Plan Ledger DOL Form 5500 · updated monthly

401(k) plans in California

9,483 plans · ranked by assets · page 17

Plans
NCC GROUP INC. CA$56.5M · 0.04%
DOORKING, INC. CA$56.3M · 0.14%
MARKETCAST LLC CA$56.3M · 0.31%
GLACIER NORTHWEST, INC. CA$56.2M · 0.10%
ALBERT A. WEBB ASSOCIATES CA$56.2M · 0.02%
HOOD & STRONG LLP CA$56.2M · 0.06%
HANLEY WOOD, DBA ZONDA CA$56.1M · 0.31%
CODEXIS, INC. CA$56.1M · 0.25%
SUMO LOGIC, INC. CA$56.0M · 0.05%
FAMILY HEALTHCARE NETWORK CA$55.6M · 0.61%
ATI PAYROLL SERVICES, LLC CA$55.6M · 0.25%
KP LLC CA$55.6M · 0.20%
MOSSY NISSAN INC CA$55.6M · 0.07%
METHOD PRODUCTS, PBC CA$55.5M · 0.17%
MUSCO OLIVE PRODUCTS, INC. CA$55.5M · 0.21%
A10 NETWORKS, INC. CA$55.5M · 0.19%
ILLUMIO, INC. CA$55.4M · 0.04%
CENTRE FOR NEURO SKILLS CA$55.4M · 0.49%
REALTY INCOME CORPORATION CA$55.4M · 0.26%
IMPOSSIBLE FOODS, INC. CA$55.3M · 0.28%
THE GILL CORPORATION CA$55.1M · 0.03%
RODAN & FIELDS BEAUTY, LLC CA$55.1M · 0.28%
METAGENICS LLC CA$55.1M · 0.21%
TOYOTA CARLSBAD CA$55.1M · 0.30%
KS INDUSTRIES, LP CA$54.9M · 0.51%
SUNRIDER INTERNATIONAL CA$54.7M · 0.01%
COSCO FIRE PROTECTION, INC. CA$54.7M · 0.13%
CASA COLINA, INC. CA$54.6M · 0.28%
UPGRADE INC. CA$54.5M · 0.28%
EMSER TILE, LLC CA$54.3M · 0.34%
HIMS, INC. CA$54.2M · 0.49%
LMH SERVICE, INC. CA$54.2M · 0.24%
CAREDX, INC. CA$54.1M · 0.07%
BERLINER COHEN, LLP CA$54.1M · 0.07%
C. OVERAA & CO. CA$54.1M · 0.10%
BEACON POINTE ADVISORS, LLC CA$54.0M · 0.12%
LYONS MAGNUS, LLC CA$54.0M · 0.49%
NEUDESIC, LLC CA$54.0M · 0.42%
SIGMA DEFENSE SYSTEMS, LLC CA$53.9M · 0.21%
SAKURA FINETEK USA, INC. CA$53.8M · 0.09%
LYRA HEALTH, INC. CA$53.8M · 0.03%
TCMI, INC. CA$53.8M · 0.01%
WARE MALCOMB CA$53.7M · 0.34%
COALITION, INC. CA$53.6M · 0.14%
DOUBLELINE CAPITAL LP CA$53.6M · 0.00%
FRESNO PACIFIC UNIVERSITY CA$53.4M · 0.09%
VERKADA, INC. CA$53.4M · 0.12%
ANNUAL REVIEWS CA$53.4M · 0.02%
MAG BRAND GROUP, LLC CA$53.4M · 0.61%
ANNADEL MEDICAL GROUP, INC. CA$53.4M · 0.17%
CAYMUS VINEYARDS CA$53.2M · 0.30%
GEHRY PARTNERS, LLP CA$53.2M · 0.00%
FLUIDMASTER, INC. CA$53.2M · 0.22%
EBARA TECHNOLOGIES, INC. CA$53.1M · 0.39%
FFF ENTERPRISES, INC. CA$53.0M · 0.31%
6SENSE INSIGHTS, INC. CA$53.0M · 0.29%