DFX Intelligence

Allocator Intelligence

The capital-owner graph behind private markets. Who owns the capital, who decides, how much, under what policy, on whose advice, to which managers, and what changed, with a source and a date behind every row. A target is never an actual, a disclosed holding is never an approval, and an estimate says so.

Corporate pension

Sealed Air Corporation Combined Pension Plan

Corporate pensionCharlotte, NC
Assets
$108M
Total assets, Dec 31, 2024 reported
Funded
84.1%
Jan 1, 2024
Private markets target
n/a
policy Dec 31, 2024
Commitments
60
none on the tape
Plan sponsor: Sealed Air Corporation
Allocation policy
Form 5500, as of Dec 31, 2024
Actual allocation lines without a target (as filed)
  • Non-interest-bearing cash 0.0%
  • 103-12 investment entities 5.5%
  • Common/collective trusts 91.3%
  • Real estate (other than employer real property) 0.0%
Consultants and advisers
6 firms
People
No investment staff or executives have been read for this allocator yet.
Manager roster
3 managers on the commitment tape
From the plan’s own commitment disclosures
From Schedule C (investment management, code 28)
  • Aonplan years 2022
Commitments
60 rows, 0 dated closings
Disclosed holdings (from the plan’s performance or holdings report, as of the report date)
DateFundManagerBucketAmountVintageStatusSource
as of Dec 31, 2024AON Core Real Estate Fundcollective trustAON Trust Company LLCReal estate$9.1M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2024Multi-Asset Credit Fundcollective trustAON Hewitt Investment Consulting, IPrivate credit$5.0M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2024AON Enhanced Liability Driven Invescollective trustAON Trust Company LLCPooled vehicles$5.4M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2024Nisa Ultra Long Treasury Cifcollective trustGlobal Trust CompanyFixed income$420,057 heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2024Nisa Ultra Mid Treasury Cifcollective trustGlobal Trust CompanyFixed income$2.4M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2024NT Collective Short Term Investmentcollective trustNorthern Trust Collective Eafe IndeCash$2.7M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2024Intermediate Credit Bond Fundcollective trustAON Hewitt Investment Consulting, IPrivate credit$56,642 heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2024Long Credit Bond Fundcollective trustAON Hewitt Investment Consulting, IPrivate credit$32.4M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2024AON High Yield Plus Fundcollective trustAON Trust Company LLCFixed income$596,585 heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2024Global Equity Fundcollective trustAON Hewitt Investment Consulting, IPublic equity$8.4M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 202420+ Year US Treasury Strips Indexcollective trustAON Hewitt Investment Consulting, IFixed income$168,447 heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2024Mid Duration Long Credit Bond Fundcollective trustAON Hewitt Investment Consulting, IPrivate credit$99,205 heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2024Global Real Estate Fundcollective trustAON Hewitt Investment Consulting, IReal estate$2.1M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2024Large Cap Equity Index Fundcollective trustAON Hewitt Investment Consulting, IPublic equity$13.7M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2024Non-Us.s. Equity Fundcollective trustAON Hewitt Investment Consulting, IPublic equity$8.4M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2024Small Cap Equity Index Fundcollective trustAON Hewitt Investment Consulting, IPublic equity$2.4M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2024Inter US Gov Bond Fdcollective trustAON Hewitt Investment Consulting, IFixed income$4.6M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2024US Intermediate Gov Bond Index Fundcollective trustAON Hewitt Investment Consulting, IFixed income$627,038 heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2024Opportunistic Credit Portfolio103 12 ieAON Hewitt Investment Consulting, Inc.Private credit$4.1M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2024AON Return Enhancing Alt Portfolio103 12 ieAON Hewitt Investment Consulting, Inc.Pooled vehicles$1.8M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2023Inter US Gov Bond Fdcollective trustAON Hewitt Investment Consulting, IFixed income$3.7M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2023Long Credit Bond Fundcollective trustAON Hewitt Investment Consulting, IPrivate credit$35.9M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2023Large Cap Equity Index Fundcollective trustAON Hewitt Investment Consulting, IPublic equity$13.9M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2023AON High Yield Plus Fundcollective trustAON Trust Company LLCFixed income$31,434 heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2023Small Cap Equity Index Fundcollective trustAON Hewitt Investment Consulting, IPublic equity$2.6M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 202320+ Year US Treasury Strips Indexcollective trustAON Hewitt Investment Consulting, IFixed income$1.1M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2023Mid Duration Long Credit Bond Fundcollective trustAON Hewitt Investment Consulting, IPrivate credit$95,455 heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2023Global Real Estate Fundcollective trustAON Hewitt Investment Consulting, IReal estate$482,695 heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2023NT Collective Short Term Investmentcollective trustNorthern Trust Collective Eafe IndeCash$1.4M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2023Intermediate Credit Bond Fundcollective trustAON Hewitt Investment Consulting, IPrivate credit$54,383 heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2023US Intermediate Gov Bond Index Fundcollective trustAON Hewitt Investment Consulting, IFixed income$1.6M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2023Non-Us Equity Index Fundcollective trustAON Hewitt Investment Consulting, IPublic equity$8.4M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2023Global Equity Fundcollective trustAON Hewitt Investment Consulting, IPublic equity$8.6M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2023Multi-Asset Credit Fundcollective trustAON Hewitt Investment Consulting, IPrivate credit$5.0M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2023AON Core Real Estate Fundcollective trustAON Trust Company LLCReal estate$10.3M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2023Opportunistic Credit Portfolio103 12 ieAON Hewitt Investment Consulting, Inc.Private credit$5.2M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2023AON Return Enhancing Alt Portfolio103 12 ieAON Hewitt Investment Consulting, Inc.Pooled vehicles$1.3M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2023AON Enhanced Liability Driven Invescollective trustAON Trust Company LLCPooled vehicles$4.1M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2023Nisa Ultra Long Treasury Cifcollective trustGlobal Trust CompanyFixed income$435,906 heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2023Nisa Ultra Mid Treasury Cifcollective trustGlobal Trust CompanyFixed income$2.6M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2022Inter US Gov Bond Fdcollective trustAON Hewitt Investment Consulting, IFixed income$805,500 heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2022Long Credit Bond Fundcollective trustAON Hewitt Investment Consulting, IPrivate credit$35.4M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2022AON Global Real Estatecollective trustAON Hewitt Investment Consulting, IReal estate$6.9M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2022Large Cap Equity Index Fundcollective trustAON Hewitt Investment Consulting, IPublic equity$6.7M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2022Non-Us.s. Equity Fundcollective trustAON Hewitt Investment Consulting, IPublic equity$6.6M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2022AON High Yield Plus Fundcollective trustAON Trust Company LLCFixed income$27,986 heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2022Small Cap Equity Index Fundcollective trustAON Hewitt Investment Consulting, IPublic equity$203,385 heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 202220+ Year US Treasury Strips Indexcollective trustAON Hewitt Investment Consulting, IFixed income$7.7M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2022Mid Duration Long Credit Bond Fundcollective trustAON Hewitt Investment Consulting, IPrivate credit$85,811 heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2022Global Real Estate Fundcollective trustAON Hewitt Investment Consulting, IReal estate$73,973 heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2022Small and Mid Cap Equity Fundcollective trustAON Hewitt Investment Consulting, IPublic equity$2.2M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2022NT Collective Short Term Investmentcollective trustNorthern Trust Collective Eafe IndeCash$2.1M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2022Intermediate Credit Bond Fundcollective trustAON Hewitt Investment Consulting, IPrivate credit$50,912 heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2022US Intermediate Gov Bond Index Fundcollective trustAON Hewitt Investment Consulting, IFixed income$138,629 heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2022Non-Us Equity Index Fundcollective trustAON Hewitt Investment Consulting, IPublic equity$3.3M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2022Global Equity Fundcollective trustAON Hewitt Investment Consulting, IPublic equity$8.5M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2022Multi-Asset Credit Fundcollective trustAON Hewitt Investment Consulting, IPrivate credit$4.9M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2022AON Core Real Estate Fundcollective trustAON Trust Company LLCReal estate$17.2M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2022Opportunistic Credit Portfolio103 12 ieAON Hewitt Investment Consulting, Inc.Private credit$9.5M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2022AON Return Enhancing Alt Portfolio103 12 ieAON Hewitt Investment Consulting, Inc.Pooled vehicles$1.2M heldDisclosed holdingaskebsa.dol.gov
Size and funding
31 readings
Total assets
$108M Dec 31, 2024 reported Form 5500
$111M (2023-12) · $114M (2022-12)
Plan assets
$111M Jan 1, 2024 reported Form 5500
$114M (2023-01) · $148M (2022-01)
Net assets
$107M Dec 31, 2024 reported Form 5500
$111M (2023-12) · $114M (2022-12)
Funded ratio
84.1% Jan 1, 2024 reported Form 5500
85.1% (2023-01) · 91.3% (2022-01)
Funding target
$136M Jan 1, 2024 reported Form 5500
$143M (2023-01) · $146M (2022-01)
Discount rate
5.04% Jan 1, 2024 reported Form 5500
5.17% (2023-01) · 5.34% (2022-01)
Participants
2,772 Jan 1, 2024 reported Form 5500
2,940 (2023-01) · 3,064 (2022-01)
Contributions
$5.5M Dec 31, 2024 reported Form 5500
$4.3M (2023-12) · $0 (2022-12)
Benefits paid
$12.1M Dec 31, 2024 reported Form 5500
$14.7M (2023-12) · $12.9M (2022-12)
Net investment income
$-3.6M Dec 31, 2024 reported Form 5500
$-2.4M (2023-12) · $-34.7M (2022-12)
Investment management fees
$62,000 Dec 31, 2023 reported Form 5500
Form 5500 filings
3 plan years
Plan yearParticipantsAssets (SB market)Funding targetFTAPTotal assets (H)Partnerships / JVMaster trustReal estate
2024 to Dec 31, 20242,772$111M$136M84.1%$108Mn/an/a$408
2023 to Dec 31, 20232,940$114M$143M85.1%$111M$0n/a$488
2022 to Dec 31, 20223,064$148M$146M91.3%$114M$1n/a$622
Service providers and investment entities as filed (Schedule C and D, latest year first)
  • Willis Towers Watson US LLC codes 11 15 50 $744,125 PY2024
  • AON Investments USA Inc. codes 17 27 49 50 55 99 $161,119 PY2024
  • Northern Trust Company codes 20 21 50 $90,638 PY2024
  • Troutman Pepper Hamilton Sanders Ll codes 16 29 50 $32,021 PY2024
  • Nisa Cit Ultra Long Treasury Cif Sched. D C $420,057 PY2024
  • Nisa Cit Ultra Mid Treasury Cif Sched. D C $2.4M PY2024
  • Collective Short Term Investment Sched. D C $2.7M PY2024
  • Intermediate Credit Bond Fund Sched. D C $56,642 PY2024
  • Long Credit Bond Fund Sched. D C $32.4M PY2024
  • High Yield Plus Bond Fund Sched. D C $596,585 PY2024
  • Core Real Estate Class I Sched. D C $9.1M PY2024
  • Multi Asset Credit Class I Sched. D C $5.0M PY2024
  • Enhanced Liab Driven Investing Fund Sched. D C $5.4M PY2024
  • US Long Govt Bond Ind Fund Sched. D C $627,038 PY2024
  • Opportunistic Alt Sp Cl a Sched. D E $4.1M PY2024
  • Return Enhancing Alternatives Sched. D E $1.8M PY2024
  • Global Equity Fund Sched. D C $8.4M PY2024
  • 20 Year US Treasury Strips Index Fd Sched. D C $168,447 PY2024
  • MID Duration Long Credit Bond Fund Sched. D C $99,205 PY2024
  • Global Real Estate Fund Sched. D C $2.1M PY2024
  • Large Cap Equity Index Fund Sched. D C $13.7M PY2024
  • Non-Us.s. Equity Fund Sched. D C $8.4M PY2024
  • Small Cap Equity Index Fund Sched. D C $2.4M PY2024
  • Inter US Gov Bond Fd Sched. D C $4.6M PY2024
  • Willis Towers Watson US LLC codes 11 PY2024
  • Willis Towers Watson US LLC codes 11 15 50 $558,565 PY2023
  • AON Investments USA Inc. codes 17 27 49 50 55 99 $189,020 PY2023
  • Northern Trust Company codes 20 21 50 $91,481 PY2023
  • North Pier Fiduciary Management LLC codes 17 28 50 $62,000 PY2023
  • Troutman Pepper Hamilton Sanders Ll codes 16 29 50 $42,737 PY2023
  • AC Evans LLC codes 10 50 $30,900 PY2023
  • Large Cap Equity Fund Sched. D C PY2023
  • Large Cap Equity Index Fund Sched. D C $13.9M PY2023
  • Non-Us.s. Equity Fund Sched. D C PY2023
  • High Yield Plus Bond Fund Sched. D C $31,434 PY2023
  • Small Cap Equity Index Fund Sched. D C $2.6M PY2023
  • 20 Year US Treasury Strips Index Fd Sched. D C $1.1M PY2023
  • Mid Duration Long Credit Bond Fund Sched. D C $95,455 PY2023
  • Global Real Estate Fund Sched. D C $482,695 PY2023
  • US Small and Mid Cap Equity Fund Sched. D C PY2023
  • Collective Short Term Investment Sched. D C $1.4M PY2023
  • Intermediate Credit Bond Fund Sched. D C $54,383 PY2023
  • US Long Govt Bond Ind Fund Sched. D C $1.6M PY2023
  • Non-Us Equity Index Sched. D C $8.4M PY2023
  • Global Equity Fund Sched. D C $8.6M PY2023
  • Multi Asset Credit Class I Sched. D C $5.0M PY2023
  • Core Real Estate Class I Sched. D C $10.3M PY2023
  • Opportunistic Alt Sp Cl a Sched. D E $5.2M PY2023
  • Return Enhancing Alternatives Sched. D E $1.3M PY2023
  • Enhanced Liab Driven Investing Fund Sched. D C $4.1M PY2023
  • Nisa Cit Ultra Long Treasury Cif Sched. D C $435,906 PY2023
  • Nisa Cit Ultra Mid Treasury Cif Sched. D C $2.6M PY2023
  • Inter US Gov Bond Fd Sched. D C $3.7M PY2023
  • Long Credit Bond Fund Sched. D C $35.9M PY2023
  • Willis Towers Watson US LLC codes 11 PY2023
  • Willis Towers Watson US LLC codes 11 15 50 $770,941 PY2022
  • AON Hewitt codes 17 27 49 50 55 99 $237,889 PY2022
  • Northern Trust Company codes 20 21 50 $97,087 PY2022
  • AON Consulting codes 28 50 $25,000 PY2022
  • Troutman Pepper Hamilton Sanders Ll codes 16 29 50 $24,459 PY2022
  • AC Evans LLC codes 10 50 $14,200 PY2022
  • High Yield Plus Bond Fund Sched. D C $27,986 PY2022
  • Small Cap Equity Index Fund Sched. D C $203,385 PY2022
  • 20 Year US Treasury Strips Index Fd Sched. D C $7.7M PY2022
  • Mid Duration Long Credit Bond Fund Sched. D C $85,811 PY2022
  • Global Real Estate Fund Sched. D C $73,973 PY2022
  • US Small and Mid Cap Equity Fund Sched. D C $2.2M PY2022
  • Collective Short Term Investment Sched. D C $2.1M PY2022
  • Intermediate Credit Bond Fund Sched. D C $50,912 PY2022
  • US Long Govt Bond Ind Fund Sched. D C $138,629 PY2022
  • Non-Us Equity Index Sched. D C $3.3M PY2022
  • Global Equity Fund Sched. D C $8.5M PY2022
  • Multi Asset Credit Class I Sched. D C $4.9M PY2022
  • Core Real Estate Class I Sched. D C $17.2M PY2022
  • Opportunistic Alt Sp Cl a Sched. D E $9.5M PY2022
  • Return Enhancing Alternatives Sched. D E $1.2M PY2022
  • Inter US Gov Bond Fd Sched. D C $805,500 PY2022
  • Long Credit Bond Fund Sched. D C $35.4M PY2022
  • Large Cap Equity Fund Sched. D C $6.9M PY2022
  • Large Cap Equity Index Fund Sched. D C $6.7M PY2022
What changed
11 events
  • Dec 31, 2024Holding endedinference
    Sealed Air Corporation Combined Pension Plan no longer reports Non-Us Equity Index Fund (AON Hewitt Investment Consulting, I) (last held $8M at 2023-12-31; absent from the 2024-12-31 filing)
    with AON Hewitt Investment Consulting, Iaskebsa.dol.gov
  • Dec 31, 2024Manager relationship endedinference
    North Pier Fiduciary Management LLC no longer appears on Sealed Air Corporation Combined Pension Plan's Schedule C as investment manager (plan year 2024 vs 2023)
    with North Pier Fiduciaryaskebsa.dol.gov
  • Dec 31, 2023Holding started
    Sealed Air Corporation Combined Pension Plan first reports an interest in Nisa Ultra Mid Treasury Cif: $3M at 2023-12-31
    with Nisa Ultra Mid Treasury Cifaskebsa.dol.gov
  • Dec 31, 2023Holding started
    Sealed Air Corporation Combined Pension Plan first reports an interest in Nisa Ultra Long Treasury Cif: $435,906 at 2023-12-31
    with Nisa Ultra Long Treasury Cifaskebsa.dol.gov
  • Dec 31, 2023Holding started
    Sealed Air Corporation Combined Pension Plan first reports an interest in AON Enhanced Liability Driven Inves (AON Trust Company LLC): $4M at 2023-12-31
    with AON Trust Company LLCaskebsa.dol.gov
  • Dec 31, 2023Holding endedinference
    Sealed Air Corporation Combined Pension Plan no longer reports Small and Mid Cap Equity Fund (AON Hewitt Investment Consulting, I) (last held $2M at 2022-12-31; absent from the 2023-12-31 filing)
    with AON Hewitt Investment Consulting, Iaskebsa.dol.gov
  • Dec 31, 2023Holding endedinference
    Sealed Air Corporation Combined Pension Plan no longer reports AON Global Real Estate (AON Hewitt Investment Consulting, I) (last held $7M at 2022-12-31; absent from the 2023-12-31 filing)
    with AON Hewitt Investment Consulting, Iaskebsa.dol.gov
  • Dec 31, 2023Consultant changedinference
    AON Hewitt no longer appears on Sealed Air Corporation Combined Pension Plan's Schedule C as pension consultant (plan year 2023 vs 2022)
    with AON Hewitt Investment Consulting, Iaskebsa.dol.gov
  • Dec 31, 2023Manager relationship started
    North Pier Fiduciary Management LLC appears on Sealed Air Corporation Combined Pension Plan's Schedule C as investment manager (plan year 2023 vs 2022)
    with North Pier Fiduciaryaskebsa.dol.gov
  • Jan 1, 2023Funded status changed
    Sealed Air Corporation Combined Pension Plan funded ratio 91.3% -> 85.1% (2022-01-01 to 2023-01-01)
  • Jan 1, 2023Assets changed
    Sealed Air Corporation Combined Pension Plan plan assets $148M -> $114M (-23.4%, 2022-01-01 to 2023-01-01)
Board record: approvals, recommendations, searches, terminations and re-up prospects for this system.
Provenance
Identifiers: EIN-PN 650654331-007
Cross-graph: no entry on another DFX graph
First observed Sep 15, 2026, last observed Sep 15, 2026. Classification confirmed. Every row above carries its source; a reported figure is the subject’s own, a derived one is arithmetic on reported figures, an estimated one is a model or a survey imputation and is never summed into a headline.