v3.26.1
Schedule H, Line 4i – Schedule of Assets (Held At End of Year)
12 Months Ended
Dec. 31, 2025
EBP 001  
EBP, Schedule of Asset Held for Investment [Line Items]  
Schedule H, Line 4i – Schedule of Assets (Held At End of Year)
Identity of issue, borrower, lessor, or similar partyDescription of Investment
Shares/unitsCostCurrent value
Common/collective trust funds:
BlackRock
   BlackRock Equity Index Fund J
19,626,978 **319,750,944 
BlackRock   BlackRock Lifepath Index Retirement N Fund10,772,858 **171,544,836 
BlackRock   BlackRock Lifepath Index 2030 N Fund9,293,851 **169,659,246 
BlackRock   BlackRock Lifepath Index 2035 N Fund10,494,254 **208,289,949 
BlackRock   BlackRock Lifepath Index 2040 N Fund8,469,705 **181,290,652 
BlackRock   BlackRock Lifepath Index 2045 N Fund7,544,227 **172,489,700 
BlackRock   BlackRock Lifepath Index 2050 N Fund4,270,423 **102,125,036 
BlackRock   BlackRock Lifepath Index 2055 N Fund2,921,006 **71,025,416 
BlackRock   BlackRock Lifepath Index 2060 N Fund1,564,539 **38,069,458 
BlackRock   BlackRock Lifepath Index 2065 N Fund486,812 **9,729,420 
BlackRock
   BlackRock Mid-Capitalization Equity Index Fund M
8,514,773 **110,222,028 
BlackRock
   BlackRock MSCI EAFE Equity Index Fund M
2,597,237 **72,077,995 
BlackRock
   BlackRock Russell 2000 Index Fund M
7,995,772 **106,277,395 
BlackRock
   BlackRock US Treasury Inflation Protected Securities Fund
2,651,197 **34,134,392 
BlackRock
   BlackRock US Debt Index Fund M
2,838,270 **36,541,304 
Fidelity Investments
   Fidelity Advisor International Capital Appreciation Fund Z
5,522,146 **80,789,002 
*PGI
   Principal Global Investors CIT Real Estate Securities Fund
44,238 **10,030,623 
Galliard   Galliard Stable Return PI1,648,707 **198,471,359 
Corporate bond funds:
Baird
   Baird Core Plus Bond Fund Class Institutional
7,320,027 **75,469,478 
*PGI
   PGIM Global Total Return Fund
2,372,956 **12,837,691 
Mutual funds:
Harbor Funds
   Harbor Capital Appreciation Institutional Fund
13,734,461 **280,320,340 
Vanguard   Vanguard Wellington Fund6,062,236 **467,944,021 
Vanguard
   Vanguard Equity Income Fund Admiral
1,235,500 **114,790,317 
Vanguard   Vanguard ST Inv-Grade Adm Fd2,295,787 **24,148,716 
Vanguard   Vanguard Treasury MM Inv Fd17,550,942 **17,549,166 
Common stock:
CNNE    Cannae Holdings, Inc. Frozen Stock Fund1,150,836 **7,995,768 
FG    F&G Annuities & Life, Inc Frozen Stock Fund707,563 **11,398,082 
Employer common stock:
*FNF
     Fidelity National Financial, Inc.
5,308,826 **183,487,465 
FIDELITY NATIONAL FINANCIAL GROUP
401(k) PROFIT SHARING PLAN

Supplemental Schedule H, Line 4i - Schedule of Assets (Held at End of Year) - continued

December 31, 2025
Identity of issue, borrower, lessor, or similar partyDescription of InvestmentShares/unitsCostCurrent value
*** *Participant loans
     Participant loans, various maturities, interest rates 4.25% - 9.50%, balances collateralized by participant account, a total of 6,293 loans are outstanding with maturity dates from one to ten years through 2035
51,004,384 
$3,339,464,183 
___________
*     Party in interest.
** Cost information has not been included because investments are participant directed.
*** The accompanying financial statements classify participant loans as notes receivable from participants