| Schedule H, Line 4i – Schedule of Assets (Held At End of Year) |
FIRSTCASH 401(K) PROFIT SHARING PLAN FORM 5500, SCHEDULE H, LINE 4i – SCHEDULE OF ASSETS (HELD AT END OF YEAR) | | | | | | EIN: 87-3920732 | Plan Number: 001 |
DECEMBER 31, 2025 | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | (a) | | (b) | | (c) | | (d) | | (e) | | | IDENTITY OF ISSUER, BORROWER, LESSOR OR SIMILAR PARTY | | DESCRIPTION OF INVESTMENT INCLUDING MATURITY DATE RATE OF INTEREST, COLLATERAL PAR OR MATURITY VALUE | | COST | | CURRENT VALUE | | | Money Market Funds: | | | | | | | | * | | | Fidelity | | Government Cash Reserves | | ** | | $ | 1,693,313 | | | | | | | | | | | | | | Mutual Funds: | | | | | | | | | | JP Morgan | | U.S. Value Fund Class R6 | | ** | | 793,376 | | | | | T. Rowe Price | | Overseas Stock Fund I Class | | ** | | 588,239 | | | | | American Funds | | American Balanced Fund Class R6 | | ** | | 567,702 | | | | | John Hancock | | Bond Fund Class R6 | | ** | | 893,972 | | | | | JP Morgan | | Large Cap Growth Fund Class R6 | | ** | | 4,756,904 | | | * | | | Fidelity | | U.S. Bond Index Fund | | ** | | 1,913,645 | | | * | | | Fidelity | | 500 Index Fund | | ** | | 14,946,954 | | | * | | | Fidelity | | Mid Cap Index Fund | | ** | | 1,402,804 | | | * | | | Fidelity | | Small Cap Index Fund | | ** | | 693,775 | | | * | | | Fidelity | | International Index Fund | | ** | | 2,376,203 | | | * | | | Fidelity | | Freedom Index Retirement Fund Institutional Premium Class | | ** | | 22,317 | | | * | | | Fidelity | | Freedom Index 2010 Fund Institutional Premium Class | | ** | | 342,030 | | | * | | | Fidelity | | Freedom Index 2015 Fund Institutional Premium Class | | ** | | 2,366,266 | | | * | | | Fidelity | | Freedom Index 2020 Fund Institutional Premium Class | | ** | | 5,364,363 | | | * | | | Fidelity | | Freedom Index 2025 Fund Institutional Premium Class | | ** | | 12,999,844 | | | * | | | Fidelity | | Freedom Index 2030 Fund Institutional Premium Class | | ** | | 22,456,090 | | | * | | | Fidelity | | Freedom Index 2035 Fund Institutional Premium Class | | ** | | 28,886,533 | | | * | | | Fidelity | | Freedom Index 2040 Fund Institutional Premium Class | | ** | | 29,202,955 | | | * | | | Fidelity | | Freedom Index 2045 Fund Institutional Premium Class | | ** | | 24,716,624 | | | * | | | Fidelity | | Freedom Index 2050 Fund Institutional Premium Class | | ** | | 22,645,916 | | | * | | | Fidelity | | Freedom Index 2055 Fund Institutional Premium Class | | ** | | 14,765,475 | | | * | | | Fidelity | | Freedom Index 2060 Fund Institutional Premium Class | | ** | | 14,246,908 | | | * | | | Fidelity | | Freedom Index 2065 Fund Institutional Premium Class | | ** | | 7,721,370 | | | * | | | Fidelity | | Freedom Index 2070 Fund Institutional Premium Class | | ** | | 971,936 | | | | | | | | | | | 215,642,201 | | | | | | | | | | | | | * | | FirstCash Holdings, Inc. | | Common Stock (180,217 shares) | | ** | | 28,724,914 | | | | | | | | | | | | | * | | Participant Loans | | 4.25% – 9.50% interest and varying maturities through 8/4/2045 | | — | | 11,223,201 | | | | | | | | | | | | | | | Total investments | | | | | | $ | 257,283,629 | | | | | | | | | | | | | * | | Party-In-Interest | | | | | | | | ** | | Historical cost information not required for participant directed accounts | | | | | | | | | | | | | | | | See Report of Independent Registered Public Accounting Firm. |
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