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Original filing (PDF)20251006100823NAL0006189072001

NORTON ROSE FULBRIGHT US LLP

Form 5500
FILING_RECEIVED
CHADBOURNE & PARKE LLP PENSION PLAN AND TRUST AGREEMENT
Defined-benefit pension plan
Signals · 1
~311 bps in Sched C fees
Active participants
11
Accounts w/ balance
Plan assets (EOY)
$17.6M
Net assets (EOY)
$17.6M
How this plan invests
This plan
83 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
75
Participation health
100
Knocking points off
  • 311 bps in Schedule C fees — 974% above peer band of 29 bps.
  • Plan is frozen (1I) — no new benefit accrual.
Decision-maker contacts
CFO / Head of HR / Benefits Manager — verified email + LinkedIn for NORTON ROSE FULBRIGHT US LLP.
Plan sponsor
Name
NORTON ROSE FULBRIGHT US LLP
EIN
74-1201087
Address
1301 AVENUE OF THE AMERICAS · NEW YORK, NY · 10019
Phone
(212) 408-5100
Industry
Law Offices· Professional & Technical Servicessee all
Plan administrator
Same as plan sponsor.
Plan characteristics
Plan number
009
Plan year
2024
Plan year begin
2024-01-01
Tax period
2024-12-31
Filed
2025-10-06
Pension benefit codes
1I · Frozen plan — no new benefit accrual
Audit & trust (Schedule H)
Auditor
CITRIN COOPERMAN & COMPANY, LLP
Trustee / custodian
Trustee phone

Service providers (Schedule C)

5 rows
Custodian
1
NameEINLocationRelationDirect compIndirect comp
US BANK31-0841368CUSTODIAN$94K
Advisor / Consultant
1
NameEINLocationRelationDirect compIndirect comp
ALLIANCE BERNSTEIN, L.P.13-4132953INVESTMENT ADVISOR$64K
Other
3
NameEINLocationRelationDirect compIndirect comp
ERNST & YOUNG LLP34-6565596NONE$344K
CITRIN COOPERMAN AND COMPANY22-2428965NONE$24K
BERDON LLP13-0485070NONE$23K

Investments

82 direct securities· $15.2M(86% of reported assets)
Uncategorized
$15.1M
80 holdings
Mutual Funds
$135K
1 holding
Common Stocks
$39K
1 holding
PIInvestmentTypeShares / unitsCostCurrent value% of plan
Alliance Bernstein Sanford C. Bernstein Overlay B Portfolio$2.7M$2.4M13.8%
Alliance Bernstein AllianceBernstein GI Bd I$2.8M$2.4M13.5%
Portfolio * Alliance Bernstein Sanford C. Bernstein Overlay A Portfolio$2.7M$2.3M13.0%
Alliance Bernstein AB International Strategic Equities Advisor$1.4M$1.5M8.8%
U.S. Bank, N.A. U.S. Bank money market, variable rate account$1.1M$1.1M6.2%
Alliance Bernstein AB Small Cap Value A$505K$627K3.6%
Alliance Bernstein AB Ultra Short Income Etf$446K$445K2.5%
Alliance Bernstein AB International Small Cap Advisor$362K$383K2.2%
Microsoft Corp. Microsoft Corp.$85K$264K1.5%
Nvidia Corp Nvidia Corp.$30K$244K1.4%
Alliance Bernstein Emerging Markets$213K$206K1.2%
Alphabet Inc. Alphabet Inc.$56K$181K1.0%
Alliance Bernstein AllianceBernstein Discovery Value Advisor$161K$172K1.0%
Apple Inc. Apple Inc.$28K$169K1.0%
Amazon.com Inc. Amazon.com Inc.$95K$158K0.9%
s * Alliance Bernstein AB Discovery Growth Fund Class Advisor
Mutual Funds
$111K$135K0.8%
Visa Inc. Visa Inc. - Class A Shares$57K$129K0.7%
Meta Platforms Inc. Meta Platforms Inc.$36K$122K0.7%
Alliance Bernstein AB Small Cap Core Advisor$109K$118K0.7%
Broadcom Inc. Broadcom Inc.$45K$104K0.6%
United Health Group United Health Group Inc.$48K$91K0.5%
Walmart Inc. Walmart Inc.$34K$85K0.5%
Oracle Corporation Oracle Corporation$26K$67K0.4%
Goldman Sachs Group Inc. Goldman Sachs Group Inc.$31K$65K0.4%
Wells Fargo & Company Wells Fargo & Company$38K$62K0.4%
The Charles Schwab Corporation The Charles Schwab Corporation$54K$57K0.3%
Eaton Corp. Plc Eaton Corp. Plc$15K$51K0.3%
Home Depot Inc. Home Depot Inc.$18K$50K0.3%
CSX Corp. CSX Corp.$43K$48K0.3%
EOG Resources Inc. EOG Resources Inc.$36K$48K0.3%
Progressive Corp. Progressive Corp.$15K$47K0.3%
Bank of America Corp. Bank of America Corp.$17K$47K0.3%
The Walt Disney Company Walt Disney Co.$40K$46K0.3%
T Mobile US Inc. T Mobile US Inc.$27K$45K0.3%
Medtronic Plc Medtronic Plc$56K$44K0.2%
Iqvia Holdings Inc. Iqvia Holdings Inc.$46K$44K0.2%
Baker Hughes Company Baker Hughes Company$35K$42K0.2%
Adobe Inc. Adobe Inc.
Common Stocks
$32K$39K0.2%
NXP Semiconductors NV NXP Semiconductors NV$27K$39K0.2%
Comcast Corp. Comcast Corp. Class A$28K$38K0.2%
Fiserv Inc. Fiserv Inc.$32K$35K0.2%
Procter & Gamble Co. Procter & Gamble Co.$24K$34K0.2%
Ge Vernova LLC Ge Vernova LLC$17K$34K0.2%
Vertex Pharmaceuticals Inc. Vertex Pharmaceuticals Inc.$18K$33K0.2%
Coca Cola Company Coca Cola Company$28K$33K0.2%
Prologis Inc. Prologis Inc.$32K$32K0.2%
Paccar Inc. Paccar Inc.$23K$32K0.2%
Lyondellbasell Industries NV Lyondellbasell Industries NV$35K$31K0.2%
Thermo Fisher Scientific Inc. Thermo Fisher Scientific Inc.$29K$31K0.2%
Linde Plc Shs Linde Plc Shs$21K$30K0.2%
Waters Corp Com Waters Corp Company$23K$30K0.2%
Corteva Inc. Corteva Inc.$26K$30K0.2%
Roche Holdings Ltd. Spon ADR Roche Holdings Ltd. Spon ADR$31K$28K0.2%
Taiwan Semiconductors ADR Taiwan Semiconductors ADR$25K$28K0.2%
American Electric Power Co. Inc. American Electric Power Co. Inc.$20K$27K0.2%
Merck Company Inc. Merck Company Inc.$33K$27K0.2%
Digital Realty Trust Inc. Digital Realty Trust Inc.$27K$26K0.1%
Costco Wholesale Corp. Costco Wholesale Corp.$7K$26K0.1%
AutoZone Inc. AutoZone Inc.$6K$26K0.1%
Deere & Co. Deere Co.$25K$25K0.1%
Ameren Corp. Ameren Corp.$24K$24K0.1%
Constellation Brands Inc. Constellation Brands Inc.$24K$24K0.1%
Labcorp Holdings Inc. Company Labcorp Holdings Inc. Company$24K$24K0.1%
Otis Worldwide Corp Otis Worldwide Corp$19K$23K0.1%
Starbucks Corp. Starbucks Corp.$23K$22K0.1%
Kla Corporation Kla Corporation$13K$21K0.1%
Regeneron Pharmaceuticals Inc. Regeneron Pharmaceuticals Inc.$19K$21K0.1%
Zoetis Inc. Class A Zoetis Inc. Class A$16K$21K0.1%
Cameco Corp. Cameco Corp.$16K$21K0.1%
Honeywell International Inc. Honeywell International Inc.$20K$21K0.1%
Nike Inc. Nike Inc.$17K$21K0.1%
Willis Towers Watson Plc Ltd Willis Towers Watson Plc Ltd$13K$19K0.1%
Edwards Lifesciences Corp. Edwards Lifesciences Corp.$14K$16K<0.1%
CDW Corp. Delaware Cdw Corp. Delaware$7K$15K<0.1%
Servicenow Inc Servicenow Inc.$7K$15K<0.1%
Hyatt Hotels Corp. Class A Hyatt Hotels Corp. Class A$10K$15K<0.1%
Hubspot Inc. Hubspot Inc.$11K$14K<0.1%
Pentair Plc Pentair Plc$11K$14K<0.1%
Qualcomm Inc. Qualcomm Inc.$8K$13K<0.1%
Western Digital Corp Com Western Digital Corp Com$12K$10K<0.1%
Booz Allen Hamilton Holdings Booz Allen Hamilton Holdings$7K$10K<0.1%
Chevron Corporation Chevron Corporation$8K$10K<0.1%