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Original filing (PDF)20260115184726NAL0019068224001

DISTRICT COUNCIL 37 HEALTH AND BENEFIT F

Form 5500
FILING_RECEIVED
DISTRICT COUNCIL 37 HEALTH AND BENEFIT FUND
Health & welfare plan
Signals · 3
~621 bps in Sched C feesNo recordkeeper disclosed10 service providers
Active participants
438
Accounts w/ balance
Plan assets (EOY)
$8.1M
Net assets (EOY)
$4.9M
How this plan invests
This plan
98 securities
funds · stocks · CUSIPs

Holdings are itemized directly on this plan's Schedule of Assets, below.

Plan health score (directional)
89
/ 100
Grade A
Top-tier plan health
Directional indicator computed from public Form 5500 data — compliance, concentration, cost, vendor stack and participation. Not a fiduciary tool.
Compliance & disclosures
100
Concentration risk
100
Total plan cost
65
Vendor stack
80
Participation health
100
Knocking points off
  • 621 bps in Schedule C fees — 1094% above peer band of 52 bps.
  • No recordkeeper disclosed on Schedule C.
Decision-maker contacts
CFO / Head of HR / Benefits Manager — verified email + LinkedIn for DISTRICT COUNCIL 37 HEALTH AND BENEFIT F.
Plan sponsor
Name
DISTRICT COUNCIL 37 HEALTH AND BENEFIT F
EIN
13-2659322
Address
420 WEST 45TH STREET · NEW YORK, NY · 10036
Phone
(212) 334-0096
Industry
Health Care & Social Assistancesee all
Plan administrator
Same as plan sponsor.
Plan characteristics
Plan number
501
Plan year
2024
Plan year begin
2024-04-01
Tax period
2025-03-31
Filed
2026-01-15
Welfare benefit codes
4A · Health (other than dental or vision)
4B · Life Insurance
4D · Dental
4E · Vision
4U · Dependent Care
Audit & trust (Schedule H)
Auditor
WEAVER AND TIDWELL LLP
Trustee / custodian
Trustee phone

Service providers (Schedule C)

10 rows
Other
10
NameEINLocationRelationDirect compIndirect comp
LOCAL 95 WELFARE FUND13-3819669NONE$124K
EMPIRE HEALTH CHOICE ASSURANCE, INC23-7391136NONE$106K
HO MING LAI13-2659322NONE$68K
EPIPHANY RX, LLC36-4855405NONE$67K
WEAVER & TIDWELL, LLP75-0786316NONE$40K
MERRILL LYNCH13-5674085NONE$36K
SUMMIT ACTUARIAL SERVICES LLC20-3838633NONE$24K
BRIDGEWAY BENEFIT (FORMERLY ISSI)23-2182079NONE$15K
ARCHER, BYINGTON, GLENNON & LEVINE26-0873462NONE$15K
LOCKTIGHT SOLUTIONS, INC.CRESSKILL, NJNONE$6K

Investments

94 direct securities· $6.9M(85% of reported assets)
PIInvestmentTypeShares / unitsCostCurrent value% of plan
iShares MBS ETF Mutual Fund N/A$495K$508K6.3%
iShares TR MSCI EAFE Mutual Fund N/A$434K$472K5.8%
Bondbloxx ETF Mutual Fund N/A$362K$364K4.5%
iShares Flexible Mutual Fund N/A$355K$359K4.4%
iShares Core Total Bond Mutual Fund N/A$319K$326K4.0%
ML Bank Deposit Program Money Fund N/A Variable N/A$258K$258K3.2%
iShares S&P 500 Mutual Fund N/A$257K$232K2.9%
iShares US Equity FAC Mutual Fund N/A$217K$204K2.5%
World Gold TR SHS SPDR Mutual Fund N/A$138K$158K2.0%
iShares JP Morgan EM BON Mutual Fund N/A$142K$143K1.8%
iShares S&P 500 Value Mutual Fund N/A$141K$140K1.7%
iShares Edge MSCI Mutual Fund N/A$143K$136K1.7%
MICROSOFT CORP Equity N/A$102K$123K1.5%
U.S. TREASURY NOTE Fixed Income 11/15/2028 3.125% N/A$115K$117K1.4%
AMAZON COM INC COM Equity N/A$102K$116K1.4%
iShares Inc MSCI Mutual Fund N/A$109K$108K1.3%
iShares Convertible Bond Mutual Fund N/A$106K$103K1.3%
Invesco S and P 500 Mutual Fund N/A$105K$101K1.3%
VISA INC CL A SHRS Equity N/A$80K$89K1.1%
META PLATFORMS INC Equity N/A$83K$88K1.1%
U.S. TREASURY NOTE Fixed Income 12/31/2031 4.500% N/A$88K$88K1.1%
U.S. TREASURY NOTE Fixed Income 04/30/2027 2.750% N/A$85K$84K1.0%
U.S. TREASURY NOTE Fixed Income 8/15/2044 3.125% N/A$73K$76K0.9%
iShares High Yield Mutual Fund N/A$71K$71K0.9%
CARDINAL HEALTH INC OHIO Equity N/A$54K$70K0.9%
JPMORGAN CHASE & CO Fixed Income 11/19/26 1.068% N/A$68K$68K0.8%
iShares US Technology Mutual Fund N/A$75K$65K0.8%
S&P GLOBAL INC Equity N/A$59K$64K0.8%
UNITED HEALTH GROUP INC Fixed Income 07/15/34 5.115% N/A$61K$62K0.8%
PRIZER INVESTMENT ENTER Fixed Income 05/19/53 5.300% N/A$61K$62K0.8%
INTERCONTINENTAL EXCHANGE INC Equity N/A$47K$59K0.7%
U.S. TREASURY NOTE Fixed Income 2/15/2027 2.250% N/A$57K$58K0.7%
SS AND C TECHNOLOGIES HOLDINGS INC Equity N/A$21K$57K0.7%
BOSTON SCIENTIFIC CORP Equity N/A$56K$56K0.7%
U.S. TREASURY NOTE Fixed Income 12/27/2024 4.625% N/A$55K$56K0.7%
U.S. TREASURY NOTE Fixed Income 2/15/2042 3.125% N/A$53K$55K0.7%
NVIDIA Equity N/A$17K$54K0.7%
APPLE INC Equity N/A$43K$52K0.6%
MR COOPER GROUP INC Equity N/A$42K$47K0.6%
U.S. TREASURY NOTE Fixed Income 5/15/2029 2.375% N/A$45K$46K0.6%
AIR PRODUCTS & CHEM Equity N/A$44K$44K0.5%
U.S. TREASURY NOTE Fixed Income 8/15/2031 1.250% N/A$42K$44K0.5%
JOHNSON CONTROLS INTER Equity N/A$42K$44K0.5%
BROADCOM INC Equity N/A$36K$43K0.5%
SPOTIFY TECH SA REG Equity N/A$45K$42K0.5%
CIENA CORP Equity N/A$59K$41K0.5%
U.S. TREASURY NOTE Fixed Income 5/15/2032 2.875% N/A$39K$40K0.5%
ALPHABET INC SHS CL A Equity N/A$43K$39K0.5%
HOWMET AEROSPACE INC Equity N/A$35K$39K0.5%
U.S. TREASURY NOTE Fixed Income 8/15/2049 2.250% N/A$34K$35K0.4%
U.S. TREASURY NOTE Fixed Income 7/15/2027 4.375% N/A$34K$34K0.4%
TOTAL CAPITAL INTL SA Fixed Income 02/19/29 3.562% N/A$33K$34K0.4%
NOVARTIS CAPITAL CORP Fixed Income 09/18/34 4.398% N/A$32K$33K0.4%
MASTERCARD INC Fixed Income 03/26/30 3.521% N/A$32K$32K0.4%
COCA-COLA CO/THE Fixed Income 06/01/30 1.889% N/A$32K$32K0.4%
STATE STREET CORP Fixed Income 11/21/29 5.474% N/A$32K$32K0.4%
MERCK & CO INC Fixed Income 05/17/28 4.061% N/A$32K$32K0.4%
HOME DEPOT INC Fixed Income 06/25/54 5.300% N/A$32K$32K0.4%
PROCTER & GAMBLE CO/THE Fixed Income 02/01/32 2.601% N/A$31K$32K0.4%
FLORIDA POWER & LIGHT CO Fixed Income 06/15/34 5.178% N/A$31K$32K0.4%
ELI LILLY & CO Fixed Income 08/14/34 4.680% N/A$31K$31K0.4%
TOYOTA MOTOR CREDIT CORP SER MTN GLB Fixed Income 03/19/27 4.935% N/A$31K$31K0.4%
EXXON MOBIL CORP Fixed Income 03/01/46 4.998% N/A$31K$31K0.4%
U.S. TREASURY NOTE Fixed Income 1/31/2029 4.000% N/A$31K$31K0.4%
U.S. TREASURY NOTE Fixed Income 5/15/2040 1.125% N/A$29K$31K0.4%
U.S. TREASURY NOTE Fixed Income 11/30/2028 4.375% N/A$30K$30K0.4%
U.S. TREASURY NOTE Fixed Income 7/31/2031 4.125% N/A$29K$30K0.4%
ELEVANCE HEALTH INC Equity N/A$26K$30K0.4%
TKO GROUP HOLDINGS INC Equity N/A$28K$30K0.4%
ELI LILLY & CO Equity N/A$21K$30K0.4%
HUMANA INC Equity N/A$32K$29K0.4%
HESS CORP Equity N/A$27K$29K0.4%
WELLS FARGO & CO Equity N/A$27K$27K0.3%
BERKSHIRE HATAWAY INC Equity N/A$22K$26K0.3%
MARVELL TECH INC Equity N/A$47K$26K0.3%
LVMH MOET HENNESSY ADR Equity N/A$27K$25K0.3%
MICRON TECHNOLOGY INC Equity N/A$26K$23K0.3%
ADVNCD MICRO D INC Equity N/A$27K$23K0.3%
SONY GROUP CORP Equity N/A$17K$21K0.3%
JPMORGAN CHASE & CO Equity N/A$19K$19K0.2%
TENET HEALTHCARE CORP Equity N/A$18K$18K0.2%
APPLOVIN CORP COM Equity N/A$21K$18K0.2%
QUALCOMM INC Fixed Income 05/20/27 3.312% N/A$17K$17K0.2%
UNITEDHEALTH GROUP INC Equity N/A$15K$16K0.2%
META PLATFORMS INC Fixed Income 08/15/54 5.400% N/A$15K$16K0.2%
WSTN DITIGAL CORP Equity N/A$14K$11K0.1%
SHELL PLC Equity N/A$9K$11K0.1%
ZEBRA TECHNOLOGIES CRP A Equity N/A$15K$10K0.1%
CONOCOPHILLIPS Equity N/A$10K$10K0.1%
SANOFI ADR Equity N/A$9K$10K0.1%
RTX CORP Equity N/A$6K$10K0.1%
HONEYWELL INTL INC DEL Equity N/A$10K$9K0.1%
SUNCOR ENERGY INC NEW Equity N/A$9K$9K0.1%
DISCOVER FINL SVCS Equity N/A$8K$8K<0.1%