v3.26.1
Fair Value Measurements (Tables)
12 Months Ended
Dec. 31, 2025
EBP 001  
EBP, Investment, Fair Value and NAV [Line Items]  
EBP, Investment, Fair Value and NAV
The fair value of Plan assets by investment category and the corresponding level within the fair value hierarchy as of December 31, 2025 was as follows:
As of December 31, 2025
Investment Assets at Fair Value
 Level 1 Level 2 Level 3Total
DXC Technology Stock Fund
  DXC Technology common stock28,025,069 — — 28,025,069 
Short term investment fund265,952 — 265,952 
Self-directed brokerage89,316,104 — — 89,316,104 
Mutual Funds16,070,799 — — 16,070,799 
Separately managed accounts:
International common stocks3,733,965 — — 3,733,965 
U.S. common stocks55,701,458 — — 55,701,458 
U.S. treasuries— 10,395,154 — 10,395,154 
U.S. government agencies— 2,037,386 — 2,037,386 
State and local obligations— 27,498 — 27,498 
Non-U.S. government funds— 615,129 — 615,129 
Agency mortgage backed securities— 6,492,502 — 6,492,502 
Asset and other mortgage backed securities— 4,142,794 — 4,142,794 
Corporate bonds— 6,329,051 — 6,329,051 
Short term investment fund— 3,980,461 — 3,980,461 
Short-term investment fund157,224,916 — 157,224,916 
Total assets in the fair value hierarchy192,847,395 191,510,843 — 384,358,238 
Investments measured at NAV
Commingled funds2,370,087,826 
Total investments2,754,446,064 
The fair value of Plan assets by investment category and the corresponding level within the fair value hierarchy as of December 31, 2024 was as follows:

As of December 31, 2024
Investment Assets at Fair Value
 Level 1 Level 2 Level 3Total
DXC Technology Stock Fund
  DXC Technology common stock42,136,501 — — 42,136,501 
Short term investment fund— 443,489 — 443,489 
Self-directed brokerage77,407,332 — — 77,407,332 
Mutual Funds16,297,856 — — 16,297,856 
Separately managed accounts:
International common stocks7,408,769 — — 7,408,769 
U.S. common stocks53,285,598 — — 53,285,598 
U.S. treasuries— 10,237,536 — 10,237,536 
U.S. government agencies— 3,027,937 — 3,027,937 
State and local obligations— 26,535 — 26,535 
Non-U.S. government funds— 402,898 — 402,898 
Agency mortgage backed securities— 7,353,885 — 7,353,885 
Asset and other mortgage backed securities— 2,536,053 — 2,536,053 
Corporate bonds— 7,428,974 — 7,428,974 
Short term investment fund— 152,083 — 152,083 
Short-term investment fund— 161,399,443 — 161,399,443 
Total assets in the fair value hierarchy196,536,056 193,008,833 — 389,544,889 
Investments measured at NAV
Commingled funds2,141,657,763 
Total investments2,531,202,652