| Schedule of Plan's Assets Carried at Fair Value by Level within Fair Value Hierarchy |
The following tables set forth, by level within the fair value hierarchy, the Plan’s assets carried at fair value:
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Assets at Fair Value as of December 31, 2025 |
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Assets at Fair Value as of December 31, 2024 |
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Level 1 |
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Total |
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Level 1 |
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Total |
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Corporate stock |
$ |
12,528,240 |
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$ |
12,528,240 |
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$ |
13,233,755 |
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$ |
13,233,755 |
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Mutual funds |
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462,835,402 |
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462,835,402 |
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375,513,146 |
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375,513,146 |
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Self-directed brokerage accounts |
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40,157,550 |
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40,157,550 |
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28,542,463 |
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28,542,463 |
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Total assets in the fair value hierarchy |
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515,521,192 |
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515,521,192 |
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417,289,364 |
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417,289,364 |
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Investments measured at net asset value: |
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Common collective trust funds |
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1,143,818,577 |
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1,030,855,017 |
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Total investments, at fair value |
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$ |
1,659,339,769 |
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$ |
1,448,144,381 |
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