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WILMINGTON TRUST RETIREMENT AND INSTITUTIONAL SERVICES COMPANY CIT DAI ASSET ALLOCATION MODERATE GROWTH POR 401k Plan overview

Plan NameWILMINGTON TRUST RETIREMENT AND INSTITUTIONAL SERVICES COMPANY CIT DAI ASSET ALLOCATION MODERATE GROWTH POR
Plan identification number 084

WILMINGTON TRUST RETIREMENT AND INSTITUTIONAL SERVICES COMPANY CIT DAI ASSET ALLOCATION MODERATE GROWTH POR Benefits

No plan benefit data available

401k Sponsoring company profile

WILMINGTON TRUST RETIREMENT AND INSTITUTIONAL SERVICES COMPANY has sponsored the creation of one or more 401k plans.

Company Name:WILMINGTON TRUST RETIREMENT AND INSTITUTIONAL SERVICES COMPANY
Employer identification number (EIN):208491347

Form 5500 Filing Information

Submission information for form 5500 for 401k plan WILMINGTON TRUST RETIREMENT AND INSTITUTIONAL SERVICES COMPANY CIT DAI ASSET ALLOCATION MODERATE GROWTH POR

Plan id# Filing Submission Date Name of Administrator Date Administrator SignedName of Company SponsorDate Sponsor Signed
0842012-01-012013-09-09
0842011-01-012012-05-25
0842009-01-012010-06-04

Financial Data on WILMINGTON TRUST RETIREMENT AND INSTITUTIONAL SERVICES COMPANY CIT DAI ASSET ALLOCATION MODERATE GROWTH POR

Measure Date Value
2012 : WILMINGTON TRUST RETIREMENT AND INSTITUTIONAL SERVICES COMPANY CIT DAI ASSET ALLOCATION MODERATE GROWTH POR 2012 401k financial data
Unrealized appreciation/depreciation of other (non real estate) assets2012-12-31$-393,813
Total unrealized appreciation/depreciation of assets2012-12-31$-393,813
Total transfer of assets to this plan2012-12-31$2,243,687
Total transfer of assets from this plan2012-12-31$8,872,107
Total liabilities at end of year (benefit claims payable, operating payabales, acquisition indebtedness and other liabilities)2012-12-31$50,908
Total liabilities at beginning of year (benefit claims payable, operating payabales, acquisition indebtedness and other liabilities)2012-12-31$66,309
Expenses. Interest paid2012-12-31$8,381
Amount of participant contributions which was failed to transmit to the plan within the time period described in 29 CFR 251.3-1022012-12-31$8,381
Total income from all sources (including contributions)2012-12-31$1,948,188
Total loss/gain on sale of assets2012-12-31$2,066,796
Total of all expenses incurred2012-12-31$241,046
Value of total assets at end of year2012-12-31$8,513,113
Value of total assets at beginning of year2012-12-31$13,449,792
Total of administrative expenses incurred including professional, contract, advisory and management fees2012-12-31$232,665
Total dividends received (eg from common stock, registered investment company shares)2012-12-31$240,861
Administrative expenses professional fees incurred2012-12-31$20,521
Assets. Other investments not covered elsewhere at end of year2012-12-31$148,924
Assets. Other investments not covered elsewhere at beginning of year2012-12-31$102,932
Value of other receiveables (less allowance for doubtful accounts) at end of year2012-12-31$6,388
Value of other receiveables (less allowance for doubtful accounts) at beginning of year2012-12-31$17,631
Other liabilities (not benefit claims, operating payabales oe acquisition indebtedness) at end of year2012-12-31$50,908
Other liabilities (not benefit claims, operating payabales oe acquisition indebtedness) at beginning of year2012-12-31$66,309
Total non interest bearing cash at end of year2012-12-31$365,950
Total non interest bearing cash at beginning of year2012-12-31$440,008
Value of net income/loss2012-12-31$1,707,142
Value of net assets at end of year (total assets less liabilities)2012-12-31$8,462,205
Value of net assets at beginning of year (total assets less liabilities)2012-12-31$13,383,483
Investment advisory and management fees2012-12-31$212,144
Value of interest in registered invesment companies (eg mutual funds) at end of year2012-12-31$1,140,798
Value of interest in registered invesment companies (eg mutual funds) at beginning of year2012-12-31$1,766,788
Net investment gain/loss from registered investment companies (e.g. mutual funds)2012-12-31$34,344
Income. Dividends from common stock2012-12-31$240,861
Assets. Corporate common stocks other than exployer securities at end of year2012-12-31$6,851,053
Assets. Corporate common stocks other than exployer securities at beginning of year2012-12-31$11,122,433
Aggregate proceeds on sale of assets2012-12-31$11,491,558
Aggregate carrying amount (costs) on sale of assets2012-12-31$9,424,762
2011 : WILMINGTON TRUST RETIREMENT AND INSTITUTIONAL SERVICES COMPANY CIT DAI ASSET ALLOCATION MODERATE GROWTH POR 2011 401k financial data
Unrealized appreciation/depreciation of other (non real estate) assets2011-12-31$-1,238,925
Total unrealized appreciation/depreciation of assets2011-12-31$-1,238,925
Total transfer of assets to this plan2011-12-31$2,013,600
Total transfer of assets from this plan2011-12-31$3,269,002
Total liabilities at end of year (benefit claims payable, operating payabales, acquisition indebtedness and other liabilities)2011-12-31$66,309
Total liabilities at beginning of year (benefit claims payable, operating payabales, acquisition indebtedness and other liabilities)2011-12-31$69,835
Total income from all sources (including contributions)2011-12-31$-247,998
Total loss/gain on sale of assets2011-12-31$614,656
Total of all expenses incurred2011-12-31$262,808
Value of total assets at end of year2011-12-31$13,449,792
Value of total assets at beginning of year2011-12-31$15,219,526
Total of administrative expenses incurred including professional, contract, advisory and management fees2011-12-31$262,808
Total dividends received (eg from common stock, registered investment company shares)2011-12-31$210,568
Total dividends received from registered investment company shares (eg mutual funds)2011-12-31$72,066
Administrative expenses professional fees incurred2011-12-31$13,119
Assets. Other investments not covered elsewhere at end of year2011-12-31$102,932
Assets. Other investments not covered elsewhere at beginning of year2011-12-31$1,578,032
Value of other receiveables (less allowance for doubtful accounts) at end of year2011-12-31$17,631
Value of other receiveables (less allowance for doubtful accounts) at beginning of year2011-12-31$11,594
Other liabilities (not benefit claims, operating payabales oe acquisition indebtedness) at end of year2011-12-31$66,309
Other liabilities (not benefit claims, operating payabales oe acquisition indebtedness) at beginning of year2011-12-31$69,835
Other income not declared elsewhere2011-12-31$13,107
Total non interest bearing cash at end of year2011-12-31$440,008
Total non interest bearing cash at beginning of year2011-12-31$627,369
Value of net income/loss2011-12-31$-510,806
Value of net assets at end of year (total assets less liabilities)2011-12-31$13,383,483
Value of net assets at beginning of year (total assets less liabilities)2011-12-31$15,149,691
Assets. partnership/joint venture interests at beginning of year2011-12-31$62,934
Investment advisory and management fees2011-12-31$249,689
Value of interest in registered invesment companies (eg mutual funds) at end of year2011-12-31$1,766,788
Value of interest in registered invesment companies (eg mutual funds) at beginning of year2011-12-31$2,757,291
Net investment gain/loss from registered investment companies (e.g. mutual funds)2011-12-31$152,596
Income. Dividends from common stock2011-12-31$138,502
Assets. Corporate common stocks other than exployer securities at end of year2011-12-31$11,122,433
Assets. Corporate common stocks other than exployer securities at beginning of year2011-12-31$10,182,306
Aggregate proceeds on sale of assets2011-12-31$8,389,080
Aggregate carrying amount (costs) on sale of assets2011-12-31$7,774,424
2010 : WILMINGTON TRUST RETIREMENT AND INSTITUTIONAL SERVICES COMPANY CIT DAI ASSET ALLOCATION MODERATE GROWTH POR 2010 401k financial data
Unrealized appreciation/depreciation of other (non real estate) assets2010-12-31$1,951,246
Total unrealized appreciation/depreciation of assets2010-12-31$1,951,246
Total transfer of assets to this plan2010-12-31$4,268,945
Total transfer of assets from this plan2010-12-31$3,631,021
Total liabilities at end of year (benefit claims payable, operating payabales, acquisition indebtedness and other liabilities)2010-12-31$69,835
Total liabilities at beginning of year (benefit claims payable, operating payabales, acquisition indebtedness and other liabilities)2010-12-31$118,153
Expenses. Interest paid2010-12-31$67
Amount of participant contributions which was failed to transmit to the plan within the time period described in 29 CFR 251.3-1022010-12-31$67
Total income from all sources (including contributions)2010-12-31$2,814,889
Total loss/gain on sale of assets2010-12-31$556,962
Total of all expenses incurred2010-12-31$236,611
Benefit payments and payments to participlants,beneficiaries,insurance carriers and others2010-12-31$0
Total contributions o plan (from employers,participants, others, non cash contrinutions)2010-12-31$0
Value of total assets at end of year2010-12-31$15,219,526
Value of total assets at beginning of year2010-12-31$12,051,642
Total of administrative expenses incurred including professional, contract, advisory and management fees2010-12-31$236,544
Total interest from all sources2010-12-31$0
Total dividends received (eg from common stock, registered investment company shares)2010-12-31$306,681
Administrative expenses professional fees incurred2010-12-31$9,926
Assets. Other investments not covered elsewhere at end of year2010-12-31$1,578,032
Assets. Other investments not covered elsewhere at beginning of year2010-12-31$24,222
Value of other receiveables (less allowance for doubtful accounts) at end of year2010-12-31$11,594
Value of other receiveables (less allowance for doubtful accounts) at beginning of year2010-12-31$51,162
Other liabilities (not benefit claims, operating payabales oe acquisition indebtedness) at end of year2010-12-31$69,835
Other liabilities (not benefit claims, operating payabales oe acquisition indebtedness) at beginning of year2010-12-31$118,153
Total non interest bearing cash at end of year2010-12-31$627,369
Total non interest bearing cash at beginning of year2010-12-31$510,200
Value of net income/loss2010-12-31$2,578,278
Value of net assets at end of year (total assets less liabilities)2010-12-31$15,149,691
Value of net assets at beginning of year (total assets less liabilities)2010-12-31$11,933,489
Assets. partnership/joint venture interests at end of year2010-12-31$62,934
Assets. partnership/joint venture interests at beginning of year2010-12-31$53,165
Investment advisory and management fees2010-12-31$226,618
Value of interest in registered invesment companies (eg mutual funds) at end of year2010-12-31$2,757,291
Value of interest in registered invesment companies (eg mutual funds) at beginning of year2010-12-31$1,486,923
Income. Dividends from common stock2010-12-31$306,681
Assets. Corporate common stocks other than exployer securities at end of year2010-12-31$10,182,306
Assets. Corporate common stocks other than exployer securities at beginning of year2010-12-31$9,925,970
Aggregate proceeds on sale of assets2010-12-31$6,426,262
Aggregate carrying amount (costs) on sale of assets2010-12-31$5,869,300

Form 5500 Responses for WILMINGTON TRUST RETIREMENT AND INSTITUTIONAL SERVICES COMPANY CIT DAI ASSET ALLOCATION MODERATE GROWTH POR

2012: WILMINGTON TRUST RETIREMENT AND INSTITUTIONAL SERVICES COMPANY CIT DAI ASSET ALLOCATION MODERATE GROWTH POR 2012 form 5500 responses
2012-01-01Type of plan entityDFE (Diect Filing Entity)
2011: WILMINGTON TRUST RETIREMENT AND INSTITUTIONAL SERVICES COMPANY CIT DAI ASSET ALLOCATION MODERATE GROWTH POR 2011 form 5500 responses
2011-01-01Type of plan entityDFE (Diect Filing Entity)
2009: WILMINGTON TRUST RETIREMENT AND INSTITUTIONAL SERVICES COMPANY CIT DAI ASSET ALLOCATION MODERATE GROWTH POR 2009 form 5500 responses
2009-01-01Type of plan entityDFE (Diect Filing Entity)
2009-01-01Submission has been amendedNo
2009-01-01This submission is the final filingNo
2009-01-01This return/report is a short plan year return/report (less than 12 months)No
2009-01-01Plan is a collectively bargained planNo

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