Plan Ledger DOL Form 5500 · updated monthly

401(k) plans $10M–$50M

30,323 plans · ranked by assets · page 13

Plans
SYCAMORES CA$48.5M · 0.21%
SPENCER SAVINGS BANK SLA NJ$48.4M · 0.40%
ARANDELL CORPORATION WI$48.4M · 0.28%
CERTIFIED POWER, INC. IL$48.4M · 0.46%
QUICK SUPPLY COMPANY IA$48.4M · 0.32%
STANDARD BIOTOOLS INC. CO$48.4M · 0.04%
THE NORWOOD SCHOOL, INC. MD$48.4M · 0.06%
FIRSTFLEET, INC TN$48.4M · 0.71%
HUGHES BROTHERS, INC. NE$48.4M · 0.08%
ISAACSON MILLER MA$48.4M · 0.27%
BROWNING UT$48.4M · 0.08%
PROLEC-GE WAUKESHA, INC. WI$48.4M · 0.23%
ARLO TECHNOLOGIES, INC. CA$48.4M · 0.14%
ASCENSUS SPECIALTIES LLC WA$48.4M · 0.12%
MOSES LAKE INDUSTRIES WA$48.3M · 0.27%
EMBURSE, INC. TX$48.3M · 0.34%
TRAXYS NORTH AMERICA LLC NY$48.3M · 0.26%
CROUNSE CORPORATION KY$48.3M · 0.22%
ARISA HEALTH, INC AR$48.3M · 0.12%
EECU TX$48.3M · 0.15%
MIDWAY ARMS, INC. MO$48.3M · 0.16%
PORVAIR CORPORATION NC$48.3M · 0.25%
GM NAMEPLATE, INC. FL$48.3M · 0.31%
INTERPLEX INDUSTRIES, INC. NY$48.3M · 0.24%
STAMPIN UP INC. UT$48.3M · 0.30%
CENTRAL FARM SERVICE MN$48.3M · 0.17%
ASSOCIATED CREDIT UNION GA$48.2M · 0.20%
THE WYANOKE GROUP, INC. NJ$48.2M · 0.03%
ECOM ATLANTIC, INC. TX$48.2M · 0.04%
ONELEGACY CA$48.2M · 0.13%
ALMATIS, INC. AR$48.2M · 0.23%
FUJIMI CORPORATION OR$48.2M · 0.01%
THE HORTON GROUP, INC. IL$48.2M · 0.45%
COGENCY GLOBAL, INC. NY$48.2M · 0.33%
FUTURA TITLE & ESCROW, LLC ID$48.2M · 0.14%
ELLIJAY TELEPHONE COMPANY GA$48.2M · 0.28%
VOGEL LAW FIRM ND$48.2M · 0.15%
CARDLYTICS, INC. GA$48.2M · 0.22%
MAREX NORTH AMERICA LLC NY$48.2M · 0.00%
ADDUS HEALTHCARE, INC. IL$48.2M · 0.76%
GREENE, TWEED & CO., INC. PA$48.2M · 0.12%
TWIN CITIES AUTOMOTIVE, LLC MN$48.1M · 0.25%
WACOM TECHNOLOGY CORP. OR$48.1M · 0.03%
EZCATER, INC. MA$48.1M · 0.04%
ADVANTIA HEALTH LLC VA$48.1M · 0.24%
SEKISUI AMERICA CORPORATION MA$48.1M · 0.25%
CST INDUSTRIES, INC. KS$48.1M · 0.54%
EMIRATES USA NY$48.1M · 0.16%
ALBERTUS MAGNUS COLLEGE CT$48.1M · 0.05%
KLM ROYAL DUTCH AIRLINES NY$48.1M · 0.27%
MOLD-RITE PLASTICS, LLC NY$48.1M · 0.46%
COMPOSECURE, LLC NJ$48.1M · 0.11%
SV-DVF HOLDINGS, LLC PA$48.1M · 0.32%
WESTERN HOLDING GROUP, INC. MO$48.1M · 0.21%
MILLENNIUM HEALTH, LLC CA$48.1M · 0.19%
LOWER, LLC000000000 MD$48.0M · 0.74%
KLICK USA INC. NY$48.0M · 0.26%
PINE GATE RENEWABLES, LLC NC$48.0M · 0.26%
RESTORIXHEALTH LA$48.0M · 0.61%
VAREN TECHNOLOGIES, INC. MD$48.0M · 0.22%
EDUCAUSE CO$48.0M · 0.06%
ANCHOR PACKAGING, LLC MO$48.0M · 0.18%