401(k) plans over $1B
1,277 plans · ranked by assets · page 1
Plans
MICROSOFT CORPORATION WA$77.8B · 0.06%
INTERNATIONAL BUSINESS MACHINES CORPORATION NY$63.3B · 0.07%
BANK OF AMERICA CORPORATION NC$62.9B
RTX CORPORATION CT$58.6B · 0.02%
WELLS FARGO & COMPANY CA$57.9B · 0.02%
JPMORGAN CHASE BANK, NATIONAL ASSOCIATION NJ$52.4B · 0.05%
LOCKHEED MARTIN CORPORATION MD$51.4B · 0.01%
WALMART INC. AR$50.7B · 0.09%
GOOGLE LLC CA$48.7B · 0.01%
NORTHROP GRUMMAN CORPORATION VA$44.3B · 0.03%
AT&T INC. TX$43.1B · 0.04%
COSTCO WHOLESALE CORPORATION WA$41.5B · 0.01%
ORACLE CORPORATION CA$35.0B · 0.03%
AMAZON.COM SERVICES, LLC WA$34.6B · 0.02%
FIDELITY WORKPLACE SERVICES LLC MA$34.2B
VERIZON COMMUNICATIONS INC. NJ$31.3B · 0.16%
UNITEDHEALTH GROUP INCORPORATED MN$30.3B · 0.01%
CVS HEALTH CORPORATION RI$30.1B · 0.15%
CISCO SYSTEMS,INC. CA$26.4B · 0.03%
AMAZON.COM SERVICES,LLC WA$26.2B · 0.02%
FEDEX CORPORATION TN$25.4B · 0.03%
INTEL CORPORATION CA$24.8B · 0.00%
GENERAL ELECTRIC COMPANY OH$24.8B · 0.01%
APPLE INC. CA$24.7B · 0.03%
SAMMONS ENTERPRISES, INC. TX$23.9B
HCA INC. TN$23.8B
EXXON MOBIL CORPORATION TX$23.6B
JOHNSON AND JOHNSON NJ$23.6B · 0.18%
CITIGROUP INC. CT$23.2B · 0.09%
GENERAL MOTORS LLC MI$23.1B
CATERPILLAR INC. TX$23.0B · 0.04%
KAISER FOUNDATION HEALTH PLAN, INC. CA$22.5B · 0.05%
META PLATFORMS, INC. CA$22.4B · 0.00%
THE PROCTER & GAMBLE COMPANY OH$22.3B · 0.01%
MORGAN STANLEY DOMESTIC HOLDINGS, LLC NY$22.0B · 0.08%
PFIZER INC NY$22.0B · 0.05%
ACCENTURE LLP IL$21.3B · 0.05%
SAMMONS CORPORATION TX$21.2B
CHEVRON CORPORATION CA$20.4B · 0.02%
COMCAST CORPORATION PA$19.7B · 0.04%
UNITED PARCEL SERVICE OF AMERICA, INC. GA$19.3B · 0.05%
STATE FARM MUTUAL AUTOMOBILE INSURANCE COMPANY IL$19.0B · 0.00%
DELTA AIR LINES, INC. GA$19.0B · 0.07%
SOUTHWEST AIRLINES COMPANY TX$18.9B · 0.02%
ERNST & YOUNG U.S. LLP NJ$18.3B · 0.03%
FORD MOTOR COMPANY MI$17.3B
UNITED AIRLINES, INC. IL$16.8B · 0.18%
TRUSTEES OF THE NATIONAL ELECTRICAL ANNUITY PLAN MD$16.8B · 0.19%
MASS GENERAL BRIGHAM INCORPORATED MA$16.7B · 0.03%
NATIONAL RURAL ELECTRIC COOPERATIVE ASSOCIATION VA$16.7B · 0.30%
PEPSICO, INC. NY$16.7B · 0.01%
HONEYWELL INTERNATIONAL INC. NC$16.3B
L3HARRIS TECHNOLOGIES, INC. FL$16.3B · 0.02%
AMERICAN AIRLINES, INC. - RETIREMENT TX$16.2B · 0.06%
ABBOTT LABORATORIES IL$15.7B
THE HOME DEPOT, INC. GA$15.7B · 0.14%
MAYO CLINIC MN$15.1B · 0.07%
MERCK & CO., INC. NJ$15.0B · 0.00%
DELL INC. TX$14.6B · 0.03%
WALGREEN CO. IL$14.5B · 0.03%
TARGET CORPORATION MN$14.4B
GENENTECH, INC. CA$14.3B · 0.01%
PUBLIX SUPER MARKETS, INC. FL$14.3B
THE CIGNA GROUP PA$14.1B · 0.02%
MEDTRONIC, INC. MN$13.7B
ABBVIE INC. IL$13.4B · 0.03%
TOYOTA MOTOR NORTH AMERICA, INC TX$13.3B · 0.03%
PWC US GROUP LLP FL$13.2B · 0.01%
AVAGO TECHNOLOGIES U.S. INC. CA$13.1B · 0.03%
ELI LILLY AND COMPANY IN$13.0B · 0.02%
U.S. BANCORP MN$13.0B · 0.04%
THE GOLDMAN SACHS GROUP, INC. NY$12.8B · 0.13%
BRISTOL-MYERS SQUIBB COMPANY NJ$12.7B
TWDC ENTERPRISES 18 CORP. CA$12.7B · 0.01%
THE BOARD OF TRUSTEES OF THE LELAND STANFORD JUNIOR UNIVERSITY CA$12.6B · 0.01%
GENERAL DYNAMICS CORPORATION VA$12.4B · 0.04%
THE PROGRESSIVE CORPORATION & ITS PARTICIPATING SUBSIDIARIES OH$12.4B · 0.01%
EDWARD D. JONES & CO., L.P. MO$12.4B · 0.01%
ATH HOLDING COMPANY, LLC IN$12.1B · 0.05%
3M COMPANY MN$12.0B · 0.05%
BAE SYSTEMS, INC. VA$12.0B · 0.02%
CAPITAL ONE FINANCIAL CORPORATION VA$12.0B · 0.13%
THE KROGER CO. OH$11.8B · 0.03%
LEIDOS, INC. VA$11.8B · 0.02%
MARRIOTT INTERNATIONAL, INC. MD$11.7B · 0.05%
THERMO FISHER SCIENTIFIC, INC. PA$11.7B · 0.02%
SHELL USA, INC. TX$11.5B · 0.07%
THE DOW CHEMICAL COMPANY MI$11.5B · 0.01%
DUKE ENERGY CORPORATION NC$11.3B · 0.05%
THE VANGUARD GROUP, INC. PA$11.1B
DUKE UNIVERSITY NC$11.0B · 0.03%
DEERE & COMPANY IL$11.0B · 0.00%
DELOITTE LLP NY$11.0B · 0.07%
NORTHWELL HEALTH, INC. NY$10.9B · 0.03%
UNITED SERVICES AUTOMOBILE ASSOCIATION TX$10.9B · 0.00%
HP INC. TX$10.9B · 0.03%
BAYER CORPORATION NJ$10.8B · 0.03%
LIBERTY MUTUAL GROUP INC. MA$10.8B · 0.12%