Company: ASTE
Filing Date: 2025-06-25
Form Type: 11-K
Source: 0000792987-25-000038
Chunk: 7

Company: ASTEC INDUSTRIES INC
Filing Date: 2025-06-25
Form: 11-K
Chunk 7
---
751,515 |     |       | 248,170,555 |
| Investments measured at net asset value(a)                                                                                                                                                                                                                                                                                                                       |     |                                    |             |     |         |         |     |       |  28,871,044 |
| Total Investments, at fair value                                                                                                                                                                                                                                                                                                                                 |     |                                    |             |     |         |         |     | $     | 277,041,599 |
| (a)Certain investments that were measured at NAV per share (or equivalent) as a practical expedient have not been classified in the fair value hierarchy. The fair value amounts presented in these tables are intended to permit reconciliation of the fair value hierarchy to the line items presented in the Statements of Net Assets Available for Benefits. |     |                                    |             |     |         |         |     |       |             |

The following table describes the investment measured at fair value based on NAV per share as a practical expedient as of December 31, 2024 and 2023. There are no participant redemption restrictions for these investments; the redemption notice period is applicable only to Plan level transactions.

| Description                             |     | Fair Value 12/31/2024 |            |     | Fair Value 12/31/2023 |            |     | Unfunded Commitments |     | Redemption Frequency (If Currently Eligible) |     | Redemption Notice Period |
|:----------------------------------------|:----|:----------------------|-----------:|:----|:----------------------|-----------:|:----|:---------------------|:----|:---------------------------------------------|:----|:-------------------------|
| Pooled separate account                 |     | $                     | 35,367,736 |     | $                     | 28,229,893 |     | N/A                  |     | Daily                                        |     | N/A                      |
| Common collective trust                 |     |                       |    521,120 |     |                       |    641,151 |     | N/A                  |     | Daily                                        |     | 5 Days                   |
| Investments measured at net asset value |     | $                     | 35,888,856 |     | $                     | 28,871,044 |     |                      |     |                                              |     |                          |

<div align='center'>6</div>

#### 4. Interest in Stable Value Fund
The Plan has a separately managed account, the Stable Value Fund (the "Fund"), which utilizes a synthetic guaranteed investment contract ("synthetic