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TABLE D1

Balance Sheet of Defined Contribution Plans with 100 or More Participants
by type of plan, 1993
(amounts in millions)
Type of Asset Total Defined Contribution Plans Profit Sharing and Thrift-Savings Plans Stock Bonus Plans Target Benefit Plans Money Purchase Plans Other Defined Contribution Plans
ASSETS
Receivables
Employer contributions 10,658 9,147          462 43 834 173
Participant contributions 1,347 1,278 5 1 19 44
Income receivables 1,689 1,379 36 6 182 86
Other receivables 2,937 2,541 45 1 138 212
Less allowance for doubtful accounts 12 7 0 0 5 1
Total receivables (net) 16,620 14,338 548 50 1,169 514

General Investments
Interest-bearing cash 29,045 24,491 970 59 2,048 1,477
Certificates of deposits 4,242 3,240 14 7 798 182
U.S. Government securities 33,734 23,561 196 97 6,505 3,376
Corporate debt instruments: Preferred 5,631 3,978 11 19 979 645
Corporate debt instruments: All other 17,297 13,074 139 30 3,058 996
Preferred stock 7,052 6,412 375 52 138 76
Common stock 80,199 65,604 5,149 147 6,418 2,881
Partnership/joint venture interests 962 814 2 1 136 8
Income-producing real estate 797 337 2 1/ 257 202
Nonincome-producing real estate 118 98 2 1/ 8 10
Residential loans (other than to participants) secured by mortgages 329 173 3 1 147 6
Commercial loans secured by mortgages 455 333 3 2 46 70
Mortgage loans to participants 461 444 1 1/ 12 4
Other loans to participants 12,720 11,788 210 3 299 419
Other loans 488 448 2 1/ 31 7
Value of interest in common/collective trusts 60,924 55,872 239 108 2,488 2,216
Value of interest in pooled separate accounts 26,558 24,729 11 21 1,322 477
Value of interest in master trusts 152,792 143,795 474 647 5,280 2,597
Value of interest in 103-12 investment entities 700 592 0 0 108 0
Value of interest in registered investment companies 81,651 73,375 1,754 159 4,136 2,228
Value of funds held in insurance company general account 93,170 83,185 891 80 6,324 2,690
Other or unspecified general investments 40,658 35,624 240 31 3,327 1,437
Total general investments 649,984 571,966 10,687 1,465 43,863 22,003

Employer securities

140,555

125,456

11,880

8

533

2,678
Employer real property 495 494 1 0 1/ 1/
Unspecified investments 653 640 1/ 1/ 15 1/
Total noninterest-bearing cash 1,027 866 26 2 98 36
Buildings and other property used in plan 11 2 0 1/ 4 6
TOTAL ASSETS 809,346 713,762 23,142 1,526 45,681 25,235

LIABILITIES
Benefit claims payable 4,760 4,236 213 5 150 155
Operating payables 4,051 3,528 286 1/ 36 200
Acquisition indebtedness. 16,385 13,373 2,906 0 31 74
Other liabilities 15,423 13,488 1,552 1 150 231
TOTAL LIABILITIES 40,619 34,626 4,958 6 367 661

NET ASSETS

768,728

679,137

18,184

1,519

45,314

24,574

1/Less than $500,000.

NOTE: Total asset amounts shown exclude funds held by life insurance companies under allocated group insurance contracts for payment of retirement benefits. These funds make up roughly 10 to 15 percent of total pension fund assets.

SOURCE: Form 5500 series reports filed with the Internal Revenue Service for 1993 plan year.


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