UNITED STATES
ITEM 1. FINANCIAL STATEMENTS AND EXHIBIT
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SPAGE NUMBER
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||
(a)
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Financial Statements
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||
1. Report of Independent Registered Public Accounting Firm
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F-S 1 | |
2. Statements of Net Assets Available for Benefits at December 31, 2020 and 2019
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F-S 2 | ||
3. Statements of Changes in Net Assets Available for Benefits For the Year Ended December 31, 2020
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F-S 3 | ||
4. Notes to Financial Statements
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F-S 4 through F-S 10 | ||
5. Schedule:
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Schedule I - Schedule of Assets (Held At End of Year)
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F-S 11 | ||
6. Consent of Independent Registered Public Accounting Firm | Exhibit I |
Dated: June17, 2021
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CHEMED/ROTO-ROOTER SAVINGS & RETIREMENT PLAN
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By: | /s/ Michael R. Dibowski | |
Michael R. Dibowski
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||
Administrative Committee
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Chemed/Roto Rooter Savings & Retirement Plan
December 31,
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||||||||
2020
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2019
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|||||||
Assets:
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||||||||
Investments, at fair value:
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||||||||
Chemed Corporation common stock
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$
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37,101,169
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39,663,222
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|||||
Mutual funds
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272,804,031
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231,379,036
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||||||
Collective Trust fund
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15,050,483
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9,588,410
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||||||
Total investments
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324,955,683
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280,630,668
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||||||
Receivables:
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||||||||
Notes receivable from participants
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7,698,994
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8,214,284
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||||||
Employer contributions
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5,776,336
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4,645,638
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||||||
Participant contributions
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-
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248,318
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||||||
Accrued interest and dividends
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2,922
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2,697
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||||||
Total receivables
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13,478,252
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13,110,937
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Cash
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625,211
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-
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||||||
Total assets
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339,059,146
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293,741,605
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||||||
Liabilities:
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Other liabilities
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-
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153,198
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||||||
Accrued expenses
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3,991
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3,666
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||||||
Net assets available for benefits, at fair value
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$
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339,055,155
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$
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293,584,741
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Year Ended
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December 31, 2020
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Contributions:
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Employer
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$
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11,324,972
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||
Participant
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13,461,568
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Rollovers
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804,015
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25,590,555
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||||
429,102
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||||
Interest income on notes receivable from participants
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||||
Investment income:
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Net realized and unrealized gain on investments
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34,299,530
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|||
Dividends and other income
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10,705,256
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|||
45,004,786
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||||
Benefits paid to participants
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(25,414,930
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)
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||
Administrative expenses
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(139,099
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)
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||
(25,554,029
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)
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Increase in net assets
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45,470,414
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Net assets available for benefits:
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Beginning of year
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293,584,741
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End of year
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$
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339,055,155
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2. |
Summary of Significant Accounting Policies
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3. |
Tax Status
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4. |
Reconciliation of Financial Statements to Form 5500
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December 31,
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||||||||
2020
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2019
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|||||||
Net assets available for benefits per the financial statements
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$
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339,055,155
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$
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293,584,741
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Amounts allocated to withdrawing participants
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(620,166
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)
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(261,038
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)
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Net assets available for benefits per the Form 5500
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$
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338,434,989
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$
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293,323,703
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Increase in net assets per the financial statements
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$
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45,470,414
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Less: Change in amounts allocated to withdrawing particpants
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(359,128
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)
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Net income per Form 5500
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$
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45,111,286
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Investments
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December 31, 2020
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(at fair value)
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Level 1
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Level 2
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Level 3
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Common stock
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$
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37,101,169
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$
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37,101,169
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$
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-
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$
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-
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||||||||
Mutual funds
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272,804,031
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272,804,031
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-
|
-
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||||||||||||
Total
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$
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309,905,200
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$
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-
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$
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-
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||||||||||
Investments measured at NAV:
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||||||||||||||||
Collective trust fund
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15,050,483
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|||||||||||||||
Total investments at fair value
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$
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324,955,683
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||||||||||||||
Investments
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December 31, 2019
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|||||||||||||||
(at fair value)
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Level 1
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Level 2
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Level 3
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|||||||||||||
Common stock
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$
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39,663,222
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$
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39,663,222
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$
|
-
|
$
|
-
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||||||||
Mutual funds
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231,379,036
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231,379,036
|
-
|
-
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||||||||||||
Total
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$
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271,042,258
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$
|
-
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$
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-
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||||||||||
Investments measured at NAV:
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||||||||||||||||
Collective trust fund
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9,588,410
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|||||||||||||||
Total investments at fair value
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$
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280,630,668
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Form 5500 EIN 31-0791746 Plan No. 104
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Schedule H, Line 4i-
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Schedule of Assets (Held At End of Year)
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December 31, 2020
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Schedule I
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(e)
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(a)
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(b)
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(c)
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Current
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Identity of issue
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Description of investment
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value
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Chemed Corporation common stock
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|||||||
*
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Chemed Corporation
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Common Stock
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$
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37,101,169
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Mutual funds
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|||||||
MFS
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International Intrinsic Value Fund
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40,347,752
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|||||
iShares
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S&P 500 Index Fund
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37,037,659
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T Rowe Price
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Blue Chip Growth Fund
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33,550,439
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|||||
JP Morgan
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Core Bond Fund
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28,930,359
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Victory Sycamore
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Established Value Fund
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22,352,178
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American
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Balanced Fund
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20,437,202
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Vanguard
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Federal Money Market Fund
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20,015,217
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Hartford
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Mid Cap Growth
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16,787,364
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BlackRock
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Equity Dividend Fund
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14,847,597
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Lord Abbett
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Developing Growth Fund
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8,865,215
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PIMCO
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Real Return Fund
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8,454,170
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Wells Fargo
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Short Duration Government Bond Fund
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8,157,898
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Columbia
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Small Cap Value Fund
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7,028,566
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Invesco
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International Small-Mid Company Fund
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5,992,415
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Total mutual funds
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272,804,031
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Collective Trust fund
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Invesco
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Stable Value Retirement Fund
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15,050,483
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Notes receivable from participants
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* |
Loan Fund |
Loans to Participants, at rates ranging from 4.25% to 7.50%
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7,698,994
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Total
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$
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332,654,677
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*
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Denotes party in interest.
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Attachments
Disclaimer
Chemed Corporation published this content on 17 June 2021 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 17 June 2021 21:29:50 UTC.