401(k) plans over $1B
1,277 plans · ranked by assets · page 2
Plans
THE SHERWIN-WILLIAMS COMPANY OH$10.6B · 0.03%
GE HEALTHCARE TECHNOLOGIES INC. IL$10.5B · 0.00%
KPMG LLP NJ$10.5B · 0.02%
ADVOCATE AURORA HEALTH, INC WI$10.5B · 0.07%
TRAVELERS COMPANIES, INC. MN$10.4B · 0.04%
AMERICAN EXPRESS COMPANY AND ITS PARTICIPATING SUBSIDIARIES NY$10.4B · 0.15%
TRUIST FINANCIAL CORPORATION NC$10.2B · 0.03%
UBS AG NJ$10.2B · 0.14%
THE PNC FINANCIAL SERVICES GROUP, INC. PA$10.2B · 0.08%
PROVIDENCE HEALTH & SERVICES WA$10.1B · 0.07%
GLAXOSMITHKLINE LLC PA$10.0B · 0.09%
NOVARTIS CORPORATION NJ$9.9B · 0.00%
THE BANK OF NEW YORK MELLON CORPORATION PA$9.9B · 0.04%
THE PERMANENTE MEDICAL GROUP, INC. CA$9.9B · 0.02%
MCKINSEY & COMPANY, INC. NY$9.8B · 0.02%
SIEMENS CORPORATION NJ$9.8B
QUALCOMM INCORPORATED CA$9.7B · 0.00%
NOKIA OF AMERICA CORPORATION NJ$9.6B · 0.03%
ASTRAZENECA PHARMACEUTICALS LP DE$9.6B · 0.00%
THE MOUNT SINAI MEDICAL CENTER NY$9.5B · 0.02%
INSPERITY HOLDINGS, INC. TX$9.4B · 0.11%
NUCOR CORPORATION NC$9.3B · 0.00%
BOOZ ALLEN HAMILTON INC. VA$9.3B · 0.06%
SOUTHERN COMPANY SERVICES, INC. GA$9.3B · 0.02%
SAP AMERICA, INC. PA$9.2B · 0.05%
WARNER BROS. DISCOVERY, INC. NY$9.2B · 0.03%
THE CLEVELAND CLINIC FOUNDATION OH$9.2B · 0.08%
ADP TOTALSOURCE GROUP, INC. FL$9.2B · 0.30%
PRICEWATERHOUSECOOPERS LLP FL$9.1B
SALESFORCE, INC. CA$9.1B · 0.02%
T-MOBILE USA, INC. WA$9.1B · 0.03%
PARKER HANNIFIN CORPORATION OH$9.0B · 0.04%
CHARTER COMMUNICATIONS, INC. NC$8.9B
THE CHARLES SCHWAB CORPORATION TX$8.9B · 0.05%
CARGILL, INCORPORATED MN$8.9B · 0.04%
MASSACHUSETTS INSTITUTE OF TECHNOLOGY MA$8.9B · 0.01%
COMMONSPIRIT HEALTH KY$8.8B · 0.02%
JOHNS HOPKINS UNIVERSITY OFFICE OF BENEFITS SERVICES MD$8.8B · 0.01%
HEWLETT PACKARD ENTERPRISE TX$8.8B · 0.02%
TRINET HR III, INC. FL$8.7B · 0.16%
TENET HEALTHCARE CORPORATION TX$8.7B · 0.11%
LOWES COMPANIES INC NC$8.6B · 0.01%
SANOFI-AVENTIS US LLC NJ$8.5B · 0.01%
EATON CORPORATION OH$8.4B · 0.01%
YALE UNIVERSITY CT$8.3B · 0.03%
MARATHON PETROLEUM COMPANY LP OH$8.3B · 0.02%
NATIONWIDE MUTUAL INSURANCE COMPANY OH$8.3B · 0.03%
METLIFE GROUP, INC. NJ$8.3B · 0.13%
BP CORPORATION NORTH AMERICA INC. TX$8.3B · 0.01%
ROPCOR, INC. NY$8.2B · 0.00%
CAPITAL GROUP COMPANIES, INC. CA$8.1B · 0.00%
COX ENTERPRISES, INC. GA$8.1B · 0.07%
TEXAS INSTRUMENTS INCORPORATED TX$8.1B · 0.05%
ALBERTSONS COMPANIES, INC. CA$8.0B · 0.07%
UNIVERSITY OF ROCHESTER NY$8.0B · 0.02%
BOSTON SCIENTIFIC CORPORATION MA$7.9B · 0.04%
SOUTHERN CALIFORNIA PERMANENTE MEDICAL GROUP CA$7.9B · 0.08%
STRYKER CORPORATION MI$7.9B · 0.05%
CONOCOPHILLIPS COMPANY TX$7.8B · 0.02%
JOHNSON CONTROLS, INC. WI$7.7B · 0.06%
AMGEN INC. CA$7.7B · 0.13%
HUMANA INC. KY$7.7B · 0.03%
HDR, INC. NE$7.7B · 0.02%
PHILLIPS 66 COMPANY TX$7.7B · 0.05%
SUTTER HEALTH CA$7.6B · 0.03%
THE ALLSTATE CORPORATION TX$7.6B · 0.11%
TRANE TECHNOLOGIES COMPANY LLC NC$7.5B
CUMMINS INC. IN$7.5B
WASHINGTON UNIVERSITY IN ST. LOUIS MO$7.5B · 0.02%
NESTLE USA, INC. SAVINGS PLAN ADMINISTRATION OH$7.5B · 0.00%
MARSH & MCLENNAN COMPANIES, INC. NY$7.4B
EMERSON ELECTRIC COMPANY MO$7.4B · 0.03%
LUMEN TECHNOLOGIES, INC. LA$7.3B · 0.02%
BD OF TRUSTEES OF THE ELEV CONSTU ANNUITY AND 401K RET PLAN PA$7.3B · 0.06%
AUTOMATIC DATA PROCESSING, INC. NJ$7.3B · 0.07%
NATIONAL TECHNOLOGY & ENGINEERING SOLUTIONS OF SANDIA, LLC NM$7.2B · 0.06%
HARTFORD FIRE INSURANCE COMPANY CT$7.2B · 0.11%
CORTEVA AGRISCIENCE, LLC DE$7.0B · 0.02%
TRUSTEES OF THE UNIVERSITY OF PA PA$7.0B · 0.01%
STANFORD HEALTH CARE CA$6.9B · 0.03%
INTERMOUNTAIN HEALTH CARE, INC. UT$6.8B · 0.15%
TEXTRON, INC. RI$6.8B · 0.03%
AECOM TX$6.8B · 0.02%
BECHTEL GLOBAL CORPORATION AZ$6.7B · 0.08%
WARNER MEDIA, LLC NY$6.7B · 0.02%
AON CORPORATION GA$6.6B · 0.03%
STATE STREET CORPORATION MA$6.5B · 0.04%
THE CRAWFORD GROUP, INC. MO$6.5B · 0.01%
MOTOROLA SOLUTIONS, INC. IL$6.5B · 0.05%
BECTON, DICKINSON AND COMPANY NJ$6.5B · 0.02%
DANAHER CORPORATION DC$6.5B · 0.05%
MEMORIAL SLOAN KETTERING CANCER CENTER NY$6.4B · 0.01%
NATIONAL GRID USA SERVICE COMPANY, INC. NY$6.4B · 0.02%
JACOBS ENGINEERING GROUP INC. TX$6.4B · 0.03%
PHILIPS NORTH AMERICA LLC MA$6.4B · 0.01%
PARAMOUNT GLOBAL NY$6.4B · 0.12%