Plan Ledger DOL Form 5500 · updated monthly

401(k) plans $10M–$50M

30,323 plans · ranked by assets · page 279

Plans
SELECT VEAL FEEDS, INC. PA$11.8M · 0.37%
ENCODER PRODUCTS COMPANY ID$11.8M · 0.10%
THE SPRINGS LIVING, LLC OR$11.8M · 0.23%
INTERSTATE AUTO GROUP, INC. NE$11.8M · 0.40%
DEEPINTENT, INC. NY$11.8M · 0.27%
FABRIC DEVELOPMENT, INC. PA$11.8M · 0.41%
SUREFOX NORTH AMERICA CORP. CA$11.8M · 0.41%
AVE MARIA UNIVERSITY FL$11.8M · 0.08%
DERMTECH, INC. CA$11.8M · 0.09%
JOHNSTON G.P., INC. NJ$11.8M · 0.68%
AGRIVISION, INC. CA$11.8M · 0.91%
LOCKARD & WECHSLER LLC NY$11.8M · 0.37%
ROLLEASE ACMEDA, INC. CT$11.8M · 0.19%
SIMPLOY, INC. MO$11.8M · 0.89%
PRAETORIAN GROUP, INC. TX$11.8M · 0.10%
SULLIVAN BANK MO$11.8M · 0.31%
COLLEGE POSSIBLE MN$11.8M · 0.07%
HEALTHCORP, INC PA$11.8M · 0.23%
CHAMPLAIN CHOCOLATE COMPANY VT$11.8M · 0.09%
PHOENIX COAL HOLDINGS, LLC KY$11.8M · 0.40%
RSDC OF MICHIGAN LLC MI$11.8M · 0.36%
PIER SIXTY LLC NY$11.8M · 0.01%
KYKENKEE AL$11.8M · 0.80%
THOR EQUITIES, LLC NY$11.8M · 0.57%
TRELLIS MN$11.8M · 0.01%
ST CHARLES NISSAN, INC MO$11.8M · 0.35%
FUTURA CORPORATION ID$11.8M · 0.21%
LEE MICHAELS JEWELERS, LLC LA$11.8M · 0.01%
RECOVERY INNOVATIONS, INC. AZ$11.8M · 0.56%
RED OAKS MEDICAL GROUP CA$11.8M · 0.91%
PURPLE BRANDS CA$11.8M · 0.48%
LOBAR ASSOCIATES, INC. PA$11.8M · 0.16%
SELERIX SYSTEMS, INC. TX$11.8M · 0.04%
ORBITFORM GROUP, LLC MI$11.8M · 0.41%
EXTEND, INC. CA$11.8M · 0.32%
BRETHREN VILLAGE PA$11.8M · 0.04%
VP SUPPLY CORPORATION NY$11.8M · 0.17%
LUVATA WATERBURY, INC. CT$11.8M · 0.23%
CONCORD COACH LINES, INC. NH$11.8M · 0.11%
YINLUN TDI, LLC CA$11.8M · 0.55%
SUMMA GROUP, LLC TX$11.8M · 0.54%
PARTNERS IN HOME CARE, INC. MT$11.8M · 0.74%
THE MERION CRICKET CLUB PA$11.8M · 0.45%
OSA INTERNATIONAL, INC. IL$11.8M · 0.01%
PREFERRED PROPPANTS LLC PA$11.8M · 0.59%
ORION INDUSTRIES, INC. WA$11.8M · 0.51%
THE SPRINGHILL COMPANY, LLC CA$11.8M · 0.56%
HARPER INDUSTRIES, INC. KS$11.8M · 0.17%
X TECHNOLOGIES, INC. TX$11.8M · 0.27%
PRUETT'S FOOD, INC. OK$11.8M · 0.04%
WARREN W. FANE, INC. NY$11.8M · 0.76%
M-FILES, INC. TX$11.8M · 0.21%
ENDSIGHT CA$11.8M · 0.29%
OMEGA THERAPEUTICS, INC. MA$11.8M · 0.11%
WHITRIDGE ASSOCIATES, INC. MA$11.8M · 0.11%
DESTILERIA SERRALLES PR$11.8M · 0.41%
ALUCHEM, INC. OH$11.8M · 0.32%
SBK CAPITAL, LLC FL$11.8M · 0.25%
DEFINITIVE MEDIA CORP. DBA NC$11.7M · 0.05%
SCOTT FELDER HOMES LLC TX$11.7M · 0.21%
FAR BANK WA$11.7M · 0.02%
GRAETER'S MANUFACTURING CO. OH$11.7M · 0.32%