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Original filing (PDF)20250730180138NAL0005128737003

LOCAL 1102 STOREWORKERS RETIREMENT PLAN

Form 5500
FILING_RECEIVED
STOREWORKERS RETIREMENT PLAN
Defined-benefit pension plan
Signals · 2
~167 bps in Sched C fees7 service providers
Active participants
0
Accounts w/ balance
Plan assets (EOY)
$20.5M
Net assets (EOY)
$20.5M
How this plan invests
This plan
1 pooled trust
Schedule D
125 securities
funds · stocks · CUSIPs

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

Plan health score (directional)
87
/ 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
75
Participation health
90
Knocking points off
  • 167 bps in Schedule C fees — 476% above peer band of 29 bps.
  • Plan is frozen (1I) — no new benefit accrual.
  • No active participants reported but plan still holds assets.
Decision-maker contacts
CFO / Head of HR / Benefits Manager — verified email + LinkedIn for LOCAL 1102 STOREWORKERS RETIREMENT PLAN.
Plan sponsor
Name
LOCAL 1102 STOREWORKERS RETIREMENT PLAN
EIN
13-6415958
Address
311 CROSSWAYS PARK DRIVE · WOODSBURY, NY · 117972041
Phone
(516) 683-1102
Industry
Retail Tradesee all
Plan administrator
Same as plan sponsor.
Plan characteristics
Plan number
001
Plan year
2024
Plan year begin
2024-01-01
Tax period
2024-12-31
Filed
2025-07-30
Pension benefit codes
1B · Flat-dollar DB formula
1I · Frozen plan — no new benefit accrual
Audit & trust (Schedule H)
Auditor
NOVAK FRANCELLA LLC
Trustee / custodian
Trustee phone

Service providers (Schedule C)

7 rows
Other
7
NameEINLocationRelationDirect compIndirect comp
LOCAL 1102 RWDSU13-1215130NONE$123K
C.S. MCKEE84-3346426NONE$89K
LOCAL 1102 RETIREMENT TRUST13-1847329NONE$49K
CITRIN COOPERMAN & COMPANY LLP22-2428965NONE$28K
DAHAB ASSOCIATES11-2783874NONE$23K
FIRST ACTUARIAL CONSULTING, INC.26-3842522NONE$18K
ROTHMAN, ROCCO, LARUFFA, LLP47-5401457NONE$14K

Investments

124 direct securities · 1 pooled fund· $20.3M(99% of reported assets)

Rows tagged as a trust or pooled fund hold many underlying securities. Click one to drill into its own Schedule of Assets — where the individual funds, shares, and CUSIPs live.

Uncategorized
$20.2M
124 holdings
Common Collective Trust
$121K
1 holding
PIInvestmentTypeShares / unitsCostCurrent value% of plan
Apple Inc Stock$307K$1.0M4.9%
Microsoft Corp Stock$309K$986K4.8%
Alphabet Inc Cl C Stock$177K$863K4.2%
Amazon Com Inc Stock$514K$644K3.1%
Facebook Inc Stock$198K$586K2.8%
Broadcom Inc Stock$69K$524K2.6%
United States Treasury Note 11/15/27 VAR$451K$449K2.2%
Expedia Inc Del Stock$272K$447K2.2%
Marriott Intl Inc New Cl A Stock$93K$363K1.8%
Goldman Sachs Group Inc Stock$106K$361K1.8%
JPMorgan Chase & Co Stock$52K$348K1.7%
PayPal Hldgs Inc Stock$236K$344K1.7%
United States Treasury Note 07/15/27 VAR$342K$339K1.6%
Marathon Pete Corp Stock$108K$332K1.6%
T-Mobile US Inc Stock$231K$313K1.5%
Target Corp Stock$135K$297K1.4%
Oracle Corporation Stock$58K$292K1.4%
Sysco Stock$303K$288K1.4%
Dell Technologies Inc -C Stock$54K$277K1.3%
United States Treasury Note 09/30/26 VAR$277K$276K1.3%
United States Treasury Note 09/15/27$281K$276K1.3%
Chevron Corporation Stock$189K$267K1.3%
Deere & Co Stock$117K$265K1.3%
Amentum Holdings Inc Stock$291K$250K1.2%
Starbucks Corp Stock$62K$237K1.2%
Nvidia Corp Stock$222K$234K1.1%
Advanced Micro Devices Inc Stock$211K$230K1.1%
Caterpillar Inc Stock$162K$229K1.1%
United States Treasury Note 06/15/27$228K$227K1.1%
Abbott Labs Stock$61K$204K1.0%
Salesforce Inc Stock$125K$199K1.0%
Chubb Ltd Stock$152K$198K1.0%
Honeywell International Inc Stock$91K$197K1.0%
Jacobs Engineering Group Inc. Stock$163K$194K0.9%
Walt Disney Co Stock$98K$178K0.9%
Centene Corp Stock$139K$170K0.8%
Gaming & Leisure Pptys Inc Stock$156K$169K0.8%
Dover Corp Stock$18K$165K0.8%
Discover Finl Svcs Stock$58K$165K0.8%
United States Treasury Note 03/15/27$156K$158K0.8%
Gilead Sciences Inc Stock$115K$157K0.8%
Merck & Co Inc Stock$163K$157K0.8%
AT&T Inc Stock$169K$154K0.7%
PNC Financial Services Group Bond 06/12/26 VAR$150K$151K0.7%
Bank New York Mellon Corp Stock$56K$150K0.7%
Toronto Dominion Bank Bond 06/12/25$151K$148K0.7%
Wells Fargo & Co New Stock$71K$148K0.7%
EOG Resources Inc Stock$118K$147K0.7%
American Honda Fin Bond 10/22/27 4.450 %$143K$142K0.7%
US Bancorp Bond 10/21/26$139K$140K0.7%
GM Finl Con Auto Rec Bond 08/16/29$140K$140K0.7%
Hyundai Auto Rec Bond 05/15/29 VAR$140K$139K0.7%
Honda Auto Receivables Bond 03/21/29 VAR$137K$137K0.7%
Schwab Charles Corp Bond 08/24/26$130K$132K0.6%
American Intl Group Inc Stock$70K$131K0.6%
American Honda Fin Corp Med Term Bond 03/12/27 VAR$130K$130K0.6%
Mercedes-Benz Auto Bond 11/15/28$125K$127K0.6%
CF Inds Hldgs Inc Stock$130K$127K0.6%
Verizon Master Trust Bond 04/22/30$125K$127K0.6%
Royal Bank of Canada Bond 10/18/27 VAR$125K$125K0.6%
State Str Corp Sr Bond 02/20/29 VAR$125K$124K0.6%
Federal Home Loan Mortgage Corp MBS 11/12/27$121K$121K0.6%
COMERICA SHORT-TERM FUND
COMERICA BANK & TRUST, NATIONAL ASSOCIATION · EIN 47-7305132 / PN 001
Common Collective Trust
$121K$121K0.6%
Union Pac Rr Co 2014-1 Pass Thru Bond 05/14/26 VAR$117K$119K0.6%
Public Svc Enterprise Group Inc Stock$43K$118K0.6%
BMW Vehicle Owner Trust Bond 02/25/28$115K$116K0.6%
Humana Inc Stock$111K$115K0.6%
Federal Home Loan Mortgage Corp Bond 08/01/32$117K$115K0.6%
United States Treasury Note 11/30/26 VAR$115K$115K0.6%
Verizon Master Tr 2023 Bond 11/20/29$109K$111K0.5%
CarMax Auto Owner Bond 10/15/29 VAR$104K$104K0.5%
CarMax Auto Owner Trust 2023-1 Bond 10/15/27 VAR$100K$100K0.5%
National Rural Utils Coop Fin Bond 05/06/27 VAR$95K$96K0.5%
Toyota Auto Rec Tr Bond 06/15/29$92K$92K0.4%
Government National Mortgage Association Bond 02/20/43 VAR$89K$89K0.4%
Government National Mortgage Association Bond 07/20/35$86K$87K0.4%
Federal Home Loan Mortgage Corp Bond 01/01/38$84K$86K0.4%
CarMax Auto Owner Bond 07/17/28$83K$84K0.4%
Biogen Idec Inc Stock$158K$84K0.4%
Honda Auto Receivables Bond 03/15/29 VAR$84K$84K0.4%
Nissan Auto Lease Trust Bond 03/15/28$81K$82K0.4%
Federal Home Loan Mortgage Corp Bond 04/01/33 VAR$80K$80K0.4%
Mercedes-Benz Auto Bond 04/16/29$79K$79K0.4%
Goldman Sachs Bank Bond 03/18/27 VAR$78K$78K0.4%
Federal National Mortgage Association Bond 01/25/44$81K$76K0.4%
Royal Bank of Canada Bond 07/20/26 VAR %$70K$71K0.3%
Nissan Auto Rec Bond 03/15/29 VAR$70K$70K0.3%
JPMorgan Chase & Co Sr Bond 10/22/28 VAR$70K$69K0.3%
Ford Credit Auto Bond 07/15/29$70K$69K0.3%
GM Financial Consumer Automobile Bond 02/16/28 VAR$69K$69K0.3%
State Str Corp Sr Bond 03/18/27$65K$66K0.3%
Federal Farm Credit Bank Bond 09/18/29$63K$63K0.3%
Waste Mgmt Inc Bond 07/03/27$60K$61K0.3%
Caterpillar Finl Bond 05/14/27$60K$61K0.3%
Federal Home Loan Mortgage Corp Bond 02/26/29$60K$60K0.3%
Federal Home Loan Mortgage Corp Bond 11/15/44$57K$59K0.3%
Federal Home Loan Mortgage Corp Pool 03/25/44$62K$56K0.3%
Federal National Mortgage Association CMO 12/25/27$53K$55K0.3%
Federal National Mortgage Association Bond 11/25/41 VAR$56K$52K0.3%
Federal National Mortgage Association Bond 09/25/28 VAR$46K$47K0.2%
Federal Home Loan Mortgage Corp Bond 06/15/27$44K$46K0.2%
Federal Home Loan Mortgage Corp Bond 04/15/53 VAR$40K$41K0.2%
CarMax Auto Owner Bond 01/16/29$40K$41K0.2%
Government National Mortgage Association CMO 11/20/41$39K$39K0.2%
Government National Mortgage Association Bond 02/20/45$36K$37K0.2%
Federal National Mortgage Association Pool 04/25/28$34K$35K0.2%
United States Treasury Note 12/15/27 VAR$35K$35K0.2%
Federal Farm Credit Bank Bond 08/14/34$34K$34K0.2%
GM Financial Consumer Automobile Bond 12/18/28$30K$30K0.1%
Government National Mortgage Association Bond 08/20/33$22K$22K0.1%
Federal Home Loan Mortgage Corp Bond 01/01/29$21K$22K0.1%
Federal National Mortgage Association Bond 07/25/40 VAR$23K$21K0.1%
Federal Home Loan Mortgage Corp Bond 07/15/38$22K$19K<0.1%
Government National Mortgage Association Bond 07/20/50$18K$18K<0.1%
Government National Mortgage Association Bond 02/20/52$13K$13K<0.1%
Federal Home Loan Mortgage Corp Pool 07/15/39$13K$13K<0.1%
Federal National Mortgage Association Pool 02/01/31$13K$13K<0.1%
Federal National Mortgage Association Bond 10/01/31$12K$13K<0.1%
Federal National Mortgage Association Bond 07/25/53 VAR$11K$10K<0.1%
Federal Home Loan Mortgage Corp Bond 11/15/27$6K$5K<0.1%
Federal National Mortgage Association Bond 08/25/41 VAR$5K$5K<0.1%
Federal National Mortgage Association Bond 03/25/41 VAR$4K$4K<0.1%
Federal National Mortgage Association Bond 03/25/41 VAR$3K$3K<0.1%
Government National Mortgage Association Bond 09/16/26 VAR$2K$2K<0.1%
Carvana Auto Receivables Trust Bond 01/10/28 VAR$1K$1K<0.1%

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