Plan Ledger DOL Form 5500 · updated monthly

401(k) plans $250M–$1B

2,937 plans · ranked by assets · page 12

Plans
COTERRA ENERGY INC. TX$534.4M · 0.02%
KRATOS DEFENSE & SEC. SOL. CA$534.3M · 0.05%
NOBLIS, INC. VA$533.2M · 0.05%
ARM, INC. TX$533.1M · 0.04%
WGU CORPORATION UT$532.7M · 0.25%
SUFFOLK UNIVERSITY MA$531.2M · 0.07%
AMERIGAS PROPANE, INC. PA$530.0M · 0.10%
PEGASYSTEMS INC MA$529.7M · 0.04%
SNOWFLAKE INC. CA$529.4M · 0.04%
H.B. FULLER COMPANY MN$529.3M · 0.21%
HUNTER DOUGLAS, INC NY$528.9M · 0.17%
RECOLOGY INC. CA$528.7M
OBERLIN COLLEGE OH$528.5M · 0.04%
CURO HEALTH SERVICES, LLC GA$528.0M · 0.14%
HEXCEL CORPORATION CT$527.0M · 0.03%
RATE HOLDINGS CORP. IL$525.8M · 0.11%
SUBARU OF AMERICA , INC. NJ$525.8M · 0.00%
BABSON COLLEGE MA$525.6M · 0.03%
HOLLAND & HART LLP CO$525.3M · 0.07%
LMI CONSULTING LLC VA$524.6M · 0.07%
TREEHOUSE FOODS, INC. IL$524.1M · 0.15%
AMERICAN TOWER CORPORATION MA$522.8M · 0.04%
THE CHRIST HOSPITAL OH$522.5M · 0.12%
WEX INC. ME$521.7M · 0.06%
GONZAGA UNIVERSITY WA$521.5M · 0.09%
MILBANK LLP NY$521.4M · 0.01%
ACUITY BRANDS, INC. GA$521.1M · 0.06%
UPMC PINNACLE PA$521.1M · 0.12%
VEDDER PRICE, P.C. IL$520.5M · 0.03%
SANTA CLARA UNIVERSITY CA$520.4M · 0.02%
CLARIVATE ANALYTICS (US) LLC MI$519.6M · 0.07%
LILLY DEL CARIBE, INC. PR$519.2M · 0.05%
BOOKING HOLDINGS INC CT$519.2M · 0.10%
DNV GL USA, INC. TX$518.9M · 0.12%
ARES MANAGEMENT LLC CA$518.6M · 0.02%
POLSINELLI PC MO$518.1M · 0.02%
JELD-WEN HOLDING, INC. NC$517.6M · 0.18%
MAPFRE U.S.A. CORP. MA$517.5M · 0.04%
LAMAR MEDIA CORP. LA$517.3M · 0.06%
SPRINGFIELD CLINIC, LLP IL$516.7M · 0.07%
RITHM CAPITAL LLC TX$516.7M · 0.07%
FIRMENICH INCORPORATED NJ$514.5M · 0.06%
CASEY'S GENERAL STORES INC. IA$514.4M · 0.15%
BROADSTREET PARTNERS, INC. OH$513.6M · 0.05%
CHG COMPANIES, INC. UT$513.4M · 0.10%
URBAN OUTFITTERS, INC. PA$513.3M · 0.12%
ALRO STEEL CORPORATION MI$512.8M · 0.11%
NORTHWESTERN CORPORATION MT$512.8M · 0.06%
HYLAND SOFTWARE, INC. OH$512.0M · 0.10%
CLARKSON EYECARE, INC. MO$511.8M · 0.14%
TOSHIBA AMERICA, INC CA$511.7M · 0.06%
AUSTIN INDUSTRIES, INC. TX$511.6M · 0.10%
DEWBERRY ENGINEERS INC. VA$511.3M · 0.05%
CAROMONT HEALTH, INC. NC$510.8M · 0.01%
ING FINANCIAL SERVICES LLC NY$510.3M · 0.04%
KOMATSU AMERICA CORP. IL$509.5M · 0.09%
WYNN RESORTS, LIMITED NV$509.4M · 0.18%
COMMUNITY BANK SYSTEM, INC. NY$509.3M · 0.02%
DONNELLEY FINANCIAL, LLC IL$509.2M · 0.08%
CBOE SERVICES CO. IL$509.1M · 0.03%
NOURYON CHEMICALS LLC IL$508.7M · 0.08%