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
Tecumseh Products Company Consolidated Pension Plan
Corporate pensionANN Arbor, MI
Assets
$69,308
Total assets, Dec 31, 2023 reported
Funded
98.5%
Jan 1, 2022
Private markets target
n/a
policy Dec 31, 2023
Commitments
7
none on the tape
Plan sponsor: Tecumseh Products Company
Allocation policy
Form 5500, as of Dec 31, 2023
Actual allocation lines without a target (as filed)
- Common/collective trusts 82.1%
Consultants and advisers
3 firms
- Fidelity Investments Actuarythrough Dec 31, 2023 Form 5500
- Northern Trust Co. Trusteethrough Dec 31, 2022 Form 5500
- Fidelity Investments Actuarythrough Dec 31, 2022 Form 5500
People
No investment staff or executives have been read for this allocator yet.
Manager roster
2 managers on the commitment tape
From the plan’s own commitment disclosures
- Fidelity Institutional Asset Mgmt5 rows, latest Dec 31, 2022
- Northern Trust Collective Eafe Inde2 rows, latest Dec 31, 2023
From Schedule C (investment management, code 28)
- Willis Towers Watson US LLCplan years 2023
- Fidelity Investmentsplan years 2022
Commitments
7 rows, 0 dated closings
Disclosed holdings (from the plan’s performance or holdings report, as of the report date)
Size and funding
18 readings
Plan assets
Funded ratio
Funding target
Discount rate
Form 5500 filings
2 plan years
| Plan year | Participants | Assets (SB market) | Funding target | FTAP | Total assets (H) | Partnerships / JV | Master trust | Real estate |
|---|---|---|---|---|---|---|---|---|
| 2023 to Dec 31, 2023 | 3,369 | n/a | n/a | n/a | $69,308 | n/a | n/a | n/a |
| 2022 to Dec 31, 2022 | 3,385 | $110M | $81.5M | 98.5% | $85.2M | n/a | n/a | n/a |
Service providers and investment entities as filed (Schedule C and D, latest year first)
- Fidelity Inv. Inst. Ops. Co. codes 11 28 50 51 $1.3M PY2023
- Northern Trust Company codes 21 50 $151,908 PY2023
- Grant Thornton LLP codes 10 50 $26,312 PY2023
- Honigman Miller Schwartz and Cohn codes 29 50 $12,150 PY2023
- Independent Insurance Analysts LLC codes 22 28 51 $7,500 PY2023
- CF Fiam Long Duration Comm Pool Sched. D C PY2023
- CF Fiam 810 Corp Bd Commpool Sched. D C PY2023
- CF Fiam Lg Ustreasurystrips Co Pl Sched. D C PY2023
- Fiam Inst Cash Comm Pool Sched. D C PY2023
- Fiam Short Duration Pool Sched. D C PY2023
- NT Cltv Short-Term Invstmt Fd Sched. D C $56,906 PY2023
- Fidelity Inv. Inst. Ops. Co. codes 28 50 51 $476,349 PY2022
- Northern Trust Company codes 21 50 $95,262 PY2022
- Honigman Miller Schwartz and Cohn codes 29 50 $22,746 PY2022
- Grant Thornton LLP codes 10 50 $21,320 PY2022
- CF Fiam Sel Int Sm Cp Co Pl Cl a Sched. D C PY2022
- CF Fiam Lg Ustreasurystrips Co Pl Sched. D C $1.8M PY2022
- CF Fiam Sm Mid Cap Core Co Pl Sched. D C PY2022
- CF Fiam Small Cap Core Co Pl Sched. D C PY2022
- CF Fiam Long Corporate Cp Sched. D C PY2022
- Fiam Inst Cash Comm Pool Sched. D C $8.4M PY2022
- Fiam Short Duration Pool Sched. D C $28.1M PY2022
- NT Cltv Short-Term Invstmt Fd Sched. D C $1.4M PY2022
- WTW Gt Diversified Equity Fund Sched. D C PY2022
- WTW Raf Gt Real Cf Asset Fund Sched. D C PY2022
- CF Fiam Long Duration Comm Pool Sched. D C $8.9M PY2022
- CF Fiam 810 Corp Bd Commpool Sched. D C $18.2M PY2022
- CF Spartan 500 Index Pool Sched. D C PY2022
- CF Fiam Gbl Low Vol Eq Comm Pl Sched. D C PY2022
- CF Spartan Dev Intl Index Pool Sched. D C PY2022
- CF Spartan Real Estate Ind Pool Sched. D C PY2022
- CF Fiam Sel Emerging Mkt Eq Co Pl Sched. D C PY2022
- CF Fiam Select Canada Eq Comm Pl Sched. D C PY2022
- CF Spartan Commodity Index Pool Sched. D C PY2022
- CF Fiam Emerging Mkt Debt Comm Pl Sched. D C PY2022
- CF Fiam Int Infl Pr Idx Cp a Sched. D C PY2022
- Fidelity Investments codes 11 PY2022
What changed
7 events
- Dec 31, 2023Holding endedinferenceTecumseh Products Company Consolidated Pension Plan no longer reports Fiam Long U.S. Treasury Strips Inde (Fidelity Institutional Asset Mgmt) (last held $2M at 2022-12-31; absent from the 2023-12-31 filing)with Fidelity Institutional Asset Mgmtaskebsa.dol.gov
- Dec 31, 2023Holding endedinferenceTecumseh Products Company Consolidated Pension Plan no longer reports Fiam Short Duration Pool (Fidelity Institutional Asset Mgmt) (last held $28M at 2022-12-31; absent from the 2023-12-31 filing)with Fidelity Institutional Asset Mgmtaskebsa.dol.gov
- Dec 31, 2023Holding endedinferenceTecumseh Products Company Consolidated Pension Plan no longer reports Fiam 8-10 Year Corporate Bond (Fidelity Institutional Asset Mgmt) (last held $18M at 2022-12-31; absent from the 2023-12-31 filing)with Fidelity Institutional Asset Mgmtaskebsa.dol.gov
- Dec 31, 2023Holding endedinferenceTecumseh Products Company Consolidated Pension Plan no longer reports Fiam Institutional Cash Comm Pl (Fidelity Institutional Asset Mgmt) (last held $8M at 2022-12-31; absent from the 2023-12-31 filing)with Fidelity Institutional Asset Mgmtaskebsa.dol.gov
- Dec 31, 2023Holding endedinferenceTecumseh Products Company Consolidated Pension Plan no longer reports CF Fiam Long Duration Comm Pool (Fidelity Institutional Asset Mgmt) (last held $9M at 2022-12-31; absent from the 2023-12-31 filing)with Fidelity Institutional Asset Mgmtaskebsa.dol.gov
- Dec 31, 2023Manager relationship startedIndependent Insurance Analysts LLC appears on Tecumseh Products Company Consolidated Pension Plan's Schedule C as investment manager (plan year 2023 vs 2022)with Willis Towers Watson US LLCaskebsa.dol.gov
- Dec 31, 2023Assets changedTecumseh Products Company Consolidated Pension Plan total assets $85M -> $69,308 (-99.9%, 2022-12-31 to 2023-12-31)
Board record: approvals, recommendations, searches, terminations and re-up prospects for this system.
Provenance
Identifiers: EIN-PN 381093240-080
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.