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Original filing (PDF)20251013111756NAL0002564882001

ANSELL HEALTHCARE PRODUCTS LLC

Form 5500
FILING_RECEIVED
ANSELL RETIREMENT AND SAVINGS PLAN
401(k) retirement plan
Signals · 1
No recordkeeper disclosed
Active participants
533
Accounts w/ balance
868
Plan assets (EOY)
$176.7M
Net assets (EOY)
$176.7M
How this plan invests
This plan
3 pooled trusts
Schedule D
28 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
  • 19 bps in Schedule C fees — 91% 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 ANSELL HEALTHCARE PRODUCTS LLC.
Plan sponsor
Name
ANSELL HEALTHCARE PRODUCTS LLC
EIN
36-3152638
Address
111 WOOD AVENUE SOUTH · SUITE 210 · ISELIN, NJ · 08830
Phone
(732) 345-5400
Industry
Manufacturingsee all
Plan administrator
Same as plan sponsor.
Plan characteristics
Plan number
005
Plan year
2024
Plan year begin
2024-01-01
Tax period
2024-12-31
Filed
2025-10-13
Pension benefit codes
2F · ERISA section 404(c)
2G · Total participant-directed accounts
2J · 401(k) feature
2K · 401(m) arrangement
2S · Automatic enrollment
2T · Default investment account (QDIA)
2E · Profit-sharing
Audit & trust (Schedule H)
Auditor
WITHUMSMITH+BROWN, PC
Trustee / custodian
Trustee phone

Service providers (Schedule C)

3 rows
Other
3
NameEINLocationRelationDirect compIndirect comp
JOHN HANCOCK RETIREMENT PLAN SERVIC01-0233346RETAINED BY EMPLOYER$243K
SAGEVIEW ADVISORS33-0818667RETAINED BY CLIENT$74K
WITHUMSMITH+BROWN PC22-2027092RETAINED BY CLIENT$21K

Investments

25 direct securities · 3 pooled funds· $178.5M(100% 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
$149.8M
24 holdings
Common Collective Trust
$25.6M
3 holdings
Mutual Funds
$3.1M
1 holding
PIInvestmentTypeShares / unitsCostCurrent value% of plan
Vanguard Growth Index Inst$19.9M11.2%
Investments valued at NAV Wilmington Trust Wilmington BR Eq Idx 1$19.3M10.9%
BLACKROCK EQUITY INDEX
WILMINGTON TRUST N.A. · EIN 20-3802262 / PN 008
Common Collective Trust
$19.3M10.9%
American Funds Amer Target 2035 Fund R6$16.2M9.1%
American Funds Amer Target 2030 Fund R6$13.6M7.7%
American Funds Amer Target 2045 Fund R6$10.8M6.1%
American Funds Amer Target 2050 Fund R6$8.8M5.0%
Fully benefit responsive investment contracts New York Life Stable Fund Value$8.7M4.9%
Fidelity Total Bond Fund K6$8.0M4.5%
American Funds American Wash Mutual Inv Fd R6$7.4M4.2%
American Funds American EuroPacific Growth R6$4.9M2.8%
T Rowe Price T Rowe Price Mid Cap Growth I$4.9M2.7%
American Funds Amer Target 2025 Fund R6$4.3M2.4%
American Funds Amer Target 2055 Fund R6$4.0M2.3%
Black Rock BlackRock MidCap Equity Index$3.7M2.1%
BLACKROCK MID CAP EQUITY INDEX K
BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. · EIN 94-3357214 / PN 001
Common Collective Trust
$3.7M2.1%
Vanguard Treasury Money Mkt In
Mutual Funds
$3.1M1.7%
American Funds Amer Target 2060 Fund R6$2.9M1.6%
Victory Sycamore Victory Syca Sm Co Opp R6$2.7M1.5%
BLACKROCK RUSSELL 2000 INDEX T
BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. · EIN 94-3291426 / PN 001
Common Collective Trust
$2.6M1.5%
Loomis Sayles Loomis Sayles Sm Cap Growth N$2.0M1.1%
John Hancock Self-Directed Brokerage Accounts$1.7M1.0%
American Funds Amer Target 2020 Fund R6$1.6M0.9%
JP Morgan JPMorgan Emerging Mkts Eqty R6$1.6M0.9%
American Funds Amer Target 2010 Fund R6$1.5M0.9%
American Century American Century Inf Adj Bd R6$1.0M0.6%
American Funds Amer Target 2015 Fund R6$258K0.1%
American Funds American Funds 2065 TD Ret R6$85K<0.1%