v3.26.1
Fair Value Measurements (Tables)
12 Months Ended
Dec. 31, 2025
EBP 004  
EBP, Investment, Fair Value and NAV [Line Items]  
Summary of Plan's Investment Assets Measured at Fair Value
The following table summarizes the Plan’s investment assets measured at fair value at December 31:
Level 1Total
2025
Mutual funds$1,540,814 $1,540,814 
Corporate stocks782,829,631 782,829,631 
Self-directed brokerage accounts214,188,185 214,188,185 
$998,558,630 998,558,630 
Plan investment assets not classified in fair value hierarchy (a):
Collective investment funds (b)
11,073,941,990 
Target retirement date11,054,750,995 
Fixed income19,190,995 
Total plan investment assets at fair value$12,072,500,620 
Level 1Total
2024
Mutual funds$602,802 $602,802 
Corporate stocks751,967,667 751,967,667 
Self-directed brokerage accounts120,282,140 120,282,140 
$872,852,609 872,852,609 
Plan investment assets not classified in fair value hierarchy (a):
Collective investment funds (b)
9,681,531,580 
Target retirement date9,661,063,039 
Fixed income20,468,541 
Total plan investment assets at fair value$10,554,384,189 
(a)These investments are valued based on NAV per unit, as provided by the trustee of the fund as a practical expedient, and have not been classified in the fair value hierarchy. The fair value amounts are provided to reconcile to the Statement of Net Assets Available for Benefits.
(b)There are currently no significant redemption restrictions on these investments.