Plan Ledger DOL Form 5500 · updated monthly

401(k) plans in California

9,483 plans · ranked by assets · page 2

Plans
SHARP HEALTHCARE CA$1.4B · 0.09%
JOHN MUIR HEALTH CA$1.4B · 0.07%
BANK OF THE WEST CA$1.3B · 0.07%
SCRIPPS HEALTH CA$1.3B · 0.11%
COOLEY LLP CA$1.3B · 0.05%
ELECTRONIC ARTS INC. CA$1.3B · 0.02%
PALO ALTO NETWORKS, INC. CA$1.3B · 0.01%
MATTEL, INC. CA$1.3B · 0.05%
GLOBALFOUNDRIES U.S. INC. CA$1.2B · 0.04%
BLOCK, INC. CA$1.2B · 0.02%
TERADATA CORPORATION CA$1.2B · 0.02%
VIASAT, INC. CA$1.2B · 0.09%
ILLUMINA, INC. CA$1.1B · 0.04%
TRIMBLE INC. CA$1.1B · 0.07%
PAUL HASTINGS LLP CA$1.1B · 0.09%
LITTLER MENDELSON, P.C. CA$1.1B · 0.09%
DPR CONSTRUCTION CA$1.1B · 0.12%
RADIOLOGY PARTNERS INC CA$1.0B · 0.07%
INTUITIVE SURGICAL, INC. CA$1.0B · 0.07%
LEVI STRAUSS & CO. CA$1.0B · 0.05%
ROSS STORES, INC. CA$1.0B · 0.06%
THE SAVE MART COMPANIES CA$993.0M · 0.11%
AIRBNB, INC. CA$981.8M · 0.00%
EL CAMINO HOSPITAL CA$976.1M · 0.04%
IN-N-OUT BURGER, INC. CA$947.3M · 0.02%
MERCURY GENERAL CORPORATION CA$940.9M · 0.06%
BYTEDANCE INC CA$918.9M · 0.02%
MICRO FOCUS US INC. CA$917.6M · 0.03%
TD SYNNEX CORPORATION CA$896.1M · 0.05%
SRI INTERNATIONAL CA$887.1M · 0.04%
WILLIAMS-SONOMA, INC. CA$882.6M · 0.08%
O'MELVENY & MYERS LLP CA$878.6M · 0.11%
EQUINIX CA$878.1M · 0.05%
MITSUBISHI ELECTRIC US, INC. CA$860.3M · 0.03%
UNIVERSITY OF THE PACIFIC CA$839.2M · 0.02%
SWINERTON INCORPORATED CA$831.5M · 0.06%
SPLUNK INC. CA$821.2M
PROTIVITI INC CA$814.1M · 0.07%
MH SUB I LLC. CA$808.3M
UNIVERSITY OF SAN DIEGO CA$797.1M · 0.08%
YARDI SYSTEMS, INC. CA$780.5M · 0.02%
SNAP INC. CA$779.8M · 0.01%
CORELOGIC, INC. CA$779.0M · 0.00%
ATLASSIAN US, INC. CA$750.2M · 0.01%
INGRAM MICRO INC. CA$741.6M · 0.15%
EAST WEST BANK CA$729.2M · 0.03%
VIAVI SOLUTIONS INC. CA$728.6M · 0.05%
DELTA DENTAL OF CALIFORNIA CA$723.2M · 0.04%
ARUP US, INC. CA$723.2M · 0.02%
STRIPE, INC. CA$718.1M · 0.04%
GENSLER CA$717.2M · 0.07%
BIOMARIN PHARMACEUTICAL INC. CA$715.0M · 0.01%
DOLBY LABORATORIES, INC. CA$703.4M · 0.01%
FENWICK & WEST LLP CA$686.9M · 0.01%
RIOT GAMES CA$676.2M · 0.06%
SIERRA PACIFIC INDUSTRIES CA$675.1M · 0.05%
ICU MEDICAL, INC. CA$674.1M · 0.07%
GENESYS CLOUD SERVICES, INC. CA$672.8M · 0.06%
MITCHELL INTERNATIONAL INC CA$658.2M · 0.14%
THE RAND CORPORATION CA$655.7M · 0.02%
CUBIC CORPORATION CA$648.7M · 0.09%
RALEY'S CA$639.7M · 0.11%
ENDEAVOR PARENT, LLC CA$638.0M · 0.08%