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(Mark one)
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| ☒ |
ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
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| ☐ |
TRANSITION REPORT PURSUANT TO SECTION 15 (d) OF THE SECURITIES EXCHANGE ACT OF 1934
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| A. |
Full title of the plan and the address of the plan, if different from that of the issuer named below:
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| B. |
Name of issuer of the securities held pursuant to the plan and the address of its principal executive office:
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SIGNATURES
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Financial Statements and Supplemental Schedule
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Consent of Forvis Mazars, LLP
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Atlantic American Corporation
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401(k) Retirement Savings Plan
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(Name of Plan)
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June 25, 2025
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/s/ J. Ross Franklin
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J. Ross Franklin
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Vice President, Chief Financial Officer and Secretary
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Atlantic American Corporation
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Exhibit 1:
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Financial Statements and Supplemental Schedule
As of December 31, 2024 and 2023 and for the year ended December 31, 2024 together with Report of Independent Registered Public Accounting Firm
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Exhibit 2:
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Consent of Forvis Mazars, LLP
Independent Registered Public Accounting Firm
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1
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2
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3
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4
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Supplemental Schedule:
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11
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2024
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2023
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ASSETS
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Investments, at fair value (Note 3):
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||||||||
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Common/collective trusts
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$
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10,410,900
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$
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2,529,568
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Employer common stock fund
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554,930
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842,884
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||||||
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Registered investment companies
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17,447,356
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20,740,857
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Total investments
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28,413,186
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24,113,309
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Receivables:
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Notes receivable from participants
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89,240
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121,723
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||||||
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Contributions receivable from employer
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681,693
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628,748
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NET ASSETS AVAILABLE FOR BENEFITS
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$
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29,184,119
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$
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24,863,780
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Additions to Net Assets
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Contributions:
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Participants
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$
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1,334,003
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Employer
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992,722
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Rollovers
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202,436
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TOTAL CONTRIBUTIONS
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2,529,161
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Investment income:
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Net appreciation in fair value of investments
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3,135,405
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Dividends and other income
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208,105
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Interest income on notes receivable from participants
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9,311
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TOTAL ADDITIONS
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5,881,982
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Deductions from Net Assets
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Benefit payments to participants
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1,510,805
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Fees
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50,838
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TOTAL DEDUCTIONS
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1,561,643
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Net Increase
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4,320,339
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Net Assets Available for Benefits at Beginning of Year
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24,863,780
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Net Assets Available for Benefits at End of Year
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$
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29,184,119
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Less than one
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0
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%
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One
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20
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%
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Two
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40
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%
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Three
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60
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%
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Four
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80
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%
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Five
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100
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%
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| Level 1 |
Observable inputs that reflect quoted prices for identical assets or liabilities in active markets that the Plan has the ability to access at the measurement date. The Plan assets identified as Level 1 instruments include investments in
registered investment companies.
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| Level 2 |
Observable inputs, other than quoted prices included in Level 1, for the asset or liability or prices for similar assets or liabilities. The Plan assets identified as Level 2 instruments include investments in the employer common stock
fund.
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| Level 3 |
Valuations that are derived from techniques in which one or more of the significant inputs are unobservable (including assumptions about risk). Fair value is based on criteria that use assumptions or other data that are not readily
observable from objective sources and provided primarily from the sponsors of the underlying funds. The use of different criteria or assumptions regarding data may yield different valuations.
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Quoted Prices in
Active Markets
for Identical Assets
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Significant
Other Observable
Inputs
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Significant
Unobservable
Inputs
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(Level 1)
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(Level 2)
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(Level 3)
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Total
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Employer common stock fund
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$
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-
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$
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554,930
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$
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-
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$
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554,930
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Registered investment companies
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17,447,356
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-
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-
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17,447,356
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Total investments in the fair value hierarchy
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$
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17,447,356
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$
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554,930
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$
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-
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18,002,286
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Common/collective trusts measured at NAV*
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10,410,900
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Total
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$
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28,413,186
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Quoted Prices in
Active Markets
for Identical Assets
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Significant
Other Observable
Inputs
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Significant
Unobservable
Inputs
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(Level 1)
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(Level 2)
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(Level 3)
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Total
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Employer common stock fund
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$
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-
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$
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842,884
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$
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-
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$
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842,884
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Registered investment companies
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20,740,857
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-
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-
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20,740,857
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Total investments in the fair value hierarchy
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$
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20,740,857
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$
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842,884
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$
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-
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21,583,741
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Common/collective trusts measured at NAV*
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2,529,568
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Total
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$
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24,113,309
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| * |
Certain investments that are measured at fair value using the NAV per share practical expedient have not been categorized 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 amounts presented in the Statements of Net Assets Available for Benefits.
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December 31, 2024
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Identity of Issue, Borrower,
Lessor, or Similar Party
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Description of Investment
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Cost
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Current
Value
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Employer common stock fund:
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*
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Atlantic American Corporation
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Atlantic American Corporation Common Stock Fund, 66,014 units
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(a)
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$
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554,930
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Subtotal Employer common stock fund
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554,930
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Registered investment companies:
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Columbia
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Columbia Small Cap Value II Inst3, 17,422 units
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(a)
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264,643
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BlackRock
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BlackRock Income Fund V, 10,221 units
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(a)
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91,474
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Fidelity Investments
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Fidelity 500 Index-Inst Prm, 17,475 units
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(a)
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3,568,181
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Fidelity Global ex US Index Fund, 42,688 units
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(a)
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615,563
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Fidelity Puritan K6 Fund, 113,452 units
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(a)
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1,834,511
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Fidelity Total Market Index Fund, 177 units
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(a)
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28,487
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Fidelity US Bond Index, 47,304 units
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(a)
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483,451
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Fidelity Total Bond K6 Fund, 29,183 units
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(a)
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253,892
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JPMorgan
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JPMorgan Large Cap Growth Fund, 60,686 units
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(a)
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5,081,862
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Oppenheimer Funds
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Invesco Discovery Mid Cap Growth Fund, 38,662 units
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(a)
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1,331,532
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Invesco Oppenheimer International Small-Mid Co Fund, Class R6, 1,998 units
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(a)
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72,578
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New World
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New World Fund Inc, 649 units
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(a)
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49,932
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Vanguard
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Vanguard Equity Income, 13,144 units
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(a)
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1,158,906
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Vanguard Mid-Cap Index Inv Fund, 5,406 units
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(a)
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1,767,207
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Vanguard Small Cap Index Fund, Admiral Shares, 7,339 units
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(a)
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845,137
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Subtotal Registered investment companies
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17,447,356
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December 31, 2024
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Identity of Issue, Borrower,
Lessor, or Similar Party
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Description of Investment
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Cost |
Current
Value
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Common/collective trusts:
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Nuveen Asset Management
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Nuveen TIAA Lifecycle Index 2015 Class J, 117 units
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(a)
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1,339
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Nuveen TIAA Lifecycle Index 2020 Class J, 57,887 units
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(a)
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672,066
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Nuveen TIAA Lifecycle Index 2025 Class J, 126,672 units
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(a)
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1,504,858
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Nuveen TIAA Lifecycle Index 2030 Class J, 114,576 units
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(a)
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1,404,707
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Nuveen TIAA Lifecycle Index 2035 Class J, 98,478 units
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(a)
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1,246,730
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Nuveen TIAA Lifecycle Index 2040 Class J, 44,944 units
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(a)
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593,710
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Nuveen TIAA Lifecycle Index 2045 Class J, 62,738 units
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(a)
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853,868
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Nuveen TIAA Lifecycle Index 2050 Class J, 26,707 units
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(a)
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367,756
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Nuveen TIAA Lifecycle Index 2055 Class J, 34,704 units
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(a)
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481,003
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Nuveen TIAA Lifecycle Index 2060 Class J, 15,559 units
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(a)
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208,963
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Nuveen TIAA Lifecycle Index 2065 Class J, 1,828 units
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(a)
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23,658
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Nuveen TIAA Lifecycle Index Retirement Income Class J, 29,011 units
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(a)
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328,109
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*
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Wells Fargo Bank, NA
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Galliard Capital Management Stable Return Fund, 42,902 units
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(a)
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2,724,133
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Subtotal Common/collective trusts
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10,410,900
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*
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Various Plan Participants
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Participant loans:
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Participant loans, maturing in 2025 through 2029 bearing interest at rates from 4.25% - 9.50%
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89,240
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**
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Subtotal Participant loans
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89,240
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TOTAL
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$
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28,502,426
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| * |
Indicates party in interest
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| ** |
Indicates notes receivable from participants
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| (a) |
Participant-directed
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