401(k) plans $250M–$1B
2,937 plans · ranked by assets · page 16
Plans
DUNCAN AVIATION, INC. NE$446.1M · 0.11%
RITHM CAPITAL LLC TX$446.0M · 0.17%
DIALYSIS CLINIC, INC. TN$445.9M · 0.20%
WELLS ENTERPRISES, INC. IA$445.8M · 0.10%
QUALTRICS LLC UT$445.8M · 0.04%
ARKANSAS CHILDREN'S, INC AR$445.7M · 0.07%
BASIN ELECTRIC POWER COOPERATIVE ND$445.6M · 0.05%
UNIVERSITY HEALTH SYSTEM, INC. TN$445.6M · 0.21%
BOARD OF TRUST OF THE ANNUITY FD OF THE ELECTRICAL INDUSTRY OF LI NY$445.4M · 0.30%
VERTEX, INC. PA$445.2M · 0.04%
IBEW LOCAL UNION NO. 124 MO$445.1M · 0.12%
CANCER TREATMENT CENTERS OF AMERICA GLOBAL, INC. IL$445.1M · 0.06%
CENTRAL GARDEN & PET COMPANY CA$444.3M · 0.06%
WEIR GROUP, INC. TX$444.2M · 0.12%
LAMB WESTON, INC. ID$444.2M · 0.09%
WESTERN ALLIANCE BANCORPORATION AZ$444.2M · 0.07%
COOPER-STANDARD AUTOMOTIVE INC. MI$444.2M · 0.12%
COOPER TIRE & RUBBER COMPANY LLC OH$443.8M · 0.08%
BOARD OF TRUSTEES OF STRUCTURAL IW LOCAL #1 ANNUITY PLAN IL$443.8M · 0.12%
T.Y. LIN INTERNATIONAL GROUP, LTD CA$443.6M · 0.10%
UTILITY TRAILER MANUFACTURING COMPANY CA$443.6M · 0.12%
AIRBUS AMERICAS, INC. VA$443.5M · 0.04%
KENNEDY KRIEGER INSTITUTE MD$443.5M
CALIFORNIA INDEPENDENT SYSTEM OPERATOR CORPORATION CA$443.3M · 0.03%
SHANDS JACKSONVILLE MEDICAL CENTER, INC. FL$443.3M · 0.12%
GCI COMMUNICATION CORP. AK$443.0M · 0.04%
AYA HEALTHCARE SERVICES, INC. CA$443.0M · 0.57%
AVALONBAY COMMUNITIES, INC. VA$442.9M · 0.08%
ALCOA USA CORP PA$442.6M
AMSI FL$442.5M · 0.31%
KELLEY DRYE & WARREN LLP NY$442.3M · 0.05%
LEVITON MANUFACTURING CO., INC. NY$442.2M · 0.01%
DECHERT LLP PA$442.2M · 0.03%
LIBERTY UTILITIES SERVICE CORP. AZ$442.2M · 0.12%
THE PAPE' GROUP, INC. OR$441.8M · 0.11%
ACCESSION RISK MANAGEMENT GROUP, INC. MA$441.8M · 0.10%
QUESTCO HOLDINGS, INC. TX$441.6M · 0.72%
LOYOLA UNIVERSITY MARYLAND MD$441.4M · 0.05%
BARNARD COLLEGE NY$441.2M · 0.06%
ERM NA HOLDINGS CORP PA$441.0M · 0.10%
DIAGEO NORTH AMERICA, INC. NY$440.3M
COMMUNITY FOUNDATION OF NORTHWEST INDIANA, INC. IN$440.3M · 0.10%
US LBM HOLDINGS, LLC IL$440.2M · 0.26%
SCHOOLSFIRST FEDERAL CREDIT UNION CA$440.1M · 0.08%
MOUNTAIRE CORPORATION AR$439.9M · 0.20%
SHURE INCORPORATED IL$439.7M · 0.07%
PROJECT WORLDWIDE, INC. MI$439.1M · 0.02%
PC CONNECTION, INC. NH$438.8M
HOVNANIAN ENTERPRISES, INC. NJ$438.8M
DOORDASH, INC. CA$438.7M · 0.12%
NATIONAL FUEL GAS COMPANY NY$438.4M · 0.00%
BENJAMIN MOORE & CO. NJ$438.3M · 0.03%
GXO ENTERPRISE SERVICES, LLC CT$438.3M · 0.24%
RUSSELL REYNOLDS ASSOCIATES, INC. NY$438.2M · 0.02%
PROOFPOINT, INC CA$438.2M
PAYLOCITY CORPORATION IL$438.1M · 0.13%
LOEB & LOEB LLP CA$438.1M · 0.07%
EVERSHEDS SUTHERLAND (US) LLP DC$437.6M · 0.04%
KINGSTON TECHNOLOGY COMPANY, INC. CA$437.6M · 0.00%
HEICO HOLDING, INC. IL$437.5M · 0.08%
LJA ENGINEERING, INC. TX$437.4M · 0.05%
IBG LLC CT$437.0M
WASHINGTON AND LEE UNIVERSITY VA$436.9M · 0.10%
CREATIVE ARTISTS AGENCY, LLC CA$436.8M · 0.04%
RADNET, INC. CA$436.6M · 0.22%
FAREWAY STORES, INC. IA$436.5M · 0.13%
SCP DISTRIBUTORS, LLC LA$436.0M · 0.08%
VORYS, SATER, SEYMOUR AND PEASE LLP OH$435.5M · 0.16%
EISENHOWER MEDICAL CENTER CA$435.5M · 0.12%
LYNDEN INCORPORATED WA$435.4M · 0.06%
SENTARA HOLDINGS, INC. VA$435.4M · 0.08%
COHERENT CORP. CA$435.2M · 0.06%
BOARD OF TRUSTEES NORTHWESTERN OHIO PLUMBERS AND PIPEFITTERS OH$435.1M · 0.10%
TANNER MEDICAL CENTER, INC GA$434.6M · 0.09%
MUTUAL OF AMERICA LIFE INSURANCE COMPANY SAVINGS PLAN NY$434.6M · 0.05%
IBEW LOCAL 16, AFL-CIO & MULTI- EMPLOYER PENSION PLAN TN$434.1M · 0.05%
NORTHWEST COMMUNITY HEALTHCARE IL$434.1M · 0.21%
ATLANTICARE REGIONAL MEDICAL CTR NJ$434.1M · 0.08%
BECHTEL PLANT MACHINERY, INC. PA$433.3M · 0.04%
YANFENG INTERNATIONAL AUTOMOTIVE TECHNOLOGY US I LLC MI$433.2M · 0.07%
INTERNATIONAL TRANSMISSION COMPANY MI$433.0M · 0.02%
BOARD OF TRUSTEES OF THE ELECTRICAL WORKERS LOCAL UNION 159 RETIREMENT WI$433.0M · 0.07%
SAGE SOFTWARE INC. GA$432.9M · 0.10%
QUINN EMANUEL URQUHART & SULLIVAN, LLP CA$432.9M · 0.03%
ESSENTIAL HOLDING AMERICA, LLC NJ$432.7M · 0.04%
NCH HEALTHCARE SYSTEM, INC. FL$432.6M
ASPENTECH CORPORATION MA$432.5M · 0.03%
INTERNATIONAL DATA GROUP, INC. MA$432.3M · 0.00%
TRUSTEES OF I.B.E.W LOCAL 697 DEFINED CONTRIBUTION PLAN IN$432.2M · 0.14%
ARDAGH GLASS INC. IN$431.7M · 0.02%
VALMET INC. GA$431.6M · 0.06%
NEWPORT GROUP, INC. CA$431.1M · 0.50%
LOVE'S TRAVEL STOPS & COUNTRY STORES, INC. OK$431.1M · 0.16%
IBEW LOCAL NO. 347 & IOWA CHAPTER OF NECA, JOINT BOARD OF TRUSTEES MI$431.0M · 0.18%
CBOE GLOBAL MARKETS, INC. IL$430.9M · 0.01%
CHILDRENS HOSPITAL AND RESEARCH CENTER AT OAKLAND CA$430.6M · 0.15%
MANATT, PHELPS & PHILLIPS, LLP CA$430.4M · 0.05%
LANDS' END, INC. WI$430.2M · 0.10%
MSCI INC. NY$430.1M · 0.00%
VICTAULIC PA$430.1M · 0.10%