Company: UIS
Filing Date: 2025-02-21
Form Type: 10-K
Source: 0000746838-25-000008
Chunk: 146

Company: UNISYS CORP
Filing Date: 2025-02-21
Form: 10-K
Item: Item 8
Chunk 146
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 plans’ Level 3 assets for the years ended December 31, 2024 and 2023.January 1,2024Realizedgains(losses)PurchasesoracquisitionsSalesordispositionsCurrency and unrealized gains (losses) relating to instruments still held at December 31, 2024December 31, 2024U.S. plansOther postretirement plansInsurance Contracts$3.2 $(0.3)$0.2 $— $— $3.1 International pension plansInsurance Contracts$510.6 $— $6.2 $(31.0)$(29.0)$456.8 January 1,2023Realizedgains(losses)PurchasesoracquisitionsSalesordispositionsCurrency and unrealized gains (losses) relating to instruments still held at December 31, 2023December 31, 2023U.S. plansOther postretirement plansInsurance Contracts$5.2 $(2.8)$0.8 $— $— $3.2 International pension plansInsurance Contracts$100.3 $— $375.6 $(13.8)$48.5 $510.6 The following table presents additional information about plan assets valued using the net asset value as a practical expedient within the fair value hierarchy table.20242023Fair ValueUnfunded Commit-mentsRedemption FrequencyRedemption Notice Period RangeFair ValueUnfunded Commit-mentsRedemption FrequencyRedemption Notice Period RangeU.S. plansCommingled FundsDebt$91.7 $— Daily, Monthly15-45 days$102.3 $— Daily, Monthly15-45 daysOther66.0 — Quarterly90 days96.8 — Monthly, Quarterly5-90 daysPrivate Real Estate(i)115.9 — Quarterly60-90 days188.9 — Quarterly60-90 daysPrivate Equity(ii)48.7 19.7 47.7 23.3 Total$322.3 $19.7 $435.7 $23.3 International pension plansCommingled FundsDebt$172.4 $43.4 Never$191.4 $42.1 NeverOther390.3 — Bimonthly10 days348.1 — Bimonthly10