401(k) plans over $1B
1,277 plans · ranked by assets · page 13
Plans
VERTIV GROUP CORPORATION OH$1.1B · 0.08%
TOWER HEALTH PA$1.1B · 0.11%
TECO ENERGY, INC. FL$1.1B · 0.02%
CHILDREN'S HOSPITAL OF CHICAGO MEDICAL CENTER IL$1.1B · 0.06%
WEBSTER BANK, N.A. NY$1.1B · 0.02%
EVAPCO, INC. MD$1.1B · 0.00%
MID-ATLANTIC PERMANENTE MEDICAL GROUP, PC MD$1.1B · 0.00%
NV ENERGY, INC. NV$1.1B · 0.07%
POLARIS INDUSTRIES INC. MN$1.1B · 0.06%
TRANSCANADA USA SERVICES INC. $1.1B · 0.02%
HESS CORPORATION TX$1.1B · 0.01%
COMFORT SYSTEMS USA, INC. TX$1.1B · 0.06%
ATLAS COPCO NORTH AMERICA LLC NJ$1.1B · 0.06%
MIZUHO AMERICAS SERVICES, LLC NY$1.1B
THE CHILDRENS MERCY HOSPITAL MO$1.1B · 0.06%
OTSUKA AMERICA PHARMACEUTICAL INC. NJ$1.1B · 0.04%
CANADIAN IMPERIAL BANK OF COMMERCE IL$1.1B · 0.03%
DEMOULAS SUPER MARKETS, INC. MA$1.1B · 0.32%
INTEGRIS HEALTH, INC. OK$1.1B · 0.04%
TRUSTEES OF DARTMOUTH COLLEGE NH$1.1B · 0.01%
REFINITIV US LLC NY$1.1B · 0.05%
KWIK TRIP, INC. WI$1.1B · 0.17%
VIZIENT, INC. TX$1.1B · 0.07%
NORTHWEST PERMANENTE, P.C. OR$1.1B
MERCEDES-BENZ USA, LLC GA$1.1B · 0.10%
QVC, INC. PA$1.1B · 0.07%
GAF LLC NJ$1.1B · 0.06%
ADVANCE STORES COMPANY, INC. VA$1.1B · 0.14%
UNIVERSITY OF MINNESOTA PHYSICIANS MN$1.1B · 0.05%
THE LINCOLN ELECTRIC COMPANY OH$1.1B · 0.02%
ATLAS AIR, INC. NY$1.1B · 0.04%
LAHEY CLINIC FOUNDATION, INC. MA$1.1B · 0.03%
SPX ENTERPRISES, LLC NC$1.1B · 0.05%
CONSTELLATION BRANDS, INC. NY$1.1B · 0.04%
ILLUMINA, INC. CA$1.1B · 0.04%
AUTOZONE, INC. TN$1.1B · 0.10%
SOCIETE GENERALE (NEW YORK) NY$1.1B
OPTUMCARE MANAGEMENT, LLC MN$1.1B · 0.03%
THE GUARDIAN LIFE INSURANCE COMPANY OF AMERICA NY$1.1B · 0.04%
COMMERCE BANCSHARES, INC. MO$1.1B
ALSTON & BIRD LLP GA$1.1B · 0.03%
TRIMBLE INC. CA$1.1B · 0.07%
HANNAFORD BROS. CO., LLC ME$1.1B · 0.05%
AEROJET ROCKETDYNE HOLDINGS, INC. CA$1.1B · 0.06%
SS&C GIDS, INC. CT$1.1B · 0.01%
AMERICAN CENTURY SERVICES, LLC MO$1.1B · 0.02%
CONTINENTAL AUTOMOTIVE, INC. SC$1.1B · 0.04%
PAUL HASTINGS LLP CA$1.1B · 0.09%
LITTLER MENDELSON, P.C. CA$1.1B · 0.09%
OLYMPUS CORPORATION OF THE AMERICAS PA$1.1B · 0.13%
LONG ISLAND UNIVERSITY NY$1.1B · 0.03%
CHICAGO MERCANTILE EXCHANGE, INC. IL$1.1B · 0.06%
MCKEE FOODS CORPORATION TN$1.1B · 0.09%
GEN DIGITAL INC. AZ$1.1B · 0.04%
HOWMET AEROSPACE INC. PA$1.1B
AMERICAN GREETINGS CORPORATION OH$1.1B · 0.04%
UNIVAR SOLUTIONS USA INC. IL$1.1B · 0.12%
CMFG LIFE INSURANCE COMPANY WI$1.1B
VERICAST CORP. TX$1.1B · 0.06%
CHARLES RIVER LABORATORIES, INC. MA$1.1B · 0.12%
DEVON ENERGY CORPORATION OK$1.1B · 0.05%
SABRE GLBL INC. TX$1.1B · 0.06%
GENWORTH FINANCIAL, INC VA$1.1B · 0.05%
SNAP-ON INCORPORATED WI$1.1B · 0.06%
FDIC AS RECEIVER FOR FIRST REPUBLIC BANK TX$1.1B · 0.01%
NORTON ROSE FULBRIGHT US LLP TX$1.1B
YUM BRANDS, INC. KY$1.1B · 0.12%
COCA-COLA CONSOLIDATED, INC. NC$1.1B · 0.11%
WHITE & CASE, LLP NY$1.1B · 0.03%
7-ELEVEN, INC. OH$1.0B · 0.17%
MAXAR TECHNOLOGIES INC. CO$1.0B · 0.03%
ONE GAS, INC. OK$1.0B
CONDUENT BUSINESS SERVICES, LLC NJ$1.0B · 0.06%
DARTMOUTH-HITCHCOCK CLINIC NH$971.5M · 0.06%
KINDRED HEALTHCARE LLC KY$969.3M · 0.09%
EDWARD-ELMHURST HEALTHCARE IL$938.4M · 0.07%
CENTRAL PENNSYLVANIA TEAMSTERS PENSION FUND, TRUSTEES PA$915.7M · 0.39%