v3.26.1
Magyar Bank 401(k) Profit Sharing Plan
12 Months Ended
Dec. 31, 2025
EBP 002  
Magyar Bank 401(k) Profit Sharing Plan [Line Items]  
Magyar Bank 401(k) Profit Sharing Plan

Magyar Bank 401(k) Profit Sharing Plan

EIN No.: 22-1085787, Plan No. 002

Schedule H, Part IV, Line 4i - Schedule of Assets (Held at End of Year)

December 31, 2025

 

   (b)  (c)  (e) 
   Identity of Issue, Borrower,  Description of Investment, Including Maturity Date,  Current 
(a)  Lessor or Similar Party  Rate of Interest, Par or Maturity Value  Value 
*  Magyar Bancorp, Inc. Stock  Employer Security Magyar Bancorp, Inc.  $2,033,998 
            
   BlackRock  Registered Investment Company iShs US Agg Bond Index K Fund   281,493 
   SEI Trust Company  Registered Investment Company AllSpring Spec M Cap Value R6   94,808 
   The American Funds  Registered Investment Company American Funds Newworld R6   10,186 
   Dimensional Fund Advisors  Registered Investment Company DFA Infl Protected Sec I Fund   73,367 
   Dimensional Fund Advisors  Registered Investment Company DFA US Sm Cap Growth Instl Fund   10,560 
   Fidelity Investments  Registered Investment Company Fidelity Adv Sm Cap Val Z Fund   281,537 
   Federated  Registered Investment Company Fed Hermes Mdt Md Cp Gr R6 Fund   784,968 
   Janus International Holding, LLC  Registered Investment Company Janus Henderson Blncd N   646,681 
   Loomis Sayles  Registered Investment Company Loomis Sayles Gl Alloc N Fund   15,355 
   MFS Investment Management  Registered Investment Company MFS Intl Diversification R6 Fund   321,577 
   PGIM Investments  Registered Investment Company PGIM High Yield R6 Fund   185,592 
   PIMCO Funds  Registered Investment Company PIMCO Income Institutional Fund   498,121 
   Vanguard  Registered Investment Company Vanguard Growth Index Adm Fund   1,597,074 
   Vanguard  Registered Investment Company Vanguard Intl Growth Adm Fund   498,110 
   Vanguard  Registered Investment Company Vanguard Mid Cap Index Adm Fund   311,425 
   Vanguard  Registered Investment Company Vanguard Sm Cap Index Adm Fund   222,950 
   Vanguard  Registered Investment Company Vanguard Tgt Rmt Inc Inv Fund   4,629 
   Vanguard  Registered Investment Company Vanguard Tgt Rmt 2020 Inv Fund   185,326 
   Vanguard  Registered Investment Company Vanguard Tgt Rmt 2025 Inv Fund   223,489 
   Vanguard  Registered Investment Company Vanguard Tgt Rmt 2030 Inv Fund   1,351,751 
   Vanguard  Registered Investment Company Vanguard Tgt Rmt 2035 Inv Fund   1,223,700 
   Vanguard  Registered Investment Company Vanguard Tgt Rmt 2040 Inv Fund   575,745 
   Vanguard  Registered Investment Company Vanguard Tgt Rmt 2045 Inv Fund   825,397 
   Vanguard  Registered Investment Company Vanguard Tgt Rmt 2050 Inv Fund   147,280 
   Vanguard  Registered Investment Company Vanguard Tgt Rmt 2055 Inv Fund   169,445 
   Vanguard  Registered Investment Company Vanguard Tgt Rmt 2060 Inv Fund   217,774 
   Vanguard  Registered Investment Company Vanguard Tgt Rmt 2065 Inv Fund   93,920 
   Vanguard  Registered Investment Company Vanguard Tgt Rmt 2070 Inv Fund   37,350 
   Vanguard  Registered Investment Company Vanguard Value Index Adm Fund   363,623 
            
*  Principal Life Insurance Company  Insurance Company General Principal Guaranteed Option   1,068,154 
*  Principal Life Insurance Company  Pooled Separate Account Prin LgCp S&P 500 Index SA-Z   1,046,110 
*  Principal Life Insurance Company  Registered Investment Company Principal Gov Money Mkt R6 Fund   77,645 
            
*  Participants  Notes Receivable with interest rates of 4.25% to 9.50%   183,156 
         $15,662,296 

 

* Indicates Party-In-Interest to the Plan

Column (d) “Cost” section of this table is omitted for participant-directed accounts

 

See Report of Independent Registered Public Accounting Firm