Plan Ledger DOL Form 5500 · updated monthly

401(k) plans $10M–$50M

30,323 plans · ranked by assets · page 262

Plans
K. C. SUMMERS, INC. IL$12.8M · 0.30%
FLAHERTY & COLLINS, INC. IN$12.8M · 0.63%
ARKANSAS HOSPICE, INC. AR$12.8M · 0.20%
FRISBEES, INC. SD$12.8M · 0.51%
DEVTECH SYSTEMS, INC. VA$12.8M · 0.22%
SUNBURY MOTOR COMPANY PA$12.8M · 0.40%
BACKYARD SERVICES, LLC MI$12.8M · 0.50%
FLINN SCIENTIFIC, INC. IL$12.8M · 0.13%
IMON COMMUNICATIONS, LLC IA$12.8M · 0.56%
MARIES COUNTY BANCORP, INC. MO$12.8M · 0.40%
AA ASPHALTING, LLC WA$12.8M · 0.70%
MBMS, LLC DE$12.8M · 0.48%
CARNEGIE DARTLET, LLC MA$12.8M · 0.57%
FG GROUP HOLDINGS, INC. NC$12.8M · 0.64%
MARION ENVIRONMENTAL, INC. TN$12.8M · 0.35%
DELLINGER, INC. NC$12.8M · 0.21%
GRID ALTERNATIVES, INC. CA$12.8M · 0.24%
THE CHRYSALIS CENTER, INC. FL$12.8M · 0.68%
AUTOMATIC POOL COVERS, INC. IN$12.8M · 0.19%
THE BUNTIN GROUP, INC. TN$12.8M · 0.52%
MEMBERS CREDIT UNION NC$12.8M · 0.04%
MAJOREL USA, INC. CA$12.8M · 0.42%
TRUMP INTERNATIONAL WAIKIKI HI$12.8M · 0.05%
ELLIOTT EQUIPMENT COMPANY NE$12.7M · 0.51%
INNOVATE CORP NY$12.7M · 0.21%
ONPOINT MEDICAL GROUP, LLC CO$12.7M · 0.74%
PATTEN SEED COMPANY SC$12.7M · 0.33%
BERNIER CARR AND ASSOCIATES NY$12.7M · 0.51%
CHILD, INC. TX$12.7M · 0.36%
SOCIAL CURRENT WI$12.7M · 0.38%
XPONENTIAL FITNESS LLC CA$12.7M · 0.63%
BASIN HOLDINGS LLC TX$12.7M · 0.62%
EMERALD CITY PIZZA, LLC WA$12.7M · 0.20%
PECORA CORPORATION PA$12.7M · 0.45%
THESIS, LLC OR$12.7M · 0.80%
WESLEY SPECTRUM SERVICES PA$12.7M · 0.00%
VORTEQ COIL FINISHERS, LLC PA$12.7M · 0.74%
COPA HEALTH, INC. AZ$12.7M · 0.81%
AEGSI HOLDINGS LLC TX$12.7M · 0.52%
ISLAMIC RELIEF USA VA$12.7M · 0.01%
SHAUB-ELLISON COMPANY WA$12.7M · 0.44%
UMI COMPANY, INC. MN$12.7M · 0.06%
M.G. OIL COMPANY SD$12.7M · 0.28%
FIRST METRO BANK AL$12.7M · 0.05%
THE BANK OF FAYETTE COUNTY TN$12.7M · 0.14%
ALEGACY GROUP TX$12.7M · 0.02%
IBEX GLOBAL SOLUTIONS, INC. DC$12.7M · 0.84%
UNIFIED CARE SERVICES LLC CA$12.7M · 0.36%
PHANTOM ADMINISTRATIVE LLC OH$12.7M · 0.28%
VIRTUAL INCORPORATED MA$12.7M · 0.36%
BOSSELMAN ENERGY, INC. NE$12.7M · 0.65%
THE CASON GROUP, INC SC$12.7M · 0.50%
GRAB TECHNOLOGY LLC WA$12.7M · 0.29%
CHEMDESIGN PRODUCTS, INC. WI$12.7M · 0.32%
MEDICAGO USA, INC. NJ$12.7M · 0.27%
SKILLZ, INC. NV$12.7M · 0.35%
AFFILIATED MONITORING, INC. NY$12.7M · 0.75%
BJG ELECTRONICS, INC. NY$12.7M · 0.45%
REVISION LLC TX$12.7M · 0.30%
WESTECH SYSTEMS, LLC CA$12.7M · 0.68%
MOHENIS SERVICES, INC. VA$12.7M · 0.92%
GNS NORTH AMERICA, INC. MI$12.7M · 0.62%
THE PROSPECTIVE GROUP INC. VA$12.7M · 0.10%
COLUMBUS US, INC. MN$12.7M · 0.35%
ASPIRE ALLERGY & SINUS TX$12.7M · 0.39%
TTI, INC. WI$12.7M · 0.32%