Company: MGRC
Filing Date: 2025-06-04
Form Type: 11-K
Source: 0000950170-25-081595
Chunk: 9

Company: MCGRATH RENTCORP
Filing Date: 2025-06-04
Form: 11-K
Chunk 9
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 and mutual funds. The fair value of the brokerage account is the aggregation of the fair value of the underlying assets, all of which are actively traded.

The following tables set forth by level, within the fair value hierarchy, the Plan’s assets at fair value as of December 31, 2024 and 2023:

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Assets at fair value as of December 31, 2024:

|                                           |     | Fair value 
 12/31/2024 |             |     | Fair Value Measurement Unit                          
 Quoted prices in active markets for identical assets 
 (Level 1)                                            |            |     | Significant other observable inputs 
 (Level 2)                           |         |     | Significant unobservable inputs 
 (Level 3)                       |   |
|:------------------------------------------|:----|:-----------|------------:|:----|:-----------------------------------------------------|-----------:|:----|:------------------------------------|--------:|:----|:--------------------------------|:--|
| Mutual funds                              |     | $          |   3,945,197 |     | $                                                    |  3,945,197 |     | $                                   |       — |     | $                               | — |
| McGrath RentCorp Unitized Stock Fund:     |     |            |             |     |                                                      |            |     |                                     |         |     |                                 |   |
| McGrath RentCorp Common Stock             |     |            |  26,105,823 |     |                                                      | 26,105,823 |     | —                                   |         |     | —                               |   |
| Money Market Fund                         |     |            |     535,032 |     | —                                                    |            |     |                                     | 535,032 |     | —                               |   |
| Brokerage accounts                        |     |            |   8,817,301 |     |                                                      |  8,817,301 |     | —                                   |         |     | —                               |   |
| Total assets held in fair value hierarchy |     |            |  39,403,353 |     | $                                                    | 38,868,321 |     | $                                   | 535,032 |     | $                               | — |
| Collective investment trusts at NAV       |     |            |  90,094,068 |     |                                                      |            |     |                                     |         |     |                                 |   |
| Total                                     |     |