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Original filing (PDF)20251015101935NAL0002134723002

HALLMARK CARDS, INC. MASTER TRUST, STATE STREET BANK & TRUST, TRUSTEE

Form 5500
FILING_RECEIVED
HALLMARK CARDS INCORPORATED MASTER TRUST DOMESTIC LARGE CAP VALUE FUND
Pooled investment trusta fund that other plans invest in — not a participant plan
Active participants
Accounts w/ balance
Plan assets (EOY)
$91.3M
Net assets (EOY)
$91.5M
How this plan invests
3 plans
invest in this fund
This trust
pooled vehicle
154 securities
Schedule of Assets

This is a pooled fund: many plans invest in it, and it holds the underlying securities.

Master trust / DFE filing
Pooled investment vehicle

This filing is a Direct Filing Entity (DFE) — a master trust or collective investment trust that pools assets from multiple participating plans. It does not have plan participants of its own, and the Plan Health Score formula doesn’t apply. Individual participant-facing plans that invest in this trust are the appropriate target for fiduciary analysis.

Pooled assets (EOY)
$91.3M
Net assets (EOY)
$91.5M
Participating plans
3
latest filings citing this trust
Cited interest
$91.0M
across citing plans' latest filings

Cited interest vs pooled assets: cited interest sums what each participating plan reported holding in this trust, measured at that plan’s own year-end — and those filings span different years. Pooled assets is this single filing’s balance at one date. They’re independent measurements, so cited interest can land slightly above or below the pooled balance and won’t reconcile exactly.

Why no Schedule of Assets here? DFE holdings often live on the master trust’s own audited statement, not as a 4i schedule on the participating plans’ filings. We’re extending the parsing pipeline to cover DFE filings — see Methodology.

Decision-maker contacts
CFO / Head of HR / Benefits Manager — verified email + LinkedIn for HALLMARK CARDS, INC. MASTER TRUST, STATE STREET BANK & TRUST, TRUSTEE.
Plan sponsor
Name
HALLMARK CARDS, INC. MASTER TRUST, STATE STREET BANK & TRUST, TRUSTEE
EIN
04-3328262
Address
2501 MCGEE STREET · BOX 419680 · KANSAS CITY, MO · 64141
Phone
(816) 274-8485
Plan administrator
Name
HALLMARK BENEFIT PLANS ADVISORY COMMITTEE
EIN
43-1669047
City
KANSAS CITY, MO
Phone
(816) 274-3751
Plan characteristics
Plan number
017
Plan year
2024
Plan year begin
2024-01-01
Tax period
2024-12-31
Filed
2025-10-15
Audit & trust (Schedule H)
Auditor
Trustee / custodian
Trustee phone

Service providers (Schedule C)

3 rows
Other
3
NameEINLocationRelationDirect compIndirect comp
WEDGE CAPITAL56-1557450$141K
STATE STREET BANK & TRUST04-1867446NONE$27K
EMPOWER ADVISORY GROUP, LLC84-1532243NONE$13K

Investments

153 direct securities· $95.2M(100% of reported assets)
PIInvestmentTypeShares / unitsCostCurrent value% of plan
SUPER MICRO COMPUTER INC2$1.5M$4.2M4.6%
STATE STREET BANK + TRUST CO SHORT TERM INVESTMENT FUND$2.1M$2.1M2.3%
F5 INC5,597$1.2M$1.4M1.5%
FORTINET INC14,859$855K$1.4M1.5%
ARISTA NETWORKS INC12,592$387K$1.4M1.5%
AMDOCS LTD16,252$1.4M$1.4M1.5%
ALPHABET INC CL A7,295$1.3M$1.4M1.5%
KLA CORP2,182$1.3M$1.4M1.5%
LOCKHEED MARTIN CORP2,808$1.5M$1.4M1.5%
META PLATFORMS INC CLASS A2,329$1.1M$1.4M1.5%
BOOZ ALLEN HAMILTON HOLDINGS10,490$1.4M$1.4M1.5%
CISCO SYSTEMS INC22,734$1.3M$1.3M1.5%
GODADDY INC CLASS A6,778$1.0M$1.3M1.5%
MICROSOFT CORP3,154$1.3M$1.3M1.5%
LEIDOS HOLDINGS INC9,222$1.4M$1.3M1.5%
AMPHENOL CORP CL A19,122$1.2M$1.3M1.5%
GARTNER INC2,731$1.3M$1.3M1.4%
INTUIT INC2,105$1.3M$1.3M1.4%
PARSONS CORP14,189$1.3M$1.3M1.4%
NORTHROP GRUMMAN CORP2,771$1.4M$1.3M1.4%
FABRINET5,895$1.4M$1.3M1.4%
APPLE INC5,172$971K$1.3M1.4%
CADENCE DESIGN SYS INC4,292$1.2M$1.3M1.4%
PAYCHEX INC9,189$1.1M$1.3M1.4%
NETAPP INC10,918$1.0M$1.3M1.4%
DICK S SPORTING GOODS INC4,856$800K$1.1M1.2%
BRINKER INTERNATIONAL INC8,082$998K$1.1M1.2%
CARNIVAL CORP40,524$1.0M$1.0M1.1%
ABERCROMBIE & FITCH CO CL A6,753$757K$1.0M1.1%
ROYAL CARIBBEAN CRUISES LTD4,286$568K$989K1.1%
FOX CORP CLASS B21,611$946K$988K1.1%
GARMIN LTD4,746$836K$979K1.1%
MURPHY USA INC1,906$719K$956K1.0%
DECKERS OUTDOOR CORP4,692$553K$953K1.0%
LITHIA MOTORS INC2,660$970K$951K1.0%
CASEY S GENERAL STORES INC2,280$650K$903K1.0%
H+R BLOCK INC16,943$1.1M$895K1.0%
NORWEGIAN CRUISE LINE HOLDIN34,768$960K$895K1.0%
MERITAGE HOMES CORP5,714$1.1M$879K1.0%
UNUM GROUP11,726$541K$856K0.9%
TAYLOR MORRISON HOME CORP13,891$802K$850K0.9%
WELLS FARGO + CO11,695$585K$821K0.9%
KB HOME12,473$839K$820K0.9%
GOLDMAN SACHS GROUP INC1,423$556K$815K0.9%
STATE STREET CORP8,135$630K$798K0.9%
EQUITABLE HOLDINGS INC16,544$759K$780K0.9%
AERCAP HOLDINGS NV8,058$776K$771K0.8%
AMERIPRISE FINANCIAL INC1,444$560K$769K0.8%
CITIGROUP INC10,848$558K$764K0.8%
SYNOVUS FINANCIAL CORP14,807$539K$759K0.8%
JACKSON FINANCIAL INC A8,616$726K$750K0.8%
PRUDENTIAL FINANCIAL INC6,314$685K$748K0.8%
FIDELITY NATIONAL FINANCIAL13,220$670K$742K0.8%
SYNCHRONY FINANCIAL11,391$442K$740K0.8%
REGIONS FINANCIAL CORP31,398$614K$738K0.8%
ALLY FINANCIAL INC20,390$858K$734K0.8%
ZIONS BANCORP NA13,323$528K$723K0.8%
METLIFE INC8,787$590K$719K0.8%
HARTFORD INSURANCE GROUP INC6,155$512K$673K0.7%
MOLINA HEALTHCARE INC2,107$739K$613K0.7%
PFIZER INC22,757$643K$604K0.7%
BIO RAD LABORATORIES A1,803$589K$592K0.6%
CENTENE CORP9,679$703K$586K0.6%
JAZZ PHARMACEUTICALS PLC4,729$531K$582K0.6%
CARDINAL HEALTH INC4,910$550K$581K0.6%
HOLOGIC INC8,019$577K$578K0.6%
UNITED THERAPEUTICS CORP1,636$397K$577K0.6%
ABBVIE INC3,248$510K$577K0.6%
GILEAD SCIENCES INC6,180$461K$571K0.6%
BIOGEN INC3,731$860K$571K0.6%
BRISTOL MYERS SQUIBB CO10,078$472K$570K0.6%
DAVITA INC3,804$399K$569K0.6%
LABCORP HOLDINGS INC2,469$483K$566K0.6%
WESTERN UNION CO52,316$632K$555K0.6%
POST HOLDINGS INC4,805$432K$550K0.6%
QUEST DIAGNOSTICS INC3,635$517K$548K0.6%
MOLSON COORS BEVERAGE CO B9,525$582K$546K0.6%
MCKESSON CORP957$456K$545K0.6%
CENCORA INC2,426$506K$545K0.6%
PHILIP MORRIS INTERNATIONAL4,502$411K$542K0.6%
HCA HEALTHCARE INC1,755$498K$527K0.6%
TENET HEALTHCARE CORP4,111$376K$519K0.6%
THE CIGNA GROUP1,745$529K$482K0.5%
OVINTIV INC10,529$479K$426K0.5%
BAKER HUGHES CO10,204$339K$419K0.5%
HALLIBURTON CO14,976$539K$407K0.4%
EXPAND ENERGY CORP4,042$315K$402K0.4%
BP PLC SPONS ADR13,275$465K$392K0.4%
SHELL PLC ADR6,073$404K$380K0.4%
SM ENERGY CO9,722$390K$377K0.4%
TOTALENERGIES SE SPON ADR6,685$454K$364K0.4%
MURPHY OIL CORP11,792$442K$357K0.4%
DOMINION ENERGY INC4,826$254K$260K0.3%
UGI CORP9,037$223K$255K0.3%
NRG ENERGY INC2,791$163K$252K0.3%
XCEL ENERGY INC3,720$236K$251K0.3%
EVERGY INC4,073$216K$251K0.3%
PG+E CORP12,365$260K$250K0.3%
OGE ENERGY CORP6,040$213K$249K0.3%
PPL CORP7,652$212K$248K0.3%
VERIZON COMMUNICATIONS INC6,158$240K$246K0.3%
VISTRA CORP1,774$90K$245K0.3%
T MOBILE US INC1,098$177K$242K0.3%
PINNACLE WEST CAPITAL2,841$209K$241K0.3%
CSX CORP7,430$254K$240K0.3%
UNITED PARCEL SERVICE CL B1,900$245K$240K0.3%
3M CO1,837$167K$237K0.3%
LEAR CORP2,491$325K$236K0.3%
ATKORE INC2,788$375K$233K0.3%
RYDER SYSTEM INC1,477$169K$232K0.3%
TRINET GROUP INC2,543$294K$231K0.3%
EMERSON ELECTRIC CO1,840$179K$228K0.2%
AGCO CORP2,437$275K$228K0.2%
AUTOLIV INC2,425$262K$227K0.2%
GENTEX CORP7,915$254K$227K0.2%
SNAP ON INC662$189K$225K0.2%
CUMMINS INC644$154K$224K0.2%
DOVER CORP1,185$182K$222K0.2%
JACOBS SOLUTIONS INC1,653$178K$221K0.2%
CORE + MAIN INC CLASS A4,336$168K$221K0.2%
MUELLER INDUSTRIES INC2,762$130K$219K0.2%
PARKER HANNIFIN CORP344$158K$219K0.2%
ALLISON TRANSMISSION HOLDING2,024$118K$219K0.2%
TIMKEN CO3,041$244K$217K0.2%
VONTIER CORP5,951$204K$217K0.2%
KNIGHT SWIFT TRANSPORTATION4,091$232K$217K0.2%
EMCOR GROUP INC475$102K$216K0.2%
OSHKOSH CORP2,253$244K$214K0.2%
BOISE CASCADE CO1,801$234K$214K0.2%
BORGWARNER INC6,641$233K$211K0.2%
ACUITY BRANDS INC720$147K$210K0.2%
MASCO CORP2,877$193K$209K0.2%
GENUINE PARTS CO1,773$248K$207K0.2%
UNITED RENTALS INC293$169K$206K0.2%
MATSON INC1,471$239K$198K0.2%
CARLISLE COS INC520$162K$192K0.2%
PACKAGING CORP OF AMERICA588$96K$132K0.1%
EASTMAN CHEMICAL CO1,446$128K$132K0.1%
SONOCO PRODUCTS CO2,694$151K$132K0.1%
LYONDELLBASELL INDU CL A1,764$164K$131K0.1%
CF INDUSTRIES HOLDINGS INC1,513$123K$129K0.1%
INGREDION INC933$102K$128K0.1%
BERRY GLOBAL GROUP INC1,961$117K$127K0.1%
LOUISIANA PACIFIC CORP1,214$104K$126K0.1%
RELIANCE INC449$126K$121K0.1%
OWENS CORNING704$104K$120K0.1%
UFP INDUSTRIES INC1,060$131K$119K0.1%
AMCOR PLC12,668$121K$119K0.1%
NUCOR CORP1,013$173K$118K0.1%
WESTLAKE CORP1,018$143K$117K0.1%
STEEL DYNAMICS INC995$118K$113K0.1%
COMMERCIAL METALS CO2,255$113K$112K0.1%
BUILDERS FIRSTSOURCE INC768$128K$110K0.1%