Plan Ledger DOL Form 5500 · updated monthly

401(k) plans $50M–$250M

10,933 plans · ranked by assets · page 46

Plans
CONNECTIONS EDUCATION, LLC. MD$106.4M · 0.14%
ARROW INTERNATIONAL, INC. OH$106.4M · 0.07%
KINDEVA DRUG DELIVERY L.P. MN$106.4M · 0.22%
MANUFACTURERS BANK CA$106.4M · 0.17%
ONESTREAM SOFTWARE LLC MI$106.3M · 0.17%
OSF HEALTHCARE SYSTEM IL$106.3M · 0.09%
YOUNG ELECTRIC SIGN COMPANY UT$106.3M · 0.16%
BALON CORPORATION OK$106.3M · 0.06%
W.C. BRADLEY CO. GA$106.3M · 0.32%
HEAT AND CONTROL, INC. CA$106.3M · 0.02%
ABN AMRO IL$106.2M · 0.01%
SPITZER MANAGEMENT, INC. OH$106.2M · 0.41%
PERFECTION BAKERIES, INC. IN$106.2M · 0.23%
J-M MANFACTURING CO., INC CA$106.2M · 0.27%
TOTAL SWEETENERS, INC. IL$106.2M · 0.13%
REALM IDX, INC. CA$106.2M · 0.20%
EASTMAN & SMITH LTD. OH$106.2M · 0.10%
GEORGETOWN DAY SCHOOL, INC. DC$106.2M · 0.09%
BERRY COMPANIES, INC. KS$106.2M · 0.24%
DEVCO HOLDINGS, INC. OH$106.1M · 0.06%
LAKEVIEW CLINIC, LTD MN$106.1M · 0.30%
OCTAPHARMA PLASMA, INC. NC$106.1M · 1.14%
GREENWAY HEALTH, LLC FL$106.0M · 0.15%
C&S WORLDWIDE HOLDINGS, INC. NY$106.0M · 0.14%
SOUTHWESTERN LAW SCHOOL CA$106.0M · 0.10%
CCG SERVICES, INC. TX$106.0M · 0.16%
FASTLY, INC. CA$106.0M · 0.04%
DM COMPANIES INC MI$106.0M · 0.24%
DETROIT COUNTRY DAY SCHOOL MI$105.9M · 0.10%
VILLAGE SUPER MARKET, INC. NJ$105.9M · 0.16%
SAKER SHOPRITES, INC. NJ$105.9M · 0.10%
GEMINI, INCORPORATED MN$105.8M · 0.17%
GLOBAL AEROSPACE, INC. NJ$105.8M · 0.07%
LEGENDS HOSPITALITY, LLC NY$105.8M · 0.06%
SWEETWATER SOUND, LLC IN$105.8M · 0.31%
MASSEY SERVICES, INC. FL$105.8M · 0.26%
MIDLAND PAPER COMPANY IL$105.7M · 0.02%
RADIO FREE ASIA DC$105.7M · 0.04%
ICIMS NJ$105.6M · 0.16%
RIVERSIDE RESEARCH INSTITUTE VA$105.6M · 0.20%
ALVOGEN GROUP, INC. NY$105.6M · 0.05%
KSM BUSINESS SERVICES, INC. IN$105.5M · 0.01%
UNITY HEALTHCARE, LLC IN$105.5M · 0.41%
ZETA GLOBAL CORP. NY$105.5M · 0.02%
HILLSIDE CHILDREN'S CENTER NY$105.5M · 0.26%
MCNEES WALLACE & NURICK LLC PA$105.5M · 0.10%
SHOCKWAVE MEDICAL, INC. CA$105.5M · 0.14%
OTC BRANDS, INC. NE$105.4M · 0.05%
AMPAC FINE CHEMICALS LLC CA$105.4M · 0.21%
FLUIDRA NORTH AMERICA CA$105.3M · 0.27%
KRIEG DEVAULT LLP IN$105.3M · 0.20%
CROCS, INC. CO$105.3M · 0.17%
NUFARM AMERICAS INC. IL$105.3M · 0.02%
ART CENTER COLLEGE OF DESIGN CA$105.3M · 0.10%
HALEKULANI CORPORATION HI$105.3M · 0.12%
SANTAFE HEALTHCARE, INC. FL$105.2M · 0.11%
LIFENET HEALTH VA$105.2M · 0.12%
NEBCO, INC. NE$105.2M · 0.09%
PSOMAS CA$105.2M · 0.01%
PYROTEK INCORPORATED WA$105.2M · 0.26%
THE WALMAN OPTICAL COMPANY MN$105.2M · 0.25%
4IMPRINT, INC. WI$105.2M · 0.00%
FIFTH GENERATION, INC TX$105.2M · 0.07%
KQED INC. CA$105.0M · 0.16%
MAGTEK CA$105.0M
LINCOLN INTERNATIONAL LLC IL$105.0M · 0.08%
OMNI CABLE LLC PA$104.9M · 0.25%
THOMPSON HOLDINGS, INC. AL$104.9M · 0.21%
INDIANA PACKERS CORPORATION IN$104.9M · 0.04%
DEL MONTE FOODS, INC. CA$104.8M · 0.08%