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Fair Value Measurements (Tables) - EBP 004 [Member]
12 Months Ended
Dec. 31, 2024
Employee Benefit Plan, Investment, Fair Value and NAV [Line Items]  
Summary of Employee Benefit Plan Investment in Plan Assets
The following tables present the fair value of the Plan assets recorded at fair value on a recurring basis segregated among the appropriate levels within the fair value hierarchy as of December 31, 2024, and 2023:
 
     Fair Value Measurements at
December 31, 2024
        
     Level 1      Level 2      Level 3      Total  
Mutual funds
   $ 289,902,003      $ —       $ —       $ 289,902,003  
Flowers Foods, Inc. Common Stock Fund
     33,758,334        —         —         33,758,334  
Investments measured at net asset value (1)
     —         —         —         535,655,589  
  
 
 
    
 
 
    
 
 
    
 
 
 
Total investments at fair value
   $ 323,660,337      $ —       $ —       $ 859,315,926  
  
 
 
    
 
 
    
 
 
    
 
 
 
     Fair Value Measurements at
December 31, 2023
        
     Level 1      Level 2      Level 3      Total  
Mutual funds
   $ 268,942,119      $ —       $ —       $ 268,942,119  
Flowers Foods, Inc. Common Stock Fund
     41,258,348        —         —         41,258,348  
Investments measured at net asset value (1)
     —         —         —         484,397,617  
  
 
 
    
 
 
    
 
 
    
 
 
 
Total investments at fair value
   $ 310,200,467      $ —       $ —       $ 794,598,084  
  
 
 
    
 
 
    
 
 
    
 
 
 
 
(1)
In accordance with ASC
820-10,
certain investments that were measured at net asset value per share (or its equivalent) have not been classified in the fair value hierarchy. The amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the line items presented in the statement of net assets available for benefits.
Summary of Investments Measured at Fair Value Based on NAV
The following table summarizes investments measured at fair value based on NAV, as practical expedient, per share as of December 31,2024 and 2023, respectively.
As of December 31, 2024:
 
     Fair
Value
     Unfunded
Commitments
     Redemption
Frequency
     Redemption
Notice Period
 
Putnam Stable Value Fund
   $ 56,346,493        N/A        Daily        30 days  
Geneva Small Cap Growth Collective Fund C
     16,954,975        N/A        Daily        30 days  
Harbor Capital Appreciation CIT 4
     1        N/A        Daily        30 days  
Harbor Capital Appreciation CIT R
     95,125,412        N/A        Daily        30 days  
Vanguard Target Retire 2020 Trust II
     15,478,517        N/A        Daily        30 days  
Vanguard Target Retire 2025 Trust II
     47,214,981        N/A        Daily        30 days  
Vanguard Target Retire 2030 Trust II
     72,060,031        N/A        Daily        30 days  
Vanguard Target Retire 2035 Trust II
     56,507,539        N/A        Daily        30 days  
Vanguard Target Retire 2040 Trust II
     40,972,532        N/A        Daily        30 days  
Vanguard Target Retire 2045 Trust II
     37,642,663        N/A        Daily        30 days  
Vanguard Target Retire 2050 Trust II
     38,038,323        N/A        Daily        30 days  
Vanguard Target Retire 2055 Trust II
     32,578,400        N/A        Daily        30 days  
Vanguard Target Retire 2060 Trust II
     16,052,693        N/A        Daily        30 days  
Vanguard Target Retire 2065 Trust II
     5,528,499        N/A        Daily        30 days  
Vanguard Target Retirement Trust II
     4,268,076        N/A        Daily        30 days  
Vanguard Instl Target Retire 2070 Trust II
     886,454        N/A        Daily        30 days  
  
 
 
          
   $ 535,655,589           
  
 
 
          
 
As of December 31, 2023:
 
     Fair
Value
     Unfunded
Commitments
     Redemption
Frequency
     Redemption
Notice Period
 
Putnam Stable Value Fund
   $ 63,370,888        N/A        Daily        30 days  
Geneva Small Cap Growth Collective Fund C
     15,929,183        N/A        Daily        30 days  
Harbor Capital Appreciation CIT 4
     81,011,629        N/A        Daily        30 days  
Vanguard Target Retire 2020 Trust II
     17,049,908        N/A        Daily        30 days  
Vanguard Target Retire 2025 Trust II
     47,711,672        N/A        Daily        30 days  
Vanguard Target Retire 2030 Trust II
     65,821,686        N/A        Daily        30 days  
Vanguard Target Retire 2035 Trust II
     48,468,735        N/A        Daily        30 days  
Vanguard Target Retire 2040 Trust II
     36,110,343        N/A        Daily        30 days  
Vanguard Target Retire 2045 Trust II
     30,631,440        N/A        Daily        30 days  
Vanguard Target Retire 2050 Trust II
     31,251,825        N/A        Daily        30 days  
Vanguard Target Retire 2055 Trust II
     26,982,429        N/A        Daily        30 days  
Vanguard Target Retire 2060 Trust II
     12,286,592        N/A        Daily        30 days  
Vanguard Target Retire 2065 Trust II
     3,248,430        N/A        Daily        30 days  
Vanguard Target Retirement Trust II
     4,271,885        N/A        Daily        30 days  
Vanguard Instl Target Retire 2070 Trust II
     250,972        N/A        Daily        30 days  
  
 
 
          
     $484,397,617