v3.26.1
FAIR VALUE MEASUREMENTS (Tables)
12 Months Ended
Dec. 31, 2025
EBP 005  
EBP, Investment, Fair Value and NAV [Line Items]  
Schedule of Investment at Fair Value and NAV
The following is a summary, by asset category, of the fair value inputs of the Plan assets as of December 31, 2025:
 
Level 1Investments
Measured at
NAV
Total
Common collective trusts$— $631,106,224 $631,106,224 
Mutual funds381,401,640 — 381,401,640 
Snap-on common stock44,908,616 — 44,908,616 
Total$426,310,256 $631,106,224 $1,057,416,480 
The following is a summary, by asset category, of the fair value inputs of the Plan assets as of December 31, 2024:
 
Level 1Investments
Measured at
NAV
Total
Common collective trusts$— $588,777,090 $588,777,090 
Mutual funds333,122,333 — 333,122,333 
Snap-on common stock48,742,538 — 48,742,538 
Total$381,864,871 $588,777,090 $970,641,961 
The following table sets forth additional disclosures of the Plan’s investments whose fair value is provided by the fund manager using NAV per share as of December 31, 2025 and 2024:
 
2025
Fair Value
2024
Fair Value
Common collective trusts:
Stable value fund$70,456,940 $74,036,962 
Fixed income funds34,672,703 32,228,747 
Target date funds478,558,375 412,806,801 
Mid cap equity funds47,418,206 49,950,652 
Small cap equity fund— 19,753,928 
Total$631,106,224 $588,777,090