Plan Ledger DOL Form 5500 · updated monthly

401(k) plans $250M–$1B

2,937 plans · ranked by assets · page 17

Plans
LEGO SYSTEMS, INC CT$429.2M · 0.05%
VITALANT AZ$428.6M · 0.13%
ADTRAN, INC AL$428.5M · 0.06%
FINASTRA USA CORPORATION FL$428.4M · 0.06%
ARIA HEALTH PA$428.4M · 0.05%
CHART INDUSTRIES, INC. GA$428.3M · 0.02%
THE PEW CHARITABLE TRUSTS PA$428.2M · 0.03%
ABT GLOBAL INC MA$427.9M · 0.06%
TRAVELPORT INC. GA$427.7M · 0.07%
THE UNIVERSITY OF TULSA OK$427.4M · 0.01%
CARESTREAM HEALTH, INC. NY$427.3M · 0.07%
PHI GROUP, INC. LA$426.9M · 0.08%
O'NEAL STEEL, INC. AL$426.4M · 0.01%
NATIONAL PUBLIC RADIO, INC. DC$425.8M · 0.10%
ACT, INC. IA$425.7M · 0.08%
MASHANTUCKET PEQUOT TRIBE CT$424.9M · 0.01%
WIDENER UNIVERSITY PA$424.8M · 0.02%
CHOCTAW NATION OF OKLAHOMA OK$424.7M · 0.10%
CHANEL NY$424.7M · 0.10%
WIELAND NORTH AMERICA, INC. KY$424.6M · 0.13%
AIMBRIDGE PARENT, INC TX$424.1M · 0.16%
THE GORES GROUP, LLC CO$423.9M · 0.06%
GALDERMA SERVICES, INC. TX$423.8M · 0.09%
PIH HEALTH, INC CA$423.3M · 0.15%
ST LUKE'S HOSPITAL OF DULUTH MN$422.9M · 0.07%
FAURECIA USA HOLDINGS, INC. MI$422.9M · 0.12%
MULTIPLAN, INC. IL$422.6M · 0.16%
MISO IN$421.2M
HAWORTH INTERNATIONAL, LTD. MI$421.0M · 0.07%
OMNICELL, INC. TX$420.5M · 0.08%
RED BULL NORTH AMERICA, INC. CA$419.6M · 0.10%
DEALER TIRE LLC OH$419.4M · 0.16%
VOITH US INC. PA$419.0M · 0.11%
DATABRICKS, INC. CA$418.9M · 0.10%
ADVOCARE, LLC NJ$418.8M · 0.16%
ANNETT HOLDINGS, INC. IA$418.5M · 0.00%
PROMEGA CORPORATION WI$418.4M · 0.06%
EMANATE HEALTH CA$418.4M · 0.14%
WASHINGTON COMPANIES MT$417.8M · 0.09%
SASOL USA CORPORATION TX$417.7M · 0.10%
STERICYCLE, INC. IL$417.5M · 0.20%
AMN HEALTHCARE, INC. CA$417.0M · 0.22%
CARDTRONICS USA, INC. GA$416.9M · 0.06%
STRATEGIC EDUCATION, INC. VA$416.5M · 0.03%
DAVENPORT & COMPANY LLC VA$416.4M · 0.00%
MSA WORLDWIDE, LLC PA$415.4M · 0.08%
NBT BANCORP INC. NY$415.4M · 0.01%
VERINT SYSTEMS INC. NY$415.4M · 0.03%
SYLVAMO NORTH AMERICA, LLC TN$415.0M · 0.12%
O-I GLASS, INC. OH$415.0M · 0.05%
HUNT CONSOLIDATED, INC. TX$415.0M · 0.06%
VGM GROUP INC IA$414.4M
MAINEGENERAL HEALTH ME$414.4M · 0.06%
PERKINS&WILL, INC. IL$414.4M · 0.08%
SP MANAGEMENT SERVICES, INC. TN$413.6M · 0.23%
WEEKLEY HOMES TX$413.2M · 0.11%
OPTION CARE HEALTH, INC. IL$412.6M · 0.13%
ESSENDANT IL$412.5M · 0.06%
NUTANIX, INC. CA$412.4M · 0.01%
DUANE MORRIS LLP PA$411.9M · 0.01%
ALIGN TECHNOLOGY, INC. CA$411.7M · 0.11%
CHA GENERAL SERVICES, INC. MA$411.5M · 0.04%
AWC, INC. LA$411.1M · 0.00%
OTTER TAIL CORPORATION ND$411.1M · 0.09%
THE FRIEDKIN GROUP, INC. TX$411.0M · 0.02%
XAVIER UNIVERSITY OH$410.6M · 0.07%
CROWLEY HOLDINGS INC. FL$410.6M · 0.06%
HUSSMANN CORPORATION MO$410.5M · 0.13%
AKRON GENERAL HEALTH SYSTEM OH$410.4M · 0.07%
ATHLETICO, LTD. IL$410.3M · 0.11%
MAYNARD NEXSEN, PC AL$409.8M · 0.00%
AG US GROUP SERVICES INC. NY$409.7M · 0.00%
STEPHENS SHARED SERVICES LLC AR$409.3M · 0.05%