401(k) plans $10M–$50M
30,323 plans · ranked by assets · page 21
Plans
ROSE BRAND WIPERS, INC. NJ$45.5M · 0.21%
THE SOLOMON-PAGE GROUP, LLC NY$45.5M · 0.36%
UCI MEDICAL AFFILIATES OF SOUTH CAROLINA, INC. SC$45.5M · 0.10%
O'NEAL, INC. SC$45.5M · 0.08%
PADILLA SPEER BEARDSLEY INC. MN$45.5M · 0.19%
DAWSON TECHNICAL INC. CO$45.5M · 0.46%
MAGOTTEAUX, INC. TN$45.5M · 0.05%
D4C DENTAL BRANDS, INC. GA$45.5M · 0.42%
ST. CLOUD ORTHOPEDIC ASSOCIATES, LTD. MN$45.5M · 0.16%
THOS SOMERVILLE CO MD$45.4M · 0.11%
SOUTH COAST LUMBER CO. OR$45.4M · 0.37%
WESTPORT CORPORATION NJ$45.4M · 0.20%
PEPSI-COLA NEWBURGH BOTTLING CO., INC. NY$45.4M · 0.12%
NATIONAL WESTERN LIFE INSURANCE COMPANY TX$45.4M · 0.33%
AMALGAMATED BANK NY$45.4M · 0.09%
BREAKTHRU BEVERAGE CALIFORNIA CA$45.4M · 0.39%
WELLS COLLEGE NY$45.4M · 0.08%
COASTAL COMMUNITY BANK WA$45.4M · 0.27%
WOLFF BROS. SUPPLY, INC. OH$45.4M · 0.19%
KEYPOINT CREDIT UNION CA$45.4M · 0.22%
TRI STATE CAPITAL BANK PA$45.4M · 0.01%
RUFFOLO, HOOPER & ASSOCIATES, MDPA FL$45.4M · 0.01%
CSG CONSULTANTS, INC. CA$45.4M · 0.22%
THE MOORINGS, INCORPORATED FL$45.4M · 0.22%
CONVERSE UNIVERSITY SC$45.4M · 0.13%
BRADLEY MEDIA HOLDINGS, INC. DC$45.4M · 0.06%
SECHAN ELECTRONICS, INC. PA$45.4M
CARROLL INDEPENDENT FUEL, LLC MD$45.4M · 0.18%
SIBELCO NORTH AMERICA, INC. NC$45.4M · 0.04%
BOARD OF TRUSTEES BPCM LOCAL 534 DEFERRED INCOME FUND MA$45.4M · 0.82%
PERFORMANT FINANCIAL CORPORATION CA$45.4M · 0.04%
HEDRICK GARDNER KINCHELOE & GAROFALO, LLP NC$45.4M · 0.06%
KABAFUSION HOLDINGS, L.L.C. CA$45.4M · 0.89%
ATTAIN CONSULTING GROUP LLC VA$45.4M · 0.35%
REMCO, INC. PA$45.4M · 0.33%
RESOURCE DATA, INC. AK$45.4M · 0.23%
MEDHQ, LLC IL$45.4M · 0.87%
AGC CHEMICALS AMERICAS, INC. GA$45.4M · 0.04%
FISHER & PAYKEL HOLDINGS, INC. CA$45.4M · 0.30%
GRALAND COUNTRY DAY SCHOOL CO$45.3M · 0.01%
TABLE MOUNTAIN RANCHERIA BAND OF INDIANS CA$45.3M · 0.64%
CLEAR STREET MANAGEMENT LLC NY$45.3M · 0.05%
FAMILY HEALTH CARE OF SIOUXLAND, PLC IA$45.3M · 0.31%
EAR, NOSE & THROAT SPECIALTYCARE OF MINNESOTA, P.A. MN$45.3M · 0.08%
HALL & EVANS, LLC CO$45.3M · 0.17%
CHILDREN'S SPECIALSTS OF SAN DIEGO, AMG, INC. CA$45.3M · 0.26%
EYE HEALTH AMERICA, LLC SC$45.3M · 0.76%
P & K EQUIPMENT, INC OK$45.3M · 0.18%
BALBOA NEPHROLOGY MEDICAL GROUP, INC. CA$45.3M · 0.45%
HOGAN SERVICES, INC. MO$45.3M · 0.37%
MICCOSUKEE TRIBE OF INDIANS OF FLORIDA FL$45.3M · 0.27%
LEADEC CORP. OH$45.3M · 0.28%
OVATION HOLDINGS IA$45.3M · 0.75%
TIME USA, LLC NY$45.3M · 0.28%
KPS GLOBAL, LLC TX$45.3M · 0.30%
TULSA BONE AND JOINT ASSOCIATES, INC. OK$45.3M · 0.33%
WAYNE TRANSPORTS, INC MN$45.2M · 0.21%
DAILY EXPRESS, INC. PA$45.2M · 0.08%
MCCORVEY SHEET METAL WORKS LP TX$45.2M · 0.33%
GULF MANAGEMENT SERVICES L.P. MA$45.2M · 0.02%
KING'S DAUGHTERS MEDICAL CENTER MS$45.2M · 0.37%
PRINCETON CONSULTANTS, INC. NJ$45.2M · 0.15%
UNIQUE VACATIONS, INC. FL$45.2M · 0.09%
HUVEPHARMA INC. GA$45.2M · 0.24%
LIAISON INTERNATIONAL, LLC MA$45.2M · 0.12%
NICHOLS SCHOOL OF BUFFALO NY$45.2M · 0.04%
PCI ENERGY SOLUTIONS A.K.A. POWER COSTS, INC. OK$45.2M · 0.05%
MOVERS SPECIALTY SERVICE, INC. PA$45.2M · 0.09%
AG-PRO, LLC GA$45.2M · 0.70%
ST CROIX HOSPICE ACQUISITION CORP MN$45.2M · 0.76%
ISPOT.TV, INC. WA$45.2M · 0.29%
SANDIA LABORATORY FEDERAL CREDIT UNION NM$45.2M · 0.17%
BANDAI NAMCO ENTERTAINMENT AMERICA INC. CA$45.2M · 0.11%
PLUMBERS & STEAMFITTERS LOCAL 83 PA$45.2M · 0.42%
BADGER DAYLIGHTING CORP. IN$45.2M · 0.36%
FOURGEN HOLDINGS INC. IL$45.2M · 0.24%
PHYSICIAN PRIME CARE DBA HEALTHTEXAS MEDICAL GROUP OF SAN ANTONIO TX$45.2M · 0.16%
GSV HOLDING, LLC NJ$45.2M · 0.54%
NEXTPOINT GROUP, LLC VA$45.2M · 0.09%
EAST JORDAN PLASTICS MI$45.2M · 0.17%
VALUE DRUG COMPANY PA$45.2M · 0.24%
NIFCO AMERICA CORPORATION OH$45.2M · 0.18%
CENTRAL NEBRASKA REHABILITATION SERVICES, LLC NE$45.2M · 0.14%
MEDWORKS, INC. IN$45.2M · 0.15%
LIFECARE MEDICAL CENTER MN$45.2M · 0.26%
SELECTRANSPORTATION RESOURCES, L.L.C. TX$45.2M · 0.30%
CONCORDANCE HEALTHCARE SOLUTIONS OH$45.2M · 0.40%
ADAMSBROWN, LLC KS$45.2M · 0.03%
ABATEMENT WORKERS NATIONAL DEFINED CONTRIBUTION PENSION PLAN MI$45.2M · 0.62%
CAMERON MANUFACTURING AND DESIGN, INC. NY$45.2M · 0.02%
GROUP O, INC. IL$45.2M · 0.26%
COMMUNITY HEALTH RESOURCES, INC. CT$45.2M · 0.04%
IOWA NETWORK SERVICES DBA AUREON NETWORK SERVICES IA$45.1M · 0.12%
NORTH STAR MUTUAL INSURANCE COMPANY MN$45.1M
MOUNTVILLE MILLS, INC. GA$45.1M · 0.25%
PRIMARY CARE PARTNERS, LLC NJ$45.1M · 0.33%