401(k) plans over $1B
1,277 plans · ranked by assets · page 3
Plans
CONSOLIDATED EDISON COMPANY OF NEW YORK, INC. NY$6.3B · 0.07%
BASF CORPORATION NJ$6.3B
SOUTHERN CALIFORNIA EDISON COMPANY CA$6.3B · 0.08%
EXELON CORPORATION IL$6.3B · 0.09%
AMERICAN HONDA MOTOR COMPANY, INC. CA$6.3B · 0.05%
QUEST DIAGNOSTICS CLINICAL LABORATORIES, INC. NJ$6.2B · 0.03%
GEICO CORPORATION DC$6.2B · 0.04%
SONY CORPORATION OF AMERICA NY$6.2B · 0.16%
TAKEDA PHARMACEUTICAL U.S.A., INC. MA$6.2B · 0.05%
APPLIED MATERIALS, INC. CA$6.2B · 0.04%
DESERET MUTUAL BENEFIT ADMINISTRATORS UT$6.1B · 0.01%
BOARD OF DIRECTORS, MOTION PICTURE INDUSTRY PENSION CA$6.1B · 0.58%
SCIENCE APPLICATIONS INTERNATIONAL CORPORATION VA$6.0B · 0.05%
PROHEALTH PHYSICIANS, P.C. MN$6.0B · 0.01%
CONSTELLATION ENERGY GENERATION LLC PA$6.0B · 0.07%
TD BANK US HOLDING COMPANY ME$6.0B · 0.02%
TEACHERS INSURANCE AND ANNUITY ASSOCIATION OF AMERICA NY$5.9B · 0.01%
NIKE, INC. OR$5.9B · 0.04%
S&P GLOBAL, INC. NY$5.7B
BLOOMBERG L.P. NY$5.7B · 0.00%
MCKESSON CORPORATION TX$5.7B · 0.02%
TRUSTEES OF COLUMBIA UNIVERSITY NY$5.6B · 0.02%
T. ROWE PRICE GROUP, INC. MD$5.6B
EMORY UNIVERSITY DIVISION OF HUMAN RESOURCES GA$5.5B · 0.03%
NEXTERA ENERGY, INC. FL$5.5B · 0.07%
BURNS & MCDONNELL, INC MO$5.5B · 0.02%
JETBLUE AIRWAYS CORPORATION NY$5.4B · 0.03%
NEW YORK UNIVERSITY NY$5.4B · 0.01%
NORTHWESTERN MEMORIAL HEALTHCARE IL$5.4B · 0.05%
CREDIT SUISSE SECURITIES USA LLC NY$5.4B · 0.01%
WAWA, INC. PA$5.4B · 0.03%
FEDERAL EXPRESS CORPORATION TN$5.3B · 0.01%
SYSCO CORPORATION TX$5.2B · 0.05%
CALIFORNIA INSTITUTE OF TECHNOLOGY CA$5.2B · 0.01%
MMS USA HOLDINGS, INC. IL$5.2B · 0.04%
AMERICAN ELECTRIC POWER SERVICE CORPORATION OH$5.2B · 0.13%
MANUFACTURERS AND TRADERS TRUST CO. NY$5.2B · 0.05%
VISA INC. CA$5.2B · 0.00%
FCA US LLC MI$5.2B · 0.02%
FISERV SOLUTIONS, LLC. WI$5.1B · 0.03%
THE MITRE CORPORATION MA$5.1B · 0.02%
SCHNEIDER ELECTRIC HOLDINGS, INC. IL$5.1B · 0.05%
WINCO HOLDINGS, INC. ID$5.0B · 0.00%
GENERAL MILLS, INC. MN$5.0B · 0.10%
ADOBE INC. CA$5.0B · 0.02%
RBC USA HOLDCO CORPORATION MN$5.0B · 0.00%
UNIVERSITY OF SOUTHERN CALIFORNIA CA$5.0B · 0.01%
INTERNATIONAL PAPER COMPANY TN$5.0B · 0.05%
PARSONS CORPORATION CA$5.0B
NEW YORK LIFE INSURANCE COMPANY NY$5.0B · 0.03%
KIMBERLY-CLARK CORPORATION WI$5.0B · 0.03%
WESTROCK COMPANY GA$5.0B · 0.07%
BMO FINANCIAL CORP. IL$5.0B · 0.02%
PG&E CORPORATION CA$5.0B · 0.07%
CHUBB INA HOLDINGS INC. (FORMERLY ACE - PUERTO RICO) PA$5.0B · 0.03%
HSBC NORTH AMERICA HOLDINGS INC. IL$4.9B · 0.05%
CBRE SERVICES, INC. TX$4.9B · 0.05%
DOMINION ENERGY, INC. VA$4.9B · 0.06%
BANNER HEALTH AZ$4.9B · 0.09%
UPMC PA$4.9B · 0.10%
FARMERS GROUP, INC. CA$4.9B · 0.11%
STARBUCKS CORPORATION WA$4.9B · 0.08%
THE NEW YORK-PRESBYTERIAN HOSPITAL NY$4.8B · 0.04%
QUIKTRIP CORPORATION OK$4.8B
CRH AMERICAS, INC. GA$4.8B · 0.02%
BNSF RAILWAY COMPANY TX$4.8B · 0.00%
CHS/COMMUNITY HEALTH SYSTEMS, INC. TN$4.8B · 0.11%
CARDINAL HEALTH, INC. OH$4.8B · 0.05%
BLACKROCK, INC. NY$4.8B · 0.00%
RELX INC. NY$4.8B · 0.05%
NVIDIA CORPORATION CA$4.7B
GEORGIA-PACIFIC LLC GA$4.7B · 0.04%
CENTENE CORPORATION MO$4.7B · 0.05%
VANDERBILT UNIVERSITY MEDICAL CENTER TN$4.7B · 0.06%
WPP GROUP USA, INC. NY$4.7B · 0.04%
FIDELITY NATIONAL INFORMATION SERVICES, INC. FL$4.7B · 0.03%
BAYLOR SCOTT & WHITE HOLDINGS TX$4.7B · 0.08%
MACYS, INC. OH$4.6B · 0.08%
MASTERCARD INTERNATIONAL INCORPORATED NY$4.6B · 0.04%
FEDERAL NATIONAL MORTGAGE ASSOCIATION DC$4.6B · 0.04%
ROBERT BOSCH LLC IL$4.6B · 0.06%
BAXTER HEALTHCARE INC. IL$4.6B · 0.08%
PRINCIPAL FINANCIAL GROUP, INC. IA$4.6B · 0.02%
ALTRIA CLIENT SERVICES LLC VA$4.6B
HALLIBURTON COMPANY TX$4.5B · 0.04%
CACI INTERNATIONAL, INC. VA$4.5B · 0.03%
DEUTSCHE BANK AMERICAS HOLDING CORP NY$4.5B · 0.05%
INDIANA UNIVERSITY HEALTH INC. IN$4.5B · 0.07%
AMERICAN INTERNATIONAL GROUP, INC. NY$4.5B · 0.06%
LABORATORY CORPORATION OF AMERICA HOLDINGS NC$4.5B · 0.08%
MICHELIN NORTH AMERICA, INC C/O RETIREMENT MANAGER SC$4.5B · 0.02%
THOMSON REUTERS HOLDINGS INC. MN$4.5B · 0.06%
WILLIS TOWERS WATSON US LLC VA$4.5B · 0.05%
OMNICOM GROUP INC. NY$4.5B · 0.05%
ST.JOSEPH HEALTH SYSTEM WA$4.5B · 0.06%
DAVITA INC. CO$4.5B · 0.19%
NORTHWESTERN UNIVERSITY IL$4.4B · 0.01%
AMSTED INDUSTRIES INCORPORATED IL$4.4B
CINTAS CORPORATION OH$4.4B · 0.09%
MICRON TECHNOLOGY, INC. ID$4.4B · 0.04%