Illegal Activity
none
Blackmail
none
Date
February 21, 2013 and February 23, 2012
Document Type
legal filing
Model
gemini-2.0-flash-001
Processed
2026-02-07T18:41
Summary
This document provides notes to the combined financial statements of New Albertson's Business of Supervalu Inc. and Subsidiaries. It details the methodology for calculating net periodic benefit cost and managing pension plan assets, including asset allocation and risk management strategies.
Metadata
- Subject
- NEW ALBERTSON'S BUSINESS OF SUPERVALU INC. AND SUBSIDIARIES Notes to Combined Financial Statements
- Sender
- —
- Recipients
- —
- Document ID
- DB-SDNY-0081925
- Date
- February 21, 2013 and February 23, 2012
Relationships 2
| Entity 1 | Relationship | Entity 2 | Description |
|---|---|---|---|
| NAI | Financial | Pension Plan Assets | NAI calculates expected return on plan assets. |
| Parent | Financial | Plan assets | Plan assets are held in a master trust of Parent. |
Financial Information
Assets:
- domestic and international equity securities
- domestic fixed income securities
- other investment classes
- Alternative investments
Raw Analysis JSON
click to expand
Themes
Financial transactions/money flow
Organizations 4
NEW ALBERTSON'SSUPERVALU INC.NAIParent
Text Analysis
- Tone
- Professional
- Purpose
- To provide notes to the combined financial statements regarding pension plan assets and related assumptions.
- Significance
- Details the methodology for calculating net periodic benefit cost and managing pension plan assets.
File Info
- File Name
- EFTA01382533.txt
- Dataset
- dataset_10
- Type
- Text
- Model
- gemini-2.0-flash-001
- Processed
- 2026-02-07T18:41:50.181942
- DOJ Source
- View on DOJ