Plan Ledger DOL Form 5500 · updated monthly

401(k) plans $50M–$250M

10,933 plans · ranked by assets · page 22

Plans
ONEBLOOD, INC. FL$160.3M · 0.24%
CONNING & COMPANY CT$160.2M · 0.03%
SUMCO PHOENIX CORPORATION AZ$160.1M · 0.12%
GIGAMON, INC. CA$160.1M · 0.03%
TRANSDEV NORTH AMERICA, INC. IL$160.1M · 0.21%
SAFT AMERICA, INC. FL$160.0M · 0.19%
BASS MEDICAL GROUP, INC. CA$160.0M · 0.17%
FGS GLOBAL INC. DC$160.0M · 0.02%
THE DREES COMPANY KY$159.8M · 0.14%
ALTIUM PACKAGING LP GA$159.8M · 0.11%
INDORAMA VENTURES OXIDES LLC TX$159.8M · 0.20%
MIGHTYHIVE INC. CA$159.8M · 0.10%
HEBREW SENIORLIFE, INC. MA$159.7M · 0.20%
MERSEN USA HOLDING CORP. NJ$159.7M · 0.27%
PRIDE INDUSTRIES CA$159.7M · 0.18%
LISKOW AND LEWIS, APLC LA$159.7M · 0.02%
CTS CORPORATION IL$159.7M · 0.14%
HARTER SECREST & EMERY LLP NY$159.6M · 0.00%
ST. MARY'S MEDICAL CENTER WV$159.5M · 0.33%
ENDRESS+HAUSER INC. IN$159.5M · 0.03%
CTB, INC. IN$159.3M · 0.07%
TOPPAN PHOTOMASKS, INC. TX$159.3M · 0.00%
VISIONWORKS OF AMERICA, INC. TX$159.2M · 0.12%
PARAMETRIX, INC. WA$159.2M · 0.06%
ADVISORTRUST, INC. SD$159.1M · 0.48%
GEORG FISCHER SIGNET LLC CA$159.1M · 0.13%
BOONE HEALTH, INC. MO$159.1M · 0.18%
ADAPTHEALTH, LLC PA$159.0M · 0.29%
FORM TECHNOLOGIES, INC. NC$159.0M · 0.09%
MBIA INC. NY$159.0M
M.D.C. HOLDINGS, INC. CO$158.8M · 0.10%
WALSH CONSTRUCTION CO. OR$158.7M · 0.03%
HEALTH CATALYST, INC. UT$158.7M · 0.14%
CITY ELECTRIC SUPPLY CO TX$158.7M · 0.09%
SHENTEL MANAGEMENT COMPANY VA$158.7M · 0.07%
BASIC AMERICAN, INC. CA$158.6M · 0.33%
AIDS HEALTHCARE FOUNDATION CA$158.6M · 0.13%
BRP US INC. WI$158.6M · 0.24%
THE CHARTIS GROUP, LLC IL$158.5M · 0.07%
THE NAVIGATORS CO$158.5M · 0.14%
RAPID7 LLC MA$158.5M · 0.23%
ARROWOOD INDEMNITY COMPANY NC$158.5M · 0.06%
INSITU, INC. WA$158.4M · 0.12%
FREEPORT HEALTH NETWORK IL$158.4M · 0.03%
PHINIA INC. MI$158.4M · 0.03%
GRAND CANYON UNIVERSITY AZ$158.3M · 0.31%
GENESIS HEALTHCARE SYSTEM OH$158.3M · 0.40%
FRANCHISE GROUP, INC. OH$158.2M · 0.25%
WALBRIDGE ALDINGER COMPANY MI$158.1M · 0.01%
INSURITY, LLC. CT$158.1M · 0.14%
PVS MI$158.0M · 0.01%
CAMBREX CORPORATION NJ$157.9M · 0.05%
DOUGLAS DYNAMICS, L.L.C. WI$157.9M · 0.19%
UNIFI, INC. NC$157.9M · 0.12%
HUMANGOOD NORCAL CA$157.8M · 0.14%
PHRG MANAGEMENT, LLC PA$157.8M · 0.13%
SOPHOS, INC MA$157.7M · 0.05%
FANDUEL GROUP, INC. NY$157.7M · 0.19%
WINN MANAGEMENT GROUP LLC MA$157.6M · 0.46%
GAMESTOP, CORP. TX$157.6M · 0.32%
IRVING FOREST PRODUCTS, INC. ME$157.5M · 0.09%
CONTINENTAL MILLS, INC WA$157.5M · 0.08%
H & K GROUP, INC. PA$157.4M · 0.11%
NIBE ENERGY SYSTEMS, INC. IN$157.4M · 0.33%
NEW ERA TECHNOLOGY, INC. PA$157.4M · 0.16%
URUS GROUP LP WI$157.3M · 0.11%
ROOM & BOARD, INC. MN$157.2M · 0.12%
AZZ INC. TX$157.2M · 0.29%