401(k) plans in Manufacturing
13,661 plans · ranked by assets · page 18
Plans
GUESS, INC. CA$116.3M · 0.34%
OBERG INDUSTRIES, LLC PA$116.2M · 0.13%
GHIRARDELLI CHOCOLATE COMPANY CA$116.2M · 0.16%
TURCK INC. MN$116.1M · 0.03%
KAISER-FRANCIS OIL COMPANY OK$115.9M · 0.01%
BOBST NORTH AMERICA, INC. NJ$115.9M · 0.09%
AGUSTAWESTLAND PHILADELPHIA CORP PA$115.8M · 0.22%
IP CORPORATION MN$115.7M · 0.09%
DUPONT POLYMER PRODUCTS, LLC DE$115.6M · 0.09%
INTERFOR U.S. INC. $115.6M · 0.23%
BLUE BIRD VOLUNTARY MONEY GA$115.5M · 0.08%
GEON PERFORMANCE SOLUTIONS OH$115.5M · 0.17%
ROIVANT SCIENCES, INC. NY$115.4M · 0.24%
PROVIA PAYROLL, LLC OH$115.4M · 0.27%
JSR NORTH AMERICA HOLDINGS, INC. CA$115.3M · 0.02%
BRYCE CORPORATION TN$115.3M · 0.12%
KARL STORZ IMAGING, INC. CA$115.1M · 0.10%
THE ALPHA CORPORATION OF TENNESSEE TN$115.1M · 0.01%
DEL MONTE FOODS CORPORATION II INC. CA$115.0M · 0.07%
GERRESHEIMER GLASS INC. NJ$115.0M · 0.22%
C. F. MARTIN & CO., INC. PA$115.0M · 0.21%
CHR. HANSEN, INC. WI$115.0M · 0.21%
SISECAM CHEMICALS RESOURCES LLC GA$114.6M · 0.02%
BISGP MD$114.4M · 0.41%
KANEKA NORTH AMERICA, LLC TX$114.2M · 0.16%
FALLS OF NEUSE MANAGMENT LLC, A NORTH CAROLINA LLC NC$114.2M · 0.18%
OSI INDUSTRIES, LLC IL$114.1M · 0.27%
ORSCHELN INDUSTRIES MO$114.0M · 0.29%
COMMONWEALTH ROLLED PRODUCTS, INC. OH$114.0M · 0.10%
SFS GROUP USA, INC. PA$113.8M · 0.11%
LAKESIDE FOODS, INC. WI$113.7M · 0.32%
DMAX, LTD. OH$113.5M · 0.24%
INGERSOLL CUTTING TOOL COMPANY, INC. IL$113.5M · 0.01%
MOORE, A SERIES OK$113.4M · 0.20%
SABERT CORPORATION NJ$113.3M · 0.04%
GUIDANT PUERTO RICO, B.V. PR$113.3M · 0.12%
GLEN RAVEN, INC. NC$113.3M · 0.17%
MACK MOLDING COMPANY, INC. VT$113.3M · 0.08%
FREEPORT LNG DEVELOPMENT, L.P. TX$113.2M · 0.02%
SP HOLDINGS, INC. WA$113.1M · 0.19%
LANDSCAPE FORMS, INC. MI$113.0M · 0.05%
SGL CARBON, LLC NC$113.0M · 0.07%
GERDAU MACSTEEL, INC. MI$112.9M · 0.06%
OFS BRANDS HOLDINGS, INC. IN$112.8M · 0.31%
FAIRBANKS MORSE, LLC WI$112.7M · 0.14%
ARJO INC. IL$112.6M · 0.07%
KUHN NORTH AMERICA, INC. WI$112.6M · 0.15%
GILLIG LLC CA$112.4M · 0.07%
NEXANS USA INC. SC$112.4M · 0.20%
STONERIDGE, INC. MI$112.3M · 0.15%
MIDWAY PRODUCTS GROUP, INC. MI$112.2M · 0.07%
UPM RAFLATAC, INC. NC$112.1M · 0.07%
FORTUNE BRANDS INNOVATIONS, INC. IL$112.1M · 0.01%
ROBERTET, INC. NJ$111.9M · 0.12%
BRONCO WINE COMPANY CA$111.8M · 0.02%
AMPHASTAR PHARMACEUTICALS, INC. CA$111.8M · 0.16%
ARC DOCUMENT SOLUTIONS, INC CA$111.8M · 0.18%
NELSON IRRIGATION CORPORATION WA$111.7M · 0.08%
THE CLEAVER-BROOKS COMPANY, INC. GA$111.6M · 0.04%
WESTBROOK SALES AND DISTRIBUTING CORPORATION TX$111.4M · 0.00%
NEWLY WEDS FOOD, INC. IL$111.3M · 0.07%
KALSEC, INC. MI$111.3M · 0.05%
THE WOODBRIDGE GROUP MI$111.3M · 0.24%
WOOD-MIZER HOLDINGS, INC IN$111.3M
TRIVIUM PACKAGING USA INC. OH$111.2M · 0.06%
BYER CALIFORNIA CA$110.8M · 0.47%
V-T INDUSTRIES, INC. IA$110.6M · 0.11%
UMICORE USA INC. NC$110.6M · 0.09%
ULTRADENT PRODUCTS, INC. UT$110.2M · 0.21%
DIVERSIFIED GAS & OIL CORPORATION AL$110.2M · 0.34%
MOTIONAL AD, INC. MA$110.1M · 0.06%
HOUSTON REFINING LP TX$110.1M · 0.07%
LGC NH$110.1M · 0.24%
HEXPOL HOLDING, INC. OH$110.0M · 0.18%
PROTO LABS, INC. MN$110.0M · 0.16%
G & J PEPSI-COLA BOTTLERS, INC. OH$110.0M · 0.08%
STANDEX INTERNATIONAL CORPORATION NH$109.9M · 0.03%
DAVID YURMAN ENTERPRISES, LLC NY$109.9M · 0.22%
DULCICH, INC. DBA PACIFIC SEAFOOD GROUP OR$109.9M · 0.28%
THE AZEK GROUP LLC IL$109.9M · 0.31%
VENTURE GLOBAL LNG, INC VA$109.7M · 0.03%
BRAY INTERNATIONAL, INC. TX$109.7M · 0.26%
WEG ELECTRIC CORP. IN$109.6M · 0.21%
SCRIPTPRO LLC KS$109.6M · 0.14%
THE SHYFT GROUP, INC. MI$109.2M · 0.20%
BOLLINGER SHIPYARDS, LLC LA$109.1M · 0.12%
OTTO BOCK HEALTHCARE NORTH AMERICA, INC. TX$108.8M · 0.03%
TITAN INTERNATIONAL, INC. IL$108.5M · 0.19%
VELCRO USA INC. NH$108.4M · 0.04%
BPG AMERICAS INC. MI$108.4M · 0.26%
OXBO INTERNATIONAL CORPORATION NY$108.4M · 0.21%
WENGER CORPORATION MN$108.4M · 0.09%
ICHOR SYSTEMS, INC. TX$108.3M · 0.16%
UNITED BIOSOURCE LLC PA$108.2M · 0.07%
HYUNDAI AMERICA TECHNICAL CENTER, INC. MI$108.1M · 0.11%
NEOGEN CORPORATION MI$108.1M · 0.18%
THE WELLS COMPANIES MN$108.0M · 0.08%
ROPER CORPORATION GA$107.9M · 0.05%
SK HYNIX MEMORY SOLUTIONS AMERICA INC. CA$107.8M · 0.04%
VSC FIRE & SECURITY, INC. VA$107.8M · 0.34%