           523,225          1,737
    *
        Singular     Genomics     Systems     Inc.
                                           451,159          1,723
    *
        Allovir     Inc.
                                           368,856          1,439
    *
        Endo   International        plc
                                          2,582,105
    *
        Praxis    Precision      Medicines      Inc.
                                           466,052          1,142
    *,1,2
        Zogenix     Inc.   CVR
                                           215,490           431
    *,1,2
        Synergy     Pharmaceuticals         LLC
                                                       -
                                          2,001,166
                                                  12,410,553
    資本財・サービス          (19.5   % )
        Quanta    Services     Inc.
                                          3,631,934          455,227
        IDEX   Corp.
                                          1,921,098          348,929
        Carlisle     Cos.   Inc.
                                          1,306,498          311,743
        Booz   Allen   Hamilton     Holding     Corp.
                                          3,340,697          301,865
        Howmet    Aerospace      Inc.
                                          9,504,735          298,924
        Nordson     Corp.
                                          1,317,983          266,812
    *
        Fair   Isaac   Corp.
                                           655,354        262,731
        RPM  International        Inc.
                                          3,272,893          257,642
        Graco   Inc.
                                          4,277,204          254,109
    *
        Builders     FirstSource       Inc.
                                          4,366,430          234,477
        AECOM                                   3,563,798          232,431
        Huntington      Ingalls     Industries      Inc.
                                          1,012,071          220,449
        Allegion     plc
                                          2,218,881          217,228
        Sealed    Air  Corp.
                                          3,691,957          213,100
        Toro   Co.
                                          2,641,807          200,223
        Watsco    Inc.
                                           838,179        200,174
        Robert    Half   International        Inc.
                                          2,653,659          198,733
        Genpact     Ltd.
                                          4,680,057          198,247
        Regal   Rexnord     Corp.
                                          1,693,102          192,201
        Pentair     plc
                                          4,180,815          191,356
        Tetra   Tech   Inc.
                                          1,356,591          185,243
    *
        WillScot     Mobile    Mini   Holdings     Corp.
                                          5,623,747          182,322
        Owens   Corning
                                          2,453,234          182,300
        Knight-Swift       Transportation         Holdings     Inc.   Class   A
                                          3,927,320          181,796
        Lincoln     Electric     Holdings     Inc.
                                          1,468,725          181,182
    *
        Berry   Global    Group   Inc.
                                          3,292,840          179,921
        A O Smith   Corp.
                                          3,285,862          179,671
    *
        WEX  Inc.
                                          1,136,948          176,864
    *
        Middleby     Corp.
                                          1,374,610          172,321
        AptarGroup      Inc.
                                          1,656,558          170,973
    *
        Paylocity      Holding     Corp.
                                           975,049        170,068
        Lennox    International        Inc.
                                           816,602        168,702
    *
        Coherent     Inc.
                                           626,650        166,827
        Jack   Henry   & Associates      Inc.
                                           921,208        165,836
        Sensata     Technologies       Holding     plc
                                          3,964,808          163,786
        Advanced     Drainage     Systems     Inc.
                                          1,811,625          163,173
        Western     Union   Co.
                                          9,758,488          160,722
                                33/72


                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
                                                   市場価格     •
                                             株数     ( 千米ドル     )
        Graphic     Packaging      Holding     Co.
                                          7,791,871          159,733
    *
        Axon   Enterprise      Inc.
                                          1,704,490          158,807
        Littelfuse      Inc.
                                           625,048        158,787
    *
        FTI  Consulting      Inc.
                                           871,220        157,560
    *
        Trex   Co.  Inc.
                                          2,860,138          155,649
    *
        Chart   Industries      Inc.
                                           925,195        154,859
        Donaldson      Co.  Inc.
                                          3,122,093          150,298
        AGCO   Corp.
                                          1,507,204          148,761
        MKS  Instruments       Inc.
                                          1,406,618          144,361
        ITT  Inc.
                                          2,110,132          141,885
        Sonoco    Products     Co.
                                          2,462,801          140,478
        MDU  Resources      Group   Inc.
                                          5,138,056          138,676
    *
        TopBuild     Corp.
                                           828,227        138,446
    *
        WESCO   International        Inc.
                                          1,281,631          137,263
        Oshkosh     Corp.
                                          1,662,896          136,590
        Landstar     System    Inc.
                                           938,480        136,474
        Woodward     Inc.
                                          1,455,807          134,648
        Acuity    Brands    Inc.
                                           873,772        134,596
        EMCOR   Group   Inc.
                                          1,292,230          133,048
    *
        XPO  Logistics      Inc.
                                          2,761,184          132,979
        nVent   Electric     plc
                                          4,202,099          131,652
        Curtiss-Wright         Corp.
                                           971,882        128,347
        BWX  Technologies       Inc.
                                          2,304,029          126,929
    *
        Saia   Inc.
                                           667,325        125,457
        Brunswick      Corp.
                                          1,913,590          125,111
    *
        AMN  Healthcare      Services     Inc.
                                          1,130,048          123,978
    *
        Axalta    Coating     Systems     Ltd.
                                          5,597,738          123,766
    *
        Euronet     Worldwide      Inc.
                                          1,213,662          122,082
        Hubbell     Inc.   Class   B
                                           678,184        121,110
        Valmont     Industries      Inc.
                                           538,362        120,932
        Exponent     Inc.
                                          1,309,346          119,766
    *
        GXO  Logistics      Inc.
                                          2,757,442          119,315
    *
        ExlService      Holdings     Inc.
                                           799,278        117,758
        MSA  Safety    Inc.
                                           943,890        114,277
    *
        ASGN   Inc.
                                          1,226,546          110,696
        Simpson     Manufacturing        Co.  Inc.
                                          1,090,384          109,704
        Louisiana-Pacific          Corp.
                                          2,076,604          108,835
        Eagle   Materials      Inc.
                                           965,910        106,192
    *
        MasTec    Inc.
                                          1,438,140          103,057
        ManpowerGroup        Inc.
                                          1,333,025          101,856
        Crane   Holdings     Co.
                                          1,133,078          99,212
        Maximus     Inc.
                                          1,552,072          97,020
        Flowserve      Corp.
                                          3,302,561          94,552
        Allison     Transmission       Holdings     Inc.
                                          2,454,515          94,376
        Vontier     Corp.
                                          4,068,897          93,544
        Applied     Industrial      Technologies       Inc.
                                           971,070         93,388
    *
        Kirby   Corp.
                                          1,524,076          92,725
        Insperity      Inc.
                                           919,437         91,787
    *
        Atkore    Inc.
                                          1,089,637          90,451
    *
        Mercury     Systems     Inc.
                                          1,384,183          89,045
        Air  Lease   Corp.   Class   A
                                          2,661,071          88,960
        Armstrong      World   Industries      Inc.
                                          1,185,901          88,895
        John   Bean   Technologies       Corp.
                                           803,383         88,710
                                34/72


                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
                                                   市場価格     •
                                             株数     ( 千米ドル     )
    *
        Marqeta     Inc.   Class   A
                                          10,935,453           88,687
        Cognex    Corp.
                                          2,085,339          88,669
    *
        Fluor   Corp.
                                          3,588,638          87,347
        Ryder   System    Inc.
                                          1,227,928          87,257
        Silgan    Holdings     Inc.
                                          2,100,145          86,841
        Triton    International        Ltd.
                                          1,623,204          85,462
        Watts   Water   Technologies       Inc.   Class   A
                                           693,112         85,142
        MSC  Industrial      Direct    Co.  Inc.   Class   A
                                          1,133,254          85,119
        GATX   Corp.
                                           899,705         84,716
    *
        Mohawk    Industries      Inc.
                                           682,364         84,675
        Zurn   Elkay   Water   Solutions      Corp.
                                          3,022,860          82,343
        HB  Fuller    Co.
                                          1,339,482          80,650
        Korn   Ferry
                                          1,362,841          79,072
    *
        Aerojet     Rocketdyne      Holdings     Inc.
                                          1,930,132          78,363
        Spirit    AeroSystems       Holdings     Inc.   Class   A
                                          2,655,111          77,795
    *
        Welbilt     Inc.
                                          3,255,800          77,521
        Comfort     Systems     USA  Inc.
                                           908,423         75,535
    *
        API  Group   Corp.
                                          5,004,672          74,920
        Matson    Inc.
                                          1,025,449          74,735
    *
        ACI  Worldwide      Inc.
                                          2,842,032          73,580
        ABM  Industries      Inc.
                                          1,690,711          73,411
    *
        TriNet    Group   Inc.
                                           943,329         73,221
        Franklin     Electric     Co.  Inc.
                                           994,989         72,893
        Brink's     Co.
                                          1,188,801
    *
        Beacon    Roofing     Supply    Inc.
                                          1,390,134          71,397
    *
        Resideo     Technologies       Inc.
                                          3,672,006          71,310
    *
        Allegheny      Technologies       Inc.
                                          3,137,317          71,248
        Otter   Tail   Corp.
                                          1,051,850          70,611
    *
        Summit    Materials      Inc.   Class   A
                                          2,977,401          69,344
        Hillenbrand       Inc.
                                          1,631,655          66,833
        EVERTEC     Inc.
                                          1,808,484          66,697
        ManTech     International        Corp.   Class   A
                                           695,904         66,424
    *
        Dycom   Industries      Inc.
                                           711,158         66,166
        UniFirst     Corp.
                                           382,758         65,903
    *
        Meritor     Inc.
                                          1,789,187          65,001
    *
        Bloom   Energy    Corp.   Class   A
                                          3,900,997          64,366
        Albany    International        Corp.   Class   A
                                           794,530         62,601
        Forward     Air  Corp.
                                           677,549         62,307
        EnerSys                                   1,025,910          60,488
        Badger    Meter   Inc.
                                           739,499         59,818
        Esab   Corp.
                                          1,363,355          59,647
        Belden    Inc.
                                          1,118,645          59,590
    *
        Verra   Mobility     Corp.   Class   A
                                          3,752,925          58,958
        AAON   Inc.
                                          1,073,176          58,767
        Moog   Inc.   Class   A
                                           731,848         58,101
    *
        SPX  Corp.
                                          1,096,408          57,934
    *
        Hub  Group   Inc.   Class   A
                                           815,984         57,886
        Altra   Industrial      Motion    Corp.
                                          1,640,492          57,827
        Herc   Holdings     Inc.
                                           641,398         57,822
        Werner    Enterprises       Inc.
                                          1,478,540          56,983
    *
        Itron   Inc.
                                          1,136,352          56,170
    *
        O-I  Glass   Inc.
                                          3,947,972          55,272
        Brady   Corp.   Class   A
                                          1,151,625          54,403
                                35/72


                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
                                                   市場価格     •
                                             株数     ( 千米ドル     )
        Helios    Technologies       Inc.
                                           818,988         54,258
    *
        Air  Transport      Services     Group   Inc.
                                          1,782,392          51,208
        Trinity     Industries      Inc.
                                          2,104,753          50,977
        Encore    Wire   Corp.
                                           474,386         49,298
    *
        AeroVironment        Inc.
                                           598,129         49,166
        Installed      Building     Products     Inc.
                                           590,792         49,130
        Kennametal      Inc.
                                          2,086,223          48,463
    *
        Alight    Inc.   Class   A
                                          7,057,839          47,640
        McGrath     RentCorp
                                           614,723         46,719
        Mueller     Water   Products     Inc.   Class   A
                                          3,966,449          46,526
        Maxar   Technologies       Inc.
                                          1,767,830          46,123
    *
        GMS  Inc.
                                          1,033,170          45,976
    *
        AZEK   Co.  Inc.   Class   A
                                          2,745,352          45,957
        Terex   Corp.
                                          1,661,533          45,476
        ESCO   Technologies       Inc.
                                           651,680         44,555
        Bread   Financial      Holdings     Inc.
                                          1,193,001          44,213
    *
        Masonite     International        Corp.
                                           570,165         43,806
    *
        Kratos    Defense     & Security     Solutions      Inc.
                                          3,155,506          43,798
        EnPro   Industries      Inc.
                                           526,281         43,118
    *
        Shift4    Payments     Inc.   Class   A
                                          1,288,321          42,592
    *
        Atlas   Air  Worldwide      Holdings     Inc.
                                           676,281         41,733
        ArcBest     Corp.
                                           587,069         41,312
    *
        Affirm    Holdings     Inc.   Class   A
                                          2,282,817          41,228
        Greif   Inc.   Class   A
                                           629,601         39,275
        Barnes    Group   Inc.
                                          1,216,119          37,870
    *
        Hayward     Holdings     Inc.
                                          2,568,092          36,955
        Lindsay     Corp.
                                           277,071         36,801
        Griffon     Corp.
                                          1,298,063          36,385
    *
        AAR  Corp.
                                           843,028         35,272
    *
        Huron   Consulting      Group   Inc.
                                           537,849         34,955
    *
        CoreCivic      Inc.
                                          3,078,038          34,197
        Granite     Construction       Inc.
                                          1,142,351          33,288
    *
        Proto   Labs   Inc.
                                           693,894         33,196
        ADT  Inc.
                                          5,387,991          33,136
    *
        Core   & Main   Inc.   Class   A
                                          1,483,543          33,083
    *
        OSI  Systems     Inc.
                                           386,366         33,011
        TTEC   Holdings     Inc.
                                           475,180         32,260
    *
        Gates   Industrial      Corp.   plc
                                          2,921,017          31,576
    *
        Flywire     Corp.
                                          1,786,893          31,503
    *
        Vicor   Corp.
                                           570,384         31,217
    *
        JELD-WEN     Holding     Inc.
                                          2,083,881          30,404
    *,1
        Nikola    Corp.
                                          6,376,122          30,350
    *,1
        Legalzoom.com        Inc.
                                          2,748,860          30,210
        Kforce    Inc.
                                           484,675         29,730
        TriMas    Corp.
                                          1,071,773          29,677
    *,1
        Virgin    Galactic     Holdings     Inc.
                                          4,898,508          29,489
        Primoris     Services     Corp.
                                          1,351,326          29,405
        Enerpac     Tool   Group   Corp.   Class   A
                                          1,534,304          29,182
    *
        Green   Dot  Corp.   Class   A
                                          1,162,141          29,181
    *
        Evo  Payments     Inc.   Class   A
                                          1,210,984          28,482
        Greenbrier      Cos.   Inc.
                                           779,390         28,050
    *
        Hillman     Solutions      Corp.
                                          3,178,481          27,462
        Tennant     Co.
                                           450,183         26,673
                                36/72


                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
                                37/72





















                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
                                                   市場価格     •
                                             株数     ( 千米ドル     )
    *,1
        Joby   Aviation     Inc.
                                          5,351,399           6,275
        Standex     International        Corp.
                                           302,780         25,670
    *,1
        TuSimple     Holdings     Inc.   Class   A
                                          3,519,293          25,445
    *,1
        Enovix    Corp.
                                          2,768,608          24,668
        AZZ  Inc.
                                           597,135         24,375
    *
        Payoneer     Global    Inc.
                                          6,067,474          23,785
        Deluxe    Corp.
                                          1,093,261          23,691
        Astec   Industries      Inc.
                                           580,269         23,663
    *,1
        Proterra     Inc.
                                          5,067,053          23,511
        H&E  Equipment      Services     Inc.
                                           778,062         22,540
    *
        Rocket    Lab  USA  Inc.
                                          5,851,109          22,176
        Kaman   Corp.
                                           709,212         22,163
        Apogee    Enterprises       Inc.
                                           557,219         21,854
        Schneider      National     Inc.   Class   B
                                           958,964         21,462
    *,1
        PureCycle      Technologies       Inc.
                                          2,882,071          21,385
    *
        Cornerstone       Building     Brands    Inc.
                                           803,286         19,672
        Quanex    Building     Products     Corp.
                                           851,556         19,373
    *,1
        AvidXchange       Holdings     Inc.
                                          2,992,572          18,374
    *
        CryoPort     Inc.
                                           591,984         18,340
    *
        ZipRecruiter       Inc.   Class   A
                                          1,224,210          18,143
    *
        Conduent     Inc.
                                          4,113,281          17,769
    *
        First   Advantage      Corp.
                                          1,362,886          17,268
        Heartland      Express     Inc.
                                          1,217,250          16,932
        Wabash    National     Corp.
                                          1,191,753          16,184
    *
        Gibraltar      Industries      Inc.
                                           417,494         16,178
    *,1
        Remitly     Global    Inc.
                                          2,095,558          16,052
    *,1
        Mirion    Technologies       Inc.
                                          2,765,521          15,929
    *
        Cimpress     plc
                                           398,224         15,491
        Kelly   Services     Inc.   Class   A
                                           778,899         15,446
    *,1
        Aurora    Innovation      Inc.
                                          7,998,972          15,278
    *
        Janus   International        Group   Inc.
                                          1,678,298          15,155
        Gorman-Rupp       Co.
                                           534,281         15,120
    *
        FARO   Technologies       Inc.
                                           466,569          4,384
    *
        TrueBlue     Inc.
                                           795,662         14,242
        Pitney    Bowes   Inc.
                                          3,932,723          14,236
    *
        BTRS   Holdings     Inc.
                                          2,823,607          14,062
    *
        Forrester      Research     Inc.
                                           292,664         14,001
        International        Seaways     Inc.
                                           628,789         13,330
    *,1
        Desktop     Metal   Inc.   Class   A
                                          5,940,788          13,070
    *
        BrightView      Holdings     Inc.
                                          1,049,154          12,590
    *
        TaskUS    Inc.   Class   A
                                           699,904         11,800
    *
        Thermon     Group   Holdings     Inc.
                                           793,134         11,144
        Kronos    Worldwide      Inc.
                                           586,400         10,790
    *,1
        CS  Disco   Inc.
                                           590,970         10,661
    *
        Triumph     Group   Inc.
                                           777,672         10,335
    *,1
        Hyliion     Holdings     Corp.
                                          3,128,876          10,075
        REV  Group   Inc.
                                           887,512          9,647
    *
        American     Woodmark     Corp.
                                           214,259          9,644
    *
        Tutor   Perini    Corp.
                                          1,044,459           9,170
        Pactiv    Evergreen      Inc.
                                           910,398          9,068
        National     Presto    Industries      Inc.
                                           135,505          8,895
    *,1
        Microvast      Holdings     Inc.
                                          3,815,170           8,470
                                38/72

                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
    *
        Sterling     Check   Corp.
                                           484,736          7,906
                                39/72




















                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
                                                   市場価格     •
                                             株数     ( 千米ドル     )
    *
        Advantage      Solutions      Inc.
                                          2,052,939           7,801
        Greif   Inc.   Class   B
                                           119,234          7,427
        Hyster-Yale       Materials      Handling     Inc.
                                           225,657          7,271
    *,1
        Paymentus      Holdings     Inc.   Class   A
                                           384,982          5,147
    *
        Vivint    Smart   Home   Inc.
                                          1,345,493           4,682
    *
        CIRCOR    International        Inc.
                                           254,275          4,168
    *
        Ranpak    Holdings     Corp.   Class   A
                                           557,726          3,904
    *
        Velo3D    Inc.
                                          1,965,062           2,712
    *,1
        Velodyne     Lidar   Inc.
                                          1,769,502           1,690
    *,1
        Hydrofarm      Holdings     Group   Inc.
                                           450,050          1,566
    *,1
        Latch   Inc.                                          1,440
                                          1,262,797
                                                  21,155,933
    不動産    (9.1  % )
        Kimco   Realty    Corp.
                                          15,619,188          308,791
        Equity    LifeStyle      Properties      Inc.
                                          4,230,880          298,150
        Gaming    & Leisure     Properties      Inc.
                                          5,943,521          272,570
        American     Homes   4 Rent   Class   A
                                          7,031,300          249,189
        CubeSmart                                   5,671,684          242,294
        Rexford     Industrial      Realty    Inc.
                                          4,171,349          240,228
        Life   Storage     Inc.
                                          2,131,995          238,059
        Medical     Properties      Trust   Inc.
                                          15,166,650          231,595
        American     Campus    Communities       Inc.
                                          3,526,651          227,363
    *
        Jones   Lang   LaSalle     Inc.
                                          1,234,924          215,939
        Americold      Realty    Trust   Inc.
                                          6,803,717          204,384
        Lamar   Advertising       Co.  Class   A
                                          2,200,099          193,543
        Federal     Realty    OP  LP
                                          2,006,592          192,111
        National     Retail    Properties      Inc.
                                          4,444,403          191,109
        STORE   Capital     Corp.
                                          6,736,273          175,682
        Omega   Healthcare      Investors      Inc.
                                          5,943,538          167,548
        Apartment      Income    REIT   Corp.   Class   A
                                          3,959,051          164,696
        EastGroup      Properties      Inc.
                                          1,053,317          162,558
        Healthcare      Trust   of  America     Inc.   Class   A
                                          5,789,550          161,586
        First   Industrial      Realty    Trust   Inc.
                                          3,330,096          158,113
        Kilroy    Realty    Corp.
                                          2,948,859          154,314
        Brixmor     Property     Group   Inc.
                                          7,567,539          152,940
        Host   Hotels    & Resorts     Inc.
                                          9,031,896          141,620
        STAG   Industrial      Inc.
                                          4,527,934          139,823
        Rayonier     Inc.
                                          3,695,524          138,139
        Agree   Realty    Corp.
                                          1,899,796          137,032
        Regency     Centers     Corp.
                                          2,178,278          129,194
        Spirit    Realty    Capital     Inc.
                                          3,392,232          128,158
        Vornado     Realty    Trust
                                          4,358,840          124,619
        Independence       Realty    Trust   Inc.
                                          5,589,566          115,872
        National     Storage     Affiliates      Trust
                                          2,197,113          110,009
        Cousins     Properties      Inc.
                                          3,755,650          109,778
        Terreno     Realty    Corp.
                                          1,907,494          106,305
        Healthcare      Realty    Trust   Inc.
                                          3,832,328          104,239
    *
        Ryman   Hospitality       Properties      Inc.
                                          1,323,374          100,616
        Physicians      Realty    Trust
                                          5,685,762          99,217
    1
        Phillips     Edison    & Co.  Inc.
                                          2,878,277          96,163
        Kite   Realty    Group   Trust
                                          5,531,406          95,638
        Douglas     Emmett    Inc.
                                          4,217,390          94,385
                                40/72



                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
                                                   市場価格     •
                                             株数     ( 千米ドル     )
        PS  Business     Parks   Inc.
                                           489,503         91,610
        Highwoods      Properties      Inc.
                                          2,655,230          90,782
        EPR  Properties
                                          1,894,035          88,887
        Broadstone      Net  Lease   Inc.
                                          4,058,020          83,230
        Hannon    Armstrong      Sustainable       Infrastructure         Capital     Inc.
                                          2,195,185          83,110
        Sabra   Health    Care   REIT   Inc.
                                          5,835,506          81,522
        Apple   Hospitality       REIT   Inc.
                                          5,496,290          80,631
        LXP  Industrial      Trust
                                          7,233,413          77,687
        Innovative      Industrial      Properties      Inc.
                                           706,886         77,666
        SL  Green   Realty    Corp.
                                          1,618,297          74,684
    *
        Equity    Commonwealth
                                          2,700,263          74,338
        Corporate      Office    Properties      Trust
                                          2,835,104          74,251
        JBG  SMITH   Properties
                                          3,119,162          73,737
    *
        DigitalBridge        Group   Inc.
                                          15,091,336           73,646
        PotlatchDeltic         Corp.
                                          1,665,616          73,604
        Park   Hotels    & Resorts     Inc.
                                          5,309,239          72,046
        Essential      Properties      Realty    Trust   Inc.
                                          3,311,253          71,159
        National     Health    Investors      Inc.
                                          1,098,347          66,571
    *
        Howard    Hughes    Corp.
                                           971,833         66,133
        Outfront     Media   Inc.
                                          3,727,407          63,180
        SITE   Centers     Corp.
                                          4,596,454          61,914
    *
        Cushman     & Wakefield      plc
                                          3,989,239          60,796
        Uniti   Group   Inc.
                                          5,982,161          56,352
        Kennedy-Wilson         Holdings     Inc.
                                          2,951,850          55,908
    *,1
        Opendoor     Technologies       Inc.
                                          11,850,947           55,818
        Pebblebrook       Hotel   Trust
                                          3,313,072          54,898
    *
        Sunstone     Hotel   Investors      Inc.
                                          5,431,224          53,878
        Hudson    Pacific     Properties      Inc.
                                          3,463,390          51,397
        Retail    Opportunity       Investments       Corp.
                                          3,004,109          47,405
        Washington      REIT
                                          2,201,375          46,911
        RLJ  Lodging     Trust
                                          4,210,195          46,438
        CareTrust      REIT   Inc.
                                          2,447,206          45,126
        Macerich     Co.
                                          5,149,503          44,852
    *
        DiamondRock       Hospitality       Co.
                                          5,322,360          43,697
        Urban   Edge   Properties
                                          2,816,311          42,836
    *
        Xenia   Hotels    & Resorts     Inc.
                                          2,883,792          41,901
        InvenTrust      Properties      Corp.
                                          1,617,372          41,712
        Brandywine      Realty    Trust
                                          4,313,636          41,583
        Piedmont     Office    Realty    Trust   Inc.   Class   A
                                          3,101,936          40,697
        St.  Joe  Co.
                                           965,032         38,177
        LTC  Properties      Inc.
                                           994,113         38,164
        Acadia    Realty    Trust
                                          2,387,793          37,297
        Global    Net  Lease   Inc.
                                          2,600,557          36,824
        Newmark     Group   Inc.   Class   A
                                          3,709,684          35,873
    *,1
        WeWork    Inc.
                                          7,114,986          35,717
        Tanger    Factory     Outlet    Centers     Inc.
                                          2,499,686          35,546
        Paramount      Group   Inc.
                                          4,690,451          33,912
        American     Assets    Trust   Inc.
                                          1,140,229          33,865
        Alexander      & Baldwin     Inc.
                                          1,838,194          32,996
        Centerspace                                    386,479         31,517
        Empire    State   Realty    Trust   Inc.   Class   A
                                          4,195,461          29,494
    *
        Anywhere     Real   Estate    Inc.
                                          2,831,162          27,830
        Getty   Realty    Corp.
                                          1,020,627          27,047
                                41/72



                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
                                                   市場価格     •
                                             株数     ( 千米ドル     )
    *
        Veris   Residential       Inc.
                                          1,978,748          26,199
    *
        Apartment      Investment      & Management      Co.  Class   A
                                          3,896,975          24,941
        Office    Properties      Income    Trust
                                          1,246,196          24,862
        Necessity      Retail    REIT   Inc.   Class   A
                                          3,333,740          24,270
        Marcus    & Millichap      Inc.
                                           636,301         23,537
    *,1
        Compass     Inc.   Class   A
                                          6,495,335          23,448
        Industrial      Logistics      Properties      Trust
                                          1,660,116          23,374
        Service     Properties      Trust
                                          4,210,896          22,023
        RPT  Realty
                                          2,179,498          21,424
    *
        Redfin    Corp.
                                          2,594,982          21,383
    1
        eXp  World   Holdings     Inc.
                                          1,707,962          20,103
    *
        GEO  Group   Inc.
                                          2,983,436          19,691
        Universal      Health    Realty    Income    Trust
                                           319,330         16,992
        Safehold     Inc.
                                           473,006         16,730
        Saul   Centers     Inc.
                                           336,037         15,831
        Alexander's       Inc.
                                            52,598        11,685
        RMR  Group   Inc.   Class   A
                                           398,300         11,292
        Diversified       Healthcare      Trust
                                          6,074,060          11,055
        Bridge    Investment      Group   Holdings     Inc.   Class   A
                                           705,097         10,252
        Franklin     Street    Properties      Corp.
                                          2,379,235           9,921
    *
        Summit    Hotel   Properties      Inc.
                                          1,261,371           9,170
        Douglas     Elliman     Inc.
                                          1,622,926           7,774
        Urstadt     Biddle    Properties      Inc.   Class   A
                                           421,610          6,830
    *
        Forestar     Group   Inc.
                                           452,132          6,190
    *,1
        Offerpad     Solutions      Inc.
                                          1,164,438           2,538
    *
        Seritage     Growth    Properties      Class   A
                                           435,105          2,267
    *,2
        Spirit    MTA  REIT
                                           529,410           142
        Urstadt     Biddle    Properties      Inc.                                 -
                                              15
                                                   9,934,345
    テクノロジー       (11.8   % )
        Entegris     Inc.
                                          3,434,153          316,388
    *
        PTC  Inc.
                                          2,660,635          282,932
    *
        Dynatrace      Inc.
                                          5,060,008          199,567
    *
        Wolfspeed      Inc.
                                          3,124,095          198,224
    *
        Arrow   Electronics       Inc.
                                          1,694,577          189,945
    *
        Pure   Storage     Inc.   Class   A
                                          7,162,061          184,137
    *
        Manhattan      Associates      Inc.
                                          1,594,809          182,765
    *
        DXC  Technology      Co.
                                          6,028,314          182,718
        Leidos    Holdings     Inc.
                                          1,727,273          173,954
    *
        Ceridian     HCM  Holding     Inc.
                                          3,664,122          172,507
        KBR  Inc.
                                          3,526,974          170,670
    *
        Lattice     Semiconductor        Corp.
                                          3,477,656          168,666
    *
        CACI   International        Inc.   Class   A
                                           591,675        166,722
        Jabil   Inc.
                                          3,212,291          164,501
        CDK  Global    Inc.
                                          2,950,309          161,588
    *
        Five9   Inc.
                                          1,757,582          160,186
    *
        Avalara     Inc.
                                          2,129,980          150,377
    *
        Guidewire      Software     Inc.
                                          2,110,787          149,845
    *
        Sailpoint      Technologies       Holdings     Inc.
                                          2,382,800          149,354
        Concentrix      Corp.
                                          1,060,802          143,887
    *
        II-VI   Inc.
                                          2,690,559          137,084
        Azenta    Inc.
                                          1,894,398          136,586
    *
        Change    Healthcare      Inc.
                                          5,913,571          136,367
                                42/72

                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
                                43/72





















                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
                                                   市場価格     •
                                             株数     ( 千米ドル     )
    *
        Aspen   Technology      Inc.
                                           727,889        133,699
        Science     Applications       International        Corp.
                                          1,410,647          131,331
    *
        Silicon     Laboratories       Inc.
                                           924,552        129,641
    *
        Elastic     NV
                                          1,889,325          127,851
    *
        Tenable     Holdings     Inc.
                                          2,794,293          126,889
        CMC  Materials      Inc.
                                           723,391        126,224
    *
        Rogers    Corp.
                                           475,111        124,522
    *
        Mandiant     Corp.
                                          5,617,907          122,583
    *
        Synaptics      Inc.
                                          1,000,851          118,150
        Dolby   Laboratories       Inc.   Class   A
                                          1,637,905          117,208
    *
        F5  Inc.
                                           763,813        116,894
    *
        Zendesk     Inc.
                                          1,548,473          114,695
    *
        Qualys    Inc.
                                           883,213        111,408
        Power   Integrations       Inc.
                                          1,473,834          110,552
    *,1
        SentinelOne       Inc.   Class   A
                                          4,725,853          110,254
        Universal      Display     Corp.
                                          1,073,883          108,613
        Switch    Inc.   Class   A
                                          3,233,377          108,318
        Avnet   Inc.
                                          2,468,800          105,862
    *
        Novanta     Inc.
                                           856,709        103,893
        National     Instruments       Corp.
                                          3,313,801          103,490
    *
        SPS  Commerce     Inc.
                                           911,974        103,099
    *
        Cirrus    Logic   Inc.
                                          1,418,833          102,922
        TD  SYNNEX    Corp.
                                          1,092,177          99,497
    *
        Smartsheet      Inc.   Class   A
                                          3,091,127          97,154
    *
        NCR  Corp.
                                          3,106,993          96,659
    *
        Rapid7    Inc.
                                          1,398,889          93,446
    *
        Teradata     Corp.
                                          2,514,035          93,044
    *
        Dun  & Bradstreet      Holdings     Inc.
                                          6,033,703          90,687
    *
        Blackline      Inc.
                                          1,348,654          89,820
    *
        Semtech     Corp.
                                          1,602,338          88,081
    *
        Onto   Innovation      Inc.
                                          1,252,719          87,365
    *
        Box  Inc.   Class   A
                                          3,444,783          86,602
    *
        Ziff   Davis   Inc.
                                          1,134,227          84,534
    *
        Nutanix     Inc.   Class   A
                                          5,572,073          81,519
    *
        Varonis     Systems     Inc.
                                          2,769,946          81,215
    *
        Perficient      Inc.
                                           875,734         80,296
    *
        IPG  Photonics      Corp.
                                           852,405         80,237
    *
        Blackbaud      Inc.
                                          1,338,730          77,740
    *
        Procore     Technologies       Inc.
                                          1,712,189          77,716
    *
        Insight     Enterprises       Inc.
                                           886,599         76,496
    *
        FormFactor      Inc.
                                          1,970,032          76,299
    *
        Fabrinet                                    929,646         75,394
    *
        Alarm.com      Holdings     Inc.
                                          1,200,909          74,288
    *
        Dropbox     Inc.   Class   A
                                          3,519,237          73,869
    *
        Envestnet      Inc.
                                          1,395,440          73,637
    *
        Workiva     Inc.   Class   A
                                          1,094,249          72,209
    *
        Alteryx     Inc.   Class   A
                                          1,449,415          70,181
    *
        Diodes    Inc.
                                          1,086,567          70,160
    *
        Verint    Systems     Inc.
                                          1,636,238          69,295
        Advanced     Energy    Industries      Inc.
                                           948,954         69,255
                                44/72


                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
    *
        New  Relic   Inc.
                                          1,351,699          67,653
    *
        CommVault      Systems     Inc.
                                          1,069,488          67,271
    *
        Altair    Engineering       Inc.   Class   A
                                          1,248,488          65,546
                                45/72



















                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
                                                   市場価格     •
                                             株数     ( 千米ドル     )
        Vertiv    Holdings     Co.  Class   A
                                          7,620,635          62,642
    *,1
        DigitalOcean       Holdings     Inc.
                                          1,475,022          61,007
    *
        Upwork    Inc.
                                          2,947,808          60,961
    *
        SiTime    Corp.
                                           372,428         60,717
    *
        NetScout     Systems     Inc.
                                          1,777,278          60,161
    *
        MaxLinear      Inc.   Class   A
                                          1,764,870          59,970
    *
        Bumble    Inc.   Class   A
                                          2,129,344          59,941
    *
        Rambus    Inc.
                                          2,784,076          59,830
    *
        Ambarella      Inc.
                                           913,516         59,799
    *
        Sanmina     Corp.
                                          1,461,667          59,534
        Vishay    Intertechnology         Inc.
                                          3,328,547          59,315
    *
        Confluent      Inc.   Class   A
                                          2,547,572          59,206
    *
        MACOM   Technology      Solutions      Holdings     Inc.
                                          1,234,643          56,917
    *
        RingCentral       Inc.   Class   A
                                          1,071,912          56,018
    *
        Covetrus     Inc.
                                          2,646,299          54,911
    *
        Coupa   Software     Inc.
                                           952,898         54,410
    *
        Sprout    Social    Inc.   Class   A
                                           936,723         54,395
    *
        Q2  Holdings     Inc.
                                          1,372,286          52,929
    *
        Cargurus     Inc.   Class   A
                                          2,453,936          52,735
    *
        Plexus    Corp.
                                           663,809         52,109
    *,1
        nCino   Inc.
                                          1,668,858          51,601
        Progress     Software     Corp.
                                          1,104,227          50,021
    *
        Kyndryl     Holdings     Inc.
                                          5,098,183          49,860
        Pegasystems       Inc.
                                          1,033,264          49,431
    *
        E2open    Parent    Holdings     Inc.
                                          6,083,312          47,328
    *
        Yelp   Inc.   Class   A
                                          1,698,889          47,178
        Amkor   Technology      Inc.
                                          2,779,332          47,110
    *
        PagerDuty      Inc.
                                          1,881,564          46,625
        CSG  Systems     International        Inc.
                                           778,895         46,484
    *
        Appian    Corp.
                                           979,949         46,410
    *
        Super   Micro   Computer     Inc.
                                          1,113,836          44,943
    *
        LiveRamp     Holdings     Inc.
                                          1,641,623          42,370
    *
        Appfolio     Inc.   Class   A
                                           457,791         41,494
    *
        Allscripts      Healthcare      Solutions      Inc.
                                          2,785,996          41,316
    *
        Jamf   Holding     Corp.
                                          1,664,563          41,231
        Xerox   Holdings     Corp.
                                          2,736,037          40,630
    *
        Toast   Inc.   Class   A
                                          3,037,386          39,304
    *,1
        MicroStrategy        Inc.   Class   A
                                           236,140         38,798
    *
        Digital     Turbine     Inc.
                                          2,206,537          38,548
    *,1
        Clear   Secure    Inc.   Class   A
                                          1,883,118          37,662
    *
        DoubleVerify       Holdings     Inc.
                                          1,649,697          37,399
    *,1
        Gitlab    Inc.   Class   A
                                           699,841         37,190
    *
        Parsons     Corp.
                                           916,368         37,040
        Xperi   Holding     Corp.
                                          2,491,142          35,947
    *
        CCC  Intelligent       Solutions      Holdings     Inc.
                                          3,871,340          35,616
    *
        Schrodinger       Inc.
                                          1,329,064          35,101
    *
        Allegro     MicroSystems       Inc.
                                          1,680,064          34,761
    *
        JFrog   Ltd.
                                          1,620,360          34,141
        Shutterstock       Inc.
                                           595,320         34,118
    *,1
        Freshworks      Inc.   Class   A
                                          2,544,123          33,455
                                46/72


                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
    *,1
        C3.ai   Inc.   Class   A
                                          1,817,686          33,191
        Methode     Electronics       Inc.
                                           886,757         32,845
    *
        Fastly    Inc.   Class   A
                                          2,745,543          31,876
                                47/72




















                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
                                                   市場価格     •
                                             株数     ( 千米ドル     )
    *
        Ping   Identity     Holding     Corp.
                                          1,722,892          31,253
    *
        3D  Systems     Corp.
                                          3,122,909          30,292
    *
        Asana   Inc.   Class   A
                                          1,715,804          30,164
    *
        KnowBe4     Inc.   Class   A
                                          1,895,966          29,615
    *,1
        Paycor    HCM  Inc.
                                          1,106,275          28,763
    *
        TTM  Technologies       Inc.
                                          2,290,611          28,633
    *
        Magnite     Inc.
                                          3,165,966          28,114
    *,1
        Braze   Inc.   Class   A
                                           772,070         27,972
    *
        Everbridge      Inc.
                                          1,001,303          27,926
    *,1
        Thoughtworks       Holding     Inc.
                                          1,955,262          27,589
    *
        Duck   Creek   Technologies       Inc.
                                          1,840,682          27,334
    *
        Zuora   Inc.   Class   A
                                          3,051,901          27,314
    *
        PROS   Holdings     Inc.
                                          1,031,669          27,061
    *
        Momentive      Global    Inc.
                                          3,029,551          26,660
    *
        Squarespace       Inc.   Class   A
                                          1,270,514          26,579
    *
        LivePerson      Inc.
                                          1,784,638          25,235
    *,1
        Xometry     Inc.   Class   A
                                           727,065         24,669
    *
        Veeco   Instruments       Inc.
                                          1,229,336          23,849
    *
        Cerence     Inc.
                                           942,171         23,771
    *
        BigCommerce       Holdings     Inc.
                                          1,379,471          22,347
    *,1
        Olo  Inc.   Class   A
                                          2,184,354          21,560
    *
        Eventbrite      Inc.   Class   A
                                          2,018,114          20,726
    *
        Vimeo   Inc.
                                          3,388,687          20,400
    *
        ScanSource      Inc.
                                           639,140         19,903
    *
        Consensus      Cloud   Solutions      Inc.
                                           455,308         19,888
    *
        Unisys    Corp.
                                          1,626,354          19,565
    *
        Sprinklr     Inc.   Class   A
                                          1,935,161          19,564
        Benchmark      Electronics       Inc.
                                           839,775         18,945
    *
        CEVA   Inc.
                                           563,259         18,903
    *
        Informatica       Inc.   Class   A
                                           891,939         18,526
    *
        Sumo   Logic   Inc.
                                          2,455,362          18,391
    *
        Definitive      Healthcare      Corp.   Class   A
                                           738,615         16,936
    *
        PubMatic     Inc.   Class   A
                                          1,063,237          16,895
    *,1
        Amplitude      Inc.   Class   A
                                          1,130,516          16,155
    *,1
        IonQ   Inc.
                                          3,499,183          15,326
    *
        N-able    Inc.
                                          1,603,288          14,430
    *
        Yext   Inc.
                                          2,994,352          14,313
    *,1
        AvePoint     Inc.
                                          3,261,912          14,157
    *,1
        Expensify      Inc.   Class   A
                                           772,138         13,736
    *,1
        Zeta   Global    Holdings     Corp.   Class   A
                                          2,925,029          13,221
    *
        Alkami    Technology      Inc.
                                           923,216         12,823
    *,1
        ForgeRock      Inc.   Class   A
                                           591,867         12,678
    *,1
        HashiCorp      Inc.   Class   A
                                           416,943         12,275
    *,1
        Rackspace      Technology      Inc.
                                          1,593,212          11,423
    *,1
        SmartRent      Inc.   Class   A
                                          2,475,204          11,188
    *,1
        Samsara     Inc.   Class   A
                                           985,189         11,005
    *
        nLight    Inc.
                                          1,068,645          10,922
    1
        Ebix   Inc.
                                           629,809         10,644
    *,1
        Blend   Labs   Inc.   Class   A
                                          4,439,080          10,476
                                48/72

                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
        SolarWinds      Corp.
                                          1,018,866          10,443
    *,1
        Matterport      Inc.
                                          2,846,801          10,419
    *,1
        Couchbase      Inc.
                                           618,875         10,162
    *,1
        EngageSmart       Inc.
                                           614,734          9,885
                                49/72



















                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
                                                   市場価格     •
                                             株数     ( 千米ドル     )
    *
        Telos   Corp.
                                          1,192,787           9,638
    *,1
        Aeva   Technologies       Inc.
                                          3,044,126           9,528
    *
        Bandwidth      Inc.   Class   A
                                           502,087          9,449
    *
        ON24   Inc.
                                           958,971          9,101
    *,1
        SEMrush     Holdings     Inc.   Class   A
                                           701,063          9,065
    *
        Vertex    Inc.   Class   A
                                           785,134          8,896
    *
        Nextdoor     Holdings     Inc.
                                          2,496,920           8,265
    *
        MeridianLink       Inc.
                                           415,247          6,935
    *
        EverCommerce       Inc.
                                           753,871          6,815
    *,1
        Credo   Technology      Group   Holding     Ltd.
                                           545,428          6,371
    *
        Intapp    Inc.
                                           395,222          5,786
    *,1
        WM  Technology      Inc.
                                          1,735,286           5,709
    *
        MediaAlpha      Inc.   Class   A
                                           567,871          5,594
    *,1
        Groupon     Inc.
                                           492,204          5,562
    *,1
        NerdWallet      Inc.   Class   A
                                           668,884          5,304
    *
        Avaya   Holdings     Corp.
                                          2,073,285           4,644
    1
        Vivid   Seats   Inc.   Class   A
                                           601,052          4,490
    *
        Planet    Labs   PBC
                                           913,382          3,955
    *,1
        Skillz    Inc.   Class   A
                                          3,025,351           3,751
    *
        Enfusion     Inc.   Class   A
                                           330,285          3,372
    *,1
        Ouster    Inc.
                                          1,524,146           2,469
    *
        SecureWorks       Corp.   Class   A
                                           211,066          2,292
    *
        BuzzFeed     Inc.
                                           688,074          1,060
    *
        Loyalty     Ventures     Inc.                                     880
                                           246,458
                                                  12,802,718
    通信サービス       (1.5  % )
        Cable   One  Inc.
                                           151,451        195,269
    *
        Ciena   Corp.
                                          3,843,104          175,630
    *
        Frontier     Communications         Parent    Inc.
                                          6,190,558          145,726
    *
        Lumentum     Holdings     Inc.
                                          1,655,936          131,514
    *
        Vonage    Holdings     Corp.
                                          6,486,296          122,202
        Juniper     Networks     Inc.
                                          4,081,723          116,329
    *
        Iridium     Communications         Inc.
                                          2,910,799          109,330
    *
        Viavi   Solutions      Inc.
                                          5,750,852          76,084
        Cogent    Communications         Holdings     Inc.
                                          1,089,788          66,215
    *
        Viasat    Inc.
                                          1,787,914          54,764
    *
        Altice    USA  Inc.   Class   A
                                          5,467,200          50,571
    *
        Calix   Inc.
                                          1,388,715          47,411
        InterDigital       Inc.
                                           779,476         47,392
    *
        Plantronics       Inc.
                                          1,031,958          40,948
        Telephone      & Data   Systems     Inc.
                                          2,570,318          40,585
    *
        CommScope      Holding     Co.  Inc.
                                          4,964,472          30,382
        Shenandoah      Telecommunications           Co.
                                          1,208,780          26,835
    *
        Infinera     Corp.
                                          4,650,669          24,927
    *
        WideOpenWest       Inc.
                                          1,338,643          24,377
    *,1
        Globalstar      Inc.
                                          18,282,665           22,488
        ADTRAN    Inc.
                                          1,192,461          20,904
    *
        EchoStar     Corp.   Class   A
                                           887,360         17,126
    *
        8x8  Inc.
                                          2,895,278          14,911
    *
        Gogo   Inc.
                                           807,924         13,080
                                50/72


                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
    *
        NETGEAR     Inc.
                                           705,120         13,059
        ATN  International        Inc.
                                           273,774         12,843
                                51/72




















                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
                                                   市場価格     •
                                             株数     ( 千米ドル     )
    *
        United    States    Cellular     Corp.
                                            393,394         11,393
    *,1
        fuboTV    Inc.                                         10,385
                                          4,204,653
                                                   1,662,680
    公益事業     (4.0  % )
        Atmos   Energy    Corp.
                                          3,514,650          393,992
        Essential      Utilities      Inc.
                                          5,963,363          273,420
        Constellation        Energy    Corp.
                                          4,127,471          236,339
        NRG  Energy    Inc.
                                          5,998,086          228,947
        Pinnacle     West   Capital     Corp.
                                          2,855,683          208,808
        UGI  Corp.
                                          5,307,304          204,915
        OGE  Energy    Corp.
                                          5,064,164          195,274
        National     Fuel   Gas  Co.
                                          2,311,440          152,671
        Southwest      Gas  Holdings     Inc.
                                          1,584,977          138,020
        IDACORP     Inc.
                                          1,277,216          135,283
        Black   Hills   Corp.
                                          1,638,468          119,231
    *
        Sunrun    Inc.
                                          5,043,573          117,818
    *
        Clean   Harbors     Inc.
                                          1,306,671          114,556
        ONE  Gas  Inc.
                                          1,366,286          110,929
        Portland     General     Electric     Co.
                                          2,255,713          109,019
        New  Jersey    Resources      Corp.
                                          2,427,945          108,116
        Hawaiian     Electric     Industries      Inc.
                                          2,625,582          107,386
        South   Jersey    Industries      Inc.
                                          3,094,097          105,632
        PNM  Resources      Inc.
                                          2,169,446          103,656
    *
        Stericycle      Inc.
                                          2,327,623          102,066
    *
        Evoqua    Water   Technologies       Corp.
                                          3,064,611          99,631
        Spire   Inc.
                                          1,250,993          93,036
    *
        Casella     Waste   Systems     Inc.   Class   A
                                          1,280,062          93,035
        Ormat   Technologies       Inc.
                                          1,134,169          88,862
        ALLETE    Inc.
                                          1,425,939          83,817
        NorthWestern       Corp.
                                          1,366,796          80,545
        Avista    Corp.
                                          1,829,380          79,596
        American     States    Water   Co.
                                            932,486         76,007
        California      Water   Service     Group
                                          1,357,534          75,411
        Clearway     Energy    Inc.   Class    C 
                                          2,062,760          71,867
        MGE  Energy    Inc.
                                            911,722         70,959
        Northwest      Natural     Holding     Co.
                                            866,669         46,020
    *
        Sunnova     Energy    International        Inc.
                                          2,458,572          45,312
    *
        Archaea     Energy    Inc.   Class   A
                                          2,032,011          31,557
        Clearway     Energy    Inc.   Class   A
                                            884,276         28,270
    *
        Harsco    Corp.
                                          2,022,978          14,383
    *,1
        Excelerate      Energy    Inc.   Class   A
                                            464,242          9,248
    *,1
        NuScale     Power   Corp.                                     3,731
                                            373,436
                                                   4,357,365
    普通株式総額
    ( 原価   $95,625,088)
                                                  107,907,728
    短期現物投資       (2.6  % )
    マネー・マーケット・ファンド                (2.6  % )
    3,4
        Vanguard     Market    Liquidity      Fund,   1.417   %
        ( 原価   $2,788,662)
                                          27,896,140         2,788,777
    投資総額     (101.9   % )
    ( 原価   $98,413,750)
                                                  110,696,505
    その他の資産および負債-純額                (-1.9   % )
                                                  (2,034,022)
    純資産    (100  % )
                                                  108,662,483
                                              (14,627,057      百万円   )
                                52/72


                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
    原価は千米ドル単位である。
    ・  財務書類注記の注記Aを参照のこと。
    *  配当を出さない有価証券。
    1  ブローカー/ディーラーに貸し付けられている証券ポジションの一部が含まれている。貸付有価
       証券の価値総額は         1,799,311,000       米ドルである。
    2  重要な観察不能なインプットを用いて算定された有価証券の価値。
    3  バンガード・ファンド並びにバンガードが管理する一部の信託および口座にのみ利用可能な関連
       会社のマネー・マーケット・ファンド。提示されているレートは7日間の利回りである。
    4  貸付有価証券に係る担保として                1,974,436,000       米ドルを受け取った。
       CVR  -不確定価額受領権(           Contingent      Value   Rights   )

       REIT  -不動産投資信託(          Real   Estate    Investment      Trust   )

    期末現在のデリバティブ金融商品残高

    先物契約
                                                (単位:千米ドル)
                                                   時価および
                                        買建
                                                   未実現評価益
                                        (売建  )
                                 限月       玉数    想定元本         (損)
    買建の先物契約
    E-mini   ラッセル    2000  インデックス                 2022  年9月       4,799     409,834        (20,522)
    E-mini   S&P  500  インデックス
                               2022  年9月        160     30,316         (16)
    E-mini   S&P  ミッド・キャップ       400 インデックス
                               2022  年9月       1,461     331,355        (17,980)
                                                     (38,518)
                                                (単位:千米ドル)

    店頭トータル・リターンスワップ
                                        受領
                                                    時価および
                                        (支払  )
                            契約
                                             時価および       未実現評価
                                          1
    参照企業                  満期日     相手方     想定元本      変動金利     未実現評価益          (損)
    ACI  Worldwide     Inc.
                   2022  年8月   31 日    BANA     1,465     (1.643)   %       -      (43)
    Avalara    Inc.
                   2022  年8月   31 日    BANA     7,620     (1.212)   %       -     (1,273)
    DXC  Technology     Co.
                   2022  年8月   31 日    BANA     3,054     (1.968)   %       -      (24)
    DXC  Technology     Co.
                   2022  年8月   31 日    BANA     1,534     (1.967)   %       -      (19)
    Ollie's    Bargain    Outlet
    Holdings    Inc.
                   2023  年1月   31 日    GSI    17,013     (1.611)   %      602        -
    Popular    Inc.
                   2022  年8月   31 日    BANA     2,339     (1.844)   %       -      (33)
    Popular    Inc.
                   2022  年8月   31 日    BANA     11,439     (1.634)   %       -      (614)
    Signature     Bank
                   2023  年8月   31 日    BANA     8,141     (2.319)   %       -      (84)
    Signature     Bank
                   2023  年8月   31 日    BANA     54,068     (1.942)   %       -     (9,347)
    United   Therapeutics      Corp.
                   2022  年8月   31 日    BANA     27,641     (1.257)   %      611        -
                                              1,213      (11,437)
    1  直近の支払日における米ドル翌日物銀行調達金利に基づいている。月次の変動金利の支払に係る

       受取/支払。
       BANA-Bank      of  America,     N.A.
       GSI-Goldman       Sachs   International.
    2022  年6月   30 日現在、契約相手方は、未決済店頭スワップ契約に関して                              1,142,000     米ドルの有価証券を
    分別口座に預託していた。
    添付の注記は財務書類の不可欠の一部である。

    次へ

                                53/72


                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
    資産負債計算書
                                          スモールキャップ・

                                         インデックス・ファンド
                                          2022  年6月   30 日現在
                                        千米ドル          百万円
    資産
                   1
    有価証券に対する投資-時価
     非関連発行体(取得原価              95,625,088      千米ドル)                107,907,728          14,525,459
                                         2,788,777           375,397
     関連発行体(取得原価             2,788,662     千米ドル)
    有価証券に対する投資合計                                    110,696,505          14,900,857
    バンガードに対する投資                                       4,303           579
    差し入れられた現金担保-先物契約                                       47,799          6,434
    差し入れられた現金担保-店頭スワップ契約                                       8,630          1,162
    売却投資有価証券に係る未収入金                                      136,109          18,322
    未収収益                                      114,212          15,374
    発行済資本持分に係る未収入金                                       48,490          6,527
                                           1,213           163
    未実現評価益-店頭スワップ契約
    資産合計                                    111,057,261          14,949,418
    負債
    カストディアンに対する債務                                      123,052          16,564
    購入投資有価証券に係る未払金                                      213,178          28,696
    貸付有価証券に係る担保                                     1,974,436           265,779
    資本持分の買戻しに係る未払金                                       63,840          8,594
    バンガードに対する未払金                                       2,122           286
    未払変動証拠金-先物契約                                       6,713           904
                                           11,437          1,540
    未実現評価損-店頭スワップ契約
                                         2,394,778           322,361
    負債合計
                                        108,662,483          14,627,057
    純資産
    1 貸付有価証券         1,799,311     米ドルを含む。

                                54/72









                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
    2022  年6月   30 日現在の純資産の内訳:
                                        (千米ドル)           (百万円)

    払込出資金                                    100,660,133          13,549,861
    分配可能利益(損失)合計                                     8,002,350          1,077,196
    純資産                                    108,662,483          14,627,057
    インベスター受益証券

    発行済受益証券        5,124,882     口に対する純資産
    (額面   0.001   米ドル:授権口数は無制限)                                432,466          58,214
    受益証券1口当たり純資産価額-インベスター受益証券                                    84.39   米ドル        11,360   円
    ETF  受益証券

    発行済受益証券        221,319,304      口に対する純資産
    (額面   0.001   米ドル:授権口数は無制限)                              38,980,578          5,247,176
    受益証券1口当たり純資産価額-                 ETF  受益証券                176.13   米ドル        23,709   円
    アドミラル受益証券

    発行済受益証券        507,445,967      口に対する純資産
    (額面   0.001   米ドル:授権口数は無制限)                              42,826,861          5,764,924
    受益証券1口当たり純資産価額-アドミラル受益証券                                    84.40   米ドル        11,361   円
    インスティテューショナル受益証券

    発行済受益証券        197,398,980      口に対する純資産
    (額面   0.001   米ドル:授権口数は無制限)                              16,659,218          2,242,497
    受益証券1口当たり純資産価額
    -インスティテューショナル受益証券                                    84.39   米ドル        11,360   円
    インスティテューショナル・プラス受益証券

    発行済受益証券        40,081,072      口に対する純資産
    (額面   0.001   米ドル:授権口数は無制限)                               9,763,360          1,314,246
    受益証券1口当たり純資産価額
    -インスティテューショナル・プラス受益証券                                   243.59   米ドル        32,790   円
    添付の注記は財務書類の不可欠の一部である。

                                55/72








                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
    損益計算書
                                スモールキャップ・インデックス・ファンド
                                   2022  年6月   30 日に終了した6ヶ月間
                                   千米ドル             百万円
    投資収益
    収益
        1
                                       717,624              96,599
    配当金
       2
                                        1,602              216
    利息
                                        22,423              3,018
    貸付有価証券-純額
                                       741,649              99,833
     収益総額
    費用

    バンガード・グループ-注記B
    投資運用サービス                                    1,005              135
    マネジメントおよび管理
     -インベスター受益証券                                    415              56
     - ETF  受益証券                                9,243             1,244
     -アドミラル受益証券                                  10,354              1,394
     -インスティテューショナル受益証券                                   3,131              421
     -インスティテューショナル・プラス受益証券                                   1,307              176
    マーケティングおよび販売
     -インベスター受益証券                                    18              2
     - ETF  受益証券                                 836             113
     -アドミラル受益証券                                    995             134
     -インスティテューショナル受益証券                                    329              44
     -インスティテューショナル・プラス受益証券                                    197              27
    カストディアン報酬                                     444              60
    受益者報告
     -インベスター受益証券                                     1             0
     - ETF  受益証券                                 577              78
     -アドミラル受益証券                                    274              37
     -インスティテューショナル受益証券                                    104              14
     -インスティテューショナル・プラス受益証券                                    35              5
    受託者報酬および費用                                     32              4
                                          18              2
    その他の費用
                                        29,315              3,946
    費用総額
                                         (16)              (2)
    間接的に支払われた費用
                                        29,299              3,944
    費用純額
                                       712,350              95,889
    投資純利益
    実現純利益(損失)
             2 ,3
                                      1,406,927              189,386
    売却投資有価証券
    先物契約                                  (126,024)              (16,964)
                                       (20,643)              (2,779)
    スワップ契約
                                      1,260,260              169,644
    実現純利益(損失)
    未実現評価益(損)の変動
           2
                                     (32,111,561)              (4,322,537)
    投資有価証券
    先物契約                                   (53,994)              (7,268)
                                       (18,574)              (2,500)
    スワップ契約
                                     (32,184,129)              (4,332,306)
    未実現評価益(損)の変動
                                     (30,211,519)              (4,066,773)
    運用による純資産の純増加(減少)額
    1 配当金は、        24,000   米ドルの外国源泉税控除後である。

    2 当ファンドの関連会社からの利息収益、実現純利益(損失)および未実現評価益(損)の変動
       は、それぞれ       1,602,000     米ドル、     (298,000)     米ドルおよび       (155,000)     米ドルであった。購入および売
       却は、短期現物投資目的で行われる。
    3 現物償還による          3,687,883,000       米ドルの純利益(損失)を含む。
    添付の注記は財務書類の不可欠な一部である。

                                56/72



                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
    純資産変動計算書
                             スモールキャップ・インデックス・ファンド
                             2022  年6月   30 日         2021  年 12 月 31 日
                            に終了した6ヶ月間                  終了計算期間
                          千米ドル         百万円       千米ドル        百万円
    純資産の増加(減少)
    運用
    投資純利益                        712,350         95,889      1,718,894         231,380
    実現純利益(損失)                       1,260,260         169,644      10,495,579        1,412,810
                          (32,184,129)         (4,332,306)         8,205,881        1,104,594
    未実現評価益(損)の変動
    運用による純資産の純増加
                          (30,211,519)         (4,066,773)        20,420,354        2,748,784
    (減少)額
    分配

     インベスター受益証券                       (2,573)         (346)       (8,073)        (1,087)
     ETF  受益証券                    (255,164)         (34,348)       (596,413)        (80,283)
     アドミラル受益証券                      (278,288)         (37,460)       (684,429)        (92,131)
     インスティテューショナル
     受益証券                      (108,688)         (14,630)       (275,247)        (37,051)
     インスティテューショナル・
                            (64,126)         (8,632)       (153,202)        (20,623)
     プラス受益証券
                            (708,839)         (95,417)      (1,717,364)         (231,174)
    分配総額
    資本持分取引
     インベスター受益証券                       (58,677)         (7,899)       (201,756)        (27,158)
     ETF  受益証券                    (104,939)         (14,126)       6,570,091         884,400
     アドミラル受益証券                      (259,299)         (34,904)        234,027        31,502
     インスティテューショナル
     受益証券                      (441,127)         (59,380)       (197,115)        (26,534)
     インスティテューショナル・
                            (103,528)         (13,936)        799,184        107,578
     プラス受益証券
    資本持分取引による純増加
                            (967,570)        (130,245)       7,204,431         969,788
    (減少)額
                          (31,887,928)         (4,292,434)        25,907,421        3,487,398
    増加(減少)総額
    純資産
                          140,550,411         18,919,491       114,642,990        15,432,093
    期首
                          108,662,483         14,627,057       140,550,411        18,919,491
    期末
    添付の注記は財務書類の不可欠な一部である。

                                57/72







                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
    財務ハイライト
                             スモールキャップ・インデックス・ファンド

                                   インベスター受益証券
                          2022  年
                                       12 月 31 日終了計算期間
                         6月  30 日に
                          終了した
                          6ヶ月間      2021  年   2020  年   2019  年   2018  年   2017  年
                          米ドル      米ドル     米ドル     米ドル     米ドル     米ドル
    各期間の発行済受益証券1口当たり
                            108.35      93.20     79.35     63.21     70.76     61.75
    期首純資産価額
    投資運用

         1
                            0.490     1.230     0.928     0.832     0.967     0.876
    投資純利益
                           (23.961)      15.130     13.897     16.319     (7.552)      9.011
    投資に係る実現および未実現純利益(損失)
                           (23.471)      16.360     14.825     17.151     (6.585)      9.887
    投資運用による総額
    分配

    投資純利益による配当                        (0.489)     (1.210)     (0.975)     (1.011)     (0.965)     (0.877)
                              -     -     -     -     -     -
    実現キャピタルゲインによる分配
                            (0.489)     (1.210)     (0.975)     (1.011)     (0.965)     (0.877)
    分配総額
                            84.39     108.35      93.20     79.35     63.21     70.76
    期末純資産価額
        2

                           -21.70   %   17.59  %   18.96  %   27.22  %   -9.43  %   16.10  %
    総収益率
    比率/補足データ

    期末純資産(百万米ドル)                         432     619     709     754    3,332     4,345
                              3
                                 0.17  %   0.17  %   0.17  %   0.17  %   0.17  %
    平均純資産に対する総費用の比率                       0.17  %
    平均純資産に対する投資純利益の比率                        1.12  %   1.17  %   1.26  %   1.14  %   1.34  %   1.36  %
              4
                             7%    17 %    22 %    16 %    15 %    15 %
    ポートフォリオの回転率
    当期の経費率および投資純利益比率は年率換算されている。

    1 発行済の平均株式数に基づいて計算される。
    2 総収益率は、表示期間に適用された可能性のある口座維持手数料を含まない。ファンドの目論見
       書は、適用される口座維持手数料に関する情報を提供するものである。
    3 カストディアン報酬相殺の取り決めによる削減分控除後の期中の平均純資産に対する費用の比率
       は 0.17  %であった。
    4   ETF  のクリエーション・ユニットを含む、当ファンドの資本持分の現物による買戻しあるいは償還
       の結果として受領したもしくは引渡されたポートフォリオ証券額を除く。
    添付の注記は財務書類の不可欠な一部である。

                                58/72






                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
    財務ハイライト
                             スモールキャップ・インデックス・ファンド

                                     ETF  受益証券
                          2022  年
                                       12 月 31 日終了計算期間
                         6月  30 日に
                          終了した
                          6ヶ月間      2021  年   2020  年   2019  年   2018  年   2017  年
                          米ドル      米ドル     米ドル     米ドル     米ドル     米ドル
    各期間の発行済受益証券1口当たり
                            226.15     194.54     165.64     131.94     147.71     128.90
    期首純資産価額
    投資運用

         1
                            1.151     2.769     2.262     2.298     2.239     2.037
    投資純利益
                           (50.025)      31.637     28.863     33.707     (15.808)      18.768
    投資に係る実現および未実現純利益(損失)
                           (48.874)      34.406     31.125     36.005     (13.569)      20.805
    投資運用による総額
    分配

    投資純利益による配当                        (1.146)     (2.796)     (2.225)     (2.305)     (2.201)     (1.995)
                              -     -     -     -     -     -
    実現キャピタルゲインによる分配
                            (1.146)     (2.796)     (2.225)     (2.305)     (2.201)     (1.995)
    分配総額
                            176.13     226.15     194.54     165.64     131.94     147.71
    期末純資産価額
                           -21.65   %   17.72  %   19.08  %   27.37  %   -9.30  %   16.24  %

    総収益率
    比率/補足データ

    期末純資産(百万米ドル)                        38,981     50,187     37,492     27,442     20,914     21,605
                              2
                                 0.05  %   0.05  %   0.05  %   0.05  %   0.05  %
    平均純資産に対する総費用の比率                       0.05  %
    平均純資産に対する投資純利益の比率                        1.25  %   1.25  %   1.47  %   1.49  %   1.46  %   1.48  %
              3
                             7%    17 %    22 %    16 %    15 %    15 %
    ポートフォリオの回転率
    当期の経費率および投資純利益比率は年率換算されている。

    1 発行済の平均株式数に基づいて計算される。
    2 カストディアン報酬相殺の取り決めによる削減分控除後の期中の平均純資産に対する費用の比率
       は 0.05  %であった。
    3   ETF  のクリエーション・ユニットを含む、当ファンドの資本持分の現物による買戻しあるいは償還
       の結果として受領したもしくは引渡されたポートフォリオ証券額を除く。
    添付の注記は財務書類の不可欠な一部である。

                                59/72







                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
    財務ハイライト
                             スモールキャップ・インデックス・ファンド

                                   アドミラル受益証券
                          2022  年
                                       12 月 31 日終了計算期間
                         6月  30 日に
                          終了した
                          6ヶ月間      2021  年   2020  年   2019  年   2018  年   2017  年
                          米ドル      米ドル     米ドル     米ドル     米ドル     米ドル
    各期間の発行済受益証券1口当たり
                            108.37      93.22     79.37     63.23     70.78     61.77
    期首純資産価額
    投資運用

         1
                            0.549     1.358     1.029     1.108     1.067     0.970
    投資純利益
                           (23.970)      15.131     13.887     16.136     (7.563)      8.997
    投資に係る実現および未実現純利益(損失)
                           (23.421)      16.489     14.916     17.244     (6.496)      9.967
    投資運用による総額
    分配

    投資純利益による配当                        (0.549)     (1.339)     (1.066)     (1.104)     (1.054)     (0.957)
                              -     -     -     -     -     -
    実現キャピタルゲインによる分配
                            (0.549)     (1.339)     (1.066)     (1.104)     (1.054)     (0.957)
    分配総額
                            84.40     108.37      93.22     79.37     63.23     70.78
    期末純資産価額
        2

                           -21.65   %   17.73  %   19.11  %   27.37  %   -9.31  %   16.24  %
    総収益率
    比率/補足データ

    期末純資産(百万米ドル)                        42,827     55,266     47,313     42,386     31,382     33,801
                              3
                                 0.05  %   0.05  %   0.05  %   0.05  %   0.05  %
    平均純資産に対する総費用の比率                       0.05  %
    平均純資産に対する投資純利益の比率                        1.24  %   1.29  %   1.40  %   1.50  %   1.46  %   1.48  %
              4
                             7%    17 %    22 %    16 %    15 %    15 %
    ポートフォリオの回転率
    当期の経費率および投資純利益比率は年率換算されている。

    1 発行済の平均株式数に基づいて計算される。
    2 総収益率は、表示期間に適用された可能性のある口座維持手数料を含まない。ファンドの目論見
       書は、適用される口座維持手数料に関する情報を提供するものである。
    3 カストディアン報酬相殺の取り決めによる削減分控除後の期中の平均純資産に対する費用の比率
       は 0.05  %であった。
    4   ETF  のクリエーション・ユニットを含む、当ファンドの資本持分の現物による買戻しあるいは償還
       の結果として受領したもしくは引渡されたポートフォリオ証券額を除く。
    添付の注記は財務書類の不可欠な一部である。

                                60/72






                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
    財務ハイライト
                             スモールキャップ・インデックス・ファンド

                               インスティテューショナル受益証券
                          2022  年
                                       12 月 31 日終了計算期間
                         6月  30 日に
                          終了した
                          6ヶ月間      2021  年   2020  年   2019  年   2018  年   2017  年
                          米ドル      米ドル     米ドル     米ドル     米ドル     米ドル
    各期間の発行済受益証券1口当たり
                            108.36      93.22     79.37     63.22     70.78     61.77
    期首純資産価額
    投資運用

         1
                            0.554     1.367     1.034     1.101     1.076     0.975
    投資純利益
                           (23.970)      15.123     13.889     16.161     (7.575)      8.998
    投資に係る実現および未実現純利益(損失)
                           (23.416)      16.490     14.923     17.262     (6.499)      9.973
    投資運用による総額
    分配

    投資純利益による配当                        (0.554)     (1.350)     (1.073)     (1.112)     (1.061)     (0.963)
                              -     -     -     -     -     -
    実現キャピタルゲインによる分配
                            (0.554)     (1.350)     (1.073)     (1.112)     (1.061)     (0.963)
    分配総額
                            84.39     108.36      93.22     79.37     63.22     70.78
    期末純資産価額
                           -21.65   %   17.73  %   19.12  %   27.40  %   -9.32  %   16.25  %

    総収益率
    比率/補足データ

    期末純資産(百万米ドル)                        16,659     21,841     18,957     17,337     14,454     15,352
                              2
                                 0.04  %   0.04  %   0.04  %   0.04  %   0.04  %
    平均純資産に対する総費用の比率                       0.04  %
    平均純資産に対する投資純利益の比率                        1.25  %   1.29  %   1.41  %   1.49  %   1.47  %   1.49  %
              3
                             7%    17 %    22 %    16 %    15 %    15 %
    ポートフォリオの回転率
    当期の経費率および投資純利益比率は年率換算されている。

    1 発行済の平均株式数に基づいて計算される。
    2 カストディアン報酬相殺の取り決めによる削減分控除後の期中の平均純資産に対する費用の比率
       は 0.04  %であった。
    3   ETF  のクリエーション・ユニットを含む、当ファンドの資本持分の現物による買戻しあるいは償還
       の結果として受領したもしくは引渡されたポートフォリオ証券額を除く。
    添付の注記は財務書類の不可欠な一部である。

                                61/72







                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
    財務ハイライト
                             スモールキャップ・インデックス・ファンド

                             インスティテューショナル・プラス受益証券
                          2022  年
                                       12 月 31 日終了計算期間
                         6月  30 日に
                          終了した
                          6ヶ月間      2021  年   2020  年   2019  年   2018  年   2017  年
                          米ドル      米ドル     米ドル     米ドル     米ドル     米ドル
    各期間の発行済受益証券1口当たり
                            312.78     269.07     229.09     182.49     204.30     178.28
    期首純資産価額
    投資運用

         1
                            1.612     4.029     2.988     3.186     3.102     2.835
    投資純利益
                           (69.189)      43.607     40.111     46.645     (21.825)      25.980
    投資に係る実現および未実現純利益(損失)
                           (67.577)      47.636     43.099     49.831     (18.723)      28.815
    投資運用による総額
    分配

    投資純利益による配当                        (1.613)     (3.926)     (3.119)     (3.231)     (3.087)     (2.795)
                              -     -     -     -     -     -
    実現キャピタルゲインによる分配
                            (1.613)     (3.926)     (3.119)     (3.231)     (3.087)     (2.795)
    分配総額
                            243.59     312.78     269.07     229.09     182.49     204.30
    期末純資産価額
                           -21.65   %   17.75  %   19.13  %   27.40  %   -9.30  %   16.27  %

    総収益率
    比率/補足データ

    期末純資産(百万米ドル)                        9,763     12,638     10,172      8,846     7,866     9,531
                              2
                                 0.03  %   0.03  %   0.03  %   0.03  %   0.03  %
    平均純資産に対する総費用の比率                       0.03  %
    平均純資産に対する投資純利益の比率                        1.26  %   1.32  %   1.41  %   1.49  %   1.48  %   1.50  %
              3
                             7%    17 %    22 %    16 %    15 %    15 %
    ポートフォリオの回転率
    当期の経費率および投資純利益比率は年率換算されている。

    1 発行済の平均株式数に基づいて計算される。
    2 カストディアン報酬相殺の取り決めによる削減分控除後の期中の平均純資産に対する費用の比率
       は 0.03  %であった。
    3   ETF  のクリエーション・ユニットを含む、当ファンドの資本持分の現物による買戻しあるいは償還
       の結果として受領したもしくは引渡されたポートフォリオ証券額を除く。
    添付の注記は財務書類の不可欠な一部である。

                                62/72







                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
    財務書類注記

    バンガード・スモールキャップ・インデックス・ファンドは、                                1940  年投資会社法に基づきオープン・エンド

    型投資会社すなわちミューチュアル・ファンドとして登録されている。当ファンドは、インベスター受益証
    券、  ETF  受益証券、アドミラル受益証券、インスティテューショナル受益証券およびインスティテューショナ
    ル・プラス受益証券の5種類のクラスを提供している。受益証券の各クラスには、異なる適格性と最低限の
    購入条件があり、異なるタイプの投資家向けに設定されている。                                 ETF  受益証券は、       NYSE   Arca  に上場されてお
    り、ブローカーを通して売買が可能である。
    パンデミック(        COVID-19     のパンデミック等)、自然災害または環境災害、戦争(ロシアのウクライナ侵攻
    等)、テロ行為、あるいはその他の事象によって引き起こされるような著しい市場の混乱は、国内および世
    界の市場並びに通常の市場運営に悪影響を及ぼす可能性がある。そのような混乱は、当ファンドの投資価値
    と当ファンドのパフォーマンスに悪影響を及ぼす可能性がある。
    A.以下の重要な会計方針は、米国の投資会社について一般に公正妥当と認められる会計原則に準拠してい

       る。当ファンドは、財務書類を作成する際にこれらの会計方針を継続的に適用している。
     1.有価証券の評価:有価証券は、評価日にニューヨーク証券取引所の最終相場(通常東部時間の午後4

        時)で評価される。持分証券は、各有価証券の主要な取引日における直近の売値または公式な終値で
        評価される。評価日に約定のなかった有価証券は、直近の売買気配値の仲値を用いて評価される。市
        場取引価格を容易に入手することができない有価証券、あるいはファンドの価格決定時前で有価証券
        の主要な取引所の取引終了後に生じた事象により価格が大きく影響された有価証券については、受託
        者会によって公正価値を表すとみなされた方法で評価される。バンガード・マーケット・リクイディ
        ティ・ファンドに対する投資は、そのファンドの純資産価額で評価されている。
     2.先物契約:当ファンドは、一定の範囲内において、インデックス先物契約を行っている。これは、株

        式市場に対する十分なエクスポージャーを維持し、流動性を維持し、取引費用を最小化するといった
        目的のために行われる。当ファンドは、流入資金を市場に迅速に投資するために先物契約を購入した
        り、資金流失への対応として先物を売却することがある。これによって、流動性確保のために現金残
        高を維持しながら、基準とするインデックスに対し十分な投資ポジションを擬似的に持つことができ
        る。先物契約を利用することに伴う主要なリスクは、ファンドが保有する株式の市場価格の変動と先
        物契約の価格との間で不完全な相関関係が生じることであり、また市場が非流動的になる可能性であ
        る。先物契約に係る契約相手方のリスクは、契約相手方が清算ブローカーではなく法令上の清算機関
        であることから、軽減されている。契約相手方のリスクをさらに軽減するために、当ファンドは先物
        契約を証券取引所で取引し、清算ブローカーおよび清算機関の財政力をモニタリングし、清算ブロー
        カーと清算契約を締結している。清算機関は当ファンドの債務履行を担保するために当初証拠金要件
        を課し、各契約の市場価格の変動を示す変動証拠金の日々決済を要求している。未決済契約に対する
        当初証拠金として差し入れられた有価証券は、投資有価証券明細表に記載されている。
        先物契約は、日次の決済引値で評価されている。契約の想定元本は、資産負債計算書上に計上されな
        い。契約価値の変動は、資産負債計算書上に資産(負債)として計上される。また、損益計算書上、
        契約が終了するまでは未実現評価益(損)として、終了時には先物契約に係る実現利益(損失)とし
        て計上される。
        2022  年6月   30 日に終了した6ヶ月間において、各四半期末の平均想定元本総額に基づく当ファンドの
        買建および売建の先物契約への平均投資額は、それぞれ純資産の1%および0%を占めていた。
                                63/72


                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
     3.スワップ契約:当ファンドは、当ファンドの目標インデックスによる特定参照株式の総利回りを得る
        ために、エクイティ・スワップ契約を締結している。当該スワップの条件に基づき、当ファンドは、
        特 定の期間にわたり当該エクイティ・スワップ契約の当初の想定元本(特定参照株式の指定株数の株
        価)に対する参照株式の総利回りを受領する(つまり、特定参照株式の株価の増額分を受領し、減額
        分を支払う。特定参照株式の配当金と同等額を受領する)。また、当ファンドは当該想定元本に係る
        短期金利による変動金利を支払うと同時に、通常、スワップの想定元本とほぼ同額を格付けの高い短
        期現物投資に投資する。
        あらゆるタイプのスワップに伴うリスクとは、契約相手方が当ファンドに対して正味金額を支払う義
        務の履行を怠る可能性である。当ファンドが受ける契約相手方のリスクの影響額の最大の金額は、ス
        ワップ契約に係る未実現評価益額である。当ファンドは、様々なグループの事前認定された契約相手
        方とのみスワップ契約を締結し、契約相手方の財政力をモニタリングし、契約相手方とマスター・
        ネッティング契約を締結し、さらに契約相手方の債務履行を担保するために契約相手方に担保供与を
        要請することにより、契約相手方のリスクを軽減している。債務不履行がない場合には、当ファンド
        による差入担保または受取担保は、再担保差入、再売却または再担保設定されることはない。契約相
        手方の債務不履行(破産を含む)が発生した場合には、当ファンドは当該契約相手方とのスワップ契
        約を終了し、マスター・ネッティング契約に基づく当事者のうち一方の純債務額を決定し、保有して
        いる担保を同契約に基づく当ファンドに負っている純債務額まで売却または保持することができる。
        スワップ契約は、当ファンドの純資産が一定のレベルを下回る場合に契約相手方が未決済契約を終了
        する条件を含んでおり、これが契約終了時に当ファンドが純負債ポジションにある場合に当ファンド
        による支払いが発生する一因となる。当該支払額は、当ファンドが供与した担保の分だけ減額され
        る。未決済契約に対する担保として供与された有価証券は、投資有価証券明細表に記載されている。
        受取担保または差入担保の価値は、契約相手方とのスワップ契約エクスポージャーの価値と日々比較
        し、特定の最低譲渡金額を超える差異がある場合は、2営業日以内に修正し決済する。
        スワップ契約の想定元本は、資産負債計算書に計上されていない。スワップは独立した価格提供業者
        または公認ディーラーから受け取った市場取引価格に基づいて日次で評価され、評価の変動は、資産
        負債計算書上に資産(負債)として計上される。また、損益計算書上、定期的な支払が行われるかス
        ワップが解約されるまでは未実現評価益(損)として、定期的な支払いまたはスワップの解約時には
        実現利益(損失)として計上される。
        2022  年6月    30 日に終了した6ヶ月間において、各四半期末の平均想定元本に基づく当ファンドのス
        ワップ契約に対する投資の平均額は、純資産の1%未満を占めていた。
                                64/72








                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
     4.連邦所得税:当ファンドは、規制投資会社としての資格を有し、全ての課税所得を分配し続けること

        を意図している。当ファンドの税務申告書は、適用される出訴期限が消滅するまで、関連する税務当
        局による調査の対象となる。これは通常、税務申告書の提出から3年後である。経営陣は、未決定と
        なっている全ての課税年度の連邦および州の所得税の申告に関して、当ファンドの税務ポジションの
        分析を実施し、当ファンドの財務書類に所得税引当は必要ないとの結論に達した。
     5.分配:受益者に対する分配は、配当落ち日に記録される。分配金額は会計年度末に税法基準によって

        決定されるため、財務報告目的のための投資純利益および実現キャピタルゲインとは異なる可能性が
        ある。
     6.貸付有価証券:当ファンドは、追加で収益を得るために適格機関投資家に有価証券を貸し付ける。貸

        付有価証券は、いかなる場合も当ファンドによる解約を条件としており、常に貸付けられた有価証券
        の市場価格と少なくとも同等の金額の担保によって保全されることが要求される。日々の市場変動に
        より、貸付有価証券の価値が受取担保の価値を上回ったり下回ったりする可能性があるが、この場
        合、当該担保は翌営業日の市場の取引開始前に修正および決済される。当ファンドは、様々なグルー
        プの事前認定された契約相手方とのみ貸付有価証券取引を締結し、契約相手方の財政力をモニタリン
        グし、契約相手方とマスター・貸付有価証券契約を締結することにより、契約相手方のリスクをさら
        に軽減している。マスター・貸付有価証券契約に基づき、契約相手方の債務不履行(破産を含む)が
        発生した場合には、当ファンドは当該借手との貸付契約を終了し、純債務額を決定し、担保を当ファ
        ンドの純債務額まで売却または保持することができる。しかし、かかる行為は法的手続の対象となる
        可能性がある。当該担保は契約相手方のリスクを軽減するが、債務不履行が発生した場合には、当該
        ファンドには貸付けられた有価証券を回収する上で遅れとコストが発生する可能性がある。当ファン
        ドは、有価証券を貸付けている期間中、受領した現金担保をバンガード・マーケット・リクイディ
        ティ・ファンドに投資し、当該担保の返済について資産負債計算書に債務を計上している。バンガー
        ド・マーケット・リクイディティ・ファンドへの担保投資は、市場価格の上昇または下落の影響を受
        ける。貸付有価証券による収益は、借り手に課せられた手数料に現金担保の投資による収益を加えた
        ものから貸付関連の費用を控除したものを表している。貸付期間において、当ファンドは貸付有価証
        券に対して行う、または貸付有価証券に関する全ての分配に対する資格を有している。
     7.クレジット・ファシリティおよびファンド間貸付プログラム:当ファンドおよびバンガード・グルー

        プ(以下「バンガード」という)が管理しているその他のファンドの一部は、バンガードが提供する
        クレジット契約およびコミットされていないクレジット・ファシリティに従ってシンジケートにより
        提供される      44 億米ドルを限度枠とするクレジット・ファシリティに参加している。どちらのファシリ
        ティも年次で更新される可能性がある。各ファンドは、クレジット・ファシリティに基づく借入を
        行っている場合には、それぞれの借入金について責任を負う。借入金は一時的または緊急目的で使用
        される可能性があり、ファンドの規制上および契約上の借入限度内でなくてはならない。コミットさ
        れたクレジット・ファシリティに関しては、参加ファンドは事務管理費と、未使用枠のコミットされ
        た金額の     0.10  %に相当する年次の約定手数料を支払う必要があり、当該費用は当ファンドの受託者会
        が承認する方法に基づいて各ファンドに配分され、各ファンドの損益計算書のマネジメントおよび管
        理費用に含まれる。このファシリティに基づく借入金には、合意されたスプレッドにフェデラル・
        ファンド実効金利、オーバーナイト・バンク・ファンディング・レート、または追加の合意されたス
        プレッドを含むデイリー・シンプル・セキュアド・オーバーナイト・ファイナンシング・レートのい
        ずれか高い方を加えたレートで利息が発生する。ただし、コミットされていないクレジット・ファシ
                                65/72


                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
        リティに基づく借入金については、当ファンドとバンガードが合意した代替レートに基づいて利息が
        発生する可能性がある。
        SEC  からの適用除外命令(以下「命令」という)に従い、当ファンドは、命令の契約条件を遵守し、当
        ファンドの投資目的および投資方針により許容される範囲内で、登録されたオープン・エンド型のバ
        ンガード・ファンズが一時的または緊急の目的で相互に資金の借入および貸付を行うことを認める共
        同貸借プログラム(以下「ファンド間貸付プログラム」という)に参加することができる。ファンド
        間貸付金および借入金は通常、翌日まで延長されるが、最長で7日間とされる。貸付金は、1営業日
        の通知により請求することができる。適用される金利は、受託者会が採用する命令および内部手続の
        条件に左右される。受託者会は、ファンド間貸付プログラムを監視する責任を負っている。
        2022  年6月   30 日に終了した6ヶ月間において、当ファンドはクレジット・ファシリティまたはファン
        ド間貸付プログラムを利用しなかった。
     8.その他:配当金収益は、配当落ち日に記録される。配当金収益に含まれる非現金配当金がある場合

        は、受領した有価証券の公正価値で計上される。利息収益は、バンガード・マーケット・リクイディ
        ティ・ファンドから受領した利益分配を含み、日次で計上される。有価証券取引は、有価証券が売買
        された日に会計処理される。投資有価証券の売却に係る実現利益(損失)を決定するために用いられ
        る原価は、売却された有価証券の個別の原価である。
        各クラスの受益証券は資産および利益に対し同等の権利を有するが、受益者口座の維持費用(マネジ
        メントおよび管理費用に含まれる)および受益者報告について、各クラスにはそれぞれ特定のクラス
        に帰属すべき費用が生じる。マーケティングおよび販売費用は、受託者会が承認する方法に基づいて
        受益証券の各クラスに配分される。収益、その他の特定のクラスに帰属しない費用、並びに投資に係
        る損益は、それぞれ関連する純資産に基づいて受益証券の各クラスに配分される。
    B.バンガードと当ファンドの間のファンズ・サービス・アグリーメント(以下「                                           FSA  」という)の条件に

       従って、バンガードは、当ファンドに投資運用、コーポレート・マネジメント、管理、マーケティング
       および販売サービスをバンガードの運用コスト(                         FSA  で定義されている)で提供している。当該運用コス
       トは、受託者会によって承認された方法および指針に基づき、当ファンドに賦課され、通常、月に2回
       決済される。
       バンガードの要請に応じて、当ファンドは、純資産の                            0.40  %までをバンガードの資本として投資するこ

       とがある。      2022  年6月   30 日現在、当ファンドはバンガードの資本に対して、                          4,303,000     米ドルを拠出した
       が、これは当ファンドの純資産の                 0.01  %未満であり、        FSA  に従って受領した         バンガードの資本の          1.72  %に
       相当する。当ファンドの受託者および役員は、同時にそれぞれバンガードの取締役および従業員であ
       る。
                                66/72






                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
    C.当ファンドのカストディアン銀行は、当ファンドが無利子のカストディアン口座に現金預金を維持する
       場合、その報酬を減額することに合意している。                         2022  年6月   30 日に終了した6ヶ月間において、カスト
       ディアン報酬相殺の取り決めにより、当ファンドの費用が                              16,000   米ドル   ( 平均純資産の年率         0.01  %未満   )
       減少した。
    D.様々なインプットは、当ファンドの投資有価証券およびデリバティブの価値を決定する際に用いること

       ができる。これらのインプットは、財務書類目的で広く3つの階層に要約される。有価証券を評価する
       際に用いられるインプットまたは手法は、必ずしもそれら有価証券への投資に伴うリスクの兆候とはな
       らない。
       レベル1        活発な市場での同一の有価証券の取引価格

       レベル2        その他の重要な観察可能なインプット(類似する有価証券の取引価格、金利、期
               限前償還率、信用リスクなどを含む)
       レベル3        重要な観察不能なインプット(投資の公正価値を決定する際に用いる当ファンド
               の仮定を含む)。重要な観察不能なインプットで評価される投資およびデリバ
               ティブは、投資有価証券明細表に記載されている。
       以下の表は、       2022  年6月   30 日現在の当ファンドの投資有価証券およびデリバティブの市場価格を評価に

       用いたインプットに基づき要約したものである。
                                              (単位:千米ドル)

                           レベル1        レベル2        レベル3         合計
       投資
       資産
       普通株式                   107,907,155             -       573   107,907,728
       短期現物投資                    2,788,777            -        -    2,788,777
       合計                   110,695,932             -       573   110,696,505
       デリバティブ金融商品
       資産
       スワップ契約                        -      1,213         -      1,213
       負債
            1
                             38,518          -        -      38,518
       先物契約
       スワップ契約                        -      11,437          -      11,437
       合計                      38,518        11,437          -      49,955
       1 投資有価証券明細表に報告されているように、先物契約および中央清算スワップ(ある場合)に係
       る累積評価益(評価損)が含まれている。資産負債計算書では、当該日の変動証拠金のみが報告されて
       いる。
                                67/72





                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
    E.  2022  年6月   30 日現在、米国連邦所得税目的の原価に基づく投資およびデリバティブの未実現評価益およ

       び評価損の総額は以下のとおりである。
                                              (単位:千米ドル)

                                             金額
       税金費用                                           98,734,120
       未実現評価益総額                                           29,949,097
       未実現評価損総額                                           (18,035,454)
       未実現純評価益(損)                                           11,913,643
       当ファンドの課税ベースのキャピタルゲインおよびキャピタルロスは各年度末にのみ確定する。税務目

       的上、   2021  年 12 月 31 日現在、当ファンドには、将来の純キャピタルゲインと相殺するために無期限に繰
       越可能である合計         5,198,211,000       米ドルのキャピタルロスがあった。当ファンドは、                          2022  年 12 月 31 日に終
       了する計算期間に課税対象となる純キャピタルゲインが実現した場合、このキャピタルゲインを相殺す
       るために当該キャピタルロスを利用する予定である。当計算期間に純キャピタルロスが実現した場合に
       は、このキャピタルロスを上記の繰越損失残高に加算する予定である。
    F.  2022  年6月    30 日に終了した6ヶ月間において、当ファンドは短期現物投資以外の投資有価証券を

       15,659,445,000        米ドル購入し、        16,471,142,000        米ドル売却した。購入と売却には、当ファンドの資本持
       分の現物による買戻しおよび償還に関連して、それぞれ                             7,079,455,000       米ドルおよび       7,206,960,000       米ド
       ルが含まれている。
       当ファンドは、        1940  年投資会社法の規則          17a  - 7 に準拠して受託者会が承認した手続に従い、バンガード

       やその関連会社が管理する他のバンガード・ファンドまたは口座から有価証券を購入し、当該ファンド
       または口座に有価証券を売却した。                  2022  年6月   30 日に終了した6ヶ月間において、かかる購入および売
       却はそれぞれ       1,515,507,000       米ドルおよび       460,454,000      米ドルであり、実現純損失は               192,306,000      米ドルと
       なった。短期現物投資以外のこれらの金額は上記の投資有価証券の購入および売却に含まれている。
                                68/72









                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
    G.受益証券の各クラスの資本持分取引は、以下のとおりであった。

                              2022  年6月   30 日に        2021  年 12 月 31 日

                              終了した6ヶ月間                終了計算期間
                              金額       口数       金額       口数
                             千米ドル         千口      千米ドル        千口
    インベスター受益証券
    発行                           21,967         227      83,822        804
    現金分配に代えて発行                           2,573         28      8,073        77
    買戻し                          (83,217)         (842)      (293,651)        (2,772)
    純増加(減少)額
    -インベスター受益証券                          (58,677)         (587)      (201,756)        (1,891)
    ETF  受益証券
    発行                         7,366,311         38,126      19,022,966         85,746
    現金分配に代えて発行                             -       -        -       -
    買戻し                        (7,471,250)         (38,725)      (12,452,875)         (56,550)
    純増加(減少)額
    - ETF  受益証券                       (104,939)         (599)     6,570,091        29,196
    アドミラル受益証券
    発行                         3,299,411         34,090      8,639,338        82,503
    現金分配に代えて発行                          246,643        2,689       609,812        5,775
    買戻し                        (3,805,353)         (39,316)      (9,015,123)        (85,813)
    純増加(減少)額
    -アドミラル受益証券                          (259,299)        (2,537)       234,027        2,465
    インスティテューショナル受益証券
    発行                         1,650,881         17,071      4,948,740        47,094
    現金分配に代えて発行                          102,218        1,115       260,028        2,463
    買戻し                        (2,194,226)         (22,335)      (5,405,883)        (51,369)
    純増加(減少)額
    -インスティテューショナル受益証券                          (441,127)        (4,149)       (197,115)        (1,812)
    インスティテューショナル・プラス
    受益証券
    発行                          568,283        2,022      3,027,331         9,968
                               64,126         242      153,202         502
    現金分配に代えて発行
    買戻し                          (735,937)        (2,589)      (2,381,349)         (7,870)
    純増加(減少)額
    -インスティテューショナル・プラス
     受益証券                          (103,528)         (325)      799,184        2,600
    H.経営陣は、本財務書類への認識または開示が要求されることとなる、                                      2022  年6月   30 日以降に発生した事

       象または取引がなかったと判断した。
                                69/72




                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
     (2)【投資有価証券明細表等】

       ①【投資株式明細表】

         ファンドの投資株式明細表については、「(1)資産及び負債の状況」の項目に記載したファンド

        の投資有価証券明細表を御参照下さい。
       ②【株式以外の投資有価証券明細表】

         ファンドの株式以外の投資有価証券明細表については、「(1)資産及び負債の状況」の項目に記

        載したファンドの投資有価証券明細表を御参照下さい。
       ③【投資不動産明細表】

         該当なし。

       ④【その他投資資産明細表】

         該当なし。

       ⑤【借入金明細表】

         該当なし。

                                70/72











                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
    4【管理会社の概況】

     (1)【資本金の額】
        該当なし。
     (2)【事業の内容及び営業の状況】

        バンガード・インデックス・ファンズ(以下「トラスト」という。)は、組入証券の購入、売却、申
       込みおよび交換ならびにファンド資産に直接または間接に付随する権利の行使を含む管理・運用業務を
       行う。
        ザ・バンガード・グループ・インク(以下「バンガード」という。)は、トラストの投資運用会社、
       名義書換および配当支払代行会社である。バンガードは、ファンドの投資顧問会社でもある。                                                JP モルガ
       ン・チェース・バンクは、ファンドの保管銀行であり、ファンド資産を維持し、全ての必要なファンド
       資産の帳簿および記録を保管し、米国外の副保管銀行あるいは証券預託所の任命につき責任を負う。
     (3)【その他】

       訴訟事件その他の重要事項
        本書提出前6か月以内において、トラストに重要な悪影響を与え、または与えることが予想される未
       公表の事実はない。
        ファンドの事業年度の最終日は、                 12 月 31 日である。
                                71/72













                                                          EDINET提出書類
                                              バンガード・インデックス・ファンズ(E14945)
                                                  半期報告書(外国投資信託受益証券)
    5【管理会社の経理の概況】

       該当なし。
     (1)【資産及び負債の状況】

        該当なし。
     (2)【損益の状況】

        該当なし。
                                72/72

















PDFをダウンロード

関連コンテンツ

このエントリーをはてなブックマークに追加

書類提出日で検索

今日注目の企業・投資家

お知らせ

2024年4月16日

2024年4月よりデータの更新が停止しております。
他のより便利なサービスが多々出てきた現在、弊サイトは役割を終えたと考えております。改修はせずこのままサービス終了する予定です。2008年よりの長きにわたりご利用いただきましてありがとうございました。登録いただいたメールアドレスなどの情報はサービス終了時点で全て破棄させていただきます。

2023年2月15日

2023年1月より一部報告書の通知、表示が旧社名で通知、表示される現象が発生しておりました。対応を行い現在は解消しております。

2023年2月15日

メール通知設定可能件数を15件から25件に変更しました。

2023年1月7日

2023年分の情報が更新されない問題、解消しました。

2023年1月6日

2023年分より情報が更新されない状態となっております。原因調査中です。

2022年4月25日

社名の変更履歴が表示されるようになりました

2020年12月21日

新規上場の通知機能を追加しました。Myページにて通知の設定が行えます。

2020年9月22日

企業・投資家の個別ページに掲載情報を追加しました。また、併せて細かい改修を行いました。

2019年3月22日

2019年4月より、5年より前の報告書については登録会員さまのみへのご提供と変更させていただきます。

2017年10月31日

キーワードに関する報告書の検出処理を改善いたしました。これまで表示されていなかった一部の報告書にも「増加」「減少」が表示されるようになっりました。

2017年2月12日

キーワードに関する報告書のRSS配信を開始いたしました。

2017年1月23日

キーワードに関する報告書が一覧で閲覧できるようになりました。