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

Mymichigan Health Pension Plan for Armc Employees

Corporate pensionMidland, MI
Assets
$193M
Total assets, Dec 31, 2024 reported
Funded
97.8%
Jan 1, 2024
Private markets target
n/a
policy Dec 31, 2024
Commitments
16
none on the tape
Plan sponsor: Mymichigan Health
Allocation policy
Form 5500, as of Dec 31, 2024
Actual allocation lines without a target (as filed)
  • Partnership/joint venture interests 8.8%
  • 103-12 investment entities 8.8%
  • Common/collective trusts 46.1%
  • Registered investment companies 36.2%
Consultants and advisers
2 firms
People
No investment staff or executives have been read for this allocator yet.
Manager roster
4 managers on the commitment tape
From the plan’s own commitment disclosures
From Schedule C (investment management, code 28)
Commitments
16 rows, 0 dated closings
Disclosed holdings (from the plan’s performance or holdings report, as of the report date)
DateFundManagerBucketAmountVintageStatusSource
as of Dec 31, 2024NCS Group Trust - Global Fund103 12 ieWalter Scott NcsPooled vehicles$16.9M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2024Long Term Credit Bond Index Fundcollective trustBlackrock Inst Trust CompanyPrivate credit$25.8M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2024Legal & General Long Duration U.S.collective trustLegal and GeneralFixed income$28.8M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2024Short Term Investment Fundscollective trustBlackrock Institutional TrustCash$16.0M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2024US Debt Index Fundcollective trustBlackrockPrivate credit$18.5M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2023NCS Group Trust - Global Fund103 12 ieWalter Scott NcsPooled vehicles$15.6M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2023Long Term Credit Bond Index Fundcollective trustBlackrock Inst Trust CompanyPrivate credit$26.3M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2023Legal & General Long Duration U.S.collective trustLegal and GeneralFixed income$20.3M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2023US Debt Index Fundcollective trustBlackrockPrivate credit$27.1M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2023Short Term Investment Fundscollective trustBlackrock Institutional TrustCash$24.8M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2022NCS Group Trust - Global Fund103 12 ieWalter Scott NcsPooled vehicles$19.3M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2022Long Term Credit Bond Index Fundcollective trustBlackrock Inst Trust CompanyPrivate credit$14.4M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2022Legal & General Long Duration U.S.collective trustLegal and GeneralFixed income$11.7M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2022Parametric Global Defensive Equity103 12 ieParametric Portfolio Associates LlsPublic equity$13.2M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2022US Debt Index Fundcollective trustBlackrockPrivate credit$14.8M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2022Short Term Investment Fundscollective trustBlackrock Institutional TrustCash$31.3M heldDisclosed holdingaskebsa.dol.gov
Size and funding
31 readings
Total assets
$193M Dec 31, 2024 reported Form 5500
$208M (2023-12) · $206M (2022-12)
Plan assets
$207M Jan 1, 2024 reported Form 5500
$202M (2023-01) · $247M (2022-01)
Net assets
$193M Dec 31, 2024 reported Form 5500
$207M (2023-12) · $202M (2022-12)
Funded ratio
97.8% Jan 1, 2024 reported Form 5500
99.8% (2023-01) · 106.0% (2022-01)
Funding target
$210M Jan 1, 2024 reported Form 5500
$212M (2023-01) · $208M (2022-01)
Discount rate
5.10% Jan 1, 2024 reported Form 5500
5.23% (2023-01) · 5.40% (2022-01)
Participants
708 Jan 1, 2024 reported Form 5500
720 (2023-01) · 730 (2022-01)
Contributions
$0 Dec 31, 2024 reported Form 5500
$4.5M (2023-12) · $5.0M (2022-12)
Benefits paid
$15.0M Dec 31, 2024 reported Form 5500
$14.5M (2023-12) · $14.1M (2022-12)
Net investment income
$-14.1M Dec 31, 2024 reported Form 5500
$5.1M (2023-12) · $-44.4M (2022-12)
Investment management fees
$0 Dec 31, 2024 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, 2024708$207M$210M97.8%$193M$17.0M$0$0
2023 to Dec 31, 2023720$202M$212M99.8%$208M$29.1M$0$0
2022 to Dec 31, 2022730$247M$208M106.0%$206M$38.9M$0$0
Service providers and investment entities as filed (Schedule C and D, latest year first)
  • Willis Towers Watson US LLC codes 11 17 50 $92,578 PY2024
  • Lgim codes 28 51 $84,906 PY2024
  • BNY Mellon codes 19 21 50 $28,459 PY2024
  • Blackrock Long Term Credit Bd Indx Sched. D C $25.8M PY2024
  • NCS Group Trust - Global Fund Sched. D E $16.9M PY2024
  • LG Long Dur US Credit Cit Fund Sched. D C $28.8M PY2024
  • US Strips 20+ Year Bond Index Fund Sched. D C $16.0M PY2024
  • Blackrock US Debt Index Sched. D C $18.5M PY2024
  • Willis Towers Watson US LLC codes 11 PY2024
  • Willis Towers Watson US LLC codes 11 17 50 $103,769 PY2023
  • Lgim codes 28 51 $16,094 PY2023
  • Blackrock Long Term Credit Bd Indx Sched. D C $26.3M PY2023
  • NCS Group Trust - Global Fund Sched. D E $15.6M PY2023
  • LG Long Dur US Credit Cit Fund Sched. D C $20.3M PY2023
  • Parametric Global Defensive Equity Sched. D E PY2023
  • Blackrock US Debt Index Sched. D C $27.1M PY2023
  • US Strips 20+ Year Bond Index Fund Sched. D C $24.8M PY2023
  • Willis Towers Watson US LLC codes 11 PY2023
  • Lgima codes 28 51 $48,159 PY2022
  • Willis Towers Watson US LLC codes 11 17 50 $47,572 PY2022
  • Blackrock US Debt Index Sched. D C $14.8M PY2022
  • NCS Group Trust - Global Fund Sched. D E $19.3M PY2022
  • Blackrock Long Term Credit Bd Indx Sched. D C $14.4M PY2022
  • US Strips 20+ Year Bond Index Fund Sched. D C $31.3M PY2022
  • LG Long Dur US Credit Cit Fund Sched. D C $11.7M PY2022
  • Parametric Global Defensive Equity Sched. D E $13.2M PY2022
  • Willis Towers Watson US LLC codes 11 PY2022
What changed
3 events
  • Dec 31, 2023Holding endedinference
    Mymichigan Health Pension Plan for Armc Employees no longer reports Parametric Global Defensive Equity (last held $13M at 2022-12-31; absent from the 2023-12-31 filing)
    with Parametric Global Defensive Equityaskebsa.dol.gov
  • Jan 1, 2023Funded status changed
    Mymichigan Health Pension Plan for Armc Employees funded ratio 106.0% -> 99.8% (2022-01-01 to 2023-01-01)
  • Jan 1, 2023Assets changed
    Mymichigan Health Pension Plan for Armc Employees plan assets $247M -> $202M (-18.0%, 2022-01-01 to 2023-01-01)
Board record: approvals, recommendations, searches, terminations and re-up prospects for this system.
Provenance
Identifiers: EIN-PN 382459948-004
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.