v3.26.1
SCHEDULE H, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
12 Months Ended
Dec. 31, 2025
Precision Strip Retirement and Savings Plan  
SCHEDULE H, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR)  
SCHEDULE H, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR)

PRECISION STRIP RETIREMENT AND SAVINGS PLAN

SCHEDULE H, LINE 4i – SCHEDULE OF ASSETS (HELD AT END OF YEAR)

December 31, 2025

Employer Identification Number: 95-1142616

Plan Number: 001

(c)

Description of Investment,

(b)

Including Maturity Date,

(e)

Identity of Issue, Borrower,

Rate of Interest, Collateral,

(d)

Current

(a)

  ​

Lessor or Similar Party

  ​

Par or Maturity Value

  ​

Cost

  ​

Value

Mutual funds:

MFS Value Fund Class R6

621,439 shares

a

$

31,016,042

Hartford Small Company HLS Fund Class IA

914,805 shares

a

18,241,215

PIMCO Total Return Institutional Class

701,482 shares

a

6,215,132

Victory Sycamore Small Company Opportunity

98,260 shares

a

4,464,924

*

Fidelity® U.S. Bond Index Fund

186,083 shares

a

1,965,040

BlackRock High Yield Bond Portfolio Institutional Shares

142,691 shares

a

1,030,229

DFA Global Real Estate Securities Portfolio

30,535 shares

a

319,706

*

Fidelity® Inflation-Protected Bond Index Fund

23,056 shares

a

210,271

Vanguard Total International Bond Index Fund

4,697 shares

a

90,931

Total mutual funds:

63,553,490

Commingled funds:

*

Spartan 500 Index Pool Class E

141,522 shares

a

46,001,760

Commingled Pension Trust Fund (Large Cap Growth) of JPMorgan Chase Bank, N.A.

321,633 shares

a

40,773,418

*

Fidelity Freedom® Blend 2030 Commingled Pool Class S

1,087,833 shares

a

33,004,848

*

Fidelity Freedom® Blend 2045 Commingled Pool Class S

750,475 shares

a

28,548,071

*

Fidelity Freedom® Blend 2035 Commingled Pool Class S

822,663 shares

a

28,332,501

*

Fidelity Freedom® Blend 2040 Commingled Pool Class S

730,650 shares

a

27,004,814

*

Fidelity Freedom® Blend 2050 Commingled Pool Class S

583,709 shares

a

21,883,260

*

Fidelity Freedom® Blend 2055 Commingled Pool Class S

507,507 shares

a

20,411,917

*

Fidelity Freedom® Blend 2060 Commingled Pool Class S

459,724 shares

a

12,394,152

*

Fidelity® Diversified International Commingled Pool Class A

456,470 shares

a

10,955,277

*

Fidelity Freedom® Blend 2025 Commingled Pool Class S

337,740 shares

a

9,716,773

*

Fidelity Freedom® Blend 2065 Commingled Pool Class S

403,734 shares

a

8,276,542

*

Spartan Extended Market Index Pool Class E

13,798 shares

a

2,627,262

*

Spartan Total International Index Pool Class E

11,097 shares

a

1,589,836

*

Fidelity Freedom® Blend 2020 Commingled Pool Class S

52,336 shares

a

1,371,197

*

Fidelity Freedom® Blend Retirement Fund Class S

61,957 shares

a

1,152,408

*

Fidelity Freedom® Blend 2070 Commingled Pool Class S

18,994 shares

a

234,958

*

Fidelity Freedom® Blend 2010 Commingled Pool Class S

2,358 shares

a

55,020

*

Fidelity Freedom® Blend 2015 Commingled Pool Class S

958 shares

a

24,105

Total commingled funds:

$

294,358,119

PRECISION STRIP RETIREMENT AND SAVINGS PLAN

SCHEDULE H, LINE 4i – SCHEDULE OF ASSETS (HELD AT END OF YEAR) (Continued)

December 31, 2025

Employer Identification Number: 95-1142616

Plan Number: 001

(c)

Description of Investment,

(b)

Including Maturity Date,

(e)

Identity of Issue, Borrower,

Rate of Interest, Collateral,

(d)

Current

(a)

  ​

Lessor or Similar Party

  ​

Par or Maturity Value

  ​

Cost

  ​

Value

Cash and cash equivalents:

Gabelli Funds

Gabelli US Treasury Money Market Fund

a

$

5,496,423

*

Fidelity Investments

Interest-bearing cash

a

945,344

Total cash and cash equivalents:

6,441,767

Common stock:

*

Reliance, Inc.

77,659 shares

a

22,433,355

Self-directed brokerage accounts:

*

Fidelity Investments

Fidelity BrokerageLink®

a

1,322,574

Common collective trust:

*

Fidelity Investments

Fidelity Managed Income Portfolio II Class 2

a

9,453,331

Notes receivable from participants:

Notes receivable from participants with

interest rates ranging from 4.25% to

9.50%, collateralized by participants'

account balance and maturing through

*

Notes receivable from participants

October 2035

7,443,954

Total:

$

405,006,590

* Represents a party-in-interest as defined by ERISA.

a The cost of participant-directed investments is not required to be disclosed.