Other

Fair value of plan assets

nVent Electric plc Fair value of plan assets decreased by 8.3% to $2.20M in Q4 2025 compared to the prior quarter. Year-over-year, this metric declined by 8.3%, from $2.40M to $2.20M. Over 5 years (FY 2020 to FY 2025), Fair value of plan assets shows a downward trend with a -32.2% CAGR. This decline may warrant attention — for this metric, higher values are generally preferred.

Analysis

StatementBalance Sheet Statement
SectionOther
CategoryCapital Allocation
SignalHigher is better
VolatilityVolatile
First reportedQ4 2023
Last reportedQ4 2025

How to read this metric

An increase in asset value relative to the accumulated benefit obligation indicates a stronger funding position.

Detailed definition

This represents the fair market value of assets specifically designated for pension plans where the benefit obligation i...

Peer comparison

Standard disclosure for pension accounting; peers report this as 'Fair Value of Plan Assets' for accumulated benefit obligations.

Metric ID: other_defined_benefit_plan_pension_plans_with_accumulate_1e8da7

Historical Data

5 periods
 Q4 '21Q4 '22Q4 '23Q4 '24Q4 '25
Value$14.90M$900.00K$2.50M$2.40M$2.20M
QoQ Change-94.0%+177.8%-4.0%-8.3%
YoY Change-94.0%+177.8%-4.0%-8.3%
Range$900.00K$14.90M
CAGR-85.2%
Avg YoY Growth+17.9%
Median YoY Growth-6.2%
Current Streak2 quarters decline

Fair value of plan assets at Other Companies

Frequently Asked Questions

What is nVent Electric plc's fair value of plan assets?
nVent Electric plc (NVT) reported fair value of plan assets of $2.20M in Q4 2025.
How has nVent Electric plc's fair value of plan assets changed year-over-year?
nVent Electric plc's fair value of plan assets decreased by 8.3% year-over-year, from $2.40M to $2.20M.
What is the long-term trend for nVent Electric plc's fair value of plan assets?
Over 5 years (2020 to 2025), nVent Electric plc's fair value of plan assets has grown at a -32.2% compound annual growth rate (CAGR), from $15.30M to $2.20M.
What does fair value of plan assets mean?
The total market value of assets held for pension plans based on benefits earned to date.