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Original filing (PDF)20251015141005NAL0009645538001

PARK OHIO INDUSTRIES INC

Form 5500
FILING_RECEIVED
PARK OHIO INDUSTRIES AND SUBSIDIARIES PENSION PLAN
Defined-benefit pension plan
Signals · 3
19% employer stockNo recordkeeper disclosed11 service providers
Active participants
1,961
Accounts w/ balance
Plan assets (EOY)
$158.8M
Net assets (EOY)
$155.8M
How this plan invests
This plan
1 pooled trust
Schedule D
189 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
88
Total plan cost
65
Vendor stack
80
Participation health
100
Knocking points off
  • 19% of plan in employer / sponsor stock.
  • 56 bps in Schedule C fees — 456% above peer band of 10 bps.
  • No recordkeeper disclosed on Schedule C.
Decision-maker contacts
CFO / Head of HR / Benefits Manager — verified email + LinkedIn for PARK OHIO INDUSTRIES INC.
Plan sponsor
Name
PARK OHIO INDUSTRIES INC
EIN
34-6520107
Address
6065 PARKLAND BLVD · CLEVELAND, OH · 44124
Phone
(440) 947-2000
Industry
Manufacturingsee all
Plan administrator
Same as plan sponsor.
Plan characteristics
Plan number
002
Plan year
2024
Plan year begin
2024-01-01
Tax period
2024-12-31
Filed
2025-10-15
Pension benefit codes
1A · Pay-related DB formula
1C · Cash balance or similar hybrid DB
1E · Section 401(h) arrangement
3H · Sponsor in controlled / affiliated group
Audit & trust (Schedule H)
Auditor
BOBER MARKEY FEDOROVICH
Trustee / custodian
Trustee phone

Service providers (Schedule C)

11 rows
Custodian
3
NameEINLocationRelationDirect compIndirect comp
KEY BANK34-6520107CUSTODIAN$100K
CHARLES SCHWAB & CO., INC.94-1737782CUSTODIAN$87K
EMPOWER06-1050034CUSTODIAN$37K
Trustee
1
NameEINLocationRelationDirect compIndirect comp
US BANK NATIONAL ASSOCIATION31-0841368TRUSTEE$34K
Other
7
NameEINLocationRelationDirect compIndirect comp
WILLIS TOWERS WATSON US LLC53-0181291NONE$295K
CLEARSTEAD ADVISORS LLC34-1597728NONE$137K
GAMCO ASSET MANAGEMENT INC13-4044521NONE$107K
BOYD WATTERSON ASSET MGT LLC34-1922005NONE$54K
BOBER MARKEY FEDOROVICH34-1523030NONE$18K
SQUIRE PATTON BOGGS (US) LLP34-0648199NONE$8K
MARCELLA E. GRIFFINCOOKEVILLE, TNNONE$5K

Investments

178 direct securities · 1 pooled fund· $156.7M(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
$156.7M
178 holdings
Pooled Separate Account
$7K
1 holding
PIInvestmentTypeShares / unitsCostCurrent value% of plan
Harbor Capital Appreciation Fund Equity Fund$15.0M$24.1M15.2%
Glas Funds Spc Hedge Fund$16.6M$16.1M10.1%
Fidelity 500 Index Fund Equity Fund$8.0M$15.2M9.5%
Park Ohio Holdings Corp Common Stock$10.0M$9.0M5.7%
Weatherlow Offshore Fd II CL IA Hedge Fund$2.5M$7.9M5.0%
Gabelli Assc Ltd II E Cl A Ser 0410 Hedge Fund$4.5M$6.5M4.1%
Pantheon Access (Erisa) LP Hedge Fund$4.5M$6.4M4.0%
Cash and cash First Am Govt Ob Fd Cl Z equivalents$5.5M$5.5M3.5%
Dodge Cox International Stock Fd I Equity Fund$3.1M$5.1M3.2%
Nationwide International Small Cap Equity Fund$4.3M$4.0M2.5%
Cliffwater Corp Lndg I Fixed Inc Mutual Fund$4.0M$3.9M2.5%
Federated Hermes Intl Equity Is Equity Fund$4.0M$3.3M2.1%
Federated Hermes Tot Ret Bd Is Fixed Inc Mutual Fund$3.5M$3.0M1.9%
Bank of New York Mellon Corp Common Stock$657K$1.8M1.1%
United States Treasury Bd 4.0% Due 11/15/2052 US Government Oblig$1.4M$1.2M0.8%
United States Treasury Bd 3.0% Due 2/15/2048 US Government Oblig$1.9M$1.2M0.8%
Sony Group Corporation Foreign Stock$194K$1.1M0.7%
Carlyle Global Infra Opp Fd LP Hedge Fund$801K$1.1M0.7%
United States Treasury Bd 3.625% Due 2/15/2044 US Government Oblig$1.5M$1.1M0.7%
United States Treasury Bd 3.625% Due 5/15/2053 US Government Oblig$1.1M$1.1M0.7%
United States Treasury Bd 2.0% Due 2/15/2050 US Government Oblig$1.9M$1.0M0.6%
State Street Corp Common Stock$452K$883K0.6%
G A T X Corp Common Stock$195K$806K0.5%
United States Treasury Bd 4.0% Due 11/15/2042 US Government Oblig$775K$765K0.5%
Telesat Corp Cl A Cl B Shrs Foreign Stock$811K$740K0.5%
United States Treasury Bd 3.875% Due 8/15/2040 US Government Oblig$964K$720K0.5%
United States Treasury Bd 2.25% Due 2/15/2052 US Government Oblig$972K$718K0.5%
Federated Total Return Bond Fund - Inst Shares Equity Fund$831K$703K0.4%
Madison Square Garden Sports Corp Common Stock$63K$677K0.4%
Vulcan Matls Co Com Common Stock$119K$669K0.4%
Freeport McMoran Inc Common Stock$278K$666K0.4%
Textron Inc Common Stock$331K$627K0.4%
Atlanta Braves Holdings Inc. Common Stock$406K$612K0.4%
Republic Svcs Inc Common Stock$57K$604K0.4%
CNH Industrial N V Foreign Stock$349K$589K0.4%
United States Treasury Bd 2.875% Due 11/15/2046 US Government Oblig$937K$570K0.4%
Telephone and Data Systems Inc Common Stock$208K$563K0.4%
National Fuel Gas Co NJ Common Stock$444K$546K0.3%
Herc Holdings Common Stock$89K$511K0.3%
Fox Corp Common Stock$446K$503K0.3%
Wells Fargo Co New Com Common Stock$270K$492K0.3%
Paramount Global Cl A Common Stock$528K$475K0.3%
Tegna Inc Common Stock$430K$457K0.3%
US Cellular Corp Common Stock$244K$408K0.3%
Sinclair Broadcast Group Inc Cl A Common Stock$516K$397K0.3%
Cash and cash * Schwab Bank Savings equivalents$387K$387K0.2%
Greif Inc Cl A Common Stock$62K$367K0.2%
Itt Corp New Common Stock$72K$357K0.2%
United States Treasury Bd 1.125% Due 8/15/2040 US Government Oblig$494K$352K0.2%
PNC Financial Services Group Inc Common Stock$80K$347K0.2%
Deere Co Common Stock$6K$339K0.2%
Crane Company Common Stock$40K$334K0.2%
Home Depot Inc. 5.875% Due 12/16/2036 Corporate bond$346K$315K0.2%
Lennar Corp Common Stock$88K$304K0.2%
O Reilly Automative Inc Common Stock$7K$296K0.2%
Cisco Sys Inc. 5.9% Due 2/15/2039 Corporate bond$334K$296K0.2%
Tredegar Corp Common Stock$398K$296K0.2%
Cash and cash Federated Government Obligations Institutional equivalents$291K$291K0.2%
JPMorgan Chase 6.4% Due 5/15/2038 Corporate bond$306K$289K0.2%
Unitedhealth Group 4.45% Due 12/15/2048 Corporate bond$389K$288K0.2%
Edgewell Personal Care Co Common Stock$324K$286K0.2%
Johnson Ctls Intl Plc Foreign Stock$87K$284K0.2%
Burlington Northern Santa Fe 5.05% Due 3/1/2041 Corporate bond$332K$284K0.2%
Diageo Plc Foreign Stock$131K$280K0.2%
Moog Inc Cl A Common Stock$44K$276K0.2%
Meta Platforms Inc. 5.6% Due 5/15/2053 Corporate bond$264K$275K0.2%
CVS Health Corp 4.78% Due 3/25/2038 Corporate bond$318K$272K0.2%
Mastercard Incorp 3.65% Due 6/1/2049 Corporate bond$383K$272K0.2%
Apple Inc. 3.85% Due 5/4/2043 Corporate bond$310K$269K0.2%
AT&T Inc. 3.65% Due 6/1/2051 Corporate bond$378K$268K0.2%
Duke Energy Carolinas 3.75% Due 6/1/2045 Corporate bond$339K$260K0.2%
Southwestern Public Service 3.7% Due 8/15/2047 Corporate bond$347K$258K0.2%
Comcast Corp 4.7% Due 10/15/2048 Corporate bond$329K$257K0.2%
Bank Amer Corp 5.875% Due 2/7/2042 Corporate bond$270K$256K0.2%
Ducommun Inc Common Stock$225K$255K0.2%
Health Care REIT Inc. 5.125% Due 3/15/2043 Corporate bond$278K$253K0.2%
Dominion Resources, Inc. 5.95% Due 6/15/2035 Corporate bond$280K$252K0.2%
Kroger Company 4.65% Due 1/15/2048 Corporate bond$378K$251K0.2%
Millicom Intl Cellular Sa Foreign Stock$272K$250K0.2%
Morgan Stanley 6.375% Due 7/24/2042 Corporate bond$295K$248K0.2%
Raymond James Finl 4.95% Due 7/15/2046 Corporate bond$292K$247K0.2%
Brown Forman Corp Common Stock$86K$245K0.2%
Wells Fargo & Co 4.4% Due 6/14/2046 Corporate bond$295K$245K0.2%
Energizer Hldngs Inc. Common Stock$245K$244K0.2%
United States Treasury Bd 3.5% Due 2/15/2039 US Government Oblig$316K$241K0.2%
Valero Energy Corp 4.9% Due 3/15/2045 Corporate bond$289K$240K0.2%
Guaranteed * Empower Retirement Investment Contract$236K$236K0.1%
McDonalds Corp 3.625% Due 5/4/2043 Corporate bond$272K$233K0.1%
Enterprise Prod Oper 4.9% Due 5/15/2046 Corporate bond$278K$231K0.1%
Fedex Corp 5.25% Due 5/15/2050 Corporate bond$337K$229K0.1%
KLA-Tencor Corp 3.3% Due 3/1/2050 Corporate bond$330K$228K0.1%
Consolidated Edison Co NY 5.7% Due 6/15/2040 Corporate bond$245K$226K0.1%
Honeywell International Inc. Common Stock$30K$226K0.1%
Cts Corp Common Stock$33K$221K0.1%
Oneok Inc. 4.25% Due 9/15/2046 Corporate bond$281K$219K0.1%
Regions Financial Corp 7.375% Due 12/10/2037 Corporate bond$276K$218K0.1%
T Mobile USA Inc. 4.375% Due 4/15/2040 Corporate bond$227K$217K0.1%
Pfizer Inc Common Stock$220K$212K0.1%
Remy Cointreau Foreign Stock$206K$212K0.1%
Lowes Cos Inc. 5.625% Due 4/15/2053 Corporate bond$223K$211K0.1%
Graco Inc Common Stock$51K$211K0.1%
Genuine Parts Company Common Stock$94K$210K0.1%
American Tower Corp 3.7% Due 10/15/2049 Corporate bond$283K$203K0.1%
Summit Materials Inc Common Stock$203K$202K0.1%
Sphere Entertainment Co Common Stock$27K$202K0.1%
Citigroup Inc. 5.875% Due 1/30/2042 Corporate bond$235K$199K0.1%
Dollar General Corp 3.25% Due 4/3/2050 Corporate bond$275K$199K0.1%
Verisk Analytics Inc. 5.5% Due 6/15/2045 Corporate bond$273K$198K0.1%
Mondelez Intl Inc Cl A Common Stock$82K$191K0.1%
Southwest Gas Holdings Inc Common Stock$173K$191K0.1%
Nasdaq 3.25% Due 4/28/2050 Corporate bond$242K$187K0.1%
Nvidia Corp 3.5% Due 4/1/2050 Corporate bond$283K$186K0.1%
Mueller Inds Inc Common Stock$33K$183K0.1%
Liberty Global ltd Foreign Stock$122K$179K0.1%
Madison Square Garden Entertainment Common Stock$32K$178K0.1%
Maindarin Oriental Intl Ltd Foreign Stock$146K$174K0.1%
Grupo Televisa Sa Foreign Stock$766K$168K0.1%
MidAmerican Energy Co 4.8% Due 9/15/2043 Corporate bond$180K$157K<0.1%
Ryman Hospitality Properties Common Stock$35K$157K<0.1%
CMS Energy Corp 4.875% Due 3/1/2044 Corporate bond$155K$156K<0.1%
Rogers Corp Common Stock$186K$152K<0.1%
Crown Castle Inc. 3.25% Due 1/15/2051 Corporate bond$230K$150K<0.1%
American Express Co. Common Stock$15K$148K<0.1%
Warner Bros Discovery Inc Series A Common Stock$166K$143K<0.1%
Matthews Intl Corp Cl A Common Stock$133K$138K<0.1%
Ametek Inc. Common Stock$2K$135K<0.1%
Donaldson Co. Common Stock$12K$135K<0.1%
JP Morgan Chas Co Common Stock$21K$132K<0.1%
Nike Inc. 3.375% Due 3/27/2050 Corporate bond$179K$127K<0.1%
Sunrise Communications AG Foreign Stock$110K$121K<0.1%
Fortune Brands Innovations Inc Common Stock$12K$116K<0.1%
Mueller Wtr Prod Inc Common Stock$58K$108K<0.1%
Hyster Yale Materials Common Stock$91K$107K<0.1%
Rollins Inc Common Stock$2K$102K<0.1%
Innovex International Inc Common Stock$157K$101K<0.1%
Dana Incorporated Common Stock$75K$98K<0.1%
Campbell Soup Co Common Stock$77K$92K<0.1%
Curtiss Wright Corp Common Stock$1K$89K<0.1%
Fomento Economico Mex Sp Foreign Stock$46K$85K<0.1%
Vodafone Group Plc Foreign Stock$98K$85K<0.1%
AES Corp Common Stock$77K$84K<0.1%
Watts Water Technologies Cl A Common Stock$8K$81K<0.1%
Apa Corporation Common Stock$104K$81K<0.1%
Sumodics Inc Common Stock$76K$71K<0.1%
Citigroup Inc Common Stock$41K$70K<0.1%
Trinity Inds Inc Common Stock$36K$70K<0.1%
Ollamani S A B Foreign Stock$29K$68K<0.1%
Halliburton Co Common Stock$69K$68K<0.1%
Idex Corp Common Stock$2K$63K<0.1%
Iveco Group Nv Foreign Stock$37K$61K<0.1%
National Presto Inds Inc Common Stock$48K$59K<0.1%
Baxter International Inc. Common Stock$78K$58K<0.1%
Pernod Ricard Foreign Stock$60K$56K<0.1%
Bausch Health Cos Inc Foreign Stock$98K$56K<0.1%
Algonquin Power Utilities Foreign Stock$64K$53K<0.1%
Rpc Energy Svcs Inc Common Stock$67K$50K<0.1%
Bce Inc Foreign Stock$38K$46K<0.1%
Juniper Networks Common Stock$44K$45K<0.1%
Cavco Industrial Common Stock$2K$45K<0.1%
Danone Spon ADR Foreign Stock$32K$40K<0.1%
Xylem Inc Com Common Stock$9K$35K<0.1%
Blue Bird Corp Common Stock$18K$35K<0.1%
Echostar Corp Common Stock$56K$34K<0.1%
MacYs Inc Common Stock$29K$25K<0.1%
Commercial Vehicle Group Inc Common Stock$80K$24K<0.1%
Walgreens Boots Alliance Inc Com Common Stock$40K$23K<0.1%
American Assets Trust Inc Common Stock$23K$21K<0.1%
Archer Daniels Midland Co Common Stock$8K$20K<0.1%
AMC Networks Common Stock$28K$20K<0.1%
Cash and cash EB Short Term Investment Fund equivalents$19K$19K<0.1%
Exor Nv Foreign Stock$21K$18K<0.1%
Ew Scripps Co Common Stock$64K$18K<0.1%
Iac Inc Common Stock 536$7K$17K<0.1%
Eagle Bancorp Inc Common Stock$10K$10K<0.1%
Ampco - Pittsburg Corp Common Stock$26K$10K<0.1%
Blend/Victory Fund * Empower Retirement (SA-9V) 38$7K<0.1%
LARGE CAP BLEND/MFS
EMPOWER ANNUITY INSURANCE COMPANY · EIN 06-1050034 / PN 177
Pooled Separate Account
$7K<0.1%
Advance Auto Parts Inc Common Stock$5K$5K<0.1%
Gam Holding Ag Foreign Stock$42K$2K<0.1%