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
Visteon Pension Plan
Corporate pensionVAN Buren Township, MI
Assets
$485M
Total assets, Dec 31, 2024 reported
Funded
90.8%
Jan 1, 2024
Private markets target
n/a
policy Dec 31, 2024
Commitments
14
none on the tape
Plan sponsor: Visteon Corporation
Allocation policy
Form 5500, as of Dec 31, 2024
Actual allocation lines without a target (as filed)
- Interest-bearing cash 0.0%
- Insurance company general account 0.0%
- Other investments 11.5%
- Partnership/joint venture interests 49.6%
- Common/collective trusts 35.3%
- Common stock 0.0%
Consultants and advisers
4 firms
- Towers Watson Investment Services, Investment adviser (plan)through Dec 31, 2022 Form 5500
- Willis Towers Watson US LLC Actuarythrough Dec 31, 2022 Form 5500
- Northern Trust Co. Trusteethrough Dec 31, 2022 Form 5500
- Blackrock Trusteethrough Dec 31, 2022 Form 5500
People
No investment staff or executives have been read for this allocator yet.
Manager roster
1 managers on the commitment tape
From the plan’s own commitment disclosures
- Towers Watson Investment Services,10 rows, latest Dec 31, 2024
From Schedule C (investment management, code 28)
- Wellington Trust Companyplan years 2022
Commitments
14 rows, 0 dated closings
Disclosed holdings (from the plan’s performance or holdings report, as of the report date)
| Date | Fund | Manager | Bucket | Amount | Vintage | Status | Source |
|---|---|---|---|---|---|---|---|
| as of Dec 31, 2024 | WTW Gt Diversified Credit Fundcollective trust | Towers Watson Investment Services, | Private credit | $60.4M held | Disclosed holding | askebsa.dol.gov | |
| as of Dec 31, 2024 | WTW Gt Real Asset Fundcollective trust | Towers Watson Investment Services, | Real assets | $75.6M held | Disclosed holding | askebsa.dol.gov | |
| as of Dec 31, 2024 | WTW Gt Diversified Equity Fundcollective trust | Towers Watson Investment Services, | Hedge / diversifiers | $171M held | Disclosed holding | askebsa.dol.gov | |
| as of Dec 31, 2024 | WTW Gt Subs Reds Clear Rafcollective trust | Towers Watson Investment Services, | Pooled vehicles | $7.9M held | Disclosed holding | askebsa.dol.gov | |
| as of Dec 31, 2024 | Government Short Term Investment Fdcollective trust | Northern Trust Global Investmetns | Cash | $16.7M held | Disclosed holding | askebsa.dol.gov | |
| as of Dec 31, 2023 | WTW Gt Diversified Credit Fundcollective trust | Towers Watson Investment Services, | Private credit | $76.4M held | Disclosed holding | askebsa.dol.gov | |
| as of Dec 31, 2023 | Crabel Fund Spc, Ltd.collective trust | Crabel Capital Management, LLC | Pooled vehicles | $12.0M held | Disclosed holding | askebsa.dol.gov | |
| as of Dec 31, 2023 | WTW Gt Diversified Equity Fundcollective trust | Towers Watson Investment Services, | Hedge / diversifiers | $149M held | Disclosed holding | askebsa.dol.gov | |
| as of Dec 31, 2023 | WTW Gt Real Asset Fundcollective trust | Towers Watson Investment Services, | Real assets | $77.1M held | Disclosed holding | askebsa.dol.gov | |
| as of Dec 31, 2022 | WTW Gt Diversified Equity Fundcollective trust | Towers Watson Investment Services, | Hedge / diversifiers | $161M held | Disclosed holding | askebsa.dol.gov | |
| as of Dec 31, 2022 | Crabel Fund Spc, Ltd.collective trust | Crabel Capital Management, LLC | Pooled vehicles | $13.7M held | Disclosed holding | askebsa.dol.gov | |
| as of Dec 31, 2022 | Crabel Fund Spc, Ltd.collective trust | Wellington Trust Company | Pooled vehicles | $11.8M held | Disclosed holding | askebsa.dol.gov | |
| as of Dec 31, 2022 | WTW Gt Diversified Credit Fundcollective trust | Towers Watson Investment Services, | Private credit | $75.5M held | Disclosed holding | askebsa.dol.gov | |
| as of Dec 31, 2022 | WTW Gt Real Asset Fundcollective trust | Towers Watson Investment Services, | Real assets | $104M held | Disclosed holding | askebsa.dol.gov |
Size and funding
32 readings
Investment management fees
$1.3M (2023-12) · $642,223 (2022-12)
Form 5500 filings
3 plan years
| Plan year | Participants | Assets (SB market) | Funding target | FTAP | Total assets (H) | Partnerships / JV | Master trust | Real estate |
|---|---|---|---|---|---|---|---|---|
| 2024 to Dec 31, 2024 | 6,444 | $506M | $614M | 90.8% | $485M | $241M | n/a | n/a |
| 2023 to Dec 31, 2023 | 6,519 | $528M | $611M | 93.5% | $504M | $33.0M | n/a | n/a |
| 2022 to Dec 31, 2022 | 6,640 | $689M | $604M | 106.2% | $529M | $30.7M | n/a | n/a |
Service providers and investment entities as filed (Schedule C and D, latest year first)
- Willis Towers Watson U.S. LLC codes 11 50 $785,460 PY2024
- Towers Watson Investment Services codes 27 50 $767,026 PY2024
- Wellington Trust Company codes 28 50 $158,337 PY2024
- The Northern Trust Company codes 21 50 $141,378 PY2024
- Blackrock codes 21 50 $71,833 PY2024
- Government Short Term Investment Fd Sched. D C $16.7M PY2024
- Crabel Fund Spc, Ltd. Sched. D C PY2024
- Towers Watson Hedge Advantage Fund Sched. D C $7.9M PY2024
- Liquid Diversifiers Fund Sched. D C $49.6M PY2024
- Group Trust Diversified Credit Fund Sched. D C $60.4M PY2024
- Group Trust Real Asset Fund Sched. D C $75.6M PY2024
- Group Trust Diversified Equity Fund Sched. D C $171M PY2024
- Willis Towers Watson US LLC codes 11 PY2024
- Willis Towers Watson U.S. LLC codes 11 50 $1.0M PY2023
- Towers Watson Investment Services codes 27 50 $283,031 PY2023
- The Northern Trust Company codes 21 50 $185,997 PY2023
- Wellington Trust Company codes 28 50 $103,990 PY2023
- Blackrock codes 21 50 $50,064 PY2023
- Crabel Fund Spc, Ltd. Sched. D C $12.0M PY2023
- Liquid Diversifiers Fund Sched. D C $17.4M PY2023
- Group Trust Diversified Credit Fund Sched. D C $76.4M PY2023
- Group Trust Diversified Equity Fund Sched. D C $149M PY2023
- Group Trust Real Asset Fund Sched. D C $77.1M PY2023
- Crabel Fund Spc, Ltd. Sched. D C PY2023
- Global Total Return Fund Sched. D C PY2023
- Willis Towers Watson US LLC codes 11 PY2023
- Willis Towers Watson U.S. LLC codes 11 50 $1.1M PY2022
- Towers Watson Investment Services codes 27 50 $152,058 PY2022
- The Northern Trust Company codes 21 50 $142,030 PY2022
- Blackrock codes 21 50 $57,143 PY2022
- Wellington Trust Company codes 28 50 $34,874 PY2022
- GJC Cpa's & Advisors codes 10 50 $8,900 PY2022
- Global Total Return Fund Sched. D C $11.8M PY2022
- Group Trust Diversified Credit Fund Sched. D C $75.5M PY2022
- Group Trust Real Asset Fund Sched. D C $104M PY2022
- Crabel Fund Spc, Ltd. Sched. D C $13.7M PY2022
- Group Trust Diversified Equity Fund Sched. D C $161M PY2022
- Legal and General Msci Acwi Fund Sched. D C PY2022
- Willis Towers Watson US LLC codes 11 PY2022
What changed
7 events
- Dec 31, 2024Holding startedVisteon Pension Plan first reports an interest in Government Short Term Investment Fd: $17M at 2024-12-31with Government Short Term Investment Fdaskebsa.dol.gov
- Dec 31, 2024Holding endedinferenceVisteon Pension Plan no longer reports Crabel Fund Spc, Ltd. (last held $12M at 2023-12-31; absent from the 2024-12-31 filing)with Global Total Return Fundaskebsa.dol.gov
- Dec 31, 2024Holding startedVisteon Pension Plan first reports an interest in WTW Gt Subs Reds Clear Raf (Towers Watson Investment Services,): $8M at 2024-12-31with Towers Watson Investment Services,askebsa.dol.gov
- Jan 1, 2024Funded status changedVisteon Pension Plan funded ratio 93.5% -> 90.8% (2023-01-01 to 2024-01-01)
- Dec 31, 2023Holding endedinferenceVisteon Pension Plan no longer reports Crabel Fund Spc, Ltd. (last held $14M at 2022-12-31; absent from the 2023-12-31 filing)with Crabel Fund Spc, Ltd.askebsa.dol.gov
- Jan 1, 2023Funded status changedVisteon Pension Plan funded ratio 106.2% -> 93.5% (2022-01-01 to 2023-01-01)
- Jan 1, 2023Assets changedVisteon Pension Plan plan assets $689M -> $528M (-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 383519512-003
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.