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Original filing (PDF)20250721135259NAL0003299538001

PREMERA

Form 5500
FILING_RECEIVED
PREMERA PENSION EQUITY PLAN
Defined-benefit pension plan
Signals · 2
No recordkeeper disclosed9 service providers
Active participants
2,755
Accounts w/ balance
Plan assets (EOY)
$445.6M
Net assets (EOY)
$445.0M
How this plan invests
This plan
4 pooled trusts
Schedule D
1,406 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
  • 44 bps in Schedule C fees — 341% 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 PREMERA.
Plan sponsor
Name
PREMERA
EIN
91-1662324
Address
PO BOX 327 · SEATTLE, WA · 98111
Phone
(425) 918-4000
Industry
Finance & Insurancesee 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
2025-07-21
Pension benefit codes
1A · Pay-related DB formula
1C · Cash balance or similar hybrid DB
3H · Sponsor in controlled / affiliated group
Audit & trust (Schedule H)
Auditor
ERNST & YOUNG LLP
Trustee / custodian
Trustee phone

Service providers (Schedule C)

9 rows
Advisor / Consultant
7
NameEINLocationRelationDirect compIndirect comp
NISA INVESTMENT ADVISORS, LLC48-1140940INVESTMENT MANAGER$495K
JPMORGAN CHASE BANK, N.A.13-4994650INVESTMENT MANAGER$331K
BURGUNDY ASSET MANAGEMENT LTD.98-0407588INVESTMENT MANAGER$198K
SILCHESTER INTERNATIONAL INVESTORS45-3056700INVESTMENT MANAGER$191K
WELLINGTON TRUST04-2755549INVESTMENT ADVISOR$125K
LEGAL & GENERAL INV MGMT AMERICA20-8058531INVESTMENT MANAGER$60K
CARDINAL INVESTMENT ADVISORS36-4464580INVESTMENT ADVISOR$46K
Trustee
1
NameEINLocationRelationDirect compIndirect comp
THE BANK OF NEW YORK MELLON TRST CO95-3571558TRUSTEE$160K
Actuary
1
NameEINLocationRelationDirect compIndirect comp
WILLIS TOWERS WATSON US LLC52-2211537ACTUARY$356K

Investments

1,078 direct securities · 4 pooled funds· $411.3M(92% 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
$301.1M
1076 holdings
103-12 Investment Entity
$50.0M
2 holdings
Common Collective Trust
$41.7M
2 holdings
Common Collective Trusts
$18.5M
1 holding
OTHER
$33K
1 holding
PIInvestmentTypeShares / unitsCostCurrent value% of plan
MARTINGLE INV TRUST SERIES I
MARTINGALE ASSET MANAGEMENT · EIN 46-2669543 / PN 001
103-12 Investment Entity
$19.0M$32.4M7.3%
Market Value * Mutual Funds The Bank of New York Mellon Dreyfus Treasury & Agency Cash$31.8M$31.8M7.1%
CTF BLENDED OPP EMERGING DEBT PORT
WELLINGTON TRUST COMPANY, NA · EIN 47-3828930 / PN 001
Common Collective Trust
$26.4M$23.1M5.2%
T Rowe Price Floating Rate Fund$19.1M$18.7M4.2%
Fund JP Morgan JPMCB Special Situation Property Fund
Common Collective Trusts
$14.5M$18.5M4.2%
JPMCB SPEC SIT PROP FND
JP MORGAN CHASE BANK, N.A. · EIN 13-4494650 / PN 001
Common Collective Trust
$18.5M4.2%
SILCHESTER INTERNATIONAL VALUE EQTY
SILCHESTER INTERNATIONAL INVESTORS, LLP · EIN 36-7045783 / PN 001
103-12 Investment Entity
$3.1M$17.6M3.9%
U S Treasury Note U S Treasury Note 2/15/2032$5.2M$5.1M1.1%
U S Treasury Bond U S Treasury Bond 2/15/2054$5.4M$4.9M1.1%
U S Treasury Bond U S Treasury Bond 2/15/2052$5.0M$4.5M1.0%
U.S. Government Securities U S Treasury Bd Cpn Strip U S Treasury Bd Cpn Strip 2/15/2034 – % $$2.4M$2.4M0.5%
Bank Of America Corp Corporate Bond 6/19/2041$1.9M$1.8M0.4%
Primerica Inc Corporate Stock – Common$1.2M$1.6M0.4%
U S Treasury Bd Prin Strip U S Treasury Bd Prin Strip 8/15/2052 –$1.8M$1.5M0.3%
U S Treasury Note U S Treasury Note 1/31/2028$1.5M$1.5M0.3%
U S Treasury Note U S Treasury Note 8/15/2032$1.5M$1.5M0.3%
U S Treasury Bond U S Treasury Bond 11/15/2044$1.5M$1.5M0.3%
U S Treasury Bd Prin Strip U S Treasury Bd Prin Strip 11/15/2050 –$1.6M$1.4M0.3%
Meta Platforms Inc Corporate Bond 8/15/2064$1.4M$1.3M0.3%
Pfizer Investment Enterprises Corporate Bond 5/19/2063$1.4M$1.3M0.3%
Ss&C Technologies Holdings Inc Corporate Stock – Common$993K$1.2M0.3%
Cvs Health Corp Corporate Bond 3/25/2048$1.3M$1.2M0.3%
Hsbc Holdings Plc Corporate Bond 11/18/2035$1.3M$1.2M0.3%
U S Treasury Bd Prin Strip U S Treasury Bd Prin Strip 8/15/2043 –$1.3M$1.2M0.3%
Microsoft Corp Corporate Bond 6/1/2050$1.3M$1.2M0.3%
U S Treasury Bd Cpn Strip U S Treasury Bd Cpn Strip 11/15/2039 –$1.2M$1.2M0.3%
U S Treasury Note U S Treasury Note 11/15/2033$1.2M$1.2M0.3%
Comcast Corp Corporate Bond 11/1/2056$1.3M$1.1M0.3%
At&T Inc Corporate Bond 9/15/2055$1.2M$1.1M0.2%
Warnermedia Holdings Inc Corporate Bond 3/15/2052$1.1M$1.1M0.2%
Marsh & Mclennan Cos Inc Corporate Bond 3/15/2035$1.1M$1.1M0.2%
Morgan Stanley Corporate Bond 11/19/2055$1.1M$1.1M0.2%
Peruvian Government Internatio Other Bonds 2/8/2035$1.1M$1.1M0.2%
Oracle Corp Corporate Bond 9/27/2064$1.2M$1.1M0.2%
Citigroup Inc Corporate Bond 2/13/2035$1.1M$1.1M0.2%
Wyndham Hotels & Resorts Inc Corporate Stock – Common$801K$1.1M0.2%
U S Treasury Note U S Treasury Note 5/31/2030$1.1M$1.1M0.2%
Saudi Government Internat 144A Other Bonds 1/16/2054$1.1M$1.0M0.2%
U S Treasury Note U S Treasury Note 1/31/2028$1.0M$1.0M0.2%
Houlihan Lokey Inc Corporate Stock – Common$614K$1.0M0.2%
Emcor Group Inc Corporate Stock – Common$410K$1.0M0.2%
Globus Medical Inc Corporate Stock – Common$641K$989K0.2%
U S Treasury Note U S Treasury Note 12/31/2027$951K$974K0.2%
Republic Of Poland Government Other Bonds 3/18/2054$966K$903K0.2%
Cbiz Inc Corporate Stock – Common$646K$901K0.2%
Pg&E Wildfire Recovery Funding Corporate Bond 12/1/2049$940K$896K0.2%
U S Treasury Bd Cpn Strip U S Treasury Bd Cpn Strip 5/15/2045 –$979K$894K0.2%
Openlane Inc Corporate Stock – Common$638K$851K0.2%
Eli Lilly & Co Corporate Bond 2/9/2054$906K$851K0.2%
U S Treasury Bd Prin Strip U S Treasury Bd Prin Strip 5/15/2051 –$1.0M$850K0.2%
Mexico Government Internationa Other Bonds 3/8/2044$923K$835K0.2%
Blackrock Funding Inc Corporate Bond 3/14/2054$873K$828K0.2%
Market Value U S Treasury Bd Prin Strip U S Treasury Bd Prin Strip 2/15/2046 – % $$910K$827K0.2%
U S Treasury Bd Prin Strip U S Treasury Bd Prin Strip 11/15/2051 –$973K$814K0.2%
Mexico Government Internationa Other Bonds 1/23/2046$902K$810K0.2%
Wells Fargo & Co Corporate Bond 4/30/2041$831K$801K0.2%
Market Value California St Other Bonds 4/1/2039 7.55 % $$852K$798K0.2%
Arthur J Gallagher & Co Corporate Stock – Common$615K$794K0.2%
Armstrong World Industries Inc Corporate Stock – Common$546K$788K0.2%
U S Treasury Bd Prin Strip U S Treasury Bd Prin Strip 11/15/2044 –$851K$783K0.2%
California St Other Bonds 11/1/2040$820K$768K0.2%
Mexico Government Internationa Other Bonds 8/14/2041$829K$757K0.2%
At&T Inc Corporate Bond 12/1/2057$811K$754K0.2%
Gentex Corp Corporate Stock – Common$825K$731K0.2%
California St Other Bonds 3/1/2040$778K$731K0.2%
U S Treasury Bd Prin Strip U S Treasury Bd Prin Strip 2/15/2048 –$792K$697K0.2%
Indonesia Government Internati Other Bonds 9/10/2034$727K$693K0.2%
American Homes 4 Rent Corporate Stock – Common$652K$684K0.2%
Jpmorgan Chase & Co Corporate Bond 4/22/2041$705K$679K0.2%
U S Treasury Bd Prin Strip U S Treasury Bd Prin Strip 2/15/2051 –$802K$678K0.2%
Exxon Mobil Corp Corporate Bond 4/15/2051$717K$677K0.2%
Pepsico Inc Corporate Bond 11/1/2040$733K$674K0.2%
Warnermedia Holdings Inc Corporate Bond 3/15/2062$742K$672K0.2%
Pg&E Recovery Funding Llc Corporate Bond 6/1/2051$675K$671K0.2%
Texas Natural Gas Securitiztn Other Bonds 4/1/2041$698K$665K0.1%
U S Treasury Note U S Treasury Note 6/30/2029$664K$654K0.1%
Chubb Ina Holdings Llc Corporate Bond 3/15/2034$662K$652K0.1%
U S Treasury Note U S Treasury Note 1/31/2030$666K$652K0.1%
U S Treasury Bd Prin Strip U S Treasury Bd Prin Strip 8/15/2051 –$774K$651K0.1%
Boeing Co/The Corporate Bond 5/1/2060$682K$649K0.1%
New Jersey St Turnpike Auth Tu Other Bonds 1/1/2041$701K$648K0.1%
Grand Canyon Education Inc Corporate Stock – Common$509K$646K0.1%
U S Treasury Bd Cpn Strip U S Treasury Bd Cpn Strip 5/15/2040 –$683K$632K0.1%
Light & Wonder Inc Corporate Stock – Common$600K$624K0.1%
U S Treasury Note U S Treasury Note 8/15/2033$656K$623K0.1%
N Tx Tollway Auth Revenue Other Bonds 1/1/2049$685K$617K0.1%
U S Treasury Bd Cpn Strip U S Treasury Bd Cpn Strip 8/15/2040 –$658K$610K0.1%
Abbvie Inc Corporate Bond 11/21/2039$635K$610K0.1%
Shell Finance Us Inc Corporate Bond 5/11/2045$667K$607K0.1%
Oracle Corp Corporate Bond 3/25/2041$613K$605K0.1%
Merck & Co Inc Corporate Bond 12/10/2051$651K$604K0.1%
U S Treasury Bd Prin Strip U S Treasury Bd Prin Strip 5/15/2047 –$672K$600K0.1%
Jpmorgan Chase & Co Corporate Bond 11/15/2048$635K$599K0.1%
U S Treasury Bd Cpn Strip U S Treasury Bd Cpn Strip 11/15/2042 –$641K$593K0.1%
Jpmorgan Chase & Co Corporate Bond 4/22/2042$606K$588K0.1%
U S Treasury Bd Prin Strip U S Treasury Bd Prin Strip 8/15/2050 –$692K$587K0.1%
Penske Automotive Group Inc Corporate Stock – Common$589K$586K0.1%
U S Treasury Bd Cpn Strip U S Treasury Bd Cpn Strip 5/15/2039 –$628K$584K0.1%
Kroger Co/The Corporate Bond 2/1/2047$628K$584K0.1%
Estee Lauder Cos Inc/The Corporate Bond 6/15/2045$643K$579K0.1%
Berkshire Hathaway Finance Cor Corporate Bond 10/15/2050$626K$578K0.1%
U S Treasury Note U S Treasury Note 3/31/2028$570K$577K0.1%
Jpmorgan Chase & Co Corporate Bond 1/23/2049$613K$577K0.1%
Israel Government Internationa Other Bonds 3/12/2054$586K$562K0.1%
Novartis Capital Corp Corporate Bond 5/6/2044$615K$562K0.1%
Amgen Inc Corporate Bond 2/22/2052$589K$561K0.1%
Totalenergies Capital Sa Corporate Bond 4/5/2054$577K$556K0.1%
Mexico Government Internationa Other Bonds 5/7/2054$586K$555K0.1%
U S Treasury Bd Prin Strip U S Treasury Bd Prin Strip 11/15/2047 –$626K$555K0.1%
Microsoft Corp Corporate Bond 8/8/2046$605K$551K0.1%
U S Treasury Bond U S Treasury Bond 2/15/2041$588K$547K0.1%
Time Warner Cable Llc Corporate Bond 11/15/2040$554K$546K0.1%
American Express Co Corporate Bond 7/26/2035$550K$544K0.1%
Strategic Education Inc Corporate Stock – Common$526K$542K0.1%
U S Treasury Note U S Treasury Note 2/15/2033$564K$540K0.1%
Unitedhealth Group Inc Corporate Bond 7/15/2064$560K$531K0.1%
U S Treasury Bd Prin Strip U S Treasury Bd Prin Strip 2/15/2053 –$630K$522K0.1%
Bay Area Ca Toll Auth Toll Bri Other Bonds 4/1/2049$570K$518K0.1%
Broadcom Inc Corporate Bond 10/15/2034$534K$516K0.1%
Bristol-Myers Squibb Co Corporate Bond 11/13/2050$555K$515K0.1%
Euronet Worldwide Inc Corporate Stock – Common$507K$514K0.1%
Kennametal Inc Corporate Stock – Common$515K$511K0.1%
Boeing Co/The Corporate Bond 2/1/2050$504K$510K0.1%
Cable One Inc Corporate Stock – Common$648K$510K0.1%
Kenvue Inc Corporate Bond 3/22/2063$574K$508K0.1%
Dh Europe Finance Ii Sarl Corporate Bond 11/15/2039$534K$507K0.1%
U S Treasury Bd Prin Strip U S Treasury Bd Prin Strip 2/15/2050 –$592K$506K0.1%
T-Mobile Usa Inc Corporate Bond 2/15/2051$541K$505K0.1%
Cigna Group/The Corporate Bond 2/15/2054$512K$497K0.1%
Jpmorgan Chase & Co Corporate Bond 11/19/2041$519K$496K0.1%
Vodafone Group Plc Corporate Bond 6/28/2064$502K$495K0.1%
Simpson Manufacturing Co Inc Corporate Stock – Common$560K$489K0.1%
Intel Corp Corporate Bond 11/15/2049$581K$487K0.1%
Commonspirit Health Corporate Bond 10/1/2050$521K$486K0.1%
Brookfield Finance Inc Corporate Bond 1/15/2035$490K$484K0.1%
Jpmorgan Chase & Co Corporate Bond 7/24/2048$508K$483K0.1%
Allison Transmission Holdings Corporate Stock – Common$261K$483K0.1%
U S Treasury Bd Prin Strip U S Treasury Bd Prin Strip 2/15/2047 –$539K$483K0.1%
Meta Platforms Inc Corporate Bond 8/15/2062$529K$481K0.1%
Gilead Sciences Inc Corporate Bond 2/1/2045$496K$480K0.1%
Amazon.Com Inc Corporate Bond 5/12/2051$507K$480K0.1%
Coca-Cola Co/The Corporate Bond 5/13/2064$495K$472K0.1%
Prologis Lp Corporate Bond 3/15/2034$476K$467K0.1%
U S Treasury Bd Cpn Strip U S Treasury Bd Cpn Strip 5/15/2042 –$502K$465K0.1%
U S Treasury Note U S Treasury Note 5/31/2028$461K$465K0.1%
Peruvian Government Internatio Other Bonds 8/8/2054$477K$453K0.1%
Unitedhealth Group Inc Corporate Bond 5/15/2041$488K$451K0.1%
Philippine Government Internat Other Bonds 7/6/2046$502K$451K0.1%
Bank Of America Corp Corporate Bond 4/22/2042$466K$449K0.1%
U S Treasury Bd Prin Strip U S Treasury Bd Prin Strip 5/15/2052 –$539K$449K0.1%
Florida Power & Light Co Corporate Bond 6/15/2034$443K$446K0.1%
Market Value Comcast Corp Corporate Bond 11/1/2051 2.89 % $$499K$446K0.1%
Market Value Pfizer Investment Enterprises Corporate Bond 5/19/2053 5.30 % $$478K$445K<0.1%
Rtx Corp Corporate Bond 5/4/2047$466K$443K<0.1%
Sysco Corp Corporate Bond 2/15/2050$477K$437K<0.1%
Mexico Government Internationa Other Bonds 5/24/2061$494K$436K<0.1%
Bristol-Myers Squibb Co Corporate Bond 3/15/2052$453K$434K<0.1%
Abbvie Inc Corporate Bond 5/14/2035$451K$431K<0.1%
Glaxosmithkline Capital Inc Corporate Bond 5/15/2038$445K$429K<0.1%
U S Treasury Bond U S Treasury Bond 8/15/2053$488K$428K<0.1%
Jpmorgan Chase & Co Corporate Bond 10/15/2040$445K$428K<0.1%
Oracle Corp Corporate Bond 4/1/2060$460K$427K<0.1%
Unitedhealth Group Inc Corporate Bond 2/15/2053$472K$426K<0.1%
Ibm International Capital Pte Corporate Bond 2/5/2054$449K$425K<0.1%
U S Treasury Note U S Treasury Note 8/15/2031$431K$424K<0.1%
Los Angeles Ca Cmnty Clg Dist Other Bonds 8/1/2049$474K$423K<0.1%
Doubleverify Holdings Inc Corporate Stock – Common$410K$422K<0.1%
Goldman Sachs Group Inc/The Corporate Bond 11/19/2045$434K$420K<0.1%
Rtx Corp Corporate Bond 7/1/2050$432K$420K<0.1%
Verizon Communications Inc Corporate Bond 10/30/2056$458K$413K<0.1%
Southern California Edison Co Corporate Bond 4/1/2047$437K$412K<0.1%
Intel Corp Corporate Bond 12/8/2047$473K$411K<0.1%
U S Treasury Note U S Treasury Note 7/31/2028$405K$409K<0.1%
Pacific Gas And Electric Co Corporate Bond 7/1/2050$394K$407K<0.1%
Comcast Corp Corporate Bond 11/1/2039$435K$406K<0.1%
Charter Communications Operati Corporate Bond 6/30/2062$399K$400K<0.1%
Vodafone Group Plc Corporate Bond 9/17/2050$418K$399K<0.1%
U S Treasury Note U S Treasury Note 9/30/2029$405K$396K<0.1%
Lyb International Finance Iii Corporate Bond 5/1/2050$423K$396K<0.1%
Newmont Corp Corporate Bond 10/1/2039$417K$395K<0.1%
Market Value Oncor Electric Delivery C 144A Corporate Bond 6/15/2054 5.55 % $$405K$394K<0.1%
Essential Utilities Inc Corporate Bond 4/15/2050$418K$391K<0.1%
Warnermedia Holdings Inc Corporate Bond 3/15/2042$419K$391K<0.1%
Barrick Pd Australia Finance P Corporate Bond 10/15/2039$412K$389K<0.1%
Mexico Government Internationa Other Bonds 5/4/2053$437K$387K<0.1%
Hillman Solutions Corp Corporate Stock – Common$362K$387K<0.1%
Burlington Northern Santa Fe L Corporate Bond 4/1/2045$414K$383K<0.1%
Main Street Capital Corp Regulated Investment Company$263K$382K<0.1%
U S Treasury Bond U S Treasury Bond 5/15/2047$422K$381K<0.1%
Pacific Gas And Electric Co Corporate Bond 3/15/2045$387K$380K<0.1%
U S Treasury Bd Prin Strip U S Treasury Bd Prin Strip 11/15/2046 –$420K$378K<0.1%
Massachusetts St Other Bonds 12/1/2039$398K$378K<0.1%
Salesforce Inc Corporate Bond 7/15/2041$410K$378K<0.1%
Novartis Capital Corp Corporate Bond 9/18/2054$419K$376K<0.1%
Canadian Pacific Railway Co Corporate Bond 12/2/2051$396K$374K<0.1%
Dick'S Sporting Goods Inc Corporate Bond 1/15/2052$367K$373K<0.1%
U S Treasury Bond U S Treasury Bond 8/15/2042$403K$372K<0.1%
Comcast Corp Corporate Bond 11/1/2047$410K$371K<0.1%
Deutsche Telekom Ag 144A Corporate Bond 1/21/2050$381K$369K<0.1%
At&T Inc Corporate Bond 9/15/2053$379K$367K<0.1%
Showing top 200 of 1,082 investments by value.