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Original filing (PDF)20250815082614NAL0010219297001

MASSILLON CABLE T.V., INC.

Form 5500
FILING_RECEIVED
MASSILLON CABLE T.V., INC. PROFIT SHARING PLAN
401(k) retirement plan
Signals · 1
No recordkeeper disclosed
Active participants
193
Accounts w/ balance
198
Plan assets (EOY)
$31.9M
Net assets (EOY)
$31.9M
How this plan invests
This plan
1 pooled trust
Schedule D
75 securities
funds · stocks · CUSIPs

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

Plan health score (directional)
92
/ 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
75
Vendor stack
80
Participation health
100
Knocking points off
  • No recordkeeper disclosed on Schedule C.
Helping the score
  • No Schedule C compensation disclosed — likely a small plan or unbundled.
Decision-maker contacts
CFO / Head of HR / Benefits Manager — verified email + LinkedIn for MASSILLON CABLE T.V., INC..
Plan sponsor
Name
MASSILLON CABLE T.V., INC.
EIN
34-0970367
Address
P.O. BOX 1000 · MASSILLON, OH · 44648
Phone
(330) 833-4134
Industry
Information / Tech / Mediasee 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
2025-08-15
Pension benefit codes
2E · Profit-sharing
2H · Partial participant-directed accounts
2J · 401(k) feature
3D · Pre-approved plan (master / prototype / VS)
3H · Sponsor in controlled / affiliated group
Audit & trust (Schedule H)
Auditor
CLIFTONLARSONALLEN LLP
Trustee / custodian
Trustee phone

Service providers (Schedule C)

No Schedule C providers reported

Investments

74 direct securities · 1 pooled fund· $28.6M(90% 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
$28.6M
74 holdings
Common Collective Trust
$0
1 holding
PIInvestmentTypeShares / unitsCostCurrent value% of plan
Vanguard FTSE Developed Markets ETF 58,064 Shares$2.8M$2.8M8.7%
Accordant Acccordant Odce Index Fund 151,575 Shares$1.4M$1.4M4.4%
Guggenheim Limited Total Return Bond Fund 58,564 Shares$1.3M$1.4M4.3%
Vanguard FTSE Emerging Markets ETF 29,146 Shares$1.3M$1.3M4.0%
Pimco Mortgage Opportunities & Bond Fund 138,680 Shares$1.3M$1.3M4.0%
iShares Core S&P Mid Cap ETF 19,984 Shares$1.0M$1.2M3.9%
iShares Core S&P Small Cap ETF 10,269 Shares$1.1M$1.2M3.7%
Microsoft Corp. 2,416 Shares$512K$1.0M3.2%
Metropolitan West Total Return Bond Fund 113,502 Shares$964K$1.0M3.2%
Alphabet Inc. 4,788 Shares$505K$906K2.8%
Nvidia Corp. 6,361 Shares$51K$854K2.7%
Federated Investors Federated Government Obligations$835K$835K2.6%
Cameco Corp 12,656 Shares$471K$650K2.0%
Amazon.Com Inc. 2,664 Shares$320K$584K1.8%
Apple Inc. 1,876 Shares$151K$470K1.5%
Fiserv Inc. 1,952 Shares$201K$401K1.3%
Broadcom Inc. 1,696 Shares$139K$393K1.2%
Kenvue Inc. 18,384 Shares$359K$392K1.2%
Wells Fargo Co. 5,237 Shares$204K$368K1.2%
Chart Industries Inc. 1,905 Shares$305K$364K1.1%
Bank of America Corp. 8,020 Shares$256K$352K1.1%
Ulta Beauty Inc. 805 Shares$299K$350K1.1%
American Express Co. 1,055 Shares$181K$313K1.0%
Transocean Ltd 82,414 Shares$511K$309K1.0%
GE Healthcare Technologies Inc. 3,935 Shares$273K$308K1.0%
Lululemon Athletica Inc. 803 Shares$280K$307K1.0%
Illumina Inc. 2,285 Shares$300K$305K1.0%
Zscaler Inc. 1,460 Shares$296K$263K0.8%
Lantheus Holdings Inc. 2,901 Shares$272K$260K0.8%
Gitlab Inc. 4,577 Shares$251K$257K0.8%
Freeport-McMoran Copper & Gold 6,545 Shares$239K$249K0.8%
Dynatrace Inc. 4,581 Shares$259K$249K0.8%
Parker Hannifin Corp. 390 Shares$140K$248K0.8%
Vanguard Long-Term Treasury Fund 31,083 Shares$236K$245K0.8%
T-Mobile US Inc. 1,109 Shares$155K$245K0.8%
Hess Corp. 1,741 Shares$259K$232K0.7%
Honeywell International Inc. 1,001 Shares$194K$226K0.7%
Newmont Corp. 5,818 Shares$278K$217K0.7%
Allstate Corp. 1,041 Shares$115K$201K0.6%
Brown-Forman Corp Coupon Bond; Maturity Value $200,000; Due 4/15/2025; 3.50%$204K$199K0.6%
S&P Global Inc. 398 Shares$142K$198K0.6%
Bank of America Coupon Bond; Maturity Value $150,000; Due 4/19/2026; 3.50%$198K$197K0.6%
CBOE Holdings Inc. Coupon Bond; Maturity Value $200,000; Due 1/12/2027; 3.65%$201K$196K0.6%
Simon Property Group Coupon Bond; Maturity Value $200,000; Due 6/15/2027; 3.38%$201K$194K0.6%
Johnson & Johnson Coupon Bond; Maturity Value and Company $150,000; Due 12/5/2033; 4.38%$200K$194K0.6%
Rockwell Automation, Inc. Coupon Bond; Maturity Value $100,000; Due 3/1/2029; 3.50%$199K$190K0.6%
NVIDIA Corp Coupon Bond; Maturity Value $150,000; Due 4/1/2030 2.85%$189K$183K0.6%
Trade Desk Inc. 1,548 Shares$154K$182K0.6%
Lilly Eli & Co 203 Shares$192K$157K0.5%
American Water Coupon Bond; Maturity Value $150,000; Due 3/01/2025; 3.40%$150K$150K0.5%
State Street Corp Coupon Bond; Maturity Value $150,000; Due 8/18/2025; 3.55%$151K$149K0.5%
Xylem Inc. 1,284 Shares$123K$149K0.5%
John Deere Capital Corp Coupon Bond; Maturity Value $150,000; Due 9/11/2025; 3.40%$153K$149K0.5%
Lowe's Companies Inc Coupon Bond; Maturity Value $150,000; Due 9/15/2025; 3.38%$150K$149K0.5%
Apple Inc. Coupon Bond; Maturity Value $150,000; Due 2/23/2026; 3.25%$149K$148K0.5%
KLA Corp Coupon Bond; Maturity Value $150,000; Due 7/15/2032; 4.65%$150K$147K0.5%
Ameriprise Financial Coupon Bond; Maturity Value $150,000; Due 9/15/2026; 2.88%$147K$146K0.5%
Bank of NY Mellon Coupon Bond; Maturity Value $100,000; Due 1/29/2028; 3.40%$150K$145K0.5%
Northern Trust Corp Coupon Bond; Maturity Value $100,000; Due 5/3/2029; 3.15%$148K$140K0.4%
Realty Income Corp Coupon Bond; Maturity Value $100,000; Due 6/15/2029; 3.25%$148K$140K0.4%
Pepsico Inc. 901 Shares$132K$137K0.4%
Estee Lauder Coupon Bond; Maturity Value $150,000; Due 4/15/2030; 2.60%$153K$133K0.4%
Xilinx Coupon Bond; Maturity Value $150,000; Due 6/1/2030; 2.38%$152K$132K0.4%
Public Storage Coupon Bond; Maturity Value $150,000; Due 11/9/2031; 2.25%$131K$125K0.4%
Amphenol Corp. 1,734 Shares$71K$120K0.4%
United Healthcare Group 235 Shares$84K$119K0.4%
Healthpeak Properties Inc 5,853 Shares$130K$119K0.4%
Cubesmart 2,721 Shares$101K$117K0.4%
Costco Whsle Corp. 113 Shares$19K$104K0.3%
Vanguard Total BD Market Indx FD 2,261 Shares$21K$21K<0.1%
Baird Short-Term Bond Fund 1,483 Shares$14K$14K<0.1%
iShares Core US Aggreate Bond ETF 115 Shares$11K$11K<0.1%
iShares S&P 500/Barra Value Index 29 Shares$5K$6K<0.1%
iShares S&P 500/Barra Grth Index 54 Shares$4K$5K<0.1%
FEDERATED HERMES CAPITAL PRESERVAT.
FEDERATED HERMES, INC. · EIN 22-2712853 / PN 001
Common Collective Trust
$0<0.1%

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