401(k) plans $250M–$1B
2,937 plans · ranked by assets · page 14
Plans
THOMPSON COBURN LLP MO$484.3M · 0.13%
MAGNIT GLOBAL SOLUTIONS, INC. CA$484.2M · 0.39%
BUCHANAN INGERSOLL & ROONEY PC PA$484.1M · 0.05%
AMCOR RIGID PACKAGING USA, LLC MI$483.8M · 0.08%
CREDIT AGRICOLE CORPORATE AND INVESTMENT BANK NY$483.8M · 0.04%
JOHNSON MATTHEY INC. PA$483.5M · 0.10%
LEGGETT & PLATT, INCORPORATED MO$483.5M · 0.15%
GUIDEWIRE SOFTWARE CA$483.4M · 0.07%
GOULD MEDICAL GROUP, INC. CA$483.3M
THE TERMINIX COMPANY, LLC TN$483.2M · 0.18%
STP NUCLEAR OPERATING COMPANY TX$482.8M · 0.01%
J. F. SHEA COMPANY, INC. CA$482.7M · 0.07%
FIRST INTERSTATE BANCSYSTEM, INC. MT$481.7M · 0.04%
ELECTROLUX HOME PRODUCTS, INC. NC$481.5M · 0.19%
CLEVELAND STEEL CONTAINER CORPORATION OH$481.4M
ALBANY INTERNATIONAL CORP. NH$481.4M · 0.06%
CROWDSTRIKE, INC. CA$481.2M · 0.03%
VIRGINIA MASON MEDICAL CENTER WA$481.2M · 0.08%
GRAHAM PACKAGING COMPANY, L.P. PA$480.7M · 0.10%
INDEPENDENT COLLEGES OF INDIANA ASSOCIATION, INC IN$480.6M · 0.23%
GOVERNING COMM OF THE ASSOC OF IND COLLEGE AND UNIV OF OHIO MEP OH$480.4M · 0.35%
ALKERMES, INC. MA$480.2M · 0.07%
HAWAII MEDICAL SERVICE ASSOCIATION HI$480.0M · 0.06%
BCD TRAVEL USA LLC GA$479.9M
BLUE CROSS AND BLUE SHIELD ASSOCIATION IL$479.8M · 0.07%
VEOLIA WTS USA, INC. PA$479.7M · 0.06%
LAFAYETTE COLLEGE PA$479.4M · 0.05%
ALI GROUP NORTH AMERICA CORPORATION IL$479.3M · 0.11%
BRISTOL BAY NATIVE CORPORATION AK$479.1M · 0.14%
SEATTLE UNIVERSITY WA$478.9M · 0.05%
APEX SYSTEMS, LLC VA$478.7M · 0.10%
ANDRITZ INC. NC$478.6M · 0.29%
WAKEFERN FOOD CORP. NJ$478.5M · 0.08%
112/73 RETIREMENT TRUST FUND NECA - IBEW WA$478.3M · 0.10%
KORN FERRY CA$478.2M · 0.17%
PILGRIM'S PRIDE CORPORATION CO$478.2M · 0.13%
TUFTS MEDICAL CENTER PHYSICIANS ORGANIZATION, INC. MA$478.2M · 0.02%
DLR HOLDING COMPANY NE$477.8M · 0.03%
MATHEMATICA GROUP HOLDING INC. NJ$477.5M · 0.04%
GHD INC. CA$476.8M
BOARD OF TRUSTEES WI$476.7M · 0.24%
CLECO POWER LLC LA$476.1M · 0.09%
THE BROAD INSTITUTE MA$475.9M · 0.07%
MERCURY SYSTEMS, INC. MA$475.6M
OTIS WORLDWIDE CORPORATION CT$475.4M · 0.16%
M.C. DEAN, INC. VA$475.1M · 0.19%
GROWMARK, INC. IL$474.9M · 0.19%
JONES WALKER LLP LA$474.3M · 0.03%
ABSOPURE WATER COMPANY, ET AL. MI$474.2M · 0.13%
BD OF TRUSTEES OF THE SMW ANNUITY FUND PA$474.0M · 0.16%
HFT HOLDINGS, INC. CA$473.9M · 0.16%
ORANGE BUSINESS SERVICES VA$473.8M · 0.15%
VONTIER BUSINESS SERVICES LLC NC$473.7M · 0.07%
MIDDLESEX HEALTH CT$473.2M · 0.10%
ADELPHI UNIVERSITY NY$473.2M · 0.03%
AMERICAN MEDICAL ASSOCIATION IL$472.8M
FINNEGAN, HENDERSON, FARABOW, GARRETT & DUNNER, L.L.P. DC$472.6M · 0.01%
CENTRAL OHIO PRIMARY CARE PHYSICIANS, INC. OH$472.5M · 0.03%
SHARP ELECTRONICS CORPORATION NJ$472.4M · 0.05%
R&L CARRIERS, INC. OH$472.4M · 0.12%
BERKSHIRE HATHAWAY AUTOMOTIVE INC. TX$472.3M · 0.01%
DINSMORE & SHOHL LLP OH$472.2M · 0.14%
ENSCO INTERNATIONAL INCORPORATED TX$471.7M · 0.08%
ENTRUST CORPORATION MN$471.6M · 0.05%
CONTRA COSTA COUNTY ELECTRICAL WORKERS RETIREMENT PLAN & TRUST CA$471.3M · 0.13%
CETERA FINANCIAL GROUP, INC. CA$471.3M · 0.16%
TUTOR PERINI CORPORATION CA$471.1M · 0.10%
THE CARLYLE GROUP EMPLOYEE CO., L.L.C. DC$471.0M · 0.04%
SUN CHEMICAL CORPORATION NJ$470.7M
GBT US LLC NY$470.7M · 0.11%
NATIXIS NORTH AMERICA LLC NY$470.6M · 0.05%
SOUTHERN ILLINOIS HOSPITAL SERVICES IL$470.5M · 0.10%
AIMBRIDGE PARENT, INC TX$470.1M · 0.13%
LINCARE INC. FL$469.8M · 0.12%
BLUETRITON BRANDS, INC. CT$469.7M · 0.14%
RHEEM MANUFACTURING COMPANY GA$469.1M · 0.17%
SUMMIT MATERIALS LLC CO$468.9M · 0.15%
PRESIDIO LLC VA$468.8M · 0.12%
VENETIAN LAS VEGAS GAMING, LLC NV$468.7M · 0.15%
NEC CORPORATION OF AMERICA TX$468.7M · 0.05%
THORNTON TOMASETTI, INC. NY$468.6M · 0.06%
NEBRASKA FURNITURE MART, INC. NE$468.5M · 0.13%
ANALYSIS GROUP, INC. MA$468.4M
UNIVERSITY OF SAN FRANCISCO CA$468.2M · 0.05%
NATIXIS INVESTMENT MANAGERS, LLC MA$468.1M · 0.00%
WELLMARK, INC. IA$467.9M · 0.05%
ENERSYS DELAWARE INC. PA$467.6M · 0.13%
KONE INC. IL$467.4M · 0.08%
KARL STORZ ENDOSCOPY-AMERICA, INC. CA$467.4M · 0.14%
MULTI-COLOR CORPORATION OH$466.7M · 0.11%
NG OPERATIONS, LLC NC$466.6M · 0.06%
STEVENS INSTITUTE OF TECHNOLOGY NJ$466.5M · 0.08%
HERE NORTH AMERICA, LLC IL$466.2M · 0.05%
CARTER MACHINERY COMPANY, INC. VA$466.2M · 0.04%
BROOKDALE SENIOR LIVING INC. TN$466.1M · 0.17%
FIRST QUALITY ENTERPRISES INC. NY$466.0M · 0.08%
AERA ENERGY SERVICES COMPANY CA$466.0M · 0.09%
MATERION CORPORATION OH$465.8M · 0.10%
BRIGHT HORIZONS CHILDREN'S CENTERS LLC MA$465.7M · 0.14%
TRUGREEN LIMITED PARTNERSHIP TN$465.6M · 0.22%