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Original filing (PDF)20251006103730NAL0003275857001

PEPSICO, INC.

Form 5500
FILING_RECEIVED
PEPSICO, INC. DEFINED BENEFIT MASTER TRUST
Pooled investment trusta fund that other plans invest in — not a participant plan
Signals · 1
40% in single holding
Active participants
Accounts w/ balance
Plan assets (EOY)
$11.2B
Net assets (EOY)
$10.7B
How this plan invests
3 plans
invest in this fund
This trust
pooled vehicle
987 securities
Schedule of Assets

This is a pooled fund: many plans invest in it, and it holds the underlying securities.

Master trust / DFE filing
Pooled investment vehicle

This filing is a Direct Filing Entity (DFE) — a master trust or collective investment trust that pools assets from multiple participating plans. It does not have plan participants of its own, and the Plan Health Score formula doesn’t apply. Individual participant-facing plans that invest in this trust are the appropriate target for fiduciary analysis.

Pooled assets (EOY)
$11.2B
Net assets (EOY)
$10.7B
Participating plans
3
latest filings citing this trust
Cited interest
$10.7B
across citing plans' latest filings

Cited interest vs pooled assets: cited interest sums what each participating plan reported holding in this trust, measured at that plan’s own year-end — and those filings span different years. Pooled assets is this single filing’s balance at one date. They’re independent measurements, so cited interest can land slightly above or below the pooled balance and won’t reconcile exactly.

Why no Schedule of Assets here? DFE holdings often live on the master trust’s own audited statement, not as a 4i schedule on the participating plans’ filings. We’re extending the parsing pipeline to cover DFE filings — see Methodology.

Decision-maker contacts
CFO / Head of HR / Benefits Manager — verified email + LinkedIn for PEPSICO, INC..
Plan sponsor
Name
PEPSICO, INC.
EIN
41-2205169
Address
700 ANDERSON HILL ROAD · BLDG 3, LEVEL 2 · PURCHASE, NY · 105771444
Phone
(914) 253-2000
Plan administrator
Name
PEPSICO ADMINISTRATION COMMITTEE
EIN
13-1584302
City
PURCHASE, NY
Phone
(914) 253-2000
Plan characteristics
Plan number
120
Plan year
2024
Plan year begin
2024-01-01
Tax period
2024-12-31
Filed
2025-10-06
Audit & trust (Schedule H)
Auditor
Trustee / custodian
Trustee phone

Service providers (Schedule C)

No Schedule C providers reported

Investments

972 direct securities · 11 pooled funds· $3.8B(34% 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.

Common Collective Trust
$2.8B
9 holdings
Uncategorized
$677.7M
972 holdings
Pooled Separate Account
$232.6M
2 holdings
PIInvestmentTypeShares / unitsCostCurrent value% of plan
BLACKROCK EQUITY INDEX FUND
BLACKROCK INST. TRUST COMPANY NA · EIN 80-0300291 / PN 001
Common Collective Trust
$1.2B11.0%
SILCHESTER INTERNATIONAL INV INTL V
SILCHESTER INTERNATIONAL INVESTORS LLP · EIN 36-7045783 / PN 001
Common Collective Trust
$468.1M4.2%
NTGI COLTV GOVT STIF
NORTHERN TRUST INVESTMENTS N.A. · EIN 45-6138589 / PN 068
Common Collective Trust
$280.0M2.5%
MARATHON-LONDON INTERNATIONAL FUND
MARATHON ASSET MANAGEMENT LIMITED · EIN 22-3321401 / PN 001
Common Collective Trust
$257.7M2.3%
STATE STREET MIDCAP INDEX FUND
STATE STREET GLOBAL ADVISORS · EIN 04-0025081 / PN 005
Common Collective Trust
$246.7M2.2%
[DFE: JPMORGAN CHASE RETIREMENT PLAN (extraction pending)]$126.0M1.1%
JPMCB STATEGIC PROPERTY FUND
JP MORGAN CHASE BANK, NA · EIN 13-4994650 / PN 001
Pooled Separate Account
$126.0M1.1%
MFO BLACKROCK MSCI ACWI ESG FOCUS
BLACKROCK INST. TRUST COMPANY NA · EIN 83-1481224 / PN 001
Common Collective Trust
$117.3M1.1%
PRISA
PRUDENTIAL INSURANCE CO. · EIN 22-1211670 / PN 038
Pooled Separate Account
$106.5M1.0%
BLACKROCK EMERGING MRKTS INDEX FUND
BLACKROCK INST. TRUST COMPANY NA · EIN 20-5780391 / PN 001
Common Collective Trust
$102.2M0.9%
DFA U.S. MICRO CAP TRUST
DFA GROUP TRUST · EIN 23-6819730 / PN 004
Common Collective Trust
$84.2M0.8%
CF JPMCB GLOBAL EMERGING MKTS DISCO
JP MORGAN CHASE BANK NA · EIN 82-0820670 / PN 001
Common Collective Trust
$62.4M0.6%
BMW167,762.966$14.9M$13.7M0.1%
GSK769,024.093$14.3M$13.0M0.1%
WPP1,150,891.625$12.0M$11.9M0.1%
SANOFI119,682.334$10.8M$11.6M0.1%
BAYER522,751.203$20.7M$10.5M<0.1%
ROCHE34,544.951$9.5M$9.7M<0.1%
HONDA MOTOR979,846.851$9.3M$9.6M<0.1%
RANDSTAD225,302.071$12.1M$9.5M<0.1%
KINGFISHER2,995,458.309$10.0M$9.3M<0.1%
ADECCO324,900.859$13.8M$8.0M<0.1%
YAMAHA MOTOR894,365.459$6.8M$8.0M<0.1%
TESCO1,590,107.211$5.4M$7.3M<0.1%
ABN AMRO474,279.127$6.9M$7.3M<0.1%
DENTSU GROUP299,607.099$9.4M$7.3M<0.1%
RECKITT BENCKISER117,081.718$6.7M$7.1M<0.1%
LG CORP139,611.662$8.7M$6.8M<0.1%
BANGKOK BANK (NVDR)1,532,172.951$6.6M$6.8M<0.1%
NUTRIEN149,197.4$7.4M$6.7M<0.1%
NOKIA1,440,655.996$5.0M$6.4M<0.1%
BNP PARIBAS103,174.238$5.8M$6.3M<0.1%
UBS GROUP205,420.236$3.3M$6.3M<0.1%
M&G2,521,518.041$6.9M$6.2M<0.1%
SCHRODERS1,462,380.715$7.6M$5.9M<0.1%
MERCEDES-BENZ GROUP105,989.021$7.2M$5.9M<0.1%
HENDERSON LAND1,940,105.45$6.8M$5.9M<0.1%
IGM FINANCIAL184,324.305$5.3M$5.9M<0.1%
SUMITOMO MITSUI TRUST GROUP247,993.658$4.0M$5.8M<0.1%
AMUNDI85,336.817$5.6M$5.7M<0.1%
TIGER BRANDS347,048.103$4.6M$5.3M<0.1%
IIDA GROUP344,578.707$5.9M$5.2M<0.1%
AMBEV2,621,738.789$5.8M$5.0M<0.1%
MEDIPAL327,635.748$5.3M$5.0M<0.1%
HENKEL63,772.125$4.6M$4.9M<0.1%
CONTINENTAL69,719.888$4.8M$4.7M<0.1%
KT CORP155,076.11$5.2M$4.6M<0.1%
DAITO TRUST CONSTRUCTION39,671.319$4.1M$4.4M<0.1%
SWATCH GROUP24,220.586$4.8M$4.4M<0.1%
SUMITOMO HEAVY INDUSTRIES211,023.39$5.9M$4.4M<0.1%
SUMITOMO RUBBER383,555.3$4.0M$4.4M<0.1%
AURUBIS54,177.942$3.8M$4.3M<0.1%
BANCA GENERALI91,229.361$3.3M$4.2M<0.1%
KYOTO FINANCIAL GROUP282,915.678$3.4M$4.2M<0.1%
TOSOH307,518.604$4.0M$4.1M<0.1%
TIETOEVRY230,891.63$5.7M$4.1M<0.1%
UNITED OVERSEAS BANK149,689.758$3.3M$4.0M<0.1%
ABRDN2,243,988.415$6.7M$4.0M<0.1%
TAISEI CORP93,362.952$3.0M$3.9M<0.1%
NIKON CORP368,139.542$3.8M$3.8M<0.1%
PORSCHE SE100,818.813$5.4M$3.8M<0.1%
STORA ENSO376,760.269$4.7M$3.8M<0.1%
ALFRESA271,380.811$4.4M$3.7M<0.1%
SUMITOMO CORP170,040.474$2.4M$3.7M<0.1%
HAYS3,622,518.789$5.6M$3.6M<0.1%
LARGAN PRECISION43,540.231$3.0M$3.6M<0.1%
ITV3,853,723.346$3.2M$3.6M<0.1%
SIGNIFY155,377.477$4.3M$3.5M<0.1%
MITSUBISHI MATERIALS220,575.889$5.0M$3.4M<0.1%
GOLDEN AGRI RESOURCES17,344,966.794$5.3M$3.4M<0.1%
MAN GROUP1,233,395.752$3.2M$3.3M<0.1%
JARDINE MATHESON76,605.653$3.8M$3.1M<0.1%
VENTURE CORPORATION318,939.68$3.3M$3.1M<0.1%
BIC45,850.439$2.9M$3.0M<0.1%
HYUNDAI MOTOR20,215.005$2.7M$2.9M<0.1%
ASTELLAS PHARMA290,683.447$3.5M$2.8M<0.1%
KERING11,029.094$2.7M$2.7M<0.1%
UOL GROUP712,116.832$3.4M$2.7M<0.1%
HUSQVARNA B514,428.071$3.3M$2.7M<0.1%
TP ICAP819,276.947$3.2M$2.6M<0.1%
EXEO GROUP235,614.338$2.2M$2.6M<0.1%
COMFORTDELGRO2,387,232.421$2.3M$2.6M<0.1%
DAICEL278,681.436$2.2M$2.5M<0.1%
RTL GROUP90,016.943$5.0M$2.5M<0.1%
BARLOWORLD431,119.918$2.7M$2.5M<0.1%
HEINEKEN HOLDING40,451.75$2.9M$2.4M<0.1%
COMSYS HOLDINGS116,917.798$2.4M$2.4M<0.1%
NORTHERN INSTITUTIONAL FUNDS – U.S. GOVERNMENT SELECT PORTFOLIO2,407,299.377$2.4M$2.4M<0.1%
NIPPON KAYAKU294,127.138$2.9M$2.4M<0.1%
DANSKE BANK83,461.413$1.5M$2.4M<0.1%
SANTEN PHARMACEUTICAL220,150.668$2.0M$2.3M<0.1%
NIPPON SHOKUBAI176,484.668$2.4M$2.2M<0.1%
HANG LUNG1,564,992.822$4.0M$2.1M<0.1%
YUE YUEN933,300.128$2.2M$2.1M<0.1%
CONCORDIA FINANCIAL GROUP370,157.845$1.6M$2.1M<0.1%
SUMITOMO OSAKA CEMENT92,380.752$3.7M$1.9M<0.1%
SEB20,791.508$1.7M$1.9M<0.1%
LUK FOOK HOLDINGS1,012,205.568$2.6M$1.9M<0.1%
ANDRITZ36,776.044$2.1M$1.9M<0.1%
MITIE GROUP1,350,014.638$1.5M$1.9M<0.1%
M6-METROPOLE158,312.101$2.6M$1.8M<0.1%
DAIWA SECURITIES275,806.703$1.3M$1.8M<0.1%
SK TELECOM47,807.773$2.4M$1.8M<0.1%
SK SQUARE33,145.375$1.8M$1.8M<0.1%
BUZZI48,151.543$983K$1.8M<0.1%
ELECTROLUX210,527.139$2.3M$1.8M<0.1%
NOVARTIS16,945.834$1.3M$1.7M<0.1%
HYSAN DEVELOPMENT1,074,132.114$3.5M$1.6M<0.1%
COWAY33,910.174$1.3M$1.5M<0.1%
COFACE103,411.702$928K$1.5M<0.1%
MICHELIN44,643.111$1.4M$1.5M<0.1%
SAWAI GROUP HOLDINGS104,963.699$1.3M$1.4M<0.1%
LG H&H6,840.787$1.7M$1.4M<0.1%
LLOYDS BANKING2,055,192.402$1.2M$1.4M<0.1%
HEIDELBERG MATERIALS11,386.878$819K$1.4M<0.1%
HONGKONG LAND313,166.257$1.6M$1.4M<0.1%
FUJI MEDIA126,446.341$1.5M$1.4M<0.1%
JUPITER FUND MANAGEMENT1,282,347.069$6.1M$1.4M<0.1%
PEGATRON490,681.038$1.1M$1.4M<0.1%
DOOSAN BOBCAT46,783.29$1.5M$1.3M<0.1%
MARUICHI STEEL TUBE57,416.808$1.3M$1.3M<0.1%
TADANO165,303.153$1.3M$1.2M<0.1%
NHK SPRING86,110.24$734K$1.1M<0.1%
GENOMMA LAB INTERNACIONAL874,265.085$826K$1.1M<0.1%
SUZUKEN33,011.521$1.1M$995K<0.1%
JANUS HENDERSON GROUP19,919.326$530K$847K<0.1%
MONDI56,023.281$846K$836K<0.1%
UMICORE78,072.965$868K$805K<0.1%
COSCO SHIPPING PORTS1,242,562.019$1.1M$736K<0.1%
TODA117,426.866$590K$719K<0.1%
Antero Resources Corp.20,207.439$708K<0.1%
NIKKON HOLDINGS53,991.085$383K$700K<0.1%
Taylor Morrison Home Corp.10,804.522$661K<0.1%
YARA24,544.233$683K$650K<0.1%
Jackson Financial, Inc., Class A7,127.19$621K<0.1%
BRIDGESTONE17,541.862$593K$596K<0.1%
Lithia Motors, Inc.1,626.068$581K<0.1%
Old National Bancorp.26,462.512$574K<0.1%
Assured Guaranty Ltd.6,183.706$557K<0.1%
MGIC Investment Corp.23,447.709$556K<0.1%
FNB Corp.37,486.651$554K<0.1%
Group 1 Automotive, Inc.1,302.66$549K<0.1%
Alaska Air Group, Inc.8,385.726$543K<0.1%
PVH Corp.5,044.506$533K<0.1%
Ingredion, Inc.3,845.805$529K<0.1%
SUNLIGHT REIT2,206,477.577$659K$528K<0.1%
MEIJI HOLDINGS25,543.203$667K$520K<0.1%
CNX Resources Corp.14,154.266$519K<0.1%
Knight-Swift Transportation Holdings, Inc.9,699.751$514K<0.1%
Air Lease Corp.10,592.259$511K<0.1%
Mr. Cooper Group, Inc.5,199.441$499K<0.1%
Range Resources Corp.13,679.933$492K<0.1%
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Gates Industrial Corp. PLC.23,039.729$474K<0.1%
Thor Industries, Inc.4,941.048$473K<0.1%
Urban Outfitters, Inc.8,608.519$472K<0.1%
SkyWest, Inc.4,651.067$466K<0.1%
Frontier Communications Parent, Inc.13,343.655$463K<0.1%
Mohawk Industries, Inc.3,850.484$459K<0.1%
BorgWarner, Inc.14,378.897$457K<0.1%
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Post Holdings, Inc.3,850.652$441K<0.1%
Webster Financial Corp.7,976.911$440K<0.1%
First Horizon Corp.21,865.263$440K<0.1%
Invesco Ltd.25,159.853$440K<0.1%
Arcosa, Inc.4,515.52$437K<0.1%
Bank OZK9,787.832$436K<0.1%
United Bankshares, Inc.11,472.064$431K<0.1%
Wintrust Financial Corp.3,337.042$416K<0.1%
White Mountains Insurance Group Ltd.213.767$416K<0.1%
Popular, Inc.4,392.173$413K<0.1%
U.S. Cellular Corp.6,562.771$412K<0.1%
Matson, Inc.3,039.707$410K<0.1%
KB Home6,221.813$409K<0.1%
Murphy Oil Corp.13,499.593$408K<0.1%
Kirby Corp.3,829.091$405K<0.1%
KINDEN20,805.882$313K$402K<0.1%
Boise Cascade Co.3,352.753$399K<0.1%
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NOV, Inc.26,738.956$390K<0.1%
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Bio-Rad Laboratories, Inc., Class A1,152.07$378K<0.1%
Radian Group, Inc.11,913.638$378K<0.1%
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Showing top 200 of 983 investments by value.