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Original filing (PDF)20251010215512NAL0008189393001

BOARD OF TRUSTEES, IBEW LOCAL 332 HEALTH AND WELFARE

Form 5500
FILING_RECEIVED
IBEW LOCAL 332 HEALTH AND WELFARE PLAN
Health & welfare plan
Signals · 3
~134 bps in Sched C feesNo recordkeeper disclosed21 service providers
Active participants
2,254
Accounts w/ balance
Plan assets (EOY)
$167.2M
Net assets (EOY)
$114.5M
How this plan invests
This plan
3 pooled trusts
Schedule D
81 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
  • 134 bps in Schedule C fees — 1239% 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 BOARD OF TRUSTEES, IBEW LOCAL 332 HEALTH AND WELFARE.
Plan sponsor
Name
BOARD OF TRUSTEES, IBEW LOCAL 332 HEALTH AND WELFARE
DBA
TRUST FUND
EIN
94-6401540
Address
6800 SANTA TERESA BLVD STE 100 · SAN JOSE, CA · 95119
Phone
(408) 288-4400
Industry
Electrical Contractors· Constructionsee all
Plan administrator
Same as plan sponsor.
Plan characteristics
Plan number
509
Plan year
2024
Plan year begin
2024-01-01
Tax period
2024-12-31
Filed
2025-10-10
Welfare benefit codes
4A · Health (other than dental or vision)
4B · Life Insurance
4D · Dental
4E · Vision
4F · Temporary Disability (accident and sickness)
4H · Long-Term Disability
4Q · Other
Audit & trust (Schedule H)
Auditor
MILLER KAPLAN ARASE LLP
Trustee / custodian
Trustee phone

Service providers (Schedule C)

21 rows
Other
21
NameEINLocationRelationDirect compIndirect comp
UNITED ADMINISTRATIVE SERVICES94-1749354NONE$809K
KRAW LAW GROUP77-0171216NONE$351K
BLUE CROSS95-3760980NONE$326K
SMART SOURCE CRITICAL COMMUNICATIONSUWANEE, GANONE$127K
MILLIMAN91-0675641NONE$95K
EIDE BAILLY LLP45-0250958NONE$75K
FIRST DENTAL HEALTH33-0655193NONE$57K
MILLER KAPLAN ARASE LLP95-2036255NONE$51K
VOYA INVESTMENT MANAGEMENT06-1440627NONE$50K
LOOMIS SAYLES04-3200030NONE$46K
BEAT IT77-0111619NONE$43K
PSG CONSULTING LLCDALLAS, TXNONE$43K
ALLIANCE BERNSTEIN13-4064930NONE$36K
INVESTMENT PERFORMANCE SERVICES LLCSAVANNAH, GANONE$35K
PARAMETRIC PORTFOLIO ASSOCIATES LLC20-0292745NONE$18K
MAXOR PLUS, LTD.AMARILLO, TXNONE$18K
POST ADVISORY GROUP, LLCLOS ANGELES, CANONE$14K
MATRIX TRUST COMPANY75-3182674NONE$14K
NATIONAL INVESTMENT SERVICES OF AME84-3937993NONE$13K
IBEW LOCAL 33294-0577280NONE$13K
SEGAL MARCO ADVISORS13-2646110NONE$6K

Investments

79 direct securities · 3 pooled funds· $107.5M(64% 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
$79.5M
79 holdings
Common Collective Trust
$28.0M
2 holdings
103-12 Investment Entity
$0
1 holding
PIInvestmentTypeShares / unitsCostCurrent value% of plan
Collective Investment Fund 66,251 Fort Washington High Yield Investors II, LLC$21.8M$21.7M13.0%
Limited Partnership Post Intermediate Term High Yield Fund, L.P$17.8M$17.7M10.6%
NIS INTERMEDIATE FIXED INCOME QP FU
NATIONAL INVESTMENT SERVICES OF AMERICA, LLC · EIN 82-4087168 / PN 001
Common Collective Trust
$17.5M$17.5M10.4%
Wilmington US Government Money Mkt Instl 156 TOTALS - SHORT TERM INVESTMENT FUNDS$12.4M$12.4M7.4%
Northern Trust Common S&P 500 Index Fund - Lending$10.5M$10.8M6.5%
NORTHERN TRUST COMMON S&P 500 INDEX
NORTHERN TRUST INVESTMENTS, INC. · EIN 36-7361150 / PN 001
Common Collective Trust
$10.5M6.3%
US Treasury Note 03/31/29 2.375%$2.3M$2.3M1.4%
Government Debt $ US Treasury Note 05/15/31 1.625%$1.5M$1.5M0.9%
US Treasury Note 03/31/30 3.625%$1.5M$1.5M0.9%
US Treasury Note 06/30/28 1.250%$1.1M$1.1M0.7%
US Treasury Note 08/15/32 2.750%$1.0M$1.0M0.6%
US Treasury Note 05/31/27 0.500%$928K$924K0.6%
US Treasury Note 05/15/26 3.625%$898K$896K0.5%
US Treasury Note 10/31/26 1.125%$860K$856K0.5%
US Treasury Note 11/15/33 4.500%$582K$591K0.4%
US Treasury Note 02/15/26 1.625%$359K$358K0.2%
Verizon Ma Tr 08/20/30 4.170%$173K$173K0.1%
Jpmorgan Chase Co 04/22/26 2.083%$169K$168K0.1%
Deutsche Bk 11/24/26 2.129%$166K$165K<0.1%
Boeing Co 02/04/26 2.196%$165K$164K<0.1%
Pnc Finl Svcs Group 06/12/29 5.582%$163K$163K<0.1%
Warnermedia Hldgs 03/15/26 6.412%$160K$160K<0.1%
Bank Of America Mtn 07/21/28 3.593%$155K$155K<0.1%
Duke Energy Corp 09/01/26 2.650%$155K$154K<0.1%
Morgan Stanley 07/22/28 3.591%$145K$145K<0.1%
Goldman Sachs Group 02/12/26 0.855%$139K$139K<0.1%
Wells Fargo Co Mtn 04/30/26 2.188%$139K$138K<0.1%
US Bancorp 02/01/34 4.839%$124K$125K<0.1%
Bx Trust 10/15/36 5.623%$120K$119K<0.1%
A T Intl Fin Plc 02/02/29 5.931%$118K$119K<0.1%
Regions Financial 08/12/28 1.800%$116K$116K<0.1%
Anthem Inc. 03/01/28 4.101%$112K$112K<0.1%
Diamondback Energy 04/18/34 5.400%$93K$94K<0.1%
DC Coml Mtg Tr 09/12/40 6.314%$92K$93K<0.1%
Magna Intl Inc Sr Nt 06/15/30 2.450%$92K$92K<0.1%
Ford Motor Credit 11/07/33 7.122%$89K$90K<0.1%
Kyndryl Hldgs 02/20/34 6.350%$88K$88K<0.1%
Capital One Finl 06/08/29 6.312%$88K$88K<0.1%
Boston Pptys Ltd L P 06/21/29 3.400%$87K$87K<0.1%
General Motors Finl 10/15/28 2.400%$86K$86K<0.1%
Hungtington 02/02/35 5.709%$85K$86K<0.1%
Plains All Amern L P 09/15/34 5.700%$85K$86K<0.1%
Equinix Europe 2 06/15/34 5.500%$85K$86K<0.1%
Philip Morris Intl 02/13/31 5.125%$85K$86K<0.1%
Wells Fargo Co Mtn 04/24/34 5.389%$84K$85K<0.1%
Tapestry Inc 03/11/30 5.100%$84K$85K<0.1%
Bank Of America Mtn 04/28/34 5.288%$84K$85K<0.1%
Pfizer Invt 05/19/26 4.450%$85K$85K<0.1%
Southwestern Energy 02/01/29 5.375%$84K$84K<0.1%
T Mobile USA Inc 07/15/33 5.050%$83K$84K<0.1%
Hsbc Holdings 06/04/26 2.099%$84K$84K<0.1%
Marriott 04/15/28 4.000%$82K$82K<0.1%
Par Value Corporate Debt $ American Express Co. 10/30/31 6.489%$80K$81K<0.1%
Morgan Stanley 10/18/33 6.342%$79K$80K<0.1%
Citigroup Inc 11/17/33 6.270%$79K$80K<0.1%
Energy Transfer L P 05/15/30 3.750%$79K$79K<0.1%
Enbridge Inc 11/15/30 6.200%$79K$79K<0.1%
Aercap Ireland L P 10/29/28 3.000%$79K$79K<0.1%
Barclays Plc 09/13/29 6.490%$78K$78K<0.1%
Quanta Svcs Inc 10/01/30 2.900%$76K$76K<0.1%
Prologis L P 06/15/28 4.875%$75K$76K<0.1%
Southwest Airlines 06/15/27 5.125%$75K$75K<0.1%
First Citizens 03/15/30 3.375%$75K$74K<0.1%
Citigroup Inc 01/10/28 3.887%$74K$74K<0.1%
Fiserv Inc 10/01/28 4.200%$73K$73K<0.1%
Cvs Health Corp 02/21/33 5.250%$72K$73K<0.1%
Entergy Texas Inc 03/30/29 4.000%$73K$73K<0.1%
Wells Farg Cml Mtg 11/19/57 5.920%$67K$67K<0.1%
Extended Stay 07/15/38 5.804%$57K$57K<0.1%
McDonalds Corp Mtn 08/14/28 4.800%$55K$55K<0.1%
R Horton Inc Sr 10/15/34 5.000%$53K$53K<0.1%
R Horton Inc Sr 10/15/27 1.400%$50K$50K<0.1%
General Mtrs Finl 06/10/31 2.700%$47K$47K<0.1%
Amgen Inc 03/02/28 5.150%$45K$45K<0.1%
Hcp Inc 07/15/26 3.250%$44K$44K<0.1%
Benchmark Mtg 01/12/57 5.805%$41K$41K<0.1%
Slg Office Trust 07/15/41 2.585%$38K$38K<0.1%
Occidental Pete Corp 01/01/32 5.375%$34K$34K<0.1%
Hyatt Hotels Corp 01/30/27 5.750%$25K$25K<0.1%
Santanr Drv Auto 07/17/28 6.560%$20K$20K<0.1%
Federated Government Obligations Fund IS$3K$3K<0.1%
ALLIANCE BERNSTEIN INSTITUTIONAL
ALLIANCE BERNSTEIN L.P. · EIN 27-5255070 / PN 010
103-12 Investment Entity
$0<0.1%