401(k) plans in Information & Media
2,199 plans · ranked by assets · page 1
Plans
MICROSOFT CORPORATION WA$77.8B · 0.06%
GOOGLE LLC CA$48.7B · 0.01%
AT&T INC. TX$43.1B · 0.04%
VERIZON COMMUNICATIONS INC. NJ$31.3B · 0.16%
META PLATFORMS, INC. CA$22.4B · 0.00%
COMCAST CORPORATION PA$19.7B · 0.04%
TWDC ENTERPRISES 18 CORP. CA$12.7B · 0.01%
QUALCOMM INCORPORATED CA$9.7B · 0.00%
SALESFORCE, INC. CA$9.1B · 0.02%
T-MOBILE USA, INC. WA$9.1B · 0.03%
CHARTER COMMUNICATIONS, INC. NC$8.9B
HEWLETT PACKARD ENTERPRISE TX$8.8B · 0.02%
COX ENTERPRISES, INC. GA$8.1B · 0.07%
LUMEN TECHNOLOGIES, INC. LA$7.3B · 0.02%
AUTOMATIC DATA PROCESSING, INC. NJ$7.3B · 0.07%
PARAMOUNT GLOBAL NY$6.4B · 0.12%
BOARD OF DIRECTORS, MOTION PICTURE INDUSTRY PENSION CA$6.1B · 0.58%
S&P GLOBAL, INC. NY$5.7B
ADOBE INC. CA$5.0B · 0.02%
RELX INC. NY$4.8B · 0.05%
THOMSON REUTERS HOLDINGS INC. MN$4.5B · 0.06%
ERICSSON INC. TX$3.8B · 0.12%
NC TRANSACTION, INC. NY$3.7B · 0.04%
NATIONAL TELECOMMUNICATIONS COOPERATIVE ASSOCIATION VA$3.4B · 0.11%
THE HEARST CORPORATION NC$3.1B
GARTNER, INC. CT$2.7B · 0.04%
FOX CORPORATION NY$2.5B · 0.02%
BELLSOUTH, LLC TX$2.5B · 0.05%
WOLTERS KLUWER UNITED STATES, INC. IL$2.4B · 0.07%
NETFLIX, INC. CA$2.3B · 0.02%
NEXSTAR MEDIA GROUP, INC. TX$2.0B · 0.02%
BERTELSMANN, INC. NY$2.0B · 0.04%
CSC HOLDINGS, LLC NY$1.9B · 0.13%
TELEPHONE AND DATA SYSTEMS, INC. WI$1.8B · 0.11%
ADVANCE PUBLICATIONS, INC. NY$1.7B · 0.03%
DISH NETWORK CORPORATION CO$1.6B · 0.08%
GANNETT MEDIA CORP. NY$1.6B · 0.06%
IAC INC. NY$1.6B · 0.05%
IHEART COMMUNICATIONS, INC. TX$1.4B · 0.00%
UBER TECHNOLOGIES, INC. CA$1.4B · 0.03%
AVAYA INC. NJ$1.4B · 0.04%
UMG RECORDINGS, INC. CA$1.4B · 0.03%
THE NEW YORK TIMES COMPANY NY$1.3B · 0.06%
WINDSTREAM SERVICES LLC AR$1.3B · 0.05%
YAHOO HOLDINGS INC. NY$1.2B · 0.03%
CONSOLIDATED COMMUNICATIONS, INC. TX$1.2B · 0.04%
REFINITIV US LLC NY$1.1B · 0.05%
AMERICAN GREETINGS CORPORATION OH$1.1B · 0.04%
VERICAST CORP. TX$1.1B · 0.06%
SIRIUS XM RADIO INC. NY$1.0B · 0.05%
MORNINGSTAR, INC. IL$1.0B · 0.03%
TEGNA INC. VA$995.3M · 0.07%
AIRBNB, INC. CA$981.8M · 0.00%
BYTEDANCE INC CA$918.9M · 0.02%
MICRO FOCUS US INC. CA$917.6M · 0.03%
ASSOCIATED PRESS NY$881.1M · 0.06%
E.W. SCRIPPS RETIREMENT & INVESTMENT PLAN COMMITTEE OH$873.6M · 0.12%
DEALER COMPUTER SERVICES, INC. OH$868.0M · 0.11%
FACTSET RESEARCH SYSTEMS INC. CT$863.3M · 0.02%
TAKE-TWO INTERACTIVE SOFTWARE, INC. NY$848.2M · 0.04%
AUDACY INC. PA$819.5M · 0.07%
YARDI SYSTEMS, INC. CA$780.5M · 0.02%
CORELOGIC, INC. CA$779.0M · 0.00%
GRAY TELEVISION INC. GA$763.8M · 0.18%
INFORMA USA, INC. NY$763.3M · 0.09%
ATLASSIAN US, INC. CA$750.2M · 0.01%
SINCLAIR, INC. MD$748.2M · 0.05%
NIELSEN CONSUMER LLC IL$738.4M · 0.04%
CDK GLOBAL II LLC TX$735.5M · 0.09%
EBSCO INDUSTRIES, INC. AL$730.9M · 0.04%
BOARD OF TRUSTEES, ENTERTAINMENT INDUSTRY 401(K) PLAN CA$723.2M · 0.29%
EPIC GAMES INC NC$711.3M · 0.01%
DOLBY LABORATORIES, INC. CA$703.4M · 0.01%
CSG SYSTEMS, INC. CO$688.4M · 0.07%
RIOT GAMES CA$676.2M · 0.06%
JOHN WILEY & SONS, INC. NJ$670.3M · 0.02%
CENGAGE LEARNING, INC. OH$660.1M · 0.07%
THE ANIMATION GUILD, LOCAL 839 CA$658.7M · 0.07%
ECHOSTAR CORPORATION CO$658.4M · 0.02%
MITCHELL INTERNATIONAL INC CA$658.2M · 0.14%
BT AMERICAS HOLDINGS INC. TX$652.2M · 0.05%
HOUGHTON MIFFLIN HARCOURT PUBLISHING COMPANY MA$644.2M · 0.08%
PIXAR CA$634.2M · 0.02%
TWILIO INC. CA$628.4M · 0.06%
VERMONT INFORMATION PROCESSING, INC. VT$628.3M · 0.00%
BENTLEY SYSTEMS, INC. PA$628.0M · 0.08%
INTELSAT US LLC VA$627.7M · 0.03%
SCHOLASTIC CORPORATION NY$626.6M · 0.07%
EPICOR SOFTWARE CORPORATION TX$618.6M
INFORMATICA LLC CA$613.7M · 0.04%
THE MCCLATCHY COMPANY, LLC CA$601.6M · 0.07%
DIRECTV ENTERTAINMENT HOLDINGS LLC CA$597.2M · 0.11%
MACMILLAN HOLDINGS, LLC NY$592.5M · 0.04%
X CORP. CA$587.8M · 0.04%
PINTEREST, INC. CA$582.8M · 0.02%
ROBLOX CORPORATION CA$570.0M · 0.00%
SINCLAIR BROADCAST GROUP, LLC MD$566.8M · 0.02%
DROPBOX, INC. CA$541.6M · 0.04%
SNOWFLAKE INC. CA$529.4M · 0.04%
UNIVISION COMMUNICATIONS INC. NJ$529.2M · 0.12%