06/25/2026 | Press release | Distributed by Public on 06/25/2026 15:16
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SIGNATURES
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Financial Statements and Supplemental Schedule
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Consent of Forvis Mazars, LLP
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Atlantic American Corporation
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401(k) Retirement Savings Plan
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(Name of Plan)
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June 25, 2026
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/s/Nickeesha Bates
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Nickeesha Bates
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Vice President, Corporate Controller
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Atlantic American Corporation
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Exhibit 1:
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Financial Statements and Supplemental Schedule
As of December 31, 2025 and 2024 and for the year ended December 31, 2025 together with Report of Independent Registered Public Accounting Firm
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Exhibit 2:
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Consent of Forvis Mazars, LLP
Independent Registered Public Accounting Firm
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Report of Independent Registered Public Accounting Firm
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1 |
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Statements of Net Assets Available for Benefits
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2 |
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Statement of Changes in Net Assets Available for Benefits
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3 |
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Notes to Financial Statements
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4 |
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Supplemental Schedule:
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Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
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9 |
| 2025 | 2024 | |||||||
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ASSETS
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Investments, at fair value (Note 3):
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Common/collective trusts
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$ | 10,702,092 | $ | 10,410,900 | ||||
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Employer common stock fund
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951,473 | 554,930 | ||||||
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Registered investment companies
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19,677,488 | 17,447,356 | ||||||
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Total investments
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31,331,053 | 28,413,186 | ||||||
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Receivables:
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Notes receivable from participants
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161,006 | 89,240 | ||||||
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Contributions receivable:
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Participant
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34,381 | - | ||||||
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Employer
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687,589 | 681,693 | ||||||
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NET ASSETS AVAILABLE FOR BENEFITS
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$ | 32,214,029 | $ | 29,184,119 | ||||
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Additions to Net Assets
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Contributions:
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Participant
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$ | 1,301,702 | ||
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Employer
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982,783 | |||
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Rollovers
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166,519 | |||
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TOTAL CONTRIBUTIONS
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2,451,004 | |||
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Investment income:
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Net appreciation in fair value of investments
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3,894,311 | |||
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Dividends and other income
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238,471 | |||
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Interest income on notes receivable from participants
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8,735 | |||
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TOTAL ADDITIONS
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6,592,521 | |||
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Deductions from Net Assets
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Benefit payments to participants
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3,510,207 | |||
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Fees
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52,404 | |||
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TOTAL DEDUCTIONS
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3,562,611 | |||
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Net Increase
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3,029,910 | |||
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Net Assets Available for Benefits at Beginning of Year
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29,184,119 | |||
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Net Assets Available for Benefits at End of Year
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$ | 32,214,029 |
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Years of Service:
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Less than one
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0% |
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One
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20% |
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Two
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40% |
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Three
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60% |
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Four
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80% |
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Five
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100% |
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Quoted Prices in Active Markets for Identical Assets (Level 1) |
Significant Other Observable Inputs (Level 2) |
Significant Unobservable Inputs (Level 3) |
Total | |||||||||||||
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Employer common stock fund
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$ | - | $ | 951,473 | $ | - | $ | 951,473 | ||||||||
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Registered investment companies
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19,677,488 | - | - | 19,677,488 | ||||||||||||
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Total investments in the fair value hierarchy
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$ | 19,677,488 | $ | 951,473 | $ | - | 20,628,961 | |||||||||
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Common/collective trusts measured at NAV*
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10,702,092 | |||||||||||||||
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Total
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$ | 31,331,053 | ||||||||||||||
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Quoted Prices in Active Markets for Identical Assets (Level 1) |
Significant Other Observable Inputs (Level 2) |
Significant Unobservable Inputs (Level 3) |
Total | |||||||||||||
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Employer common stock fund
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$ | - | $ | 554,930 | $ | - | $ | 554,930 | ||||||||
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Registered investment companies
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17,447,356 | - | - | 17,447,356 | ||||||||||||
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Total investments in the fair value hierarchy
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$ | 17,447,356 | $ | 554,930 | $ | - | 18,002,286 | |||||||||
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Common/collective trusts measured at NAV*
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10,410,900 | |||||||||||||||
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Total
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$ | 28,413,186 | ||||||||||||||
| December 31, 2025 | |||||||||
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Identity of Issue, Borrower,
Lessor, or Similar Party
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Description of Investment
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Cost
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Current
Value
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Employer common stock fund:
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*
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Atlantic American Corporation
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Atlantic American Corporation Common Stock Fund, 63,135 units
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(a)
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$ |
951,473
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Subtotal Employer common stock fund
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951,473
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Registered investment companies:
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Columbia
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Columbia Small Cap Value II Inst3, 19,336 units
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(a)
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275,150
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BlackRock
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BlackRock Income Fund V, 37,245 units
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(a)
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341,169
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Fidelity Investments
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Fidelity 500 Index-Inst Prm, 16,740 units
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(a)
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3,979,344
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Fidelity Global ex US Index Fund, 42,922 units
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(a)
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800,919
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Fidelity Puritan K6 Fund, 125,417 units
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(a)
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2,164,704
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Fidelity Total Market Index Fund, 621 units
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(a)
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115,987
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Fidelity US Bond Index, 24,604 units
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(a)
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259,814
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Fidelity Total Bond K6 Fund, 26,046 units
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(a)
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232,592
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JPMorgan
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JPMorgan Emerging Markets Equity R6, 0 units
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(a)
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-
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JPMorgan Large Cap Growth Fund, 64,886 units
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(a)
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5,608,753
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Oppenheimer Funds
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Invesco Discovery Mid Cap Growth Fund, 43,370 units
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(a)
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1,469,367
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Invesco Oppenheimer International Small-Mid Co Fund, Class R6, 2,843 units
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(a)
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100,231
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New World
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New World Fund Inc, 1,153 units
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(a)
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107,417
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Vanguard
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Vanguard Equity Income, 13,629 units
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(a)
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1,266,273
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Vanguard Mid-Cap Index Inv Fund, 5,637 units
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(a)
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2,025,599
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Vanguard Small Cap Index Fund, Admiral Shares, 7,527 units
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(a)
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930,169
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Subtotal Registered investment companies
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19,677,488
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| December 31, 2025 | |||||||||
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Identity of Issue, Borrower,
Lessor, or Similar Party
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Description of Investment | Cost |
Current Value |
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Common/collective trusts:
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Nuveen Asset Management
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Nuveen TIAA Lifecycle Index 2010 Class J, 13 units
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(a)
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154 | ||||||
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Nuveen TIAA Lifecycle Index 2015 Class J, 1,217 units
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15,679 | ||||||||
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Nuveen TIAA Lifecycle Index 2020 Class J, 62,400 units
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(a)
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823,675 | |||||||
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Nuveen TIAA Lifecycle Index 2025 Class J, 54,315 units
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(a)
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739,222 | |||||||
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Nuveen TIAA Lifecycle Index 2030 Class J, 101,726 units
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(a)
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1,444,509 | |||||||
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Nuveen TIAA Lifecycle Index 2035 Class J, 92,747 units
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(a)
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1,376,367 | |||||||
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Nuveen TIAA Lifecycle Index 2040 Class J, 50,554 units
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(a)
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792,688 | |||||||
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Nuveen TIAA Lifecycle Index 2045 Class J, 56,279 units
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(a)
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919,598 | |||||||
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Nuveen TIAA Lifecycle Index 2050 Class J, 27,456 units
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(a)
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456,313 | |||||||
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Nuveen TIAA Lifecycle Index 2055 Class J, 49,075 units
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(a)
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822,002 | |||||||
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Nuveen TIAA Lifecycle Index 2060 Class J, 19,403 units
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(a)
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315,486 | |||||||
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Nuveen TIAA Lifecycle Index 2065 Class J, 3,080 units
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(a)
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48,386 | |||||||
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Nuveen TIAA Lifecycle Index Retirement Income Class J, 26,500 units
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(a)
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338,938 | |||||||
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*
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Wells Fargo Bank, NA
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Galliard Capital Management Stable Return Fund, 39,864 units
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(a)
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2,609,075 | |||||
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Subtotal Common/collective trusts
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10,702,092 | ||||||||
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Participant loans:
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*
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Various Plan Participants
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Participant loans, maturing in 2026 through 2030
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bearing interest at rates from 4.25% - 9.50%
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161,006 | ||||||||
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**
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Subtotal Participant loans
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161,006 | |||||||
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TOTAL
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$31,492,059 | ||||||||