Plan Ledger DOL Form 5500 · updated monthly

401(k) plans $10M–$50M

30,323 plans · ranked by assets · page 17

Plans
BARBRI, INC. TX$46.9M · 0.02%
PENINSULA TRUCK LINES, INC. WA$46.9M · 0.34%
TILLYS CA$46.9M · 0.10%
VENTRA SANDUSKY, LLC IL$46.9M · 0.22%
INSIGHT INVESTMENTS CORP. CA$46.9M · 0.22%
MOUNTAIN PARK HEALTH CENTER AZ$46.9M · 0.13%
RECORDED FUTURE, INC. MA$46.9M · 0.41%
TOWLIFT, INC. OH$46.9M · 0.32%
FARMWARD COOPERATIVE MN$46.9M · 0.13%
CONTEC, INC. SC$46.9M · 0.40%
LEATHERMAN TOOL GROUP, INC. OR$46.9M · 0.30%
L.E. JONES COMPANY MI$46.9M · 0.34%
XACTLY CORPORATION CA$46.9M · 0.51%
NSG TECHNOLOGY, INC. CA$46.9M · 0.01%
ALLIANCE ENTERTAINMENT KY$46.9M · 0.05%
CATAWBA COLLEGE NC$46.9M · 0.13%
GEORGE J. IGEL & CO., INC. OH$46.9M · 0.35%
KETTLER, INC. VA$46.9M · 0.29%
REAL-TIME INNOVATIONS, INC. CA$46.9M · 0.01%
WATG HOLDINGS, INC. CA$46.9M · 0.35%
BANK OF MARIN CA$46.9M · 0.16%
HANSEL ENTERPRISES, INC. CA$46.9M · 0.12%
THE LEAGUE SCHOOL NY$46.8M · 0.01%
OMAHA STANDARD, LLC IA$46.8M · 0.44%
JACKSONVILLE JAGUARS, LLC FL$46.8M · 0.07%
IFP MOTION SOLUTIONS IA$46.8M · 0.20%
REMA HOLDINGS LLC NY$46.8M · 0.12%
DIPLOMA HOLDINGS, INC FL$46.8M · 0.23%
MORLEY COMPANIES, INC. MI$46.8M · 0.29%
CHILD-PARENT CENTERS INC. AZ$46.8M · 0.35%
VIEWSONIC CORPORATION CA$46.8M · 0.29%
AETHON ENERGY OPERATING LLC TX$46.8M · 0.01%
RELATIVITY SPACE, INC. CA$46.8M · 0.09%
HOAG MEDICAL GROUP, INC. CA$46.8M · 0.30%
BENECARD SERVICES, INC. NJ$46.7M · 0.30%
ICP CONSTRUCTION INC. MA$46.7M · 0.61%
DEUTSCH KERRIGAN L.L.P. LA$46.7M · 0.04%
ASBURY THEOLOGICAL SEMINARY KY$46.7M · 0.19%
BELLISIO FOODS, INC. MN$46.7M · 0.26%
THE HHHUNT CORPORATION VA$46.7M · 0.37%
UNIVERSITY OF PIKEVILLE KY$46.7M · 0.03%
BVPV STYRENICS LLC PA$46.7M · 0.12%
VISTAR EYE CENTER, INC. VA$46.7M · 0.12%
AMHERST H WILDER FOUNDATION MN$46.7M · 0.15%
INALFA ROOF SYSTEMS, INC. MI$46.7M · 0.22%
MONTGOMERY BELL ACADEMY TN$46.7M · 0.01%
VECTORWORKS, INC. MD$46.7M · 0.25%
INWOOD NATIONAL BANK TX$46.7M · 0.26%
RED BUD INDUSTRIES, INC. IL$46.7M · 0.24%
JOHN BOUCHARD & SONS CO. TN$46.7M · 0.48%
EDUCATION AFFILIATES, INC. MD$46.7M · 0.65%
SERVICE COORDINATION, INC. MD$46.7M · 0.28%
CASE FOODS, INC. NC$46.7M · 0.23%
NINTEX USA, INC. WA$46.6M · 0.37%
PCB BANK CA$46.6M · 0.07%
J.F. BRENNAN COMPANY, INC. WI$46.6M · 0.28%
OUTREACH CORPORATION WA$46.6M · 0.04%
TELESOFT, LLC DBA MDSL AZ$46.6M · 0.29%
M&T BANK CORPORATION NY$46.6M · 0.02%
ICERTIS INC. WA$46.6M · 0.28%
CHEVRON STATIONS INC. CA$46.6M · 0.05%
FAMILY TREE SERVICE, INC. CA$46.6M · 0.04%
WORLD SHIPPING, INC. OH$46.6M · 0.09%
ENSINGER, INC. PA$46.6M · 0.21%