401(k) plans $250M–$1B
2,937 plans · ranked by assets · page 21
Plans
SECURITY SERVICE FEDERAL CREDIT UNION TX$363.8M · 0.09%
NIBCO INC. IN$363.7M · 0.04%
KNOBBE MARTENS OLSON & BEAR, LLP CA$363.4M · 0.07%
THE MANITOWOC COMPANY, INC. WI$363.2M · 0.09%
DELTA STAR, INC. VA$363.1M
ROKU, INC. CA$363.0M · 0.02%
KRATON CORPORATION TX$362.9M · 0.03%
SPEND LIFE WISELY COMPANY, INC. OK$362.5M · 0.05%
BOARD OF TRUSTEES OF IRON WORKERS ST. LOUIS DISTRICT COUNCIL ANNUITY MO$362.4M · 0.41%
CARRIX, INC. WA$362.2M · 0.04%
HOK GROUP, INC. MO$361.8M · 0.08%
FIRST SOLAR, INC. OH$361.5M · 0.07%
WGBH EDUCATIONAL FOUNDATION MA$361.3M · 0.09%
VALLOUREC HOLDINGS, INC. TX$361.2M · 0.11%
WINNEBAGO INDUSTRIES, INC. MN$360.9M · 0.14%
CGG SERVICES (U.S.) INC. TX$360.8M
UNITED MUSCULOSKELETAL PARTNERS, LLC GA$360.7M · 0.26%
CARL ZEISS, INC. NY$360.6M · 0.01%
HAYNES AND BOONE, LLP TX$360.5M · 0.03%
SHISEIDO AMERICAS CORPORATION NY$360.3M · 0.09%
FIRST TRUST PORTFOLIOS L.P. IL$360.3M · 0.02%
BILLERUD AMERICAS CORPORATION OH$360.2M · 0.16%
SUNRISE SENIOR LIVING, LLC VA$360.1M · 0.49%
LOGITECH INC. CA$360.1M · 0.07%
THE OREGON CLINIC, P.C. OR$360.0M · 0.06%
FIRST FINANCIAL BANKSHARES, INC. TX$360.0M · 0.10%
INFINERA CORPORATION CA$359.9M · 0.06%
ROGER WILLIAMS UNIVERSITY RI$359.8M · 0.06%
SPECTRUM HEALTHCARE PARTNERS, P.A. ME$359.7M · 0.17%
CREDIT KARMA, LLC CA$359.3M · 0.08%
OAK RIDGE ASSOCIATED UNIVERSITIES TN$359.2M · 0.03%
COLONIAL PIPELINE COMPANY GA$359.1M · 0.01%
MIDMARK CORPORATION OH$359.0M · 0.04%
MONMOUTH UNIVERSITY, INC. NJ$359.0M · 0.08%
ERC, INC. AL$358.9M · 0.14%
PIKE ENTERPRISES LLC NC$358.9M · 0.12%
BD OF TRUSTEES, NORTHWEST SHEET METAL WORKERS SUPP PENSION PLAN OR$358.7M · 0.24%
SENIOR OPERATIONS LLC IL$358.7M · 0.07%
SOUTH NASSAU COMMUNITIES HOSPITAL NY$358.6M · 0.10%
DINSDALE FINANCIAL INSTITUTIONS NE$358.4M · 0.10%
MURPHY USA INC. AR$358.3M · 0.23%
AAA NORTHEAST RI$358.2M · 0.04%
PERNOD RICARD USA, LLC NY$357.9M · 0.08%
FORRESTER RESEARCH INC MA$357.5M · 0.01%
US ONCOLOGY CORPORATE, INC. TX$357.5M · 0.14%
TOPGOLF CALLAWAY BRANDS CORP CA$357.4M · 0.12%
ZAYO GROUP HOLDINGS, INC. CO$357.3M · 0.13%
TEAM, INC. TX$357.2M · 0.03%
ADUSA SUPPLY CHAIN SERVICES LLC NC$357.0M · 0.07%
BWAY CORPORATION GA$357.0M · 0.19%
THE BOLER COMPANY IL$356.8M · 0.02%
WURTH GROUP OF NORTH AMERICA INC NJ$356.7M · 0.14%
MORTON INVESTMENT COMPANY LLC IL$356.5M · 0.07%
PRESTIGE EMPLOYEE ADMINISTRATORS, INC. NY$356.2M · 0.54%
HAAS AUTOMATION, INC. CA$356.1M · 0.02%
BRAND SHARE 401K SAVINGS & PROFIT SHARING PLAN GA$356.0M · 0.18%
COLLIERS INTERNATIONAL USA, LLC WA$356.0M · 0.09%
CROWN CORK & SEAL COMPANY, INC. PA$356.0M · 0.07%
BOARD OF TRUSTEES AMERICAN MARITIME OFFICERS DEFINED CONTRIBUTION PLAN FL$356.0M · 0.36%
NATIONAL JEWISH HEALTH CO$355.9M · 0.04%
DODGE & COX CA$355.8M · 0.00%
BASS, BERRY & SIMS TN$355.4M · 0.02%
BOARD OF TRUSTEES OF CENTRAL LABORERS ANNUITY PLAN IL$355.2M · 0.60%
ACCENTCARE, INC. TX$355.2M · 0.58%
EVERCORE PARTNERS SERVICES EAST, LLC NY$355.1M · 0.02%
ELECTRICIANS ANNUITY FUND IBEW LOCAL 456 NJ$354.6M · 0.14%
UNIVERSITY OF PUGET SOUND WA$354.1M · 0.07%
BARON CAPITAL, INC. NY$353.9M · 0.01%
LUFTHANSA GERMAN AIRLINES NY$353.8M · 0.07%
RELIANCE STANDARD LIFE INSURANCE COMPANY PA$353.8M · 0.11%
COMMUNITY CARE PHYSICIANS PLLC NY$353.7M · 0.09%
LEWIS TREE SERVICE, INC. NY$353.6M · 0.01%
BOARD OF TRUSTEES NW OHIO CARP MW PD SUPPLEMENTAL OH$353.5M · 0.18%
BOSTON BEER CORPORATION MA$353.4M · 0.06%
OSAIC, INC AZ$353.4M · 0.10%
AGILITI HEALTH, INC. MN$353.2M · 0.19%
RETINA GROUP, INC. DBA RETINA CONSULTANTS OF AMERICA TX$353.2M · 0.15%
KCI HOLDING USA, INC. OH$353.1M · 0.03%
IBEW LOCAL UNION NO. 22/NECA JOINT BOARD OF TRUSTEES NE$353.0M · 0.14%
PRINCESS CRUISE LINES, LTD. WA$352.6M · 0.08%
CTC TRADING GROUP, LLC IL$352.4M · 0.02%
HAJOCA CORPORATION PA$352.3M · 0.10%
ZENDESK, INC. CA$352.2M · 0.01%
DAYTON CHILDREN'S HOSPITAL OH$352.1M · 0.12%
MSG ENTERTAINMENT HOLDINGS, LLC NY$352.0M · 0.07%
HAMILTON COLLEGE NY$351.8M · 0.05%
ARISTOCRAT TECHNOLOGIES, INC. NV$351.7M · 0.10%
HIBU INC. IA$351.7M · 0.09%
PETROLEUM HEAT AND POWER CO., INC. CT$351.5M · 0.10%
CMI REORGANIZATION HOLDINGS, INC. AR$351.5M · 0.01%
ATHENE ANNUITY & LIFE COMPANY IA$351.5M · 0.04%
CONNECT HOLDING II, LLC NC$351.5M · 0.14%
NOVOZYMES NORTH AMERICA, INC. NC$351.5M · 0.07%
LA-Z-BOY INCORPORATED MI$351.3M · 0.23%
MOTORISTS MUTUAL INSURANCE COMPANY OH$350.7M · 0.05%
TRIPADVISOR LLC MA$350.5M · 0.05%
DYNO NOBEL INC. UT$350.3M · 0.09%
AVI SYSTEMS, INC. KS$350.2M · 0.10%
ASTEC INDUSTRIES, INC. TN$350.1M · 0.21%