Retirement plan
STANFORD HEALTH CARE RETIREMENT SAVINGS PLAN
STANFORD HEALTH CAREEIN 94-6174066Plan #002PY 2016
300 PASTEUR DRIVE, MC 5513 - STANFORD, CA 943055513650-498-5349LinkedIn51-200 employeesmedical practice
Other plans on this EIN
2 filingsProspect flagsFailed to transmit contributions
Filing contacts
From the Form 5500, federal recordPlan administrator signer
SIMON JANG
Signed 07/31/2017
Summary metrics
Total assets (EOY)
$2385.5M
-11.0% from 2016
Total participants
24,749
-7.1% from 2016
Average account balance
$108,918
-1.5% from 2016
Annual return
7.85%
-7.81 pp from 2016
Benchmarks
Peer group
Industry62 - Health Care and Social Assistance
Plan typeDefined contribution
Participants>=10,000
Cohort193 peers
Snapshot2016
91
Participant deferral / active EE
$7,259
median $2,952
86
Employer contribution / active EE
$6,575
median $1,144
59
Participation rate
82.0%
median 73.8%
96
Avg account balance
$108,918
median $42,315
9
Admin fee / account holder
$103
median $30
33
Annual return
7.85%
median 8.69%
Overall peer rank
62of 100
62nd percentileavg across 6 metrics
Analytics
2015 - 2024
Total assets (EOY)
Plan-year ending balance
$6.93B
Average account balance
Total assets / participants with a balance (line 6g)
$182K
Participants with account balance
Stacked by status: active / separated vested / retired or beneficiary. Total = line 6g.
38,126
Eligible Participants and Participation
Bars: eligible actives (line 6a). Line: derived rate = active employees with a balance / 6a.
95.5%
Contributions (total)
Employer and participant dollars contributed each year
$638.08M
Contributions per participant
Average employer and participant contribution per enrolled participant
$25K
Asset flow
BOY + contributions + return - distributions = EOY
Year
Annual return
Diverging bars; negative years highlighted
+15.03%
Admin fee / account holder
Total admin expenses / participants with a balance (line 6g)
$49
Asset composition
Cash / stocks / bonds / mutual funds / real estate / loans over time
- Mutual / pooled
- Stocks
- Bonds
- Cash
- Real estate
- Loans
Service providers
Top 10 of 12 by compensation
| Provider | Service type | Compensation |
|---|---|---|
Service code 12 · EIN 13-3689044 | Shareholder servicing fees; Participa... | $1,330,008 |
SIGNATURE INVESTMENT ADVISORS2+ years Service code 27 · EIN 45-3791510 | Advisory (Plan) | $29,071 |
MOSS ADAMS, LLP2+ years Service code 10 · EIN 91-0189318 | Accounting | $22,700 |
QUEST SECURITIES INC2+ years Service code 27 · EIN 94-2274244 | Advisory (Plan) | $14,220 |
Service code 64 · EIN 13-1624203 | Recordkeeping Fees | $12,156 |
Service code 27 · EIN 27-3616371 | Advisory (Plan) | $11,365 |
CHARLES SCHWAB & CO, INC.2+ years Service code 33 · EIN 94-1737782 | Securities brokerage; Securities brok... | $11,063 |
DESTINATION WEALTH MANAGEMENT2+ years Service code 27 · EIN 56-2326959 | Advisory (Plan) | $10,026 |
CAPITAL ADVANTAGE INC1 year Service code 27 · EIN 94-3307876 | Advisory (Plan) | $2,741 |
Service code 27 · EIN 95-4806910 | Advisory (Plan) | $1,026 |
Top hat statement on fileNQDC
Filed April 25, 2011 (most recent of 2 filings on file)
This is a legacy paper filing. Plan administrator and contact details are recorded in the original filing, which has not been digitised into structured fields.
Plan features & details
Pension benefit codes2F2L2M2R2T2G3F3H
Plan features
- 2FERISA section 404(c) planThis plan or any part of it is intended to meet the conditions of 29 CFR 2550.404c-1 (shifting investment responsibility to participants).
- 2GTotal participant-directed account planParticipants have the opportunity to direct the investment of all of the assets allocated to their individual accounts regardless of whether 29 CFR 2550.404c-1 is intended to be met.
- 2LCode section 403(b)(1) arrangementPlan uses a Code section 403(b)(1) annuity contract as a funding vehicle.
- 2MCode section 403(b)(7) accountsPlan uses Code section 403(b)(7) custodial accounts as a funding vehicle.
- 2RParticipant-directed brokerage accountsParticipant-directed brokerage accounts provided as an investment option under the plan.
- 2TDefault investment accountTotal or partial participant-directed account plan where plan uses a default investment account for participants who fail to direct assets in their account.
- 3FLeased employeesPlan sponsor(s) received services of leased employees as defined in Code section 414(n) during the plan year.
- 3HControlled group memberPlan sponsor(s) is (are) a member(s) of a controlled group (Code sections 414(b) (c) or (m)).
Opportunity flags
1 tripped
- ComplianceFailed to transmit contributions
Form 5500 reported a failure to timely transmit participant contributions (Schedule H line 4a).
Expense breakdown
Schedule H Part II
Admin total
$2.3M
$143 / participant
- Contract admin$2M98.2%
- Other / not subdivided$40K1.8%
% of EOY assets
0.095%
all-in expense ratio
Categories reported
1 / 9
subdivided buckets used
Audit opinion
Schedule H Part III
Disclaimer opinion
Auditor declined to express an opinion - usually a 103(a)(3)(C) limited-scope election.
- Auditor firm
- MOSS ADAMS
- Auditor EIN
- 910189318
- Audit fees
- (not subdivided)
- Opinion code
- Disclaimer