05/22/2026 | Press release | Distributed by Public on 05/22/2026 14:18
| ☒ |
ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
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| ☐ |
TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
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| A. |
Full title of the plan and the address of the plan, if different from that of the issuer named below:
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| B. |
Name of issuer of the securities held pursuant to the plan and the address of its principal executive office:
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FINANCIAL STATEMENTS AND EXHIBITS
| (a) |
Financial Statements and Supplemental Schedule (With Report of Independent Registered Public Accounting Firm Thereon) |
| (b) |
Exhibit 23.1 - Consent of Independent Registered Public Accounting Firm |
SIGNATURES
The Plan. Pursuant to the requirements of the Securities Exchange Act of 1934, the Administrative Committee, administrator of the Plan, has duly caused this annual report to be signed on its behalf by the undersigned thereunto duly authorized.
| JEFFERIES EMPLOYEES' PROFIT SHARING PLAN | ||||||
| By: Administrative Committee | ||||||
| Date: May 22, 2026 | By: |
/s/ Jeff Agnew |
||||
| Jeff Agnew | ||||||
| Authorized Person | ||||||
[2]
JEFFERIES EMPLOYEES' PROFIT SHARING PLAN
Table of Contents
| Page | ||||
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REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM |
4 | |||
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FINANCIAL STATEMENTS: |
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Statements of Net Assets Available for Benefits as of November 30, 2025 and 2024 |
5 | |||
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Statement of Changes in Net Assets Available for Benefits for the Year Ended November 30, 2025 |
6 | |||
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Notes to Financial Statements as of November 30, 2025 and 2024 and for the Year Ended November 30, 2025 |
7 | |||
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SUPPLEMENTAL SCHEDULE: |
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Form 5500, Schedule H, Part IV, Line 4i - Schedule of Assets (Held at End of Year) as of November 30, 2025 |
14 | |||
| NOTE: |
All other schedules required by Section 2520.103-10 of the Department of Labor's Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974, as amended, have been omitted because they are not applicable. |
3
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2025
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2024
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ASSETS:
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Participant-directed investments, at fair value:
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||||||||
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Common stocks
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$ | 121,482,525 | $ | 160,839,089 | ||||
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Common collective fund
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226,147,685 | 190,402,165 | ||||||
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Mutual funds
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1,074,179,271 | 930,648,954 | ||||||
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Total investments
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1,421,809,481 | 1,281,890,208 | ||||||
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Non-interest
bearing cash
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12,254 | 9,697 | ||||||
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Receivables:
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||||||||
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Notes receivable from participants
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5,855,837 | 5,689,638 | ||||||
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Total assets
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1,427,677,572 | 1,287,589,543 | ||||||
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NET ASSETS AVAILABLE FOR BENEFITS
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$ | 1,427,677,572 | $ | 1,287,589,543 | ||||
| 2025 | ||||
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ADDITIONS:
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||||
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Contributions:
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||||
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Participant contributions
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$ | 77,610,775 | ||
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Participant rollover contributions
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14,677,941 | |||
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Employer matching contributions
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14,107,838 | |||
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Total contributions
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106,396,554 | |||
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Investment income:
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||||
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Net appreciation in fair value of investments
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79,945,080 | |||
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Interest and dividends
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41,715,754 | |||
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Other income
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100,182 | |||
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Total investment income
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121,761,016 | |||
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Interest income on notes receivable from participants
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443,189 | |||
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Total additions
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228,600,759 | |||
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DEDUCTIONS:
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||||
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Benefits paid to participants
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88,393,863 | |||
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Administrative expenses
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118,867 | |||
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Total deductions
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88,512,730 | |||
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Net increase
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140,088,029 | |||
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NET ASSETS AVAILABLE FOR PLAN BENEFITS:
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||||
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Beginning of year
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1,287,589,543 | |||
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End of year
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$ | 1,427,677,572 | ||
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1.
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DESCRIPTION OF THE PLAN
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Years of vesting service
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Percentage
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Fewer than two years
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- | % | ||
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Two years
|
33 | |||
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Three years
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67 | |||
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Four years
|
100 | |||
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2.
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SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
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3.
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FAIR VALUE MEASUREMENTS
|
| • |
Common stock. Valued utilizing a market approach wherein Plan management uses quoted prices in active markets for identical assets;
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| • |
Mutual funds. Valued utilizing a market approach wherein Plan management uses the quoted prices in the active market for identical assets. All of the mutual funds are traded in active markets at their NAV per share. There are no restrictions as to redemption of these investments nor does the Plan have any contractual obligations to further invest in any of the individual mutual funds.
|
| • |
Common collective fund. Valued based on the NAV of units held by the collective fund. The NAV is based on the observable market prices of the underlying investments within the fund less liabilities. The NAV for the underlying assets of the fund is a readily determinable measure of their fair value and is the basis used by the fund for current transactions.
|
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Assets measured
at fair value as of November 30, 2025 |
Quoted prices in
active markets for identical assets (Level 1) |
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Common Stock
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$ | 121,482,525 | $ | 121,482,525 | ||||
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Mutual Funds:
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Domestic Stock Funds
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495,100,957 | 495,100,957 | ||||||
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Balanced Funds
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379,312,812 | 379,312,812 | ||||||
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Fixed Income Funds
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54,682,492 | 54,682,492 | ||||||
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International Stock Funds
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55,586,709 | 55,586,709 | ||||||
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Money Market Funds
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62,922,906 | 62,922,906 | ||||||
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BrokerageLink Account:
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Mutual Funds:
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Money Market Funds
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3,971,257 | 3,971,257 | ||||||
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Precious Metal Funds
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622,200 | 622,200 | ||||||
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International Stock Funds
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2,331,883 | 2,331,883 | ||||||
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Alternative Funds
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1,671,600 | 1,671,600 | ||||||
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Fixed Income Funds
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1,530,777 | 1,530,777 | ||||||
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Commodity Funds
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18,109 | 18,109 | ||||||
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Other Equity Mutual Funds
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16,427,569 | 16,427,569 | ||||||
| 1,195,661,796 | $ | 1,195,661,796 | ||||||
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Common Collective Fund, at NAV practical expedient*
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226,147,685 | |||||||
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Total Investment Assets at Fair Value
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$ | 1,421,809,481 | ||||||
| * |
The fair value of this investment is provided above to permit reconciliation of the fair value hierarchy to the amounts presented in the statement of net assets available for benefits.
|
|
Assets measured
at fair value as of November 30, 2024 |
Quoted prices in
active markets for identical assets (Level 1) |
|||||||
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Common Stock
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$ | 160,839,089 | $ | 160,839,089 | ||||
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Mutual Funds:
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||||||||
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Domestic Stock Funds
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450,070,880 | 450,070,880 | ||||||
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Balanced Funds
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309,556,534 | 309,556,534 | ||||||
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Fixed Income Funds
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48,952,528 | 48,952,528 | ||||||
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International Stock Funds
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40,768,977 | 40,768,977 | ||||||
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Money Market Funds
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55,673,569 | 55,673,569 | ||||||
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BrokerageLink Account:
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Mutual Funds:
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Money Market Funds
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4,618,322 | 4,618,322 | ||||||
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Precious Metal Funds
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549,151 | 549,151 | ||||||
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International Stock Funds
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1,831,216 | 1,831,216 | ||||||
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Alternative Funds
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1,999,865 | 1,999,865 | ||||||
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Fixed Income Funds
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1,159,307 | 1,159,307 | ||||||
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Commodity Funds
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29,766 | 29,766 | ||||||
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Other Equity Mutual Funds
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15,438,839 | 15,438,839 | ||||||
| 1,091,488,043 | $ | 1,091,488,043 | ||||||
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Common Collective Fund, at NAV practical expedient*
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190,402,165 | |||||||
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Total Investment Assets at Fair Value
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$ | 1,281,890,208 | ||||||
| * |
The fair value of this investment is provided above to permit reconciliation of the fair value hierarchy to the amounts presented in the statement of net assets available for benefits.
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4.
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EXEMPT
PARTY-IN-INTEREST
TRANSACTIONS
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5.
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PLAN TERMINATION
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6.
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TAX STATUS
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7.
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SECURE 2.0
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8.
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SUBSEQUENT EVENTS
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(a)
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(b) Identity of issue
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(c) Description of investment
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(d) Cost** | (e) Current value | ||||||||
| * |
Fidelity 500 Index Fund
(1,285,207 shares)
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Mutual Funds
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$ | 306,264,987 | ||||||||
| * |
Fidelity OTC Commingled Pool
(3,791,879 shares)
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Common Collective Fund
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226,147,685 | |||||||||
| * |
Jefferies (2,041,582 shares)
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Common Stock
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117,518,258 | |||||||||
| * |
FIMM Govt CL I
(62,922,905 shares)
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Mutual Funds
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62,922,906 | |||||||||
| * |
Fidelity Freedom Fund K 2045
(3,763,096 shares)
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Mutual Funds
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59,983,751 | |||||||||
| * |
Fidelity Freedom Fund K 2050
(3,211,948 shares)
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Mutual Funds
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52,034,217 | |||||||||
| * |
Fidelity Freedom Fund K 2040
(3,810,646 shares)
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Mutual Funds
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51,405,625 | |||||||||
| * |
Fidelity Freedom Fund K 2055
(2,447,619 shares)
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Mutual Funds
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45,966,291 | |||||||||
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Harbor Cap Apr Inst
(328,965 shares)
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Mutual Funds
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43,120,829 | ||||||||||
| * |
Fidelity Freedom Fund K 2035
(2,352,125 shares)
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Mutual Funds
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42,314,735 | |||||||||
| * |
Fidelity Freedom Fund K 2060
(2,346,957 shares)
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Mutual Funds
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40,508,486 | |||||||||
| * |
Fidelity International Discovery K
(2,444,149 shares)
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Mutual Funds
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40,352,901 | |||||||||
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Baron Small Cap Inst
(1,147,343 shares)
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Mutual Funds
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37,873,793 | ||||||||||
| * |
Fidelity Freedom Fund K 2030
(1,770,180 shares)
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Mutual Funds
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35,297,399 | |||||||||
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AS SPL Mid Cap Val
(502,750 shares)
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Mutual Funds
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25,579,947 | ||||||||||
| * |
Fideltiy Ext Market Index
(238,314 shares)
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Mutual Funds
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24,255,624 | |||||||||
| * |
Fidelity Freedom Fund K 2025
(1,502,565 shares)
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Mutual Funds
|
23,755,563 | |||||||||
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JPM Equity Income
(886,011 shares)
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Mutual Funds
|
23,745,118 | ||||||||||
| * |
BrokerageLink Fund
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Mutual Funds
|
23,282,034 | |||||||||
| * |
Vanguard Value Idx Adm
(306,412 shares)
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Mutual Funds
|
22,766,474 | |||||||||
| * |
Fidelity Total Bond Fund K6
(2,197,491 shares)
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Mutual Funds
|
19,777,427 | |||||||||
| * |
Fidelity Freedom Fund K 2025
(1,093,966 shares)
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Mutual Funds
|
16,792,385 | |||||||||
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Vanguard FTSE All World Index Adm
(336,510 shares)
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Mutual Funds
|
15,233,809 | ||||||||||
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EV Inc Fund Boston R6
(2,528,549 shares)
|
Mutual Funds
|
13,349,159 | ||||||||||
| * |
Fidelity Strategic Income Fund
(1,004,935 shares)
|
Mutual Funds
|
12,209,960 | |||||||||
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Victory SM CO OPP
(241,018 shares)
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Mutual Funds
|
11,494,183 | ||||||||||
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Vanguard Total Bond Market Adm
(650,719 shares)
|
Mutual Funds
|
6,396,576 | ||||||||||
| * |
Fidelity Freedom Fund K 2020
(285,247 shares)
|
Mutual Funds
|
4,549,697 | |||||||||
| * |
Vitesse
(187,301 shares)
|
Common Stock
|
3,964,267 | |||||||||
| * |
Fidelity Strategy Real Retirement
(375,541 shares)
|
Mutual Funds
|
3,376,116 | |||||||||
|
BrokerageLink Account
|
Mutual Funds
|
3,291,361 | ||||||||||
|
AB Global Bond
(421,941 shares)
|
Mutual Funds
|
2,949,370 | ||||||||||
| * |
Fidelity Freedom K Income Fund
(106,249 shares)
|
Mutual Funds
|
1,208,062 | |||||||||
| * |
Fidelity Freedom Fund K 2015
(83,412 shares)
|
Mutual Funds
|
1,045,997 | |||||||||
| * |
Fidelity Freedom Fund K 2070 K6
(69,060 shares)
|
Mutual Funds
|
841,909 | |||||||||
| * |
Fidelity Freedom Fund K 2010 K6
(15,311 shares)
|
Mutual Funds
|
232,580 | |||||||||
| Total Investments | 1,421,809,481 | |||||||||||
| * | Notes receivable from participants bearing interest at rates from 4.25% to 9.5% with maturities ranging from December 2025 through September 2035 | Participant Loans | -0- | 5,855,837 | ||||||||
| Total | $ | 1,427,665,318 | ||||||||||
| * |
Party-in-interest
|
| ** |
Cost information not required for participant directed investments and therefore is not included
|