401k Record

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International Specialty Products 401(k)

Recordkeeping fees per participant · International Specialty Products Inc. 401(k) Plan · plan year 2024

$20.89

Higher than 19% of the 5,847 plans $50 to 250M that report it.

Source

= $9,297 / 445
Schedule H, line 2i(3); OTH_RECORDKEEPING_FEES_AMT pos 160; filing 20251008145538NAL0009652736001, received 2025-10-08
participants_with_balance: Form 5500, line 6g(2); PARTCP_ACCOUNT_BAL_CNT pos 78; filing 20251008145538NAL0009652736001, received 2025-10-08

10th: $10.22median $69.9190th: $151.08

Percentiles compare this plan with the Schedule H plans $50 to 250M in assets of the same plan year, excluding final filings; shown only where at least 50 comparable plans report the figure. Plan year 2024-01-01 to 2024-12-31, filing received 2025-10-08.

Cost and contributions

Administrative expenses excluding investment management, per participant

$66.99

10th: $16.21median $93.2090th: $246.84

Higher than 33% of the 8,758 plans $50 to 250M that report it.

Source

= $29,810 / 445
derived, admin_expenses (2i(12)) minus invst_mgmt_fees (2i(5)), floored at 0; filing 20251008145538NAL0009652736001, received 2025-10-08
participants_with_balance: Form 5500, line 6g(2); PARTCP_ACCOUNT_BAL_CNT pos 78; filing 20251008145538NAL0009652736001, received 2025-10-08

Administrative expenses per participant

$98.59

10th: $29.39median $132.8490th: $350.58

Higher than 35% of the 9,042 plans $50 to 250M that report it.

Source

= $43,871 / 445
Schedule H, line 2i(12) total administrative expenses; TOT_ADMIN_EXPENSES_AMT pos 109; filing 20251008145538NAL0009652736001, received 2025-10-08
participants_with_balance: Form 5500, line 6g(2); PARTCP_ACCOUNT_BAL_CNT pos 78; filing 20251008145538NAL0009652736001, received 2025-10-08

Administrative expenses as a share of assets

0.034%

10th: 0.022%median 0.136%90th: 0.326%

Higher than 14% of the 9,049 plans $50 to 250M that report it.

Source

= $43,871 / $128,617,962
Schedule H, line 2i(12) total administrative expenses; TOT_ADMIN_EXPENSES_AMT pos 109; filing 20251008145538NAL0009652736001, received 2025-10-08
assets_eoy: Schedule H, Part I line 1f col (b); TOT_ASSETS_EOY_AMT pos 61; filing 20251008145538NAL0009652736001, received 2025-10-08

Employer contributions per participant

$5,072

10th: $965median $2,73890th: $8,164

Higher than 77% of the 9,105 plans $50 to 250M that report it.

Source

= $2,257,028 / 445
Schedule H, Part II line 2a(1)(A); EMPLR_CONTRIB_INCOME_AMT pos 68; filing 20251008145538NAL0009652736001, received 2025-10-08
participants_with_balance: Form 5500, line 6g(2); PARTCP_ACCOUNT_BAL_CNT pos 78; filing 20251008145538NAL0009652736001, received 2025-10-08

Employer share of total contributions

30.4%

10th: 15.6%median 29.5%90th: 50.6%

Higher than 53% of the 9,112 plans $50 to 250M that report it.

Source

= $2,257,028 / $7,433,723
Schedule H, Part II line 2a(1)(A); EMPLR_CONTRIB_INCOME_AMT pos 68; filing 20251008145538NAL0009652736001, received 2025-10-08
total_contrib: Schedule H, line 2a(3); TOT_CONTRIB_AMT pos 72; filing 20251008145538NAL0009652736001, received 2025-10-08

98.1% of this plan's assets are held in a master trust. Costs reported at the trust level and allocated by the plan's share: administrative expenses $43,162 ($195.58 per participant including the plan's own Schedule H). Benchmarks and percentiles use the plan's own Schedule H only.

Plan terms, as stated in International Specialty Products, Inc.'s SEC filings

Plan terms are described in International Specialty Products, Inc.'s SEC filings: Form 11-K filed 2002-07-31 and Form 10-K filed 2001-03-30. No term could be quoted from them with the required precision.

Plan features

2G fully participant-directed · 2J 401(k) feature · 2F ERISA 404(c) plan · 2K 401(m) arrangement · 2S pre-approved plan document · 2T default investment (QDIA) · 2E profit-sharing · 2R participant brokerage window · Form 5500, line 8a; TYPE_PENSION_BNFT_CODE pos 81; filing 20251008145538NAL0009652736001, received 2025-10-08

Full record, International Specialty Products Inc. 401(k) Plan

FieldValueSource
Plan sponsorINTERNATIONAL SPECIALTY PRODUCTS, INC.Form 5500, Part II line 2a; SPONSOR_DFE_NAME pos 19; filing 20251008145538NAL0009652736001, received 2025-10-08
Plan nameINTERNATIONAL SPECIALTY PRODUCTS INC. 401(K) PLANForm 5500, line 1a; PLAN_NAME pos 16; filing 20251008145538NAL0009652736001, received 2025-10-08
Sponsor EIN / plan number51-0376469 / 013Form 5500, line 2b; SPONS_DFE_EIN pos 44; filing 20251008145538NAL0009652736001, received 2025-10-08
Plan typesingle-employerForm 5500, Part I line A; TYPE_PLAN_ENTITY_CD pos 4; filing 20251008145538NAL0009652736001, received 2025-10-08
Sponsor locationWILMINGTON, DEForm 5500, line 2a; SPONS_DFE_MAIL_US_STATE pos 25; filing 20251008145538NAL0009652736001, received 2025-10-08
Industry (business code)324120, ManufacturingForm 5500, line 2d; BUSINESS_CODE pos 46; filing 20251008145538NAL0009652736001, received 2025-10-08
Plan year2024-01-01 to 2024-12-31Form 5500, Part I plan year; FORM_PLAN_YEAR_BEGIN_DATE pos 2; filing 20251008145538NAL0009652736001, received 2025-10-08
Filing received2025-10-08Form 5500, EFAST2 receipt date; DATE_RECEIVED pos 102; filing 20251008145538NAL0009652736001, received 2025-10-08
Final filingnoForm 5500, Part I line B; FINAL_FILING_IND pos 8; filing 20251008145538NAL0009652736001, received 2025-10-08
Amended filingnoForm 5500, Part I line B; AMENDED_IND pos 7; filing 20251008145538NAL0009652736001, received 2025-10-08
Participants, beginning of year458Form 5500, line 5; TOT_PARTCP_BOY_CNT pos 71; filing 20251008145538NAL0009652736001, received 2025-10-08
Active participants1,692Form 5500, line 6a(2); TOT_ACTIVE_PARTCP_CNT pos 72; filing 20251008145538NAL0009652736001, received 2025-10-08
Participants, end of year1,760Form 5500, line 6f; TOT_ACT_RTD_SEP_BENEF_CNT pos 77; filing 20251008145538NAL0009652736001, received 2025-10-08
Participants with an account balance445Form 5500, line 6g(2); PARTCP_ACCOUNT_BAL_CNT pos 78; filing 20251008145538NAL0009652736001, received 2025-10-08
Total assets, beginning of year$115,226,632Schedule H, Part I line 1f col (a); TOT_ASSETS_BOY_AMT pos 30; filing 20251008145538NAL0009652736001, received 2025-10-08
Total assets, end of year$128,617,962Schedule H, Part I line 1f col (b); TOT_ASSETS_EOY_AMT pos 61; filing 20251008145538NAL0009652736001, received 2025-10-08
Net assets, end of year$128,606,000Schedule H, line 1l col (b); NET_ASSETS_EOY_AMT pos 67; filing 20251008145538NAL0009652736001, received 2025-10-08
Total income$24,499,159Schedule H, Part II line 2d; TOT_INCOME_AMT pos 97; filing 20251008145538NAL0009652736001, received 2025-10-08
Net income$13,390,000Schedule H, line 2k; NET_INCOME_AMT pos 111; filing 20251008145538NAL0009652736001, received 2025-10-08
Employer contributions$2,257,028Schedule H, Part II line 2a(1)(A); EMPLR_CONTRIB_INCOME_AMT pos 68; filing 20251008145538NAL0009652736001, received 2025-10-08
Participant contributions$5,155,940Schedule H, line 2a(1)(B); PARTICIPANT_CONTRIB_AMT pos 69; filing 20251008145538NAL0009652736001, received 2025-10-08
Other contributions (incl. rollovers)$20,755Schedule H, line 2a(1)(C); OTH_CONTRIB_RCVD_AMT pos 70; filing 20251008145538NAL0009652736001, received 2025-10-08
Total contributions$7,433,723Schedule H, line 2a(3); TOT_CONTRIB_AMT pos 72; filing 20251008145538NAL0009652736001, received 2025-10-08
Benefit payments$11,056,105Schedule H, line 2e(4); TOT_DISTRIB_BNFT_AMT pos 101; filing 20251008145538NAL0009652736001, received 2025-10-08
Total expenses (incl. benefit payments)$11,109,159Schedule H, line 2j; TOT_EXPENSES_AMT pos 110; filing 20251008145538NAL0009652736001, received 2025-10-08
Total administrative expenses$43,871Schedule H, line 2i(12) total administrative expenses; TOT_ADMIN_EXPENSES_AMT pos 109; filing 20251008145538NAL0009652736001, received 2025-10-08
Contract administrator fees$0Schedule H, line 2i(2); CONTRACT_ADMIN_FEES_AMT pos 106; filing 20251008145538NAL0009652736001, received 2025-10-08
Recordkeeping fees$9,297Schedule H, line 2i(3); OTH_RECORDKEEPING_FEES_AMT pos 160; filing 20251008145538NAL0009652736001, received 2025-10-08
IQPA audit fees$0Schedule H, line 2i(4); IQPA_AUDIT_FEES_AMT pos 161; filing 20251008145538NAL0009652736001, received 2025-10-08
Investment advisory and management fees$14,061Schedule H, line 2i(5); INVST_MGMT_FEES_AMT pos 107; filing 20251008145538NAL0009652736001, received 2025-10-08
Administrative expenses excluding investment management$29,810derived, admin_expenses (2i(12)) minus invst_mgmt_fees (2i(5)), floored at 0; filing 20251008145538NAL0009652736001, received 2025-10-08
Held in master trusts$126,165,256Schedule H, line 1c(11) col (b); INT_MASTER_TR_EOY_AMT pos 53; filing 20251008145538NAL0009652736001, received 2025-10-08
Held in common/collective trusts$0Schedule H, line 1c(9) col (b); INT_COMMON_TR_EOY_AMT pos 51; filing 20251008145538NAL0009652736001, received 2025-10-08
Held in mutual funds$0Schedule H, line 1c(13) col (b); INT_REG_INVST_CO_EOY_AMT pos 55; filing 20251008145538NAL0009652736001, received 2025-10-08
Independent auditorBLUE AND COMPANY, LLCSchedule H, Part III line 3a; ACCOUNTANT_FIRM_NAME pos 116; filing 20251008145538NAL0009652736001, received 2025-10-08

Position = column in the DOL layout for form year 2024. Filing 20251008145538NAL0009652736001, received 2025-10-08.

Service providers paid directly by the plan

ProviderRelationshipService codesDirect compensationIndirect
FIDUCIENT ADVISORSINVESTMENT ADVISORY 27 Investment advisory (plan) $13,299no
FIDELITY INVESTMENTS INSTITUTIONALrecordkeeperRECORDKEEPER 37 Participant loan processing; 64 Recordkeeping fees; 65 Account maintenance fees; 71 Securities brokerage commissions and fees $9,447no
THOMPSON HINELEGAL 29 Legal $6,367no

Schedule C Part I line 2: name (a), service codes (b), relationship (c), direct compensation paid by the plan (d), indirect compensation received (e). Filing 20251008145538NAL0009652736001, received 2025-10-08.

Master trust

ASHLAND INC. MASTER TRUST (EIN 936421281, PN 030): plan interest $126,165,256, 8.7% of the trust. The trust's own filing (20251008131741NAL0003033331001, received 2025-10-08) reports net assets $1,448,323,837, administrative expenses $495,485, recordkeeping fees $0, investment management fees $445,754 and 1 Schedule C providers.

Provider (trust level)Service codesPaid by the trustAllocated to this plan
FIDELITY INVESTMENTS INSTITUTIONALrecordkeeper60$0$0

Schedule D Part I of the plan's filing; the trust's Schedule H and Schedule C. Allocation = the plan's interest divided by the trust's net assets.

What changed since the 2023 plan year

Figure20232024Change
Total assets$115,226,632$128,617,96211.6%
Participants with a balance457445-2.6%
Administrative expenses$41,418$43,8715.9%
Recordkeeping fees per participant$1.78$20.891074.4%
Employer contributions$2,313,217$2,257,028-2.4%

Prior filing 20240620132543NAL0001327553001, received 2024-06-20; the plan years are contiguous.

Alerts, claims and corrections

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Sponsor name as filed: INTERNATIONAL SPECIALTY PRODUCTS, INC.; SEC registrant: INTERNATIONAL SPECIALTY PRODUCTS INC /NEW/ (CIK 1026738, matched by EIN).