Plan Ledger DOL Form 5500 · updated monthly

401(k) plans $1M–$10M

29,400 plans · ranked by assets · page 20

Plans
RICHMOND FORD, LLC VA$9.9M · 0.44%
EASTWAY CORPORATION OH$9.9M · 0.70%
TRISTRUX LLC NJ$9.9M · 1.02%
BEST BATH SYSTEMS, INC. ID$9.9M · 0.73%
NABCO ENTRANCES, INC. WI$9.9M · 0.46%
ARGOS USA, LLC GA$9.9M · 0.10%
MONTEREY SPINE & JOINT CA$9.9M · 0.56%
AVALON HR LLC FL$9.9M · 0.68%
THE MCS GROUP, INC PA$9.9M · 0.11%
CLEMENTS FOODS COMPANY OK$9.8M · 0.14%
THE TICO GROUP, LLC NY$9.8M · 0.12%
BADEN SPORTS, INC. WA$9.8M · 0.03%
BENSON ENTERPRISES, INC. TX$9.8M · 0.50%
CALL FEDERAL CREDIT UNION VA$9.8M · 0.66%
CHC SOLUTIONS, INC. PA$9.8M · 0.80%
NCAAR-BH NJ$9.8M · 0.78%
FABUWOOD CABINETRY CORP. NJ$9.8M · 0.70%
RAINTREE SYSTEMS, INC. CA$9.8M · 0.42%
SYRACUSE DAIRY, LLC KS$9.8M · 0.48%
TRAVELPRO PRODUCTS, INC. FL$9.8M · 0.05%
PROKIDNEY, LLC NC$9.8M · 0.03%
U.S. CAD CA$9.8M · 0.76%
SYMPHONY MEDICAL PC NY$9.8M · 0.28%
AERMOR, LLC VA$9.8M · 1.07%
JMK INTERNATIONAL INC. TX$9.8M · 0.09%
NORWOOD SUBARU, INC. MA$9.8M · 1.10%
CME WIRE & CABLE, INC. GA$9.8M · 0.41%
REMKE MARKETS, INC. OH$9.8M · 0.45%
FLOFORM COUNTERTOPS LLC WA$9.8M · 1.16%
ITALENT CORPORATION CA$9.8M · 0.54%
LAUREL MOTORS HOLDING CO. PA$9.8M · 0.46%
CANIDAE, LLC. TX$9.8M · 0.34%
WELSCO, INC. AR$9.8M · 0.35%
MSC DEVELOPMENT, INC. NC$9.8M · 0.48%
THE CHILD SCHOOL NY$9.8M · 0.00%
USA GATEWAY INC. TX$9.8M · 0.15%
SPECTRUM FOR LIVING NJ$9.8M · 0.03%
ACE METAL CRAFTS CO. IL$9.8M · 0.26%
CARVAKA, LLC OH$9.8M · 0.89%
PRIORITY ENVELOPE, INC. MN$9.8M · 0.69%
SHIFT TECHNOLOGIES, INC. CA$9.8M · 0.89%
SBS CREATIX LLC MO$9.8M · 0.04%
SHEARWATER HEALTH TN$9.8M · 1.17%
SYMPHONY CORPORATION WI$9.8M · 0.46%
NFO, INC. IA$9.8M · 0.38%
ESSICK AIR PRODUCTS, INC. AR$9.8M · 0.74%
OLYMPIA COMPANIES, LLC NV$9.8M · 0.35%
AMERICOR FUNDING CA$9.8M · 0.53%