v3.26.1
Statement of Net Assets Available for Benefits - EBP 002 [Member] - USD ($)
Dec. 31, 2025
Dec. 31, 2024
At fair value:    
Investments, at fair value $ 10,767,886,000 $ 9,541,798,000
At contract value:    
Fully benefit-responsive investment contracts 558,208,000 592,127,000
Total investments 11,326,094,000 10,133,925,000
Receivables:    
Employer contributions 156,749,000 149,534,000
Notes receivable from participants 102,457,294 99,389,414
Other receivables 3,451,000 2,335,000
Total receivables 262,657,000 251,258,000
Cash 1,421,000 289,000
Total assets 11,590,172,000 10,385,472,000
Liabilities    
Accrued expenses 298,000 369,000
Other payables 4,251,000 3,199,000
Total liabilities 4,549,000 3,568,000
Net assets available for benefits 11,585,623,000 10,381,904,000
Mutual funds [Member]    
At fair value:    
Investments, at fair value 5,854,512,000 5,482,287,000
Collective/common trust funds [Member]    
At fair value:    
Investments, at fair value 3,966,192,000 3,215,713,000
Common stock [Member]    
At fair value:    
Investments, at fair value 467,440,000 429,670,000
Fidelity BrokerageLink investments [Member]    
At fair value:    
Investments, at fair value 458,680,000 398,853,000
Short-term investments [Member]    
At fair value:    
Investments, at fair value $ 21,062,000 $ 15,275,000