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FAIR VALUE MEASUREMENTS - Fair Value Estimated Using Net Asset Value per Share (Details) - EBP 002 - USD ($)
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
EBP, Investment, Fair Value and NAV [Line Items]    
Investments at Fair Value $ 4,719,489,317 $ 4,602,651,089
Fair Value Estimated Using Net Asset Value per Share    
EBP, Investment, Fair Value and NAV [Line Items]    
Investments at Fair Value 3,744,351,129 3,615,031,603
Mellon Capital Small Cap Stock Index Fund    
EBP, Investment, Fair Value and NAV [Line Items]    
Investments at Fair Value 169,951,861 179,341,271
Mellon Capital Small Cap Stock Index Fund | Fair Value Estimated Using Net Asset Value per Share    
EBP, Investment, Fair Value and NAV [Line Items]    
Investments at Fair Value $ 169,951,861 $ 179,341,271
Redemption Notice Period 1 day 1 day
Mellon Capital Mid Cap Stock Index Fund    
EBP, Investment, Fair Value and NAV [Line Items]    
Investments at Fair Value $ 459,321,305 $ 456,261,518
Mellon Capital Mid Cap Stock Index Fund | Fair Value Estimated Using Net Asset Value per Share    
EBP, Investment, Fair Value and NAV [Line Items]    
Investments at Fair Value $ 459,321,305 $ 456,261,518
Redemption Notice Period 1 day 1 day
Mellon Capital Stock Index Fund    
EBP, Investment, Fair Value and NAV [Line Items]    
Investments at Fair Value $ 1,429,311,150 $ 1,298,414,738
Mellon Capital Stock Index Fund | Fair Value Estimated Using Net Asset Value per Share    
EBP, Investment, Fair Value and NAV [Line Items]    
Investments at Fair Value $ 1,429,311,150 $ 1,298,414,738
Redemption Notice Period 1 day 1 day
Mellon Capital International Stock Index Fund    
EBP, Investment, Fair Value and NAV [Line Items]    
Investments at Fair Value $ 690,699,519 $ 704,972,081
Mellon Capital International Stock Index Fund | Fair Value Estimated Using Net Asset Value per Share    
EBP, Investment, Fair Value and NAV [Line Items]    
Investments at Fair Value $ 690,699,519 $ 704,972,081
Redemption Notice Period 1 day 1 day
Mellon Capital Aggregate Bond Index Fund    
EBP, Investment, Fair Value and NAV [Line Items]    
Investments at Fair Value $ 511,889,594 $ 521,308,895
Mellon Capital Aggregate Bond Index Fund | Fair Value Estimated Using Net Asset Value per Share    
EBP, Investment, Fair Value and NAV [Line Items]    
Investments at Fair Value $ 511,889,594 $ 521,308,895
Redemption Notice Period 1 day 1 day
Mellon Capital Treasury Inflation-Protected Securities Fund    
EBP, Investment, Fair Value and NAV [Line Items]    
Investments at Fair Value $ 24,183,840 $ 24,749,151
Mellon Capital Treasury Inflation-Protected Securities Fund | Fair Value Estimated Using Net Asset Value per Share    
EBP, Investment, Fair Value and NAV [Line Items]    
Investments at Fair Value $ 24,183,840 $ 24,749,151
Redemption Notice Period 1 day 1 day
JPMorgan Strategic Property Fund    
EBP, Investment, Fair Value and NAV [Line Items]    
Investments at Fair Value $ 84,071,443 $ 68,468,634
JPMorgan Strategic Property Fund | Fair Value Estimated Using Net Asset Value per Share    
EBP, Investment, Fair Value and NAV [Line Items]    
Investments at Fair Value $ 84,071,443 $ 68,468,634
Redemption Notice Period 30 days 30 days
Mellon Capital Emerging Markets Stock Index Fund    
EBP, Investment, Fair Value and NAV [Line Items]    
Investments at Fair Value $ 65,013,298 $ 60,252,437
Mellon Capital Emerging Markets Stock Index Fund | Fair Value Estimated Using Net Asset Value per Share    
EBP, Investment, Fair Value and NAV [Line Items]    
Investments at Fair Value $ 65,013,298 $ 60,252,437
Redemption Notice Period 1 day 1 day
William Blair Large Cap Growth I    
EBP, Investment, Fair Value and NAV [Line Items]    
Investments at Fair Value $ 214,753,054  
William Blair Large Cap Growth I | Fair Value Estimated Using Net Asset Value per Share    
EBP, Investment, Fair Value and NAV [Line Items]    
Investments at Fair Value $ 214,753,054  
Redemption Notice Period 1 day  
Columbia Trust Focused Large Cap Growth Fund    
EBP, Investment, Fair Value and NAV [Line Items]    
Investments at Fair Value   $ 195,092,837
Columbia Trust Focused Large Cap Growth Fund | Fair Value Estimated Using Net Asset Value per Share    
EBP, Investment, Fair Value and NAV [Line Items]    
Investments at Fair Value   $ 195,092,837
Redemption Notice Period   1 day
Sands Capital International Growth CIT    
EBP, Investment, Fair Value and NAV [Line Items]    
Investments at Fair Value $ 22,073,747 $ 25,623,845
Sands Capital International Growth CIT | Fair Value Estimated Using Net Asset Value per Share    
EBP, Investment, Fair Value and NAV [Line Items]    
Investments at Fair Value $ 22,073,747 $ 25,623,845
Redemption Notice Period 1 day 1 day
MetWest Total Return Bond Fund    
EBP, Investment, Fair Value and NAV [Line Items]    
Investments at Fair Value $ 59,886,326 $ 65,185,142
MetWest Total Return Bond Fund | Fair Value Estimated Using Net Asset Value per Share    
EBP, Investment, Fair Value and NAV [Line Items]    
Investments at Fair Value $ 59,886,326 $ 65,185,142
Redemption Notice Period 1 day 1 day
Self-Directed Brokerage Account    
EBP, Investment, Fair Value and NAV [Line Items]    
Investments at Fair Value $ 120,451,987 $ 101,663,935
Self-Directed Brokerage Account | Fair Value Estimated Using Net Asset Value per Share    
EBP, Investment, Fair Value and NAV [Line Items]    
Investments at Fair Value $ 13,195,992 $ 15,361,054
Redemption Notice Period 1 day 1 day