401(k) plans $250M–$1B
2,937 plans · ranked by assets · page 22
Plans
SPECTRUM BRANDS, INC. WI$350.0M · 0.17%
MINUTECLINIC, LLC RI$350.0M · 0.05%
APRIA HEALTHCARE GROUP INC. CA$349.8M · 0.07%
REV GROUP, INC. WI$349.6M · 0.13%
PCL CONSTRUCTION ENTERPRISES, INC. CO$349.4M · 0.07%
LATHROP GPM LLP MO$349.2M · 0.07%
TRUSTEES OF PHILLIPS ACADEMY MA$349.0M · 0.06%
BOARD OF TRUSTEES IBEW LOCAL 1049 NY$348.9M · 0.14%
TERUMO BLOOD AND CELL TECHNOLOGIES, INC. CO$348.9M
INNOVA SOLUTIONS, INC. GA$348.8M · 0.21%
MITEK USA, INC. MO$348.8M · 0.03%
ONESMILE, LLC CA$348.7M · 0.16%
MOTT CORPORATION CT$348.7M
THE CHAMBERLAIN GROUP LLC IL$348.5M · 0.13%
CARPENTER CO. VA$348.4M · 0.05%
ISC PLASTERERS & CEMENT MASONS PENSION FUND IN$348.3M · 1.36%
CONVERGEONE HOLDINGS, INC. MN$348.1M · 0.13%
EVERSANA KS$348.1M · 0.16%
SUMMIT MEDICAL GROUP, PLLC TN$348.1M · 0.14%
BRICKLAYERS LOCAL 1 OF PA/DE ANNUITY FUND PA$347.8M · 0.63%
UTICA MUTUAL INSURANCE COMPANY NY$347.8M · 0.10%
ARMANINO LLP CA$347.4M · 0.11%
ENVESTNET FINANCIAL TECHNOLOGIES, INC. PA$347.3M · 0.04%
NATIONAL MENTOR HOLDINGS, LLC MA$347.2M · 0.36%
TCW, LLC CA$347.0M · 0.03%
FURMAN UNIVERSITY SC$346.8M · 0.02%
COMTECH TELECOMMUNICATIONS CORP. NY$346.5M · 0.00%
CORNERSTONE RESEARCH, INC. MA$346.4M · 0.00%
TECHNIP ENERGIES USA, INC. TX$346.4M · 0.07%
DIRECT SUPPLY, INC. WI$346.1M · 0.07%
GRUMA CORPORATION TX$346.0M · 0.24%
BREMER FINANCIAL CORPORATION MN$346.0M · 0.14%
O.C. TANNER COMPANY UT$345.9M · 0.11%
ALSCO INC. UT$345.8M · 0.11%
SAVAGE COMPANIES UT$345.8M · 0.19%
YAKIMA VALLEY MEMORIAL HOSPITAL WA$345.7M · 0.02%
BOARD OF TRUSTEES IUOE LOCAL 399 DEFERRED COMPENSATION SAVINGS PLAN IL$345.6M · 0.18%
RSR GROUP, INC. FL$345.6M
ST. LAWRENCE UNIVERSITY NY$345.6M · 0.05%
DYKEMA GOSSETT PLLC MI$345.6M · 0.05%
FREUDENBERG HOUSEHOLD PRODUCTS LP IL$345.4M · 0.08%
FRAGOMEN, DEL REY, BERNSEN & LOEWY, LLP NJ$345.4M · 0.16%
CERBERUS CAPITAL MANAGEMENT, L.P. NY$345.3M · 0.08%
PROCORE TECHNOLOGIES, INC. CA$345.2M · 0.07%
MEDICAL FACULTY ASSOCIATES, INC. DC$345.1M · 0.05%
WYNDHAM HOTELS & RESORTS, INC. NJ$345.1M · 0.07%
KERING AMERICAS, INC NJ$344.9M · 0.07%
AMERICAN BUREAU OF SHIPPING TX$344.9M · 0.05%
THE RESORTS COMPANIES, INC. VA$344.8M
MGIC INVESTMENT CORPORATION WI$344.7M · 0.00%
GENESIS HEALTH SYSTEM IA$344.6M · 0.11%
COORSTEK LLC CO$344.5M · 0.18%
VENTURA FOODS, LLC CA$344.5M · 0.07%
MUSCO CORPORATION IA$344.3M · 0.12%
TTEC SERVICES CORPORATION CO$344.2M · 0.26%
NOBLE SERVICES COMPANY LLC TX$344.2M · 0.07%
THE UNITED STATES PHARMACOPEIAL CONVENTION MD$344.2M · 0.06%
SARAH BUSH LINCOLN HEALTH CENTER IL$344.1M · 0.05%
ALNYLAM PHARMACEUTICALS, INC. MA$344.0M · 0.12%
GENERAC POWER SYSTEMS, INC WI$343.6M · 0.14%
BRYANT UNIVERSITY RI$343.6M · 0.02%
DELAWARE NORTH COMPANIES, INCORPORATED NY$343.5M · 0.13%
PEACEHEALTH WA$343.5M · 0.03%
EUROMARKET DESIGNS, INC. D.B.A. CRATE & BARREL, CB2, AND HUDSON GRACE IL$343.4M · 0.32%
NORTHWEST NATURAL GAS COMPANY OR$343.2M · 0.06%
WASHINGTON GAS LIGHT COMPANY DC$343.2M · 0.14%
COMMUNICATIONS & POWER INDUSTRIES LLC TX$342.9M · 0.08%
ASPLUNDH TREE EXPERT, LLC PA$342.7M · 0.06%
KELLY SERVICES, INC MI$342.5M · 0.23%
WATTS WATER TECHNOLOGIES, INC. MA$342.4M · 0.08%
BRADY CORPORATION WI$342.4M · 0.07%
MARIST COLLEGE NY$341.9M · 0.10%
SPARC GROUP LLC NJ$341.8M · 0.20%
ENGLEWOOD HOSPITAL AND MEDICAL CENTER NJ$341.8M · 0.08%
CONMED CORPORATION FL$341.8M · 0.08%
CWGS GROUP, LLC IL$341.7M · 0.37%
SWIRE PACIFIC HOLDINGS INC. UT$341.4M · 0.19%
SUTTER HOME WINERY, INC. CA$341.4M · 0.02%
ELEMENT MATERIALS TECHNOLOGY HOLDING USA INC. CA$341.3M · 0.22%
GEODIS LOGISTICS, LLC TN$341.3M · 0.31%
NEWMONT USA LIMITED CO$341.3M · 0.09%
FLSMIDTH INC. PA$341.1M · 0.05%
INTERSYSTEMS CORPORATION MA$341.1M · 0.00%
KALITTA AIR, LLC MI$340.8M · 0.02%
GREAT NORTHERN CORPORATION WI$340.8M · 0.04%
ZSCALER, INC. CA$340.6M · 0.01%
CROSSCOUNTRY MORTGAGE, LLC OH$340.3M · 0.40%
PIPELINE INDUSTRY 401(K) FUND OK$340.3M · 0.17%
RIBBON COMMUNICATIONS OPERATING COMPANY, INC. TX$340.2M · 0.12%
U.S. RENAL CARE, INC. TX$340.2M · 0.19%
OKLAHOMA HEART HOSPITAL LLC OK$340.0M · 0.04%
DRAEGER, INC. PA$339.9M · 0.19%
HEMLOCK SEMICONDUCTOR OPERATIONS LLC MI$339.7M · 0.06%
VERDE HOLDINGS, INC. TX$339.7M
JOHNSONVILLE, LLC WI$339.6M · 0.18%
OCEAN SPRAY CRANBERRIES, INC. MA$339.5M · 0.04%
J.CREW GROUP, LLC NY$339.1M
SOURCEHOV, LLC TX$338.9M · 0.19%
ALLIED MINERAL PRODUCTS HOLDING INC OH$338.6M · 0.04%
AMERICAN SYSTEMS CORPORATION VA$338.5M · 0.09%