| EBP, Investment, Fair Value and NAV |
The following tables present the Plan’s fair value hierarchy for assets measured at fair value on a recurring basis as of December 31, 2025 and 2024: | | | | | | | | | | | | | As of | | Quoted Prices in Active Markets for Identical Assets | | December 31, 2025 | | (Level 1) | | | | | Common stock (a) | $ | 33,233,712 | | | $ | 33,233,712 | | | Mutual funds | 162,374,147 | | | 162,374,147 | | Money market (b) | 16,321,980 | | | 16,321,980 | | | Total investment assets in the fair value hierarchy | 211,929,839 | | | 211,929,839 | | | | | | | Investments measured at net asset value: | | | | Common collective trusts (c) | 822,544,331 | | | — | | | Investments at fair value | $ | 1,034,474,170 | | | $ | 211,929,839 | |
| | | | | | | | | | | | | As of | | Quoted Prices in Active Markets for Identical Assets | | December 31, 2024 | | (Level 1) | | | | | Common stock (a) | $ | 28,408,821 | | | $ | 28,408,821 | | | Mutual funds | 255,049,952 | | | 255,049,952 | | Money market (b) | 21,736,139 | | | 21,736,139 | | | Total investment assets in the fair value hierarchy | 305,194,912 | | | 305,194,912 | | | | | | | Investments measured at net asset value: | | | | Common collective trusts (c) | 633,746,293 | | | — | | | Investments at fair value | $ | 938,941,205 | | | $ | 305,194,912 | |
(a) Represents Travel + Leisure Co. common stock, an exempt party-in-interest. (b) Primarily represents an investment in Fidelity Investments Money Market Government Portfolio in 2025 and in BlackRock FedFund in 2024. (c) Certain investments that are measured at fair value using the net asset value per share (or its equivalent) practical expedient have not been classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the statements of net assets available for benefits. The following table sets forth a summary of the Plan’s investments with a reported NAV at December 31, 2025 (a): | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | Investment | | Fair Value (b) | | Unfunded Commitment | | Redemption Frequency | | Other Redemption Restrictions | | Redemption Notice Period (c) | | Fidelity | | | | | | | | | | | | | Freedom Blend 2010 | | $ | 1,161,254 | | | $ | — | | | Daily | | None | | 5 days | | Freedom Blend 2015 | | 1,132,350 | | | — | | | Daily | | None | | 5 days | | Freedom Blend 2020 | | 3,272,250 | | | — | | | Daily | | None | | 5 days | | Freedom Blend 2025 | | 16,924,862 | | | — | | | Daily | | None | | 5 days | | Freedom Blend 2030 | | 39,214,503 | | | — | | | Daily | | None | | 5 days | | Freedom Blend 2035 | | 50,801,234 | | | — | | | Daily | | None | | 5 days | | Freedom Blend 2040 | | 45,812,020 | | | — | | | Daily | | None | | 5 days | | Freedom Blend 2045 | | 54,421,413 | | | — | | | Daily | | None | | 5 days | | Freedom Blend 2050 | | 51,643,620 | | | — | | | Daily | | None | | 5 days | | Freedom Blend 2055 | | 47,436,772 | | | — | | | Daily | | None | | 5 days | | Freedom Blend 2060 | | 28,954,162 | | | — | | | Daily | | None | | 5 days | | Freedom Blend 2065 | | 9,149,796 | | | — | | | Daily | | None | | 5 days | | Freedom Blend 2070 | | 369,777 | | | — | | | Daily | | None | | 5 days | | Freedom Blend Retirement Fund | | 1,414,396 | | | — | | | Daily | | None | | 5 days | | Federated Hermes | | | | | | | | | | | | Total Return Bond Fund | | 34,339,904 | | | — | | | Daily | | None | | 5 days | | Galliard | | | | | | | | | | | | | Stable Return Fund | | 42,295,364 | | | — | | | Daily | | None | | 12 months | | Harbor Capital | | | | | | | | | | | | | Appreciation CIT Class 5 | | 107,721,141 | | | — | | | Daily | | None | | 15 days | | Spartan | | | | | | | | | | | | | Extended Market Index Pool Class C | | 43,562,133 | | | — | | | Daily | | None | | 30 days | | S&P 500 Index Fund Class C | | 209,613,558 | | | — | | | Daily | | None | | 30 days | | Global ex U.S. Index Fund | | 33,303,822 | | | — | | | Daily | | None | | 30 days | | | $ | 822,544,331 | | | $ | — | | | | | | | | |
(a) Certain plan level contributions or redemptions may be subject to fees or levies. (b) Investments are valued at fair value using the net asset value per share practical expedient. (c) Redemption notice period for withdrawal of assets from the fund initiated by the Plan Administrator or Trustee. The following table sets forth a summary of the Plan’s investments with a reported NAV at December 31, 2024 (a): | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | Investment | | Fair Value (b) | | Unfunded Commitment | | Redemption Frequency | | Other Redemption Restrictions | | Redemption Notice Period (c) | | Fidelity | | | | | | | | | | | | | Freedom Blend 2010 Fund | | $ | 1,105,319 | | | $ | — | | | Daily | | None | | 5 days | | Freedom Blend 2015 Fund | | 981,029 | | | — | | | Daily | | None | | 5 days | | Freedom Blend 2020 Fund | | 2,897,237 | | | — | | | Daily | | None | | 5 days | | Freedom Blend 2025 Fund | | 15,512,043 | | | — | | | Daily | | None | | 5 days | | Freedom Blend 2030 Fund | | 31,784,634 | | | — | | | Daily | | None | | 5 days | | Freedom Blend 2035 Fund | | 42,247,711 | | | — | | | Daily | | None | | 5 days | | Freedom Blend 2040 Fund | | 35,405,985 | | | — | | | Daily | | None | | 5 days | | Freedom Blend 2045 Fund | | 40,751,136 | | | — | | | Daily | | None | | 5 days | | Freedom Blend 2050 Fund | | 39,069,600 | | | — | | | Daily | | None | | 5 days | | Freedom Blend 2055 Fund | | 37,720,919 | | | — | | | Daily | | None | | 5 days | | Freedom Blend 2060 Fund | | 21,742,090 | | | — | | | Daily | | None | | 5 days | | Freedom Blend 2065 Fund | | 4,852,426 | | | — | | | Daily | | None | | 5 days | | Freedom Blend Income Fund | | 1,493,082 | | | — | | | Daily | | None | | 5 days | | Federated Hermes | | | | | | | | | | | | Total Return Bond Fund | | 37,488,248 | | | — | | | Daily | | None | | 5 days | | Galliard | | | | | | | | | | | | | Stable Return Fund | | 46,674,643 | | | — | | | Daily | | None | | 12 months | | Invesco Oppenheimer | | | | | | | | | | | | | International Growth Fund II | | 11,593,189 | | | — | | | Daily | | None | | 12 months | | Northern Trust Collective | | | | | | | | | | | | | Aggregate Bond Index Fund | | 9,841,036 | | | — | | | Daily | | None | | ≤ | 15 days | | All Country World Index Fund | | 24,005,101 | | | — | | | Daily | | None | | ≤ | 15 days | | Extended Market Fund | | 45,783,554 | | | — | | | Daily | | None | | ≤ | 15 days | | State Street | | | | | | | | | | | | | S&P 500 Index Fund | | 182,797,311 | | | — | | | Daily | | None | | ≤ | 15 days | | | $ | 633,746,293 | | | $ | — | | | | | | | | |
(a) Certain plan level contributions or redemptions may be subject to fees or levies. (b) Investments are valued at fair value using the net asset value per share practical expedient. (c) Redemption notice period for withdrawal of assets from the fund initiated by the Plan Administrator or Trustee.
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