Minnesota Life Insurance Company at 400 Robert ST N, Saint Paul, Mn 55101 lists Christopher Michael Hilger, and Warren John Zaccaro, of Saint Paul, MN.
Csc-Lawyers Incorporating Service Company
Registered Agent
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221 BOLIVAR ST, JEFFERSON CITY, MO 65101
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Christopher Michael Hilger,
CEO
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400 ROBERT ST N, SAINT PAUL, MN 55101
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Christopher Michael Hilger,
President
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400 ROBERT ST N, SAINT PAUL, MN 55101
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Warren John Zaccaro,
Director
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400 ROBERT ST N, SAINT PAUL, MN 55101
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Gary Roger Christensen,
Secretary
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400 ROBERT ST N, SAINT PAUL, MN 55101
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Ted Nistler,
Treasurer
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400 ROBERT ST N, SAINT PAUL, MN 55101
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Will Cottrell,
Assistant Secretary
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400 ROBERT ST N, SAINT PAUL, MN 55101
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Jodie Simon, St. Paul
Assistant Secretary
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400 ROBERT ST N, SAINT PAUL, MN 55101
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400 ROBERT ST N, SAINT PAUL, MN 55101
View Map
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Year | Plan Name | Participants BOY/EOY | Assets BOY/EOY | ||
---|---|---|---|---|---|
2023 | Plan NameLONG TERM DISABILITY PLAN FOR AGENTS OF MINNESOTA LIFE Plan #515 Participants BOY/EOY968 / 0 Assets BOY/EOY$0 / $0 | 2023 | LONG TERM DISABILITY PLAN FOR AGENTS OF MINNESOTA LIFE - Plan #515 | 968 / 0 | $0 / $0 |
2023 | Plan NameMAJOR MEDICAL FOR AGENTS OF MINNESOTA LIFE Plan #505 Participants BOY/EOY589 / 0 Assets BOY/EOY$0 / $0 | 2023 | MAJOR MEDICAL FOR AGENTS OF MINNESOTA LIFE - Plan #505 | 589 / 0 | $0 / $0 |
2023 | Plan NameBASIC GROUP LIFE INSURANCE PLAN FOR AGENTS OF MINNESOTA LIFE Plan #504 Participants BOY/EOY1,242 / 0 Assets BOY/EOY$0 / $0 | 2023 | BASIC GROUP LIFE INSURANCE PLAN FOR AGENTS OF MINNESOTA LIFE - Plan #504 | 1,242 / 0 | $0 / $0 |
2023 | Plan NameMINNESOTA LIFE INSURANCE COMPANY GROUP DENTAL PLAN Plan #516 Participants BOY/EOY585 / 80 Assets BOY/EOY$0 / $0 | 2023 | MINNESOTA LIFE INSURANCE COMPANY GROUP DENTAL PLAN - Plan #516 | 585 / 80 | $0 / $0 |
2022 | Plan NameMASTER SEPARATE ACCOUNT Plan #900 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,982,440,826 / $18,639,130,910 | 2022 | MASTER SEPARATE ACCOUNT - Plan #900 | 0 / 0 | $5,982,440,826 / $18,639,130,910 |
2022 | Plan NameADVISOR 401(K) RETIREMENT PLAN Plan #006 Participants BOY/EOY1,241 / 1,177 Assets BOY/EOY$159,420,419 / $128,996,874 | 2022 | ADVISOR 401(K) RETIREMENT PLAN - Plan #006 | 1,241 / 1,177 | $159,420,419 / $128,996,874 |
2022 | Plan NameMINNESOTA LIFE INSURANCE COMPANY GROUP DENTAL PLAN Plan #516 Participants BOY/EOY588 / 564 Assets BOY/EOY$0 / $0 | 2022 | MINNESOTA LIFE INSURANCE COMPANY GROUP DENTAL PLAN - Plan #516 | 588 / 564 | $0 / $0 |
2022 | Plan NameVANGUARD TGT RETIRE 2015 INV CL Plan #204 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,475,209 / $0 | 2022 | VANGUARD TGT RETIRE 2015 INV CL - Plan #204 | 0 / 0 | $5,475,209 / $0 |
2022 | Plan NameDELAWARE IVY GOVT MONEY MKT CL A Plan #071 Participants BOY/EOY0 / 0 Assets BOY/EOY$199,010 / $0 | 2022 | DELAWARE IVY GOVT MONEY MKT CL A - Plan #071 | 0 / 0 | $199,010 / $0 |
2022 | Plan NameSECURIAN AM LONG DUR BOND Plan #239 Participants BOY/EOY0 / 0 Assets BOY/EOY$73,070,393 / $0 | 2022 | SECURIAN AM LONG DUR BOND - Plan #239 | 0 / 0 | $73,070,393 / $0 |
2022 | Plan NameSECURIAN AM CORE BOND Plan #240 Participants BOY/EOY0 / 0 Assets BOY/EOY$28,831,730 / $0 | 2022 | SECURIAN AM CORE BOND - Plan #240 | 0 / 0 | $28,831,730 / $0 |
2022 | Plan NameMAJOR MEDICAL FOR AGENTS OF MINNESOTA LIFE Plan #505 Participants BOY/EOY588 / 573 Assets BOY/EOY$0 / $0 | 2022 | MAJOR MEDICAL FOR AGENTS OF MINNESOTA LIFE - Plan #505 | 588 / 573 | $0 / $0 |
2022 | Plan NameSECURIAN AM MFS MID CAP VAL Plan #782 Participants BOY/EOY0 / 0 Assets BOY/EOY$54,419,041 / $0 | 2022 | SECURIAN AM MFS MID CAP VAL - Plan #782 | 0 / 0 | $54,419,041 / $0 |
2022 | Plan NameBASIC GROUP LIFE INSURANCE PLAN FOR AGENTS OF MINNESOTA LIFE Plan #504 Participants BOY/EOY1,309 / 1,242 Assets BOY/EOY$0 / $0 | 2022 | BASIC GROUP LIFE INSURANCE PLAN FOR AGENTS OF MINNESOTA LIFE - Plan #504 | 1,309 / 1,242 | $0 / $0 |
2022 | Plan NameLONG TERM DISABILITY PLAN FOR AGENTS OF MINNESOTA LIFE Plan #515 Participants BOY/EOY1,035 / 970 Assets BOY/EOY$0 / $0 | 2022 | LONG TERM DISABILITY PLAN FOR AGENTS OF MINNESOTA LIFE - Plan #515 | 1,035 / 970 | $0 / $0 |
2021 | Plan NameMASTER SEPARATE ACCOUNT Plan #900 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,447,354,129 / $5,982,440,826 | 2021 | MASTER SEPARATE ACCOUNT - Plan #900 | 0 / 0 | $3,447,354,129 / $5,982,440,826 |
2021 | Plan NameSECURIAN AM S&P 500 IDX Plan #011 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,668,973,535 / $1,996,486,577 | 2021 | SECURIAN AM S&P 500 IDX - Plan #011 | 0 / 0 | $1,668,973,535 / $1,996,486,577 |
2021 | Plan NameSECURIAN AM T. ROWE PRICE LRG CAP VAL Plan #030 Participants BOY/EOY0 / 0 Assets BOY/EOY$461,509,912 / $590,482,800 | 2021 | SECURIAN AM T. ROWE PRICE LRG CAP VAL - Plan #030 | 0 / 0 | $461,509,912 / $590,482,800 |
2021 | Plan NameVANGUARD LIFESTRATEGY GROWTH Plan #026 Participants BOY/EOY0 / 0 Assets BOY/EOY$421,815,232 / $471,755,962 | 2021 | VANGUARD LIFESTRATEGY GROWTH - Plan #026 | 0 / 0 | $421,815,232 / $471,755,962 |
2021 | Plan NameTIAA CREF INTL EQ IDX INSTL CL Plan #788 Participants BOY/EOY0 / 0 Assets BOY/EOY$413,298,851 / $465,832,673 | 2021 | TIAA CREF INTL EQ IDX INSTL CL - Plan #788 | 0 / 0 | $413,298,851 / $465,832,673 |
2021 | Plan NameVANGUARD LIFESTRATEGY MOD GROWTH Plan #027 Participants BOY/EOY0 / 0 Assets BOY/EOY$421,658,948 / $448,900,086 | 2021 | VANGUARD LIFESTRATEGY MOD GROWTH - Plan #027 | 0 / 0 | $421,658,948 / $448,900,086 |
2021 | Plan NameDODGE & COX INTL STOCK FUND Plan #102 Participants BOY/EOY0 / 0 Assets BOY/EOY$381,362,785 / $416,597,304 | 2021 | DODGE & COX INTL STOCK FUND - Plan #102 | 0 / 0 | $381,362,785 / $416,597,304 |
2021 | Plan NameVANGUARD INTERM TERM BOND IDX ADMRL CL Plan #113 Participants BOY/EOY0 / 0 Assets BOY/EOY$403,677,712 / $403,481,497 | 2021 | VANGUARD INTERM TERM BOND IDX ADMRL CL - Plan #113 | 0 / 0 | $403,677,712 / $403,481,497 |
2021 | Plan NameMET WEST TOTAL RTRN BOND ADMIN CL Plan #236 Participants BOY/EOY0 / 0 Assets BOY/EOY$376,316,215 / $397,642,784 | 2021 | MET WEST TOTAL RTRN BOND ADMIN CL - Plan #236 | 0 / 0 | $376,316,215 / $397,642,784 |
2021 | Plan NameVANGUARD 500 IDX ADMRL CL Plan #293 Participants BOY/EOY0 / 0 Assets BOY/EOY$209,920,832 / $284,312,006 | 2021 | VANGUARD 500 IDX ADMRL CL - Plan #293 | 0 / 0 | $209,920,832 / $284,312,006 |
2021 | Plan NameSECURIAN AM MORGAN STANLEY LRG CAP GROWTH Plan #768 Participants BOY/EOY0 / 0 Assets BOY/EOY$324,793,485 / $270,676,898 | 2021 | SECURIAN AM MORGAN STANLEY LRG CAP GROWTH - Plan #768 | 0 / 0 | $324,793,485 / $270,676,898 |
2021 | Plan NameDFA U.S. LRG CAP VAL INSTL CL Plan #105 Participants BOY/EOY0 / 0 Assets BOY/EOY$228,730,554 / $269,655,082 | 2021 | DFA U.S. LRG CAP VAL INSTL CL - Plan #105 | 0 / 0 | $228,730,554 / $269,655,082 |
2021 | Plan NameSCHWAB FUNDAMENTAL U.S. LRG CO IDX Plan #771 Participants BOY/EOY0 / 0 Assets BOY/EOY$199,032,069 / $266,163,149 | 2021 | SCHWAB FUNDAMENTAL U.S. LRG CO IDX - Plan #771 | 0 / 0 | $199,032,069 / $266,163,149 |
2021 | Plan NameVANGUARD INTERM TERM BOND IDX INSTL CL Plan #187 Participants BOY/EOY0 / 0 Assets BOY/EOY$247,595,504 / $264,725,022 | 2021 | VANGUARD INTERM TERM BOND IDX INSTL CL - Plan #187 | 0 / 0 | $247,595,504 / $264,725,022 |
2021 | Plan NameVANGUARD TOTAL BOND MKT IDX ADMRL CL Plan #154 Participants BOY/EOY0 / 0 Assets BOY/EOY$213,744,425 / $257,961,799 | 2021 | VANGUARD TOTAL BOND MKT IDX ADMRL CL - Plan #154 | 0 / 0 | $213,744,425 / $257,961,799 |
2021 | Plan NameDODGE & COX STOCK FUND Plan #042 Participants BOY/EOY0 / 0 Assets BOY/EOY$182,857,948 / $235,260,492 | 2021 | DODGE & COX STOCK FUND - Plan #042 | 0 / 0 | $182,857,948 / $235,260,492 |
2021 | Plan NameFIDELITY 500 IDX Plan #730 Participants BOY/EOY0 / 0 Assets BOY/EOY$149,060,796 / $232,570,436 | 2021 | FIDELITY 500 IDX - Plan #730 | 0 / 0 | $149,060,796 / $232,570,436 |
2021 | Plan NameSECURIAN AM MONEY MKT Plan #009 Participants BOY/EOY0 / 0 Assets BOY/EOY$274,452,924 / $230,465,386 | 2021 | SECURIAN AM MONEY MKT - Plan #009 | 0 / 0 | $274,452,924 / $230,465,386 |
2021 | Plan NameVANGUARD EXTENDED MKT IDX ADMRL CL Plan #112 Participants BOY/EOY0 / 0 Assets BOY/EOY$194,870,148 / $205,359,189 | 2021 | VANGUARD EXTENDED MKT IDX ADMRL CL - Plan #112 | 0 / 0 | $194,870,148 / $205,359,189 |
2021 | Plan NameVANGUARD EQ INC ADMRL CL Plan #333 Participants BOY/EOY0 / 0 Assets BOY/EOY$149,651,176 / $205,355,422 | 2021 | VANGUARD EQ INC ADMRL CL - Plan #333 | 0 / 0 | $149,651,176 / $205,355,422 |
2021 | Plan NameVANGUARD LIFESTRATEGY CONSERV GROWTH Plan #028 Participants BOY/EOY0 / 0 Assets BOY/EOY$186,029,553 / $188,778,697 | 2021 | VANGUARD LIFESTRATEGY CONSERV GROWTH - Plan #028 | 0 / 0 | $186,029,553 / $188,778,697 |
2021 | Plan NameFRANKLIN TEMPLETON GLBL BOND CL A Plan #136 Participants BOY/EOY0 / 0 Assets BOY/EOY$192,580,588 / $171,370,720 | 2021 | FRANKLIN TEMPLETON GLBL BOND CL A - Plan #136 | 0 / 0 | $192,580,588 / $171,370,720 |
2021 | Plan NameSECURIAN AM S&P 500/CITIGROUP GROWTH Plan #032 Participants BOY/EOY0 / 0 Assets BOY/EOY$136,192,890 / $169,694,611 | 2021 | SECURIAN AM S&P 500/CITIGROUP GROWTH - Plan #032 | 0 / 0 | $136,192,890 / $169,694,611 |
2021 | Plan NameSECURIAN AM DISCIPLINED GROWTH MID CAP GROWTH Plan #059 Participants BOY/EOY0 / 0 Assets BOY/EOY$169,315,026 / $168,151,930 | 2021 | SECURIAN AM DISCIPLINED GROWTH MID CAP GROWTH - Plan #059 | 0 / 0 | $169,315,026 / $168,151,930 |
2021 | Plan NameADVISOR 401(K) RETIREMENT PLAN Plan #006 Participants BOY/EOY1,194 / 1,230 Assets BOY/EOY$140,319,015 / $159,420,419 | 2021 | ADVISOR 401(K) RETIREMENT PLAN - Plan #006 | 1,194 / 1,230 | $140,319,015 / $159,420,419 |
2021 | Plan NameSECURIAN AM T. ROWE PRICE SM CAP STOCK Plan #035 Participants BOY/EOY0 / 0 Assets BOY/EOY$131,236,022 / $159,292,948 | 2021 | SECURIAN AM T. ROWE PRICE SM CAP STOCK - Plan #035 | 0 / 0 | $131,236,022 / $159,292,948 |
2021 | Plan NameVANGUARD SM CAP IDX ADMRL CL Plan #178 Participants BOY/EOY0 / 0 Assets BOY/EOY$134,881,440 / $158,957,886 | 2021 | VANGUARD SM CAP IDX ADMRL CL - Plan #178 | 0 / 0 | $134,881,440 / $158,957,886 |
2021 | Plan NameVANGUARD MID CAP IDX ADMRL CL Plan #174 Participants BOY/EOY0 / 0 Assets BOY/EOY$109,349,245 / $152,178,674 | 2021 | VANGUARD MID CAP IDX ADMRL CL - Plan #174 | 0 / 0 | $109,349,245 / $152,178,674 |
2021 | Plan NameINVESCO DIVERS DIV CL R5 Plan #283 Participants BOY/EOY0 / 0 Assets BOY/EOY$177,031,642 / $151,182,485 | 2021 | INVESCO DIVERS DIV CL R5 - Plan #283 | 0 / 0 | $177,031,642 / $151,182,485 |
2021 | Plan NameSECURIAN AM MFS MID CAP GROWTH Plan #783 Participants BOY/EOY0 / 0 Assets BOY/EOY$139,273,369 / $149,419,603 | 2021 | SECURIAN AM MFS MID CAP GROWTH - Plan #783 | 0 / 0 | $139,273,369 / $149,419,603 |
2021 | Plan NameSECURIAN AM DELAWARE IVY SM CAP GROWTH Plan #062 Participants BOY/EOY0 / 0 Assets BOY/EOY$147,096,880 / $147,579,111 | 2021 | SECURIAN AM DELAWARE IVY SM CAP GROWTH - Plan #062 | 0 / 0 | $147,096,880 / $147,579,111 |
2021 | Plan NameSECURIAN AM JANUS HENDERSON SM CAP VAL Plan #152 Participants BOY/EOY0 / 0 Assets BOY/EOY$139,663,080 / $140,338,354 | 2021 | SECURIAN AM JANUS HENDERSON SM CAP VAL - Plan #152 | 0 / 0 | $139,663,080 / $140,338,354 |
2021 | Plan NameBLACKROCK ISHARES S&P 500 IDX SVC CL Plan #658 Participants BOY/EOY0 / 0 Assets BOY/EOY$47,165,996 / $140,294,979 | 2021 | BLACKROCK ISHARES S&P 500 IDX SVC CL - Plan #658 | 0 / 0 | $47,165,996 / $140,294,979 |
2021 | Plan NameMFS GROWTH CL R3 Plan #361 Participants BOY/EOY0 / 0 Assets BOY/EOY$110,930,784 / $138,426,368 | 2021 | MFS GROWTH CL R3 - Plan #361 | 0 / 0 | $110,930,784 / $138,426,368 |
2021 | Plan NameDFA INTL VAL INSTL CL Plan #110 Participants BOY/EOY0 / 0 Assets BOY/EOY$125,963,183 / $138,022,201 | 2021 | DFA INTL VAL INSTL CL - Plan #110 | 0 / 0 | $125,963,183 / $138,022,201 |
2021 | Plan NameDFA INFL PROTCTD SEC INSTL CL Plan #221 Participants BOY/EOY0 / 0 Assets BOY/EOY$107,198,836 / $135,638,478 | 2021 | DFA INFL PROTCTD SEC INSTL CL - Plan #221 | 0 / 0 | $107,198,836 / $135,638,478 |
2021 | Plan NameSECURIAN AM DELAWARE IVY LRG CAP GROWTH Plan #060 Participants BOY/EOY0 / 0 Assets BOY/EOY$106,077,818 / $132,222,002 | 2021 | SECURIAN AM DELAWARE IVY LRG CAP GROWTH - Plan #060 | 0 / 0 | $106,077,818 / $132,222,002 |
2021 | Plan NameINVESCO COMSTOCK CL R5 Plan #055 Participants BOY/EOY0 / 0 Assets BOY/EOY$113,662,574 / $130,993,348 | 2021 | INVESCO COMSTOCK CL R5 - Plan #055 | 0 / 0 | $113,662,574 / $130,993,348 |
2021 | Plan NameT. ROWE PRICE HEALTH SCIENCES INV CL Plan #196 Participants BOY/EOY0 / 0 Assets BOY/EOY$123,316,310 / $128,344,735 | 2021 | T. ROWE PRICE HEALTH SCIENCES INV CL - Plan #196 | 0 / 0 | $123,316,310 / $128,344,735 |
2021 | Plan NameJANUS HENDERSON TRITON CL N Plan #223 Participants BOY/EOY0 / 0 Assets BOY/EOY$157,079,953 / $127,291,809 | 2021 | JANUS HENDERSON TRITON CL N - Plan #223 | 0 / 0 | $157,079,953 / $127,291,809 |
2021 | Plan NameLOOMIS SAYLES INVMNT GRADE BOND ADMIN CL Plan #138 Participants BOY/EOY0 / 0 Assets BOY/EOY$110,372,503 / $126,163,499 | 2021 | LOOMIS SAYLES INVMNT GRADE BOND ADMIN CL - Plan #138 | 0 / 0 | $110,372,503 / $126,163,499 |
2021 | Plan NameDFA US TARGETED VALUE PORT SEPARATE ACCOUNT Plan #127 Participants BOY/EOY0 / 0 Assets BOY/EOY$103,171,948 / $125,169,678 | 2021 | DFA US TARGETED VALUE PORT SEPARATE ACCOUNT - Plan #127 | 0 / 0 | $103,171,948 / $125,169,678 |
2021 | Plan NameVANGUARD SM CAP GROWTH IDX ADMRL CL Plan #132 Participants BOY/EOY0 / 0 Assets BOY/EOY$126,773,433 / $124,124,348 | 2021 | VANGUARD SM CAP GROWTH IDX ADMRL CL - Plan #132 | 0 / 0 | $126,773,433 / $124,124,348 |
2021 | Plan NameMORGAN STANLEY INSTL INTL OPPS I CL Plan #770 Participants BOY/EOY0 / 0 Assets BOY/EOY$120,047,860 / $121,318,663 | 2021 | MORGAN STANLEY INSTL INTL OPPS I CL - Plan #770 | 0 / 0 | $120,047,860 / $121,318,663 |
2021 | Plan NameSECURIAN AM HOTCH & WILEY LRG CAP VAL Plan #095 Participants BOY/EOY0 / 0 Assets BOY/EOY$91,852,883 / $111,234,748 | 2021 | SECURIAN AM HOTCH & WILEY LRG CAP VAL - Plan #095 | 0 / 0 | $91,852,883 / $111,234,748 |
2021 | Plan NameDFA U.S. SM CAP INSTL CL Plan #077 Participants BOY/EOY0 / 0 Assets BOY/EOY$88,839,784 / $107,023,659 | 2021 | DFA U.S. SM CAP INSTL CL - Plan #077 | 0 / 0 | $88,839,784 / $107,023,659 |
2021 | Plan NameSECURIAN AM COLUMBIA CONTRARIAN CORE Plan #765 Participants BOY/EOY0 / 0 Assets BOY/EOY$87,633,004 / $101,040,320 | 2021 | SECURIAN AM COLUMBIA CONTRARIAN CORE - Plan #765 | 0 / 0 | $87,633,004 / $101,040,320 |
2021 | Plan NameLOOMIS SAYLES BOND INSTL CL Plan #123 Participants BOY/EOY0 / 0 Assets BOY/EOY$85,506,122 / $98,129,465 | 2021 | LOOMIS SAYLES BOND INSTL CL - Plan #123 | 0 / 0 | $85,506,122 / $98,129,465 |
2021 | Plan NameSECURIAN AM DISCIPLINED GROWTH SM CAP GROWTH Plan #170 Participants BOY/EOY0 / 0 Assets BOY/EOY$100,800,257 / $95,600,963 | 2021 | SECURIAN AM DISCIPLINED GROWTH SM CAP GROWTH - Plan #170 | 0 / 0 | $100,800,257 / $95,600,963 |
2021 | Plan NameDELAWARE IVY SECURIAN RE SEC CI Y Plan #036 Participants BOY/EOY0 / 0 Assets BOY/EOY$64,505,355 / $93,191,498 | 2021 | DELAWARE IVY SECURIAN RE SEC CI Y - Plan #036 | 0 / 0 | $64,505,355 / $93,191,498 |
2021 | Plan NameSECURIAN AM S&P 500/CITIGROUP VAL Plan #031 Participants BOY/EOY0 / 0 Assets BOY/EOY$75,115,912 / $84,697,676 | 2021 | SECURIAN AM S&P 500/CITIGROUP VAL - Plan #031 | 0 / 0 | $75,115,912 / $84,697,676 |
2021 | Plan NameSECURIAN AM GW&K SM CAP GROWTH Plan #238 Participants BOY/EOY0 / 0 Assets BOY/EOY$82,176,459 / $82,438,707 | 2021 | SECURIAN AM GW&K SM CAP GROWTH - Plan #238 | 0 / 0 | $82,176,459 / $82,438,707 |
2021 | Plan NameAMERICAN FUNDS NEW PERSPECTIVE CL R6 Plan #183 Participants BOY/EOY0 / 0 Assets BOY/EOY$63,750,127 / $81,674,002 | 2021 | AMERICAN FUNDS NEW PERSPECTIVE CL R6 - Plan #183 | 0 / 0 | $63,750,127 / $81,674,002 |
2021 | Plan NameSECURIAN AM BARON GROWTH EQ Plan #075 Participants BOY/EOY0 / 0 Assets BOY/EOY$73,111,866 / $78,807,934 | 2021 | SECURIAN AM BARON GROWTH EQ - Plan #075 | 0 / 0 | $73,111,866 / $78,807,934 |
2021 | Plan NameVANGUARD TOTAL STOCK MKT IDX ADMRL CL Plan #180 Participants BOY/EOY0 / 0 Assets BOY/EOY$64,606,963 / $77,365,313 | 2021 | VANGUARD TOTAL STOCK MKT IDX ADMRL CL - Plan #180 | 0 / 0 | $64,606,963 / $77,365,313 |
2021 | Plan NameSECURIAN AM RIVER ROAD SM CAP VAL Plan #109 Participants BOY/EOY0 / 0 Assets BOY/EOY$58,607,747 / $74,268,725 | 2021 | SECURIAN AM RIVER ROAD SM CAP VAL - Plan #109 | 0 / 0 | $58,607,747 / $74,268,725 |
2021 | Plan NameSECURIAN AM LONG DUR BOND Plan #239 Participants BOY/EOY0 / 0 Assets BOY/EOY$96,288,570 / $73,070,393 | 2021 | SECURIAN AM LONG DUR BOND - Plan #239 | 0 / 0 | $96,288,570 / $73,070,393 |
2021 | Plan NameLAZARD INTL STRAT EQ INSTL CL Plan #235 Participants BOY/EOY0 / 0 Assets BOY/EOY$67,747,476 / $72,487,914 | 2021 | LAZARD INTL STRAT EQ INSTL CL - Plan #235 | 0 / 0 | $67,747,476 / $72,487,914 |
2021 | Plan NameVANGUARD TOTAL STOCK MKT IDX INSTL CL Plan #190 Participants BOY/EOY0 / 0 Assets BOY/EOY$42,212,961 / $71,212,300 | 2021 | VANGUARD TOTAL STOCK MKT IDX INSTL CL - Plan #190 | 0 / 0 | $42,212,961 / $71,212,300 |
2021 | Plan NamePGIM TOTAL RTRN BOND CL Z Plan #382 Participants BOY/EOY0 / 0 Assets BOY/EOY$56,667,304 / $67,929,114 | 2021 | PGIM TOTAL RTRN BOND CL Z - Plan #382 | 0 / 0 | $56,667,304 / $67,929,114 |
2021 | Plan NameDODGE & COX INC FUND Plan #156 Participants BOY/EOY0 / 0 Assets BOY/EOY$57,777,305 / $67,901,737 | 2021 | DODGE & COX INC FUND - Plan #156 | 0 / 0 | $57,777,305 / $67,901,737 |
2021 | Plan NameVANGUARD MID CAP VAL IDX ADMRL CL Plan #176 Participants BOY/EOY0 / 0 Assets BOY/EOY$36,764,325 / $65,108,683 | 2021 | VANGUARD MID CAP VAL IDX ADMRL CL - Plan #176 | 0 / 0 | $36,764,325 / $65,108,683 |
2021 | Plan NameVANGUARD WELLESLEY INC ADMRL CL Plan #115 Participants BOY/EOY0 / 0 Assets BOY/EOY$61,436,419 / $64,601,797 | 2021 | VANGUARD WELLESLEY INC ADMRL CL - Plan #115 | 0 / 0 | $61,436,419 / $64,601,797 |
2021 | Plan NameVANGUARD SM CAP VAL IDX ADMRL CL Plan #133 Participants BOY/EOY0 / 0 Assets BOY/EOY$40,609,788 / $63,351,597 | 2021 | VANGUARD SM CAP VAL IDX ADMRL CL - Plan #133 | 0 / 0 | $40,609,788 / $63,351,597 |
2021 | Plan NamePIMCO INVMNT GRADE CREDIT BOND INSTL CL Plan #142 Participants BOY/EOY0 / 0 Assets BOY/EOY$62,524,563 / $61,316,934 | 2021 | PIMCO INVMNT GRADE CREDIT BOND INSTL CL - Plan #142 | 0 / 0 | $62,524,563 / $61,316,934 |
2021 | Plan NameVANGUARD TOTAL INTL BOND IDX ADMRL CL Plan #269 Participants BOY/EOY0 / 0 Assets BOY/EOY$39,910,036 / $58,110,169 | 2021 | VANGUARD TOTAL INTL BOND IDX ADMRL CL - Plan #269 | 0 / 0 | $39,910,036 / $58,110,169 |
2021 | Plan NameINVESCO EQ & INC CL R5 Plan #054 Participants BOY/EOY0 / 0 Assets BOY/EOY$55,014,782 / $57,188,960 | 2021 | INVESCO EQ & INC CL R5 - Plan #054 | 0 / 0 | $55,014,782 / $57,188,960 |
2021 | Plan NameAB DISC VAL ADV CL Plan #107 Participants BOY/EOY0 / 0 Assets BOY/EOY$46,329,109 / $55,095,060 | 2021 | AB DISC VAL ADV CL - Plan #107 | 0 / 0 | $46,329,109 / $55,095,060 |
2021 | Plan NameSECURIAN AM MFS MID CAP VAL Plan #782 Participants BOY/EOY0 / 0 Assets BOY/EOY$39,805,370 / $54,419,041 | 2021 | SECURIAN AM MFS MID CAP VAL - Plan #782 | 0 / 0 | $39,805,370 / $54,419,041 |
2021 | Plan NameAMERICAN FUNDS EUROPACIFIC GROWTH CL R6 Plan #286 Participants BOY/EOY0 / 0 Assets BOY/EOY$43,426,261 / $54,182,745 | 2021 | AMERICAN FUNDS EUROPACIFIC GROWTH CL R6 - Plan #286 | 0 / 0 | $43,426,261 / $54,182,745 |
2021 | Plan NameVANGUARD LONG TERM INVMNT GRADE ADMRL CL Plan #114 Participants BOY/EOY0 / 0 Assets BOY/EOY$64,744,967 / $52,568,712 | 2021 | VANGUARD LONG TERM INVMNT GRADE ADMRL CL - Plan #114 | 0 / 0 | $64,744,967 / $52,568,712 |
2021 | Plan NameFIDELITY MID CAP IDX Plan #731 Participants BOY/EOY0 / 0 Assets BOY/EOY$27,090,449 / $48,667,657 | 2021 | FIDELITY MID CAP IDX - Plan #731 | 0 / 0 | $27,090,449 / $48,667,657 |
2021 | Plan NameAMERICAN FUNDS AMERICAN BAL CL R6 Plan #330 Participants BOY/EOY0 / 0 Assets BOY/EOY$36,527,377 / $47,643,632 | 2021 | AMERICAN FUNDS AMERICAN BAL CL R6 - Plan #330 | 0 / 0 | $36,527,377 / $47,643,632 |
2021 | Plan NameFIDELITY SM CAP IDX Plan #732 Participants BOY/EOY0 / 0 Assets BOY/EOY$31,828,233 / $47,366,573 | 2021 | FIDELITY SM CAP IDX - Plan #732 | 0 / 0 | $31,828,233 / $47,366,573 |
2021 | Plan NameCOLUMBIA LTD DUR CREDIT ADV CL Plan #270 Participants BOY/EOY0 / 0 Assets BOY/EOY$43,291,671 / $45,435,530 | 2021 | COLUMBIA LTD DUR CREDIT ADV CL - Plan #270 | 0 / 0 | $43,291,671 / $45,435,530 |
2021 | Plan NameVANGUARD TGT RETIRE 2030 INV CL Plan #207 Participants BOY/EOY0 / 0 Assets BOY/EOY$132,270,658 / $44,864,586 | 2021 | VANGUARD TGT RETIRE 2030 INV CL - Plan #207 | 0 / 0 | $132,270,658 / $44,864,586 |
2021 | Plan NameROXBURY HOOD RIVER SM CAP GROWTH INSTL CL Plan #278 Participants BOY/EOY0 / 0 Assets BOY/EOY$41,718,410 / $44,444,873 | 2021 | ROXBURY HOOD RIVER SM CAP GROWTH INSTL CL - Plan #278 | 0 / 0 | $41,718,410 / $44,444,873 |
2021 | Plan NameINVESCO OPPENHEIMER INTL GROWTH CL R5 Plan #277 Participants BOY/EOY0 / 0 Assets BOY/EOY$34,127,375 / $44,302,217 | 2021 | INVESCO OPPENHEIMER INTL GROWTH CL R5 - Plan #277 | 0 / 0 | $34,127,375 / $44,302,217 |
2021 | Plan NameVANGUARD MID CAP GROWTH IDX ADMRL CL Plan #175 Participants BOY/EOY0 / 0 Assets BOY/EOY$51,062,788 / $44,280,250 | 2021 | VANGUARD MID CAP GROWTH IDX ADMRL CL - Plan #175 | 0 / 0 | $51,062,788 / $44,280,250 |
2021 | Plan NameRELIANCE METLIFE SER 25157 CL 0 Plan #608 Participants BOY/EOY0 / 0 Assets BOY/EOY$34,633,351 / $43,819,641 | 2021 | RELIANCE METLIFE SER 25157 CL 0 - Plan #608 | 0 / 0 | $34,633,351 / $43,819,641 |
2021 | Plan NameT. ROWE PRICE MID CAP VAL INV CL Plan #018 Participants BOY/EOY0 / 0 Assets BOY/EOY$29,024,500 / $43,277,324 | 2021 | T. ROWE PRICE MID CAP VAL INV CL - Plan #018 | 0 / 0 | $29,024,500 / $43,277,324 |
2021 | Plan NameVANGUARD TGT RETIRE 2035 INV CL Plan #208 Participants BOY/EOY0 / 0 Assets BOY/EOY$117,672,124 / $43,182,272 | 2021 | VANGUARD TGT RETIRE 2035 INV CL - Plan #208 | 0 / 0 | $117,672,124 / $43,182,272 |
2021 | Plan NameFIDELITY RE IDX Plan #737 Participants BOY/EOY0 / 0 Assets BOY/EOY$29,920,848 / $42,725,273 | 2021 | FIDELITY RE IDX - Plan #737 | 0 / 0 | $29,920,848 / $42,725,273 |
2021 | Plan NameVANGUARD EXTENDED MKT IDX INSTL CL Plan #193 Participants BOY/EOY0 / 0 Assets BOY/EOY$36,293,081 / $41,461,459 | 2021 | VANGUARD EXTENDED MKT IDX INSTL CL - Plan #193 | 0 / 0 | $36,293,081 / $41,461,459 |
2021 | Plan NameAB SM CAP VAL CL A Plan #200 Participants BOY/EOY0 / 0 Assets BOY/EOY$28,634,467 / $39,902,164 | 2021 | AB SM CAP VAL CL A - Plan #200 | 0 / 0 | $28,634,467 / $39,902,164 |
2021 | Plan NameDELAWARE IVY MID CAP GROWTH CL Y Plan #063 Participants BOY/EOY0 / 0 Assets BOY/EOY$31,292,266 / $39,806,809 | 2021 | DELAWARE IVY MID CAP GROWTH CL Y - Plan #063 | 0 / 0 | $31,292,266 / $39,806,809 |
2021 | Plan NameVANGUARD TGT RETIRE 2025 INV CL Plan #206 Participants BOY/EOY0 / 0 Assets BOY/EOY$101,905,872 / $39,233,816 | 2021 | VANGUARD TGT RETIRE 2025 INV CL - Plan #206 | 0 / 0 | $101,905,872 / $39,233,816 |
2021 | Plan NameHOTCHKIS & WILEY HIGH YLD I CL Plan #232 Participants BOY/EOY0 / 0 Assets BOY/EOY$39,654,708 / $38,429,272 | 2021 | HOTCHKIS & WILEY HIGH YLD I CL - Plan #232 | 0 / 0 | $39,654,708 / $38,429,272 |
2021 | Plan NameVANGUARD TGT RETIRE 2040 INV CL Plan #209 Participants BOY/EOY0 / 0 Assets BOY/EOY$84,648,105 / $37,951,261 | 2021 | VANGUARD TGT RETIRE 2040 INV CL - Plan #209 | 0 / 0 | $84,648,105 / $37,951,261 |
2021 | Plan NameVANGUARD TGT RETIRE 2045 INV CL Plan #210 Participants BOY/EOY0 / 0 Assets BOY/EOY$79,699,955 / $36,978,365 | 2021 | VANGUARD TGT RETIRE 2045 INV CL - Plan #210 | 0 / 0 | $79,699,955 / $36,978,365 |
2021 | Plan NameAMERICAN FUNDS NEW WORLD CL R6 Plan #184 Participants BOY/EOY0 / 0 Assets BOY/EOY$26,568,833 / $36,053,474 | 2021 | AMERICAN FUNDS NEW WORLD CL R6 - Plan #184 | 0 / 0 | $26,568,833 / $36,053,474 |
2021 | Plan NameWELLS FARGO STABLE VAL CL C Plan #479 Participants BOY/EOY0 / 0 Assets BOY/EOY$25,968,023 / $35,742,091 | 2021 | WELLS FARGO STABLE VAL CL C - Plan #479 | 0 / 0 | $25,968,023 / $35,742,091 |
2021 | Plan NameVANGUARD VAL IDX ADMRL CL Plan #424 Participants BOY/EOY0 / 0 Assets BOY/EOY$14,980,172 / $35,390,912 | 2021 | VANGUARD VAL IDX ADMRL CL - Plan #424 | 0 / 0 | $14,980,172 / $35,390,912 |
2021 | Plan NameBNY MELLON NATURAL RESOURCES I CL Plan #790 Participants BOY/EOY0 / 0 Assets BOY/EOY$23,688,137 / $34,579,374 | 2021 | BNY MELLON NATURAL RESOURCES I CL - Plan #790 | 0 / 0 | $23,688,137 / $34,579,374 |
2021 | Plan NameVANGUARD TGT RETIRE 2050 INV CL Plan #211 Participants BOY/EOY0 / 0 Assets BOY/EOY$65,209,029 / $32,355,485 | 2021 | VANGUARD TGT RETIRE 2050 INV CL - Plan #211 | 0 / 0 | $65,209,029 / $32,355,485 |
2021 | Plan NameAMERICAN FUNDS 2030 TGT DATE RETIRE CL R6 Plan #448 Participants BOY/EOY0 / 0 Assets BOY/EOY$25,740,467 / $32,196,836 | 2021 | AMERICAN FUNDS 2030 TGT DATE RETIRE CL R6 - Plan #448 | 0 / 0 | $25,740,467 / $32,196,836 |
2021 | Plan NameFEDERATED HERMES GOVT OBLIGATIONS PREMIER CL Plan #779 Participants BOY/EOY0 / 0 Assets BOY/EOY$19,940,719 / $31,146,211 | 2021 | FEDERATED HERMES GOVT OBLIGATIONS PREMIER CL - Plan #779 | 0 / 0 | $19,940,719 / $31,146,211 |
2021 | Plan NameT. ROWE PRICE INTL STOCK Plan #160 Participants BOY/EOY0 / 0 Assets BOY/EOY$32,831,151 / $30,385,917 | 2021 | T. ROWE PRICE INTL STOCK - Plan #160 | 0 / 0 | $32,831,151 / $30,385,917 |
2021 | Plan NameEATON VANCE ATLANTA CAPITAL SMID CAP A CL Plan #194 Participants BOY/EOY0 / 0 Assets BOY/EOY$28,412,664 / $30,219,603 | 2021 | EATON VANCE ATLANTA CAPITAL SMID CAP A CL - Plan #194 | 0 / 0 | $28,412,664 / $30,219,603 |
2021 | Plan NameAB GLBL BOND ADV CL Plan #769 Participants BOY/EOY0 / 0 Assets BOY/EOY$26,305,605 / $29,836,060 | 2021 | AB GLBL BOND ADV CL - Plan #769 | 0 / 0 | $26,305,605 / $29,836,060 |
2021 | Plan NameAMERICAN CENTURY EQ INC CL R6 Plan #058 Participants BOY/EOY0 / 0 Assets BOY/EOY$28,059,709 / $29,814,288 | 2021 | AMERICAN CENTURY EQ INC CL R6 - Plan #058 | 0 / 0 | $28,059,709 / $29,814,288 |
2021 | Plan NameBLACKROCK STRAT INC OPPS INSTL CL Plan #279 Participants BOY/EOY0 / 0 Assets BOY/EOY$19,242,548 / $29,254,624 | 2021 | BLACKROCK STRAT INC OPPS INSTL CL - Plan #279 | 0 / 0 | $19,242,548 / $29,254,624 |
2021 | Plan NameSECURIAN AM CORE BOND Plan #240 Participants BOY/EOY0 / 0 Assets BOY/EOY$29,072,691 / $28,831,730 | 2021 | SECURIAN AM CORE BOND - Plan #240 | 0 / 0 | $29,072,691 / $28,831,730 |
2021 | Plan NameVANGUARD GROWTH IDX ADMRL CL Plan #423 Participants BOY/EOY0 / 0 Assets BOY/EOY$28,488,941 / $28,650,736 | 2021 | VANGUARD GROWTH IDX ADMRL CL - Plan #423 | 0 / 0 | $28,488,941 / $28,650,736 |
2021 | Plan NameCOLUMBIA HIGH YLD BOND ADV CL Plan #281 Participants BOY/EOY0 / 0 Assets BOY/EOY$23,540,279 / $28,140,506 | 2021 | COLUMBIA HIGH YLD BOND ADV CL - Plan #281 | 0 / 0 | $23,540,279 / $28,140,506 |
2021 | Plan NameAMERICAN FUNDS CAPITAL WORLD BOND CL R6 Plan #185 Participants BOY/EOY0 / 0 Assets BOY/EOY$13,221,459 / $27,331,776 | 2021 | AMERICAN FUNDS CAPITAL WORLD BOND CL R6 - Plan #185 | 0 / 0 | $13,221,459 / $27,331,776 |
2021 | Plan NameSECURIAN AM SEGALL BRYANT & HAMILL SM CAP GRO Plan #766 Participants BOY/EOY0 / 0 Assets BOY/EOY$15,869,198 / $26,899,199 | 2021 | SECURIAN AM SEGALL BRYANT & HAMILL SM CAP GRO - Plan #766 | 0 / 0 | $15,869,198 / $26,899,199 |
2021 | Plan NameDFA U.S. SM CAP VAL INSTL CL Plan #167 Participants BOY/EOY0 / 0 Assets BOY/EOY$21,307,561 / $25,577,303 | 2021 | DFA U.S. SM CAP VAL INSTL CL - Plan #167 | 0 / 0 | $21,307,561 / $25,577,303 |
2021 | Plan NameVANGUARD TOTAL INTL STOCK IDX ADMRL CL Plan #219 Participants BOY/EOY0 / 0 Assets BOY/EOY$13,670,980 / $24,770,058 | 2021 | VANGUARD TOTAL INTL STOCK IDX ADMRL CL - Plan #219 | 0 / 0 | $13,670,980 / $24,770,058 |
2021 | Plan NameAMERICAN FUNDS 2050 TGT DATE RETIRE CL R6 Plan #452 Participants BOY/EOY0 / 0 Assets BOY/EOY$17,361,496 / $24,346,039 | 2021 | AMERICAN FUNDS 2050 TGT DATE RETIRE CL R6 - Plan #452 | 0 / 0 | $17,361,496 / $24,346,039 |
2021 | Plan NameCAUSEWAY INTL VAL INSTL CL Plan #785 Participants BOY/EOY0 / 0 Assets BOY/EOY$18,480,696 / $23,342,235 | 2021 | CAUSEWAY INTL VAL INSTL CL - Plan #785 | 0 / 0 | $18,480,696 / $23,342,235 |
2021 | Plan NameAMERICAN FUNDS INTL GROWTH & INC CL R6 Plan #282 Participants BOY/EOY0 / 0 Assets BOY/EOY$18,776,343 / $23,303,254 | 2021 | AMERICAN FUNDS INTL GROWTH & INC CL R6 - Plan #282 | 0 / 0 | $18,776,343 / $23,303,254 |
2021 | Plan NameJANUS HENDERSON MID CAP VAL CL T Plan #043 Participants BOY/EOY0 / 0 Assets BOY/EOY$21,956,938 / $22,230,369 | 2021 | JANUS HENDERSON MID CAP VAL CL T - Plan #043 | 0 / 0 | $21,956,938 / $22,230,369 |
2021 | Plan NameAMERICAN FUNDS 2040 TGT DATE RETIRE CL R6 Plan #450 Participants BOY/EOY0 / 0 Assets BOY/EOY$15,409,250 / $22,038,799 | 2021 | AMERICAN FUNDS 2040 TGT DATE RETIRE CL R6 - Plan #450 | 0 / 0 | $15,409,250 / $22,038,799 |
2021 | Plan NameVANGUARD TOTAL BOND MKT IDX INSTL CL Plan #168 Participants BOY/EOY0 / 0 Assets BOY/EOY$17,717,538 / $21,923,237 | 2021 | VANGUARD TOTAL BOND MKT IDX INSTL CL - Plan #168 | 0 / 0 | $17,717,538 / $21,923,237 |
2021 | Plan NameALLSPRING SPECIAL MID CAP VAL CL A Plan #609 Participants BOY/EOY0 / 0 Assets BOY/EOY$17,097,244 / $21,711,803 | 2021 | ALLSPRING SPECIAL MID CAP VAL CL A - Plan #609 | 0 / 0 | $17,097,244 / $21,711,803 |
2021 | Plan NameJANUS HENDERSON ENTERPRISE I CL Plan #274 Participants BOY/EOY0 / 0 Assets BOY/EOY$18,413,939 / $20,732,844 | 2021 | JANUS HENDERSON ENTERPRISE I CL - Plan #274 | 0 / 0 | $18,413,939 / $20,732,844 |
2021 | Plan NameFIDELITY ADVISOR INTL GROWTH I CL Plan #470 Participants BOY/EOY0 / 0 Assets BOY/EOY$12,201,345 / $19,369,156 | 2021 | FIDELITY ADVISOR INTL GROWTH I CL - Plan #470 | 0 / 0 | $12,201,345 / $19,369,156 |
2021 | Plan NameVANGUARD TGT RETIRE 2055 INV CL Plan #212 Participants BOY/EOY0 / 0 Assets BOY/EOY$40,720,340 / $19,200,583 | 2021 | VANGUARD TGT RETIRE 2055 INV CL - Plan #212 | 0 / 0 | $40,720,340 / $19,200,583 |
2021 | Plan NameBLACKROCK LIFEPATH IDX 2030 INSTL CL Plan #763 Participants BOY/EOY0 / 0 Assets BOY/EOY$15,610,604 / $19,182,520 | 2021 | BLACKROCK LIFEPATH IDX 2030 INSTL CL - Plan #763 | 0 / 0 | $15,610,604 / $19,182,520 |
2021 | Plan NameDFA INTERM GOVT FI INSTL CL Plan #139 Participants BOY/EOY0 / 0 Assets BOY/EOY$16,531,396 / $19,022,582 | 2021 | DFA INTERM GOVT FI INSTL CL - Plan #139 | 0 / 0 | $16,531,396 / $19,022,582 |
2021 | Plan NameVANGUARD DEV MKTS IDX ADMRL CL Plan #666 Participants BOY/EOY0 / 0 Assets BOY/EOY$22,464,948 / $18,584,745 | 2021 | VANGUARD DEV MKTS IDX ADMRL CL - Plan #666 | 0 / 0 | $22,464,948 / $18,584,745 |
2021 | Plan NameBLACKROCK LIFEPATH IDX 2040 INSTL CL Plan #822 Participants BOY/EOY0 / 0 Assets BOY/EOY$14,064,119 / $18,517,621 | 2021 | BLACKROCK LIFEPATH IDX 2040 INSTL CL - Plan #822 | 0 / 0 | $14,064,119 / $18,517,621 |
2021 | Plan NameVANGUARD S-T BOND IDX ADMRL CL Plan #789 Participants BOY/EOY0 / 0 Assets BOY/EOY$17,623,296 / $18,486,783 | 2021 | VANGUARD S-T BOND IDX ADMRL CL - Plan #789 | 0 / 0 | $17,623,296 / $18,486,783 |
2021 | Plan NameMORLEY STABLE VAL CL 18-V Plan #324 Participants BOY/EOY0 / 0 Assets BOY/EOY$23,216,775 / $18,461,123 | 2021 | MORLEY STABLE VAL CL 18-V - Plan #324 | 0 / 0 | $23,216,775 / $18,461,123 |
2021 | Plan NameSECURIAN AM INTECH U.S. CORE Plan #120 Participants BOY/EOY0 / 0 Assets BOY/EOY$18,044,755 / $18,189,285 | 2021 | SECURIAN AM INTECH U.S. CORE - Plan #120 | 0 / 0 | $18,044,755 / $18,189,285 |
2021 | Plan NameAMERICAN CENTURY MID CAP VAL CL R6 Plan #192 Participants BOY/EOY0 / 0 Assets BOY/EOY$13,506,808 / $17,943,007 | 2021 | AMERICAN CENTURY MID CAP VAL CL R6 - Plan #192 | 0 / 0 | $13,506,808 / $17,943,007 |
2021 | Plan NameJOHN HANCOCK DISCIPLINED VAL CL R5 Plan #604 Participants BOY/EOY0 / 0 Assets BOY/EOY$13,378,770 / $17,932,639 | 2021 | JOHN HANCOCK DISCIPLINED VAL CL R5 - Plan #604 | 0 / 0 | $13,378,770 / $17,932,639 |
2021 | Plan NameVANGUARD SM CAP GROWTH IDX INSTL CL Plan #780 Participants BOY/EOY0 / 0 Assets BOY/EOY$18,532,162 / $17,709,281 | 2021 | VANGUARD SM CAP GROWTH IDX INSTL CL - Plan #780 | 0 / 0 | $18,532,162 / $17,709,281 |
2021 | Plan NameAMERICAN FUNDS 2025 TGT DATE RETIRE CL R6 Plan #447 Participants BOY/EOY0 / 0 Assets BOY/EOY$17,088,104 / $17,500,861 | 2021 | AMERICAN FUNDS 2025 TGT DATE RETIRE CL R6 - Plan #447 | 0 / 0 | $17,088,104 / $17,500,861 |
2021 | Plan NameBLACKROCK TOTAL RTRN INSTL CL Plan #561 Participants BOY/EOY0 / 0 Assets BOY/EOY$14,363,017 / $17,300,848 | 2021 | BLACKROCK TOTAL RTRN INSTL CL - Plan #561 | 0 / 0 | $14,363,017 / $17,300,848 |
2021 | Plan NameVANGUARD TGT RETIRE 2020 INV CL Plan #205 Participants BOY/EOY0 / 0 Assets BOY/EOY$56,760,379 / $16,328,437 | 2021 | VANGUARD TGT RETIRE 2020 INV CL - Plan #205 | 0 / 0 | $56,760,379 / $16,328,437 |
2021 | Plan NameBLACKROCK LIFEPATH IDX 2050 INSTL CL Plan #820 Participants BOY/EOY0 / 0 Assets BOY/EOY$11,321,056 / $16,070,385 | 2021 | BLACKROCK LIFEPATH IDX 2050 INSTL CL - Plan #820 | 0 / 0 | $11,321,056 / $16,070,385 |
2021 | Plan NamePIMCO INC INSTL CL Plan #621 Participants BOY/EOY0 / 0 Assets BOY/EOY$10,613,639 / $15,943,256 | 2021 | PIMCO INC INSTL CL - Plan #621 | 0 / 0 | $10,613,639 / $15,943,256 |
2021 | Plan NameMFS VAL CL R3 Plan #722 Participants BOY/EOY0 / 0 Assets BOY/EOY$8,155,034 / $15,647,760 | 2021 | MFS VAL CL R3 - Plan #722 | 0 / 0 | $8,155,034 / $15,647,760 |
2021 | Plan NameCARILLON EAGLE MID CAP GROWTH CL R5 Plan #362 Participants BOY/EOY0 / 0 Assets BOY/EOY$12,443,389 / $15,370,948 | 2021 | CARILLON EAGLE MID CAP GROWTH CL R5 - Plan #362 | 0 / 0 | $12,443,389 / $15,370,948 |
2021 | Plan NameAMERICAN FUNDS 2035 TGT DATE RETIRE CL R6 Plan #449 Participants BOY/EOY0 / 0 Assets BOY/EOY$12,973,785 / $14,486,254 | 2021 | AMERICAN FUNDS 2035 TGT DATE RETIRE CL R6 - Plan #449 | 0 / 0 | $12,973,785 / $14,486,254 |
2021 | Plan NameFEDERATED HERMES INTL LDRS INSTL CL Plan #773 Participants BOY/EOY0 / 0 Assets BOY/EOY$12,677,579 / $14,364,770 | 2021 | FEDERATED HERMES INTL LDRS INSTL CL - Plan #773 | 0 / 0 | $12,677,579 / $14,364,770 |
2021 | Plan NameCOHEN & STEERS RE SEC CL A Plan #354 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,636,131 / $13,999,157 | 2021 | COHEN & STEERS RE SEC CL A - Plan #354 | 0 / 0 | $5,636,131 / $13,999,157 |
2021 | Plan NameGOLDMAN SACHS SHORT DUR GOVT INSTL CL Plan #149 Participants BOY/EOY0 / 0 Assets BOY/EOY$11,898,097 / $13,951,180 | 2021 | GOLDMAN SACHS SHORT DUR GOVT INSTL CL - Plan #149 | 0 / 0 | $11,898,097 / $13,951,180 |
2021 | Plan NameVANGUARD MID CAP IDX INSTL CL Plan #781 Participants BOY/EOY0 / 0 Assets BOY/EOY$11,447,331 / $13,915,181 | 2021 | VANGUARD MID CAP IDX INSTL CL - Plan #781 | 0 / 0 | $11,447,331 / $13,915,181 |
2021 | Plan NameBLACKROCK LOW DUR BOND INSTL CL Plan #272 Participants BOY/EOY0 / 0 Assets BOY/EOY$11,922,497 / $13,774,822 | 2021 | BLACKROCK LOW DUR BOND INSTL CL - Plan #272 | 0 / 0 | $11,922,497 / $13,774,822 |
2021 | Plan NameBLACKROCK LIFEPATH IDX 2035 INSTL CL Plan #764 Participants BOY/EOY0 / 0 Assets BOY/EOY$9,099,505 / $13,632,550 | 2021 | BLACKROCK LIFEPATH IDX 2035 INSTL CL - Plan #764 | 0 / 0 | $9,099,505 / $13,632,550 |
2021 | Plan NameVANGUARD INTL GROWTH ADMRL CL Plan #292 Participants BOY/EOY0 / 0 Assets BOY/EOY$10,708,184 / $13,495,645 | 2021 | VANGUARD INTL GROWTH ADMRL CL - Plan #292 | 0 / 0 | $10,708,184 / $13,495,645 |
2021 | Plan NameT. ROWE PRICE GROWTH STOCK INV CL Plan #598 Participants BOY/EOY0 / 0 Assets BOY/EOY$9,764,588 / $12,999,214 | 2021 | T. ROWE PRICE GROWTH STOCK INV CL - Plan #598 | 0 / 0 | $9,764,588 / $12,999,214 |
2021 | Plan NamePINEBRIDGE DYN ASSET ALLOC INSTL CL Plan #787 Participants BOY/EOY0 / 0 Assets BOY/EOY$13,687,225 / $12,867,335 | 2021 | PINEBRIDGE DYN ASSET ALLOC INSTL CL - Plan #787 | 0 / 0 | $13,687,225 / $12,867,335 |
2021 | Plan NameVANGUARD LRG CAP IDX ADMRL CL Plan #351 Participants BOY/EOY0 / 0 Assets BOY/EOY$10,193,989 / $12,828,064 | 2021 | VANGUARD LRG CAP IDX ADMRL CL - Plan #351 | 0 / 0 | $10,193,989 / $12,828,064 |
2021 | Plan NameJANUS HENDERSON GLBL LIFE SCIENCES I CL Plan #233 Participants BOY/EOY0 / 0 Assets BOY/EOY$13,303,277 / $12,816,878 | 2021 | JANUS HENDERSON GLBL LIFE SCIENCES I CL - Plan #233 | 0 / 0 | $13,303,277 / $12,816,878 |
2021 | Plan NameAMERICAN FUNDS 2020 TGT DATE RETIRE CL R6 Plan #446 Participants BOY/EOY0 / 0 Assets BOY/EOY$10,854,576 / $12,570,563 | 2021 | AMERICAN FUNDS 2020 TGT DATE RETIRE CL R6 - Plan #446 | 0 / 0 | $10,854,576 / $12,570,563 |
2021 | Plan NameHARBOR CAPITAL APPREC INSTL CL Plan #530 Participants BOY/EOY0 / 0 Assets BOY/EOY$11,287,104 / $12,109,794 | 2021 | HARBOR CAPITAL APPREC INSTL CL - Plan #530 | 0 / 0 | $11,287,104 / $12,109,794 |
2021 | Plan NameVANGUARD S-T INVMNT GROWTH ADMRL CL Plan #257 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,373,301 / $12,100,009 | 2021 | VANGUARD S-T INVMNT GROWTH ADMRL CL - Plan #257 | 0 / 0 | $1,373,301 / $12,100,009 |
2021 | Plan NameVANGUARD S-T CORP BOND IDX ADMRL CL Plan #421 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,088,009 / $12,058,564 | 2021 | VANGUARD S-T CORP BOND IDX ADMRL CL - Plan #421 | 0 / 0 | $4,088,009 / $12,058,564 |
2021 | Plan NameVANGUARD TGT RETIRE 2060 INV CL Plan #213 Participants BOY/EOY0 / 0 Assets BOY/EOY$19,403,982 / $11,795,732 | 2021 | VANGUARD TGT RETIRE 2060 INV CL - Plan #213 | 0 / 0 | $19,403,982 / $11,795,732 |
2021 | Plan NameBLACKROCK LIFEPATH IDX 2045 INSTL CLSEPARATE ACCOUNT Plan #819 Participants BOY/EOY0 / 0 Assets BOY/EOY$8,576,262 / $11,774,177 | 2021 | BLACKROCK LIFEPATH IDX 2045 INSTL CLSEPARATE ACCOUNT - Plan #819 | 0 / 0 | $8,576,262 / $11,774,177 |
2021 | Plan NameHARTFORD CORE EQ CL R5 Plan #786 Participants BOY/EOY0 / 0 Assets BOY/EOY$10,599,559 / $11,710,120 | 2021 | HARTFORD CORE EQ CL R5 - Plan #786 | 0 / 0 | $10,599,559 / $11,710,120 |
2021 | Plan NameDFA GLBL RE SEC INSTL CL Plan #273 Participants BOY/EOY0 / 0 Assets BOY/EOY$8,948,146 / $11,100,226 | 2021 | DFA GLBL RE SEC INSTL CL - Plan #273 | 0 / 0 | $8,948,146 / $11,100,226 |
2021 | Plan NameVANGUARD SM CAP IDX INSTL CL Plan #837 Participants BOY/EOY0 / 0 Assets BOY/EOY$8,848,429 / $11,052,500 | 2021 | VANGUARD SM CAP IDX INSTL CL - Plan #837 | 0 / 0 | $8,848,429 / $11,052,500 |
2021 | Plan NameUNDISCOVERED MGRS BEHAVIORAL VAL CL R6 Plan #365 Participants BOY/EOY0 / 0 Assets BOY/EOY$9,349,616 / $10,635,068 | 2021 | UNDISCOVERED MGRS BEHAVIORAL VAL CL R6 - Plan #365 | 0 / 0 | $9,349,616 / $10,635,068 |
2021 | Plan NameAMERICAN FUNDS 2045 TGT DATE RETIRE CL R6 Plan #451 Participants BOY/EOY0 / 0 Assets BOY/EOY$9,028,680 / $10,555,876 | 2021 | AMERICAN FUNDS 2045 TGT DATE RETIRE CL R6 - Plan #451 | 0 / 0 | $9,028,680 / $10,555,876 |
2021 | Plan NameT. ROWE PRICE BAL INV CL Plan #397 Participants BOY/EOY0 / 0 Assets BOY/EOY$9,210,593 / $10,519,597 | 2021 | T. ROWE PRICE BAL INV CL - Plan #397 | 0 / 0 | $9,210,593 / $10,519,597 |
2021 | Plan NameDFA INTL SM CO INSTL CL Plan #130 Participants BOY/EOY0 / 0 Assets BOY/EOY$8,810,940 / $10,346,103 | 2021 | DFA INTL SM CO INSTL CL - Plan #130 | 0 / 0 | $8,810,940 / $10,346,103 |
2021 | Plan NameBLACKROCK LIFEPATH IDX 2025 INSTL CL Plan #762 Participants BOY/EOY0 / 0 Assets BOY/EOY$8,726,049 / $10,273,091 | 2021 | BLACKROCK LIFEPATH IDX 2025 INSTL CL - Plan #762 | 0 / 0 | $8,726,049 / $10,273,091 |
2021 | Plan NameAMERICAN FUNDS GROWTH FUND OF AMERICA CL R6 Plan #181 Participants BOY/EOY0 / 0 Assets BOY/EOY$9,831,919 / $10,092,303 | 2021 | AMERICAN FUNDS GROWTH FUND OF AMERICA CL R6 - Plan #181 | 0 / 0 | $9,831,919 / $10,092,303 |
2021 | Plan NameVANGUARD EMERG MKTS STK IDX ADMRL CL Plan #226 Participants BOY/EOY0 / 0 Assets BOY/EOY$8,092,037 / $10,043,679 | 2021 | VANGUARD EMERG MKTS STK IDX ADMRL CL - Plan #226 | 0 / 0 | $8,092,037 / $10,043,679 |
2021 | Plan NameVANGUARD TGT RETIRE INC INV CL Plan #214 Participants BOY/EOY0 / 0 Assets BOY/EOY$19,146,313 / $9,604,419 | 2021 | VANGUARD TGT RETIRE INC INV CL - Plan #214 | 0 / 0 | $19,146,313 / $9,604,419 |
2021 | Plan NameBLACKROCK LIFEPATH IDX RETIRE INSTL CL Plan #750 Participants BOY/EOY0 / 0 Assets BOY/EOY$9,378,333 / $9,431,427 | 2021 | BLACKROCK LIFEPATH IDX RETIRE INSTL CL - Plan #750 | 0 / 0 | $9,378,333 / $9,431,427 |
2021 | Plan NameVANGUARD FED MONEY MKT INV CL Plan #564 Participants BOY/EOY0 / 0 Assets BOY/EOY$11,170,067 / $8,837,724 | 2021 | VANGUARD FED MONEY MKT INV CL - Plan #564 | 0 / 0 | $11,170,067 / $8,837,724 |
2021 | Plan NamePIONEER BOND CL Y Plan #337 Participants BOY/EOY0 / 0 Assets BOY/EOY$7,746,672 / $8,785,921 | 2021 | PIONEER BOND CL Y - Plan #337 | 0 / 0 | $7,746,672 / $8,785,921 |
2021 | Plan NameVANGUARD REIT IDX ADMRL CL Plan #254 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,157,744 / $8,751,976 | 2021 | VANGUARD REIT IDX ADMRL CL - Plan #254 | 0 / 0 | $5,157,744 / $8,751,976 |
2021 | Plan NameSCHWAB IDXED RETIRE TRUST FUND 2030 I CL Plan #318 Participants BOY/EOY0 / 0 Assets BOY/EOY$6,407,171 / $8,739,505 | 2021 | SCHWAB IDXED RETIRE TRUST FUND 2030 I CL - Plan #318 | 0 / 0 | $6,407,171 / $8,739,505 |
2021 | Plan NameWILMINGTON TRUST FP IDX+ MOD 2045 CL I1 Plan #693 Participants BOY/EOY0 / 0 Assets BOY/EOY$7,141,698 / $8,567,045 | 2021 | WILMINGTON TRUST FP IDX+ MOD 2045 CL I1 - Plan #693 | 0 / 0 | $7,141,698 / $8,567,045 |
2021 | Plan NameLOOMIS SAYLES SM CAP GROWTH I CL Plan #166 Participants BOY/EOY0 / 0 Assets BOY/EOY$8,250,393 / $8,364,418 | 2021 | LOOMIS SAYLES SM CAP GROWTH I CL - Plan #166 | 0 / 0 | $8,250,393 / $8,364,418 |
2021 | Plan NameVANGUARD U.S. GROWTH ADMRL CL Plan #593 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,738,754 / $8,241,504 | 2021 | VANGUARD U.S. GROWTH ADMRL CL - Plan #593 | 0 / 0 | $4,738,754 / $8,241,504 |
2021 | Plan NameBLACKROCK ISHARES MSCI EAFE INTL IDX INSTL CL Plan #867 Participants BOY/EOY0 / 0 Assets BOY/EOY$7,924,427 / $7,969,782 | 2021 | BLACKROCK ISHARES MSCI EAFE INTL IDX INSTL CL - Plan #867 | 0 / 0 | $7,924,427 / $7,969,782 |
2021 | Plan NameVANGUARD INTL VAL INV Plan #727 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,658,028 / $7,915,875 | 2021 | VANGUARD INTL VAL INV - Plan #727 | 0 / 0 | $3,658,028 / $7,915,875 |
2021 | Plan NameBLACKROCK LIFEPATH IDX 2055 INSTL CL Plan #821 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,369,017 / $7,908,181 | 2021 | BLACKROCK LIFEPATH IDX 2055 INSTL CL - Plan #821 | 0 / 0 | $5,369,017 / $7,908,181 |
2021 | Plan NameSCHWAB IDXED RETIRE TRUST FUND 2035 I CL Plan #319 Participants BOY/EOY0 / 0 Assets BOY/EOY$7,034,273 / $7,887,662 | 2021 | SCHWAB IDXED RETIRE TRUST FUND 2035 I CL - Plan #319 | 0 / 0 | $7,034,273 / $7,887,662 |
2021 | Plan NameVANGUARD U.S. GROWTH ADMRL CL Plan #334 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,355,923 / $7,812,547 | 2021 | VANGUARD U.S. GROWTH ADMRL CL - Plan #334 | 0 / 0 | $4,355,923 / $7,812,547 |
2021 | Plan NameBARON EMERG MKTS INSTL CL Plan #280 Participants BOY/EOY0 / 0 Assets BOY/EOY$7,845,224 / $7,756,156 | 2021 | BARON EMERG MKTS INSTL CL - Plan #280 | 0 / 0 | $7,845,224 / $7,756,156 |
2021 | Plan NameSCHWAB IDXED RETIRE TRUST FUND 2025 I CL Plan #317 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,742,918 / $7,750,602 | 2021 | SCHWAB IDXED RETIRE TRUST FUND 2025 I CL - Plan #317 | 0 / 0 | $5,742,918 / $7,750,602 |
2021 | Plan NameSCHWAB IDXED RETIRE TRUST FUND 2040 I CL Plan #320 Participants BOY/EOY0 / 0 Assets BOY/EOY$6,436,069 / $7,696,892 | 2021 | SCHWAB IDXED RETIRE TRUST FUND 2040 I CL - Plan #320 | 0 / 0 | $6,436,069 / $7,696,892 |
2021 | Plan NameVANGUARD EXPLORER ADMRL CL Plan #528 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,808,239 / $7,605,091 | 2021 | VANGUARD EXPLORER ADMRL CL - Plan #528 | 0 / 0 | $5,808,239 / $7,605,091 |
2021 | Plan NameWILMINGTON TRUST FP IDX+ MOD 2035 CL I1 Plan #692 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,798,090 / $7,249,504 | 2021 | WILMINGTON TRUST FP IDX+ MOD 2035 CL I1 - Plan #692 | 0 / 0 | $5,798,090 / $7,249,504 |
2021 | Plan NameFIRST EAGLE OVERSEAS CL R4 Plan #251 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,778,327 / $6,847,601 | 2021 | FIRST EAGLE OVERSEAS CL R4 - Plan #251 | 0 / 0 | $5,778,327 / $6,847,601 |
2021 | Plan NameT. ROWE PRICE MID CAP GROWTH INV CL Plan #288 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,736,520 / $6,520,537 | 2021 | T. ROWE PRICE MID CAP GROWTH INV CL - Plan #288 | 0 / 0 | $5,736,520 / $6,520,537 |
2021 | Plan NameJPMORGAN GOVT BOND I CL Plan #602 Participants BOY/EOY0 / 0 Assets BOY/EOY$6,134,741 / $6,321,023 | 2021 | JPMORGAN GOVT BOND I CL - Plan #602 | 0 / 0 | $6,134,741 / $6,321,023 |
2021 | Plan NameSECURIAN AM MAIRS & POWER SM CAP Plan #767 Participants BOY/EOY0 / 0 Assets BOY/EOY$6,290,112 / $6,300,828 | 2021 | SECURIAN AM MAIRS & POWER SM CAP - Plan #767 | 0 / 0 | $6,290,112 / $6,300,828 |
2021 | Plan NamePGIM HIGH YLD CL Z Plan #501 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,064,622 / $6,264,102 | 2021 | PGIM HIGH YLD CL Z - Plan #501 | 0 / 0 | $4,064,622 / $6,264,102 |
2021 | Plan NameBAIRD CORE PLUS BOND INSTL CL Plan #527 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,945,835 / $6,072,261 | 2021 | BAIRD CORE PLUS BOND INSTL CL - Plan #527 | 0 / 0 | $5,945,835 / $6,072,261 |
2021 | Plan NameAB LRG CAP GROWTH ADV CL Plan #824 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,040,030 / $6,064,964 | 2021 | AB LRG CAP GROWTH ADV CL - Plan #824 | 0 / 0 | $2,040,030 / $6,064,964 |
2021 | Plan NameMFS INTL GROWTH CL R3 Plan #827 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,625,035 / $5,884,776 | 2021 | MFS INTL GROWTH CL R3 - Plan #827 | 0 / 0 | $4,625,035 / $5,884,776 |
2021 | Plan NameAMERICAN FUNDS INVMNT CO OF AMERICA CL R6 Plan #671 Participants BOY/EOY0 / 0 Assets BOY/EOY$786,436 / $5,771,430 | 2021 | AMERICAN FUNDS INVMNT CO OF AMERICA CL R6 - Plan #671 | 0 / 0 | $786,436 / $5,771,430 |
2021 | Plan NameVANGUARD WINDSOR II ADMRL CL Plan #711 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,914,285 / $5,735,978 | 2021 | VANGUARD WINDSOR II ADMRL CL - Plan #711 | 0 / 0 | $2,914,285 / $5,735,978 |
2021 | Plan NameAMERICAN FUNDS 2055 TGT DATE RETIRE CL R6 Plan #453 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,251,602 / $5,684,134 | 2021 | AMERICAN FUNDS 2055 TGT DATE RETIRE CL R6 - Plan #453 | 0 / 0 | $4,251,602 / $5,684,134 |
2021 | Plan NameFIDELITY ADVISOR SM CAP GROWTH I CL Plan #499 Participants BOY/EOY0 / 0 Assets BOY/EOY$6,245,870 / $5,638,802 | 2021 | FIDELITY ADVISOR SM CAP GROWTH I CL - Plan #499 | 0 / 0 | $6,245,870 / $5,638,802 |
2021 | Plan NameWILMINGTON TRUST FP IDX+ MOD 2025 CL I1 Plan #691 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,845,123 / $5,599,356 | 2021 | WILMINGTON TRUST FP IDX+ MOD 2025 CL I1 - Plan #691 | 0 / 0 | $4,845,123 / $5,599,356 |
2021 | Plan NameVANGUARD TGT RETIRE 2015 INV CL Plan #204 Participants BOY/EOY0 / 0 Assets BOY/EOY$18,443,541 / $5,475,209 | 2021 | VANGUARD TGT RETIRE 2015 INV CL - Plan #204 | 0 / 0 | $18,443,541 / $5,475,209 |
2021 | Plan NameBARON PARTNERS INSTL CL Plan #469 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,329,317 / $5,453,724 | 2021 | BARON PARTNERS INSTL CL - Plan #469 | 0 / 0 | $5,329,317 / $5,453,724 |
2021 | Plan NameSCHWAB IDXED RETIRE TRUST FUND 2045 I CL Plan #321 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,231,165 / $5,418,133 | 2021 | SCHWAB IDXED RETIRE TRUST FUND 2045 I CL - Plan #321 | 0 / 0 | $4,231,165 / $5,418,133 |
2021 | Plan NameVICTORY SYCAMORE SM CO OPP CL R Plan #468 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,684,075 / $5,318,150 | 2021 | VICTORY SYCAMORE SM CO OPP CL R - Plan #468 | 0 / 0 | $4,684,075 / $5,318,150 |
2021 | Plan NameBAIRD AGGREG BOND INSTL CL Plan #456 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,422,050 / $5,198,551 | 2021 | BAIRD AGGREG BOND INSTL CL - Plan #456 | 0 / 0 | $5,422,050 / $5,198,551 |
2021 | Plan NameSCHWAB IDXED RETIRE TRUST FUND 2050 I CL Plan #322 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,542,247 / $5,076,158 | 2021 | SCHWAB IDXED RETIRE TRUST FUND 2050 I CL - Plan #322 | 0 / 0 | $3,542,247 / $5,076,158 |
2021 | Plan NamePAX GLBL ENVIRONMENTAL MKTS INSTL CL Plan #198 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,030,525 / $4,983,140 | 2021 | PAX GLBL ENVIRONMENTAL MKTS INSTL CL - Plan #198 | 0 / 0 | $3,030,525 / $4,983,140 |
2021 | Plan NameTRADEMARK TACTICAL MULTIFACTOR CL R Plan #260 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,157,343 / $4,971,263 | 2021 | TRADEMARK TACTICAL MULTIFACTOR CL R - Plan #260 | 0 / 0 | $2,157,343 / $4,971,263 |
2021 | Plan NameDELAWARE SM CAP VAL INSTL CL Plan #583 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,077,274 / $4,939,056 | 2021 | DELAWARE SM CAP VAL INSTL CL - Plan #583 | 0 / 0 | $5,077,274 / $4,939,056 |
2021 | Plan NameAMERICAN FUNDS 2060 TGT DATE RETIRE CL R6 Plan #705 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,935,618 / $4,937,437 | 2021 | AMERICAN FUNDS 2060 TGT DATE RETIRE CL R6 - Plan #705 | 0 / 0 | $2,935,618 / $4,937,437 |
2021 | Plan NameFRANKLIN SM CAP VAL CL A Plan #350 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,056,735 / $4,929,153 | 2021 | FRANKLIN SM CAP VAL CL A - Plan #350 | 0 / 0 | $3,056,735 / $4,929,153 |
2021 | Plan NamePRINCIPAL SM MID CAP DIV INC CL A Plan #784 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,403,029 / $4,913,071 | 2021 | PRINCIPAL SM MID CAP DIV INC CL A - Plan #784 | 0 / 0 | $5,403,029 / $4,913,071 |
2021 | Plan NameWILMINGTON TRUST FP IDX+ MOD 2055 CL I1 Plan #694 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,649,771 / $4,867,619 | 2021 | WILMINGTON TRUST FP IDX+ MOD 2055 CL I1 - Plan #694 | 0 / 0 | $3,649,771 / $4,867,619 |
2021 | Plan NameWESTERN ASSET CORE BOND I CL Plan #719 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,704,198 / $4,841,961 | 2021 | WESTERN ASSET CORE BOND I CL - Plan #719 | 0 / 0 | $5,704,198 / $4,841,961 |
2021 | Plan NameCLEARBRIDGE SM CAP GROWTH CL I Plan #772 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,422,419 / $4,828,295 | 2021 | CLEARBRIDGE SM CAP GROWTH CL I - Plan #772 | 0 / 0 | $5,422,419 / $4,828,295 |
2021 | Plan NameBLACKROCK LIFEPATH IDX 2060 INSTL CL Plan #828 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,687,296 / $4,791,347 | 2021 | BLACKROCK LIFEPATH IDX 2060 INSTL CL - Plan #828 | 0 / 0 | $2,687,296 / $4,791,347 |
2021 | Plan NamePRINCIPAL RE SEC CL A Plan #349 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,135,462 / $4,775,937 | 2021 | PRINCIPAL RE SEC CL A - Plan #349 | 0 / 0 | $3,135,462 / $4,775,937 |
2021 | Plan NameVANGUARD INTERM TERM INVMNT GRADE ADMRL CL Plan #611 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,866,866 / $4,750,667 | 2021 | VANGUARD INTERM TERM INVMNT GRADE ADMRL CL - Plan #611 | 0 / 0 | $4,866,866 / $4,750,667 |
2021 | Plan NameJPMORGAN MID CAP GROWTH I CL Plan #480 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,894,628 / $4,721,801 | 2021 | JPMORGAN MID CAP GROWTH I CL - Plan #480 | 0 / 0 | $3,894,628 / $4,721,801 |
2021 | Plan NameWESTERN ASSET CORE PLUS BOND I CL Plan #465 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,083,951 / $4,720,879 | 2021 | WESTERN ASSET CORE PLUS BOND I CL - Plan #465 | 0 / 0 | $2,083,951 / $4,720,879 |
2021 | Plan NameAMERICAN FUNDS AMCAP CL R6 Plan #327 Participants BOY/EOY0 / 0 Assets BOY/EOY$6,400,143 / $4,698,732 | 2021 | AMERICAN FUNDS AMCAP CL R6 - Plan #327 | 0 / 0 | $6,400,143 / $4,698,732 |
2021 | Plan NameDFA CMDTY STRAT INSTL CL Plan #271 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,396,131 / $4,695,696 | 2021 | DFA CMDTY STRAT INSTL CL - Plan #271 | 0 / 0 | $2,396,131 / $4,695,696 |
2021 | Plan NameAMERICAN FUNDS INC FUND OF AMERICA CL R6 Plan #285 Participants BOY/EOY0 / 0 Assets BOY/EOY$544,460 / $4,635,646 | 2021 | AMERICAN FUNDS INC FUND OF AMERICA CL R6 - Plan #285 | 0 / 0 | $544,460 / $4,635,646 |
2021 | Plan NameJPMORGAN U.S. GARP EQ CL R5 Plan #546 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,480,885 / $4,618,018 | 2021 | JPMORGAN U.S. GARP EQ CL R5 - Plan #546 | 0 / 0 | $3,480,885 / $4,618,018 |
2021 | Plan NameCOHEN & STEERS REALTY SHARES CL L Plan #569 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,091,660 / $4,498,470 | 2021 | COHEN & STEERS REALTY SHARES CL L - Plan #569 | 0 / 0 | $2,091,660 / $4,498,470 |
2021 | Plan NameVANGUARD FTSE SOCIAL IDX ADMRL CL Plan #741 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,006,897 / $4,219,019 | 2021 | VANGUARD FTSE SOCIAL IDX ADMRL CL - Plan #741 | 0 / 0 | $3,006,897 / $4,219,019 |
2021 | Plan NameINVESCO INTL GROWTH CL R5 Plan #199 Participants BOY/EOY0 / 0 Assets BOY/EOY$239,671,531 / $4,200,859 | 2021 | INVESCO INTL GROWTH CL R5 - Plan #199 | 0 / 0 | $239,671,531 / $4,200,859 |
2021 | Plan NameSCHWAB IDXED RETIRE TRUST FUND 2020 I CL Plan #316 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,496,741 / $4,190,652 | 2021 | SCHWAB IDXED RETIRE TRUST FUND 2020 I CL - Plan #316 | 0 / 0 | $3,496,741 / $4,190,652 |
2021 | Plan NameVANGUARD INFL PROTCTD SEC ADMRL CL Plan #494 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,409,998 / $4,188,522 | 2021 | VANGUARD INFL PROTCTD SEC ADMRL CL - Plan #494 | 0 / 0 | $3,409,998 / $4,188,522 |
2021 | Plan NameVANGUARD S-T INFL PROTCTD SEC IDX ADMRL CLSEPARATE ACCOUNT Plan #791 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,816,006 / $4,179,966 | 2021 | VANGUARD S-T INFL PROTCTD SEC IDX ADMRL CLSEPARATE ACCOUNT - Plan #791 | 0 / 0 | $1,816,006 / $4,179,966 |
2021 | Plan NameAMERICAN CENTURY ONE CHOICE 2030 I CL Plan #534 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,163,584 / $4,114,137 | 2021 | AMERICAN CENTURY ONE CHOICE 2030 I CL - Plan #534 | 0 / 0 | $3,163,584 / $4,114,137 |
2021 | Plan NameT. ROWE PRICE DIV GROWTH INV CL Plan #370 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,953,689 / $3,895,001 | 2021 | T. ROWE PRICE DIV GROWTH INV CL - Plan #370 | 0 / 0 | $2,953,689 / $3,895,001 |
2021 | Plan NameCLEARBRIDGE LRG CAP GROWTH CL A Plan #603 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,171,274 / $3,770,839 | 2021 | CLEARBRIDGE LRG CAP GROWTH CL A - Plan #603 | 0 / 0 | $3,171,274 / $3,770,839 |
2021 | Plan NameAMERICAN FUNDS WASHINGTON MUT INVS CL R6 Plan #328 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,937,971 / $3,632,382 | 2021 | AMERICAN FUNDS WASHINGTON MUT INVS CL R6 - Plan #328 | 0 / 0 | $3,937,971 / $3,632,382 |
2021 | Plan NameJPMORGAN U.S. EQ CL A Plan #514 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,247,113 / $3,434,569 | 2021 | JPMORGAN U.S. EQ CL A - Plan #514 | 0 / 0 | $1,247,113 / $3,434,569 |
2021 | Plan NameRETIRE ADVOCATE MOD AGGRES Plan #311 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,144,124 / $3,416,620 | 2021 | RETIRE ADVOCATE MOD AGGRES - Plan #311 | 0 / 0 | $3,144,124 / $3,416,620 |
2021 | Plan NameAMERICAN FUNDS FUNDAMENTAL INVS CL R6 Plan #408 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,867,090 / $3,415,619 | 2021 | AMERICAN FUNDS FUNDAMENTAL INVS CL R6 - Plan #408 | 0 / 0 | $2,867,090 / $3,415,619 |
2021 | Plan NameDODGE & COX BAL FUND Plan #588 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,839,045 / $3,298,148 | 2021 | DODGE & COX BAL FUND - Plan #588 | 0 / 0 | $2,839,045 / $3,298,148 |
2021 | Plan NameJPMORGAN MID CAP VAL CL L Plan #635 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,330,924 / $3,291,375 | 2021 | JPMORGAN MID CAP VAL CL L - Plan #635 | 0 / 0 | $2,330,924 / $3,291,375 |
2021 | Plan NameNUVEEN WINSLOW LRG CAP GROWTH I CL Plan #131 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,641,581 / $3,277,526 | 2021 | NUVEEN WINSLOW LRG CAP GROWTH I CL - Plan #131 | 0 / 0 | $5,641,581 / $3,277,526 |
2021 | Plan NameSECURIAN AM BAL STABILIZATION INSTL CL Plan #776 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,834,794 / $3,250,829 | 2021 | SECURIAN AM BAL STABILIZATION INSTL CL - Plan #776 | 0 / 0 | $2,834,794 / $3,250,829 |
2021 | Plan NameJPMORGAN EQ INC CL R5 Plan #369 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,843,933 / $3,233,538 | 2021 | JPMORGAN EQ INC CL R5 - Plan #369 | 0 / 0 | $2,843,933 / $3,233,538 |
2021 | Plan NameCOLUMBIA GLBL TECH GROWTH ADV CL Plan #620 Participants BOY/EOY0 / 0 Assets BOY/EOY$452,875 / $3,218,373 | 2021 | COLUMBIA GLBL TECH GROWTH ADV CL - Plan #620 | 0 / 0 | $452,875 / $3,218,373 |
2021 | Plan NameINVESCO EQUALLY WEIGHTED S&P 500 CL Y Plan #490 Participants BOY/EOY0 / 0 Assets BOY/EOY$774,348 / $3,191,577 | 2021 | INVESCO EQUALLY WEIGHTED S&P 500 CL Y - Plan #490 | 0 / 0 | $774,348 / $3,191,577 |
2021 | Plan NameJPMORGAN CORE BOND CL A Plan #507 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,195,392 / $3,081,877 | 2021 | JPMORGAN CORE BOND CL A - Plan #507 | 0 / 0 | $4,195,392 / $3,081,877 |
2021 | Plan NameFEDERATED HERMES CAPITAL PRESERVATION CL R6 Plan #549 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,138,575 / $3,062,908 | 2021 | FEDERATED HERMES CAPITAL PRESERVATION CL R6 - Plan #549 | 0 / 0 | $1,138,575 / $3,062,908 |
2021 | Plan NameDFA RE SEC INSTL CL Plan #389 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,549,357 / $3,003,742 | 2021 | DFA RE SEC INSTL CL - Plan #389 | 0 / 0 | $2,549,357 / $3,003,742 |
2021 | Plan NameSCHWAB IDXED RETIRE TRUST FUND 2055 I CL Plan #323 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,272,632 / $2,896,218 | 2021 | SCHWAB IDXED RETIRE TRUST FUND 2055 I CL - Plan #323 | 0 / 0 | $2,272,632 / $2,896,218 |
2021 | Plan NameINVESCO INTL DIVERS CL Y Plan #353 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,934,419 / $2,895,265 | 2021 | INVESCO INTL DIVERS CL Y - Plan #353 | 0 / 0 | $2,934,419 / $2,895,265 |
2021 | Plan NameJPMORGAN SMARTRETIREMENT 2035 CL A Plan #392 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,124,846 / $2,775,589 | 2021 | JPMORGAN SMARTRETIREMENT 2035 CL A - Plan #392 | 0 / 0 | $2,124,846 / $2,775,589 |
2021 | Plan NameINVESCO DEV MKTS CL Y Plan #301 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,694,126 / $2,685,210 | 2021 | INVESCO DEV MKTS CL Y - Plan #301 | 0 / 0 | $1,694,126 / $2,685,210 |
2021 | Plan NameVICTORY SYCAMORE ESTABLISHED VAL CL R Plan #726 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,529,240 / $2,559,885 | 2021 | VICTORY SYCAMORE ESTABLISHED VAL CL R - Plan #726 | 0 / 0 | $3,529,240 / $2,559,885 |
2021 | Plan NameFIDELITY ADVISOR GOVT INC I CL Plan #299 Participants BOY/EOY0 / 0 Assets BOY/EOY$590,721 / $2,554,016 | 2021 | FIDELITY ADVISOR GOVT INC I CL - Plan #299 | 0 / 0 | $590,721 / $2,554,016 |
2021 | Plan NameRETIRE ADVOCATE AGGRES Plan #309 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,929,242 / $2,546,955 | 2021 | RETIRE ADVOCATE AGGRES - Plan #309 | 0 / 0 | $1,929,242 / $2,546,955 |
2021 | Plan NameMASSMUTUAL MID CAP GROWTH CL R5 Plan #531 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,372,111 / $2,541,592 | 2021 | MASSMUTUAL MID CAP GROWTH CL R5 - Plan #531 | 0 / 0 | $2,372,111 / $2,541,592 |
2021 | Plan NameALLSPRING LRG CAP GROWTH CL A Plan #220 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,211,167 / $2,538,822 | 2021 | ALLSPRING LRG CAP GROWTH CL A - Plan #220 | 0 / 0 | $2,211,167 / $2,538,822 |
2021 | Plan NameFIDELITY ADVISOR GROWTH OPPS I CL Plan #290 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,227,908 / $2,526,164 | 2021 | FIDELITY ADVISOR GROWTH OPPS I CL - Plan #290 | 0 / 0 | $1,227,908 / $2,526,164 |
2021 | Plan NamePGIM S-T CORP BOND CL Z Plan #445 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,296,440 / $2,522,981 | 2021 | PGIM S-T CORP BOND CL Z - Plan #445 | 0 / 0 | $2,296,440 / $2,522,981 |
2021 | Plan NameVIRTUS ALLIANZGI TECH CL A Plan #038 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,851,690 / $2,451,883 | 2021 | VIRTUS ALLIANZGI TECH CL A - Plan #038 | 0 / 0 | $2,851,690 / $2,451,883 |
2021 | Plan NameWILMINGTON TRUST FP IDX+ MOD RETIRE CL I1 Plan #690 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,279,026 / $2,429,188 | 2021 | WILMINGTON TRUST FP IDX+ MOD RETIRE CL I1 - Plan #690 | 0 / 0 | $2,279,026 / $2,429,188 |
2021 | Plan NameVANGUARD LONG TERM TRSY IDX ADMRL CL Plan #643 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,411,772 / $2,411,809 | 2021 | VANGUARD LONG TERM TRSY IDX ADMRL CL - Plan #643 | 0 / 0 | $1,411,772 / $2,411,809 |
2021 | Plan NameJPMORGAN SMARTRETIREMENT 2020 CL A Plan #661 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,176,360 / $2,383,832 | 2021 | JPMORGAN SMARTRETIREMENT 2020 CL A - Plan #661 | 0 / 0 | $1,176,360 / $2,383,832 |
2021 | Plan NameDFA EMERG MKTS INSTL CL Plan #439 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,196,345 / $2,338,827 | 2021 | DFA EMERG MKTS INSTL CL - Plan #439 | 0 / 0 | $2,196,345 / $2,338,827 |
2021 | Plan NameJPMORGAN LRG CAP GROWTH CL A Plan #234 Participants BOY/EOY0 / 0 Assets BOY/EOY$39,234,126 / $2,338,424 | 2021 | JPMORGAN LRG CAP GROWTH CL A - Plan #234 | 0 / 0 | $39,234,126 / $2,338,424 |
2021 | Plan NameFIDELITY ADVISOR NEW INSIGHTS I CL Plan #504 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,820,913 / $2,328,137 | 2021 | FIDELITY ADVISOR NEW INSIGHTS I CL - Plan #504 | 0 / 0 | $2,820,913 / $2,328,137 |
2021 | Plan NameSCHWAB IDXED RETIRE TRUST FUND 2015 I CL Plan #315 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,121,073 / $2,296,409 | 2021 | SCHWAB IDXED RETIRE TRUST FUND 2015 I CL - Plan #315 | 0 / 0 | $2,121,073 / $2,296,409 |
2021 | Plan NameBLACKROCK HIGH YLD BOND INSTL CL Plan #242 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,250,036 / $2,223,572 | 2021 | BLACKROCK HIGH YLD BOND INSTL CL - Plan #242 | 0 / 0 | $1,250,036 / $2,223,572 |
2021 | Plan NameMFS INTL INTRINSIC VAL CL R3 Plan #335 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,818,749 / $2,161,281 | 2021 | MFS INTL INTRINSIC VAL CL R3 - Plan #335 | 0 / 0 | $1,818,749 / $2,161,281 |
2021 | Plan NameJPMORGAN SMARTRETIREMENT 2025 CL A Plan #391 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,926,869 / $2,140,039 | 2021 | JPMORGAN SMARTRETIREMENT 2025 CL A - Plan #391 | 0 / 0 | $1,926,869 / $2,140,039 |
2021 | Plan NameDODGE & COX STOCK FUND Plan #164 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,846,727 / $2,139,461 | 2021 | DODGE & COX STOCK FUND - Plan #164 | 0 / 0 | $1,846,727 / $2,139,461 |
2021 | Plan NamePIONEER STRAT INC CL Y Plan #631 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,782,939 / $2,105,988 | 2021 | PIONEER STRAT INC CL Y - Plan #631 | 0 / 0 | $1,782,939 / $2,105,988 |
2021 | Plan NameJPMORGAN SMARTRETIREMENT 2045 CL A Plan #393 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,036,807 / $2,094,337 | 2021 | JPMORGAN SMARTRETIREMENT 2045 CL A - Plan #393 | 0 / 0 | $2,036,807 / $2,094,337 |
2021 | Plan NameJPMORGAN U.S. APPLIED DATA SCIENCE VAL CL A Plan #496 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,562,622 / $2,060,052 | 2021 | JPMORGAN U.S. APPLIED DATA SCIENCE VAL CL A - Plan #496 | 0 / 0 | $1,562,622 / $2,060,052 |
2021 | Plan NameDELAWARE IVY SCIENCE & TECH CL Y Plan #065 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,509,593 / $2,059,700 | 2021 | DELAWARE IVY SCIENCE & TECH CL Y - Plan #065 | 0 / 0 | $2,509,593 / $2,059,700 |
2021 | Plan NameGOLDMAN SACHS EMERG MKTS EQ INSIGHTS CL R Plan #613 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,633,336 / $2,049,927 | 2021 | GOLDMAN SACHS EMERG MKTS EQ INSIGHTS CL R - Plan #613 | 0 / 0 | $1,633,336 / $2,049,927 |
2021 | Plan NameJPMORGAN SMARTRETIREMENT 2055 CL A Plan #394 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,111,537 / $2,048,758 | 2021 | JPMORGAN SMARTRETIREMENT 2055 CL A - Plan #394 | 0 / 0 | $2,111,537 / $2,048,758 |
2021 | Plan NamePARAMETRIC INTL EQ INV CL Plan #548 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,772,100 / $2,009,277 | 2021 | PARAMETRIC INTL EQ INV CL - Plan #548 | 0 / 0 | $1,772,100 / $2,009,277 |
2021 | Plan NameDELAWARE IVY HIGH INC CL A Plan #048 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,855,629 / $2,007,320 | 2021 | DELAWARE IVY HIGH INC CL A - Plan #048 | 0 / 0 | $1,855,629 / $2,007,320 |
2021 | Plan NameJOHN HANCOCK INVMNT GRADE BOND CL R6 Plan #568 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,005,738 / $1,952,388 | 2021 | JOHN HANCOCK INVMNT GRADE BOND CL R6 - Plan #568 | 0 / 0 | $1,005,738 / $1,952,388 |
2021 | Plan NamePIMCO LONG DUR TOTAL RTRN I CL Plan #188 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,499,775 / $1,947,811 | 2021 | PIMCO LONG DUR TOTAL RTRN I CL - Plan #188 | 0 / 0 | $3,499,775 / $1,947,811 |
2021 | Plan NamePRINCIPAL LRG CAP GROWTH I CL A Plan #344 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,468,618 / $1,946,691 | 2021 | PRINCIPAL LRG CAP GROWTH I CL A - Plan #344 | 0 / 0 | $1,468,618 / $1,946,691 |
2021 | Plan NameGOLDMAN SACHS INTL EQ INSIGHTS INV CL Plan #707 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,593,383 / $1,871,982 | 2021 | GOLDMAN SACHS INTL EQ INSIGHTS INV CL - Plan #707 | 0 / 0 | $1,593,383 / $1,871,982 |
2021 | Plan NameINVESCO GLBL FUND CL A Plan #326 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,685,443 / $1,870,700 | 2021 | INVESCO GLBL FUND CL A - Plan #326 | 0 / 0 | $1,685,443 / $1,870,700 |
2021 | Plan NameVANGUARD IT IDX ADMRL CL Plan #612 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,312,027 / $1,832,394 | 2021 | VANGUARD IT IDX ADMRL CL - Plan #612 | 0 / 0 | $1,312,027 / $1,832,394 |
2021 | Plan NamePUTNAM LRG CAP VAL CL Y Plan #619 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,447,724 / $1,789,085 | 2021 | PUTNAM LRG CAP VAL CL Y - Plan #619 | 0 / 0 | $1,447,724 / $1,789,085 |
2021 | Plan NameDFA INTL CORE EQ INSTL CL Plan #857 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,756,558 / $1,782,260 | 2021 | DFA INTL CORE EQ INSTL CL - Plan #857 | 0 / 0 | $1,756,558 / $1,782,260 |
2021 | Plan NameDOUBLELINE TOTAL RTRN BOND CL N Plan #454 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,292,268 / $1,744,320 | 2021 | DOUBLELINE TOTAL RTRN BOND CL N - Plan #454 | 0 / 0 | $1,292,268 / $1,744,320 |
2021 | Plan NameAMERICAN FUNDS CAP WORLD GROWTH & INC CL R6 Plan #410 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,472,721 / $1,730,946 | 2021 | AMERICAN FUNDS CAP WORLD GROWTH & INC CL R6 - Plan #410 | 0 / 0 | $1,472,721 / $1,730,946 |
2021 | Plan NameAMERICAN FUNDS BOND FUND OF AMERICA CL R6 Plan #378 Participants BOY/EOY0 / 0 Assets BOY/EOY$26,813 / $1,701,470 | 2021 | AMERICAN FUNDS BOND FUND OF AMERICA CL R6 - Plan #378 | 0 / 0 | $26,813 / $1,701,470 |
2021 | Plan NameSCHWAB IDXED RETIRE TRUST FUND 2060 I CL Plan #864 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,244,100 / $1,688,630 | 2021 | SCHWAB IDXED RETIRE TRUST FUND 2060 I CL - Plan #864 | 0 / 0 | $1,244,100 / $1,688,630 |
2021 | Plan NameDODGE & COX INC FUND Plan #157 Participants BOY/EOY0 / 0 Assets BOY/EOY$972,641 / $1,685,335 | 2021 | DODGE & COX INC FUND - Plan #157 | 0 / 0 | $972,641 / $1,685,335 |
2021 | Plan NameTRADEMARK TACTICAL MULTIFACTOR CONSERV CL R Plan #258 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,452,248 / $1,663,405 | 2021 | TRADEMARK TACTICAL MULTIFACTOR CONSERV CL R - Plan #258 | 0 / 0 | $2,452,248 / $1,663,405 |
2021 | Plan NameJPMORGAN SMARTRETIREMENT INC CL A Plan #395 Participants BOY/EOY0 / 0 Assets BOY/EOY$799,466 / $1,637,510 | 2021 | JPMORGAN SMARTRETIREMENT INC CL A - Plan #395 | 0 / 0 | $799,466 / $1,637,510 |
2021 | Plan NameAMERICAN CENTURY EMERG MKTS CL R6 Plan #826 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,141,999 / $1,611,948 | 2021 | AMERICAN CENTURY EMERG MKTS CL R6 - Plan #826 | 0 / 0 | $1,141,999 / $1,611,948 |
2021 | Plan NameAMERICAN CENTURY ONE CHOICE 2040 I CL Plan #536 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,060,932 / $1,570,751 | 2021 | AMERICAN CENTURY ONE CHOICE 2040 I CL - Plan #536 | 0 / 0 | $1,060,932 / $1,570,751 |
2021 | Plan NameAMERICAN FUNDS 2015 TGT DATE RETIRE CL R6 Plan #380 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,083,814 / $1,549,019 | 2021 | AMERICAN FUNDS 2015 TGT DATE RETIRE CL R6 - Plan #380 | 0 / 0 | $2,083,814 / $1,549,019 |
2021 | Plan NameTWEEDY BROWNE INTL VAL Plan #725 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,379,639 / $1,519,581 | 2021 | TWEEDY BROWNE INTL VAL - Plan #725 | 0 / 0 | $1,379,639 / $1,519,581 |
2021 | Plan NameJANUS HENDERSON VENTURE I CL Plan #542 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,547,963 / $1,510,935 | 2021 | JANUS HENDERSON VENTURE I CL - Plan #542 | 0 / 0 | $1,547,963 / $1,510,935 |
2021 | Plan NamePIMCO INTL BOND (USD-H) I CL Plan #865 Participants BOY/EOY0 / 0 Assets BOY/EOY$552,611 / $1,504,190 | 2021 | PIMCO INTL BOND (USD-H) I CL - Plan #865 | 0 / 0 | $552,611 / $1,504,190 |
2021 | Plan NameDELAWARE IVY VAL CL A Plan #083 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,081,642 / $1,478,332 | 2021 | DELAWARE IVY VAL CL A - Plan #083 | 0 / 0 | $1,081,642 / $1,478,332 |
2021 | Plan NameAMERICAN CENTURY ONE CHOICE 2050 I CL Plan #538 Participants BOY/EOY0 / 0 Assets BOY/EOY$994,757 / $1,437,512 | 2021 | AMERICAN CENTURY ONE CHOICE 2050 I CL - Plan #538 | 0 / 0 | $994,757 / $1,437,512 |
2021 | Plan NameFRANKLIN TEMPLETON GLBL BOND CL A Plan #137 Participants BOY/EOY0 / 0 Assets BOY/EOY$11,584,001 / $1,386,087 | 2021 | FRANKLIN TEMPLETON GLBL BOND CL A - Plan #137 | 0 / 0 | $11,584,001 / $1,386,087 |
2021 | Plan NameVANGUARD STRAT EQ INV CL Plan #547 Participants BOY/EOY0 / 0 Assets BOY/EOY$977,983 / $1,382,127 | 2021 | VANGUARD STRAT EQ INV CL - Plan #547 | 0 / 0 | $977,983 / $1,382,127 |
2021 | Plan NamePARNASSUS MID CAP INSTL CLSEPARATE ACCOUNT Plan #757 Participants BOY/EOY0 / 0 Assets BOY/EOY$523,041 / $1,337,391 | 2021 | PARNASSUS MID CAP INSTL CLSEPARATE ACCOUNT - Plan #757 | 0 / 0 | $523,041 / $1,337,391 |
2021 | Plan NameMFS TECHNOLOGY CL R3 Plan #610 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,181,408 / $1,314,120 | 2021 | MFS TECHNOLOGY CL R3 - Plan #610 | 0 / 0 | $1,181,408 / $1,314,120 |
2021 | Plan NameTIAA CREF LRG CAP GROWTH ADV CL Plan #650 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,556,059 / $1,303,212 | 2021 | TIAA CREF LRG CAP GROWTH ADV CL - Plan #650 | 0 / 0 | $1,556,059 / $1,303,212 |
2021 | Plan NameAMERICAN BEACON SM CAP VAL ADV CL Plan #303 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,094,443 / $1,297,102 | 2021 | AMERICAN BEACON SM CAP VAL ADV CL - Plan #303 | 0 / 0 | $1,094,443 / $1,297,102 |
2021 | Plan NameDFA EMERG MKTS CORE EQ INSTL CL Plan #660 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,346,888 / $1,296,202 | 2021 | DFA EMERG MKTS CORE EQ INSTL CL - Plan #660 | 0 / 0 | $1,346,888 / $1,296,202 |
2021 | Plan NameJPMORGAN SMARTRETIREMENT 2040 CL A Plan #663 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,116,783 / $1,278,513 | 2021 | JPMORGAN SMARTRETIREMENT 2040 CL A - Plan #663 | 0 / 0 | $1,116,783 / $1,278,513 |
2021 | Plan NameJPMORGAN SMARTRETIREMENT 2050 CL A Plan #664 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,041,291 / $1,265,321 | 2021 | JPMORGAN SMARTRETIREMENT 2050 CL A - Plan #664 | 0 / 0 | $1,041,291 / $1,265,321 |
2021 | Plan NameJPMORGAN SMARTRETIREMENT BLEND 2035 CL R5 Plan #574 Participants BOY/EOY0 / 0 Assets BOY/EOY$8,326,105 / $1,258,903 | 2021 | JPMORGAN SMARTRETIREMENT BLEND 2035 CL R5 - Plan #574 | 0 / 0 | $8,326,105 / $1,258,903 |
2021 | Plan NameFIDELITY ADVISOR HEALTH CARE I CL Plan #463 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,151,335 / $1,255,140 | 2021 | FIDELITY ADVISOR HEALTH CARE I CL - Plan #463 | 0 / 0 | $1,151,335 / $1,255,140 |
2021 | Plan NameNEUBERGER BERMAN SUSTAINABLE EQ INSTL CL Plan #134 Participants BOY/EOY0 / 0 Assets BOY/EOY$471,045 / $1,233,326 | 2021 | NEUBERGER BERMAN SUSTAINABLE EQ INSTL CL - Plan #134 | 0 / 0 | $471,045 / $1,233,326 |
2021 | Plan NameVANGUARD MID CAP GROWTH INV CL Plan #503 Participants BOY/EOY0 / 0 Assets BOY/EOY$518,061 / $1,227,786 | 2021 | VANGUARD MID CAP GROWTH INV CL - Plan #503 | 0 / 0 | $518,061 / $1,227,786 |
2021 | Plan NameT. ROWE PRICE QM U.S. SM CAP GROWTH EQ INV CL Plan #868 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,080,062 / $1,217,290 | 2021 | T. ROWE PRICE QM U.S. SM CAP GROWTH EQ INV CL - Plan #868 | 0 / 0 | $1,080,062 / $1,217,290 |
2021 | Plan NamePRINCIPAL GLBL RE SEC INSTL CL Plan #651 Participants BOY/EOY0 / 0 Assets BOY/EOY$310,770 / $1,193,918 | 2021 | PRINCIPAL GLBL RE SEC INSTL CL - Plan #651 | 0 / 0 | $310,770 / $1,193,918 |
2021 | Plan NameAMERICAN FUNDS SMALLCAP WORLD CL R6 Plan #377 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,008,583 / $1,159,927 | 2021 | AMERICAN FUNDS SMALLCAP WORLD CL R6 - Plan #377 | 0 / 0 | $1,008,583 / $1,159,927 |
2021 | Plan NameWILMINGTON TRUST FP IDX+ AGGRES 2035 CL I1 Plan #702 Participants BOY/EOY0 / 0 Assets BOY/EOY$896,757 / $1,147,220 | 2021 | WILMINGTON TRUST FP IDX+ AGGRES 2035 CL I1 - Plan #702 | 0 / 0 | $896,757 / $1,147,220 |
2021 | Plan NameRETIRE ADVOCATE MOD Plan #313 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,046,210 / $1,126,080 | 2021 | RETIRE ADVOCATE MOD - Plan #313 | 0 / 0 | $2,046,210 / $1,126,080 |
2021 | Plan NameLOOM SAYLES STRAT INC ADMIN CL Plan #406 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,535,082 / $1,073,990 | 2021 | LOOM SAYLES STRAT INC ADMIN CL - Plan #406 | 0 / 0 | $5,535,082 / $1,073,990 |
2021 | Plan NameDELAWARE IVY GLBL GROWTH CL A Plan #090 Participants BOY/EOY0 / 0 Assets BOY/EOY$921,910 / $1,055,773 | 2021 | DELAWARE IVY GLBL GROWTH CL A - Plan #090 | 0 / 0 | $921,910 / $1,055,773 |
2021 | Plan NameMFS GROWTH ALLOC CL R3SEPARATE ACCOUNT Plan #405 Participants BOY/EOY0 / 0 Assets BOY/EOY$918,377 / $1,051,799 | 2021 | MFS GROWTH ALLOC CL R3SEPARATE ACCOUNT - Plan #405 | 0 / 0 | $918,377 / $1,051,799 |
2021 | Plan NameDELAWARE IVY BAL FUND CL Y Plan #010 Participants BOY/EOY0 / 0 Assets BOY/EOY$870,197 / $1,037,356 | 2021 | DELAWARE IVY BAL FUND CL Y - Plan #010 | 0 / 0 | $870,197 / $1,037,356 |
2021 | Plan NameBLACKROCK ISHARES RUSSELL 2000 SM CAP CL K Plan #521 Participants BOY/EOY0 / 0 Assets BOY/EOY$683,453 / $1,023,336 | 2021 | BLACKROCK ISHARES RUSSELL 2000 SM CAP CL K - Plan #521 | 0 / 0 | $683,453 / $1,023,336 |
2021 | Plan NameFEDERATED HERMES INSTL HIGH YLD BOND INSTL CL Plan #355 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,010,792 / $1,002,046 | 2021 | FEDERATED HERMES INSTL HIGH YLD BOND INSTL CL - Plan #355 | 0 / 0 | $1,010,792 / $1,002,046 |
2021 | Plan NameDELAWARE IVY ASSET STRAT CL Y Plan #080 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,258,534 / $998,602 | 2021 | DELAWARE IVY ASSET STRAT CL Y - Plan #080 | 0 / 0 | $1,258,534 / $998,602 |
2021 | Plan NameLORD ABBETT TOTAL RTRN CL R6 Plan #590 Participants BOY/EOY0 / 0 Assets BOY/EOY$951,175 / $975,043 | 2021 | LORD ABBETT TOTAL RTRN CL R6 - Plan #590 | 0 / 0 | $951,175 / $975,043 |
2021 | Plan NameLORD ABBETT BOND DEBENTURE CL R6 Plan #358 Participants BOY/EOY0 / 0 Assets BOY/EOY$619,429 / $962,325 | 2021 | LORD ABBETT BOND DEBENTURE CL R6 - Plan #358 | 0 / 0 | $619,429 / $962,325 |
2021 | Plan NameEATON VANCE HIGH INC OPPS CL A Plan #855 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,072,369 / $959,764 | 2021 | EATON VANCE HIGH INC OPPS CL A - Plan #855 | 0 / 0 | $1,072,369 / $959,764 |
2021 | Plan NameDELAWARE IVY ACCUMULATIVE CL A Plan #085 Participants BOY/EOY0 / 0 Assets BOY/EOY$899,819 / $952,665 | 2021 | DELAWARE IVY ACCUMULATIVE CL A - Plan #085 | 0 / 0 | $899,819 / $952,665 |
2021 | Plan NameJPMORGAN SMARTRETIREMENT BLEND 2045 CL R5 Plan #576 Participants BOY/EOY0 / 0 Assets BOY/EOY$6,943,044 / $948,039 | 2021 | JPMORGAN SMARTRETIREMENT BLEND 2045 CL R5 - Plan #576 | 0 / 0 | $6,943,044 / $948,039 |
2021 | Plan NameDODGE & COX INTL STOCK FUND Plan #161 Participants BOY/EOY0 / 0 Assets BOY/EOY$893,350 / $931,469 | 2021 | DODGE & COX INTL STOCK FUND - Plan #161 | 0 / 0 | $893,350 / $931,469 |
2021 | Plan NameT. ROWE PRICE SPECTRUM MOD GRO ALLOC INV CL Plan #443 Participants BOY/EOY0 / 0 Assets BOY/EOY$905,501 / $931,163 | 2021 | T. ROWE PRICE SPECTRUM MOD GRO ALLOC INV CL - Plan #443 | 0 / 0 | $905,501 / $931,163 |
2021 | Plan NameNUVEEN RE SEC CL A Plan #287 Participants BOY/EOY0 / 0 Assets BOY/EOY$701,624 / $908,911 | 2021 | NUVEEN RE SEC CL A - Plan #287 | 0 / 0 | $701,624 / $908,911 |
2021 | Plan NameVANGUARD GLBL EQ INV CL Plan #600 Participants BOY/EOY0 / 0 Assets BOY/EOY$955,179 / $901,981 | 2021 | VANGUARD GLBL EQ INV CL - Plan #600 | 0 / 0 | $955,179 / $901,981 |
2021 | Plan NameJPMORGAN SMARTRETIREMENT BLEND 2025 CL R5 Plan #572 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,204,772 / $877,108 | 2021 | JPMORGAN SMARTRETIREMENT BLEND 2025 CL R5 - Plan #572 | 0 / 0 | $5,204,772 / $877,108 |
2021 | Plan NameNORTHERN SM TRUST CAP VAL Plan #623 Participants BOY/EOY0 / 0 Assets BOY/EOY$471,673 / $873,514 | 2021 | NORTHERN SM TRUST CAP VAL - Plan #623 | 0 / 0 | $471,673 / $873,514 |
2021 | Plan NameFIDELITY CONTRAFUND Plan #484 Participants BOY/EOY0 / 0 Assets BOY/EOY$698,284 / $871,515 | 2021 | FIDELITY CONTRAFUND - Plan #484 | 0 / 0 | $698,284 / $871,515 |
2021 | Plan NameCLEARBRIDGE MID CAP CL A Plan #735 Participants BOY/EOY0 / 0 Assets BOY/EOY$905,792 / $848,277 | 2021 | CLEARBRIDGE MID CAP CL A - Plan #735 | 0 / 0 | $905,792 / $848,277 |
2021 | Plan NameAMERICAN CENTURY ONE CHOICE LN RETIRE I CL Plan #540 Participants BOY/EOY0 / 0 Assets BOY/EOY$770,762 / $844,055 | 2021 | AMERICAN CENTURY ONE CHOICE LN RETIRE I CL - Plan #540 | 0 / 0 | $770,762 / $844,055 |
2021 | Plan NameVANGUARD WELLINGTON INC ADMRL CL Plan #401 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,661,009 / $840,710 | 2021 | VANGUARD WELLINGTON INC ADMRL CL - Plan #401 | 0 / 0 | $1,661,009 / $840,710 |
2021 | Plan NameINVESCO SM CAP VAL CL Y Plan #151 Participants BOY/EOY0 / 0 Assets BOY/EOY$763,453 / $836,025 | 2021 | INVESCO SM CAP VAL CL Y - Plan #151 | 0 / 0 | $763,453 / $836,025 |
2021 | Plan NameFEDERATED HERMES MID CAP IDX INSTL CL Plan #654 Participants BOY/EOY0 / 0 Assets BOY/EOY$579,909 / $815,448 | 2021 | FEDERATED HERMES MID CAP IDX INSTL CL - Plan #654 | 0 / 0 | $579,909 / $815,448 |
2021 | Plan NameDWS RREEF RE SEC CL A Plan #359 Participants BOY/EOY0 / 0 Assets BOY/EOY$502,330 / $806,717 | 2021 | DWS RREEF RE SEC CL A - Plan #359 | 0 / 0 | $502,330 / $806,717 |
2021 | Plan NameCARILLON EAGLE SM CAP GROWTH CL R5 Plan #659 Participants BOY/EOY0 / 0 Assets BOY/EOY$829,164 / $806,078 | 2021 | CARILLON EAGLE SM CAP GROWTH CL R5 - Plan #659 | 0 / 0 | $829,164 / $806,078 |
2021 | Plan NameGOLDMAN SACHS SM CAP GROWTH INSIGHTS CL R Plan #720 Participants BOY/EOY0 / 0 Assets BOY/EOY$956,448 / $778,517 | 2021 | GOLDMAN SACHS SM CAP GROWTH INSIGHTS CL R - Plan #720 | 0 / 0 | $956,448 / $778,517 |
2021 | Plan NameJPMORGAN U.S. RESEARCH ENHANCED EQ CL R6 Plan #343 Participants BOY/EOY0 / 0 Assets BOY/EOY$576,204 / $777,660 | 2021 | JPMORGAN U.S. RESEARCH ENHANCED EQ CL R6 - Plan #343 | 0 / 0 | $576,204 / $777,660 |
2021 | Plan NamePIMCO COMMODITIESPLUS STRAT INSTL CL Plan #607 Participants BOY/EOY0 / 0 Assets BOY/EOY$426,720 / $759,172 | 2021 | PIMCO COMMODITIESPLUS STRAT INSTL CL - Plan #607 | 0 / 0 | $426,720 / $759,172 |
2021 | Plan NamePUTNAM INC CL Y Plan #487 Participants BOY/EOY0 / 0 Assets BOY/EOY$756,423 / $758,797 | 2021 | PUTNAM INC CL Y - Plan #487 | 0 / 0 | $756,423 / $758,797 |
2021 | Plan NameAMERICAN BEACON INTL EQ CL R6 Plan #562 Participants BOY/EOY0 / 0 Assets BOY/EOY$715,098 / $750,600 | 2021 | AMERICAN BEACON INTL EQ CL R6 - Plan #562 | 0 / 0 | $715,098 / $750,600 |
2021 | Plan NameLONGLEAF PARTNERS SM CAP Plan #502 Participants BOY/EOY0 / 0 Assets BOY/EOY$845,525 / $736,150 | 2021 | LONGLEAF PARTNERS SM CAP - Plan #502 | 0 / 0 | $845,525 / $736,150 |
2021 | Plan NameLORD ABBETT HIGH YLD CL R6 Plan #552 Participants BOY/EOY0 / 0 Assets BOY/EOY$908,111 / $725,062 | 2021 | LORD ABBETT HIGH YLD CL R6 - Plan #552 | 0 / 0 | $908,111 / $725,062 |
2021 | Plan NameJPMORGAN SMARTRETIREMENT BLEND 2050 CL R5 Plan #577 Participants BOY/EOY0 / 0 Assets BOY/EOY$6,862,143 / $722,435 | 2021 | JPMORGAN SMARTRETIREMENT BLEND 2050 CL R5 - Plan #577 | 0 / 0 | $6,862,143 / $722,435 |
2021 | Plan NameGOLDMAN SACHS GOVT INC CL A Plan #506 Participants BOY/EOY0 / 0 Assets BOY/EOY$281,675 / $720,751 | 2021 | GOLDMAN SACHS GOVT INC CL A - Plan #506 | 0 / 0 | $281,675 / $720,751 |
2021 | Plan NameDELAWARE IVY SYTM EMERG MKTS EQ CL Y Plan #069 Participants BOY/EOY0 / 0 Assets BOY/EOY$886,548 / $720,092 | 2021 | DELAWARE IVY SYTM EMERG MKTS EQ CL Y - Plan #069 | 0 / 0 | $886,548 / $720,092 |
2021 | Plan NameTHORNBURG INVMNT INC BUILDER CL R5 Plan #511 Participants BOY/EOY0 / 0 Assets BOY/EOY$587,216 / $716,432 | 2021 | THORNBURG INVMNT INC BUILDER CL R5 - Plan #511 | 0 / 0 | $587,216 / $716,432 |
2021 | Plan NameJPMORGAN SMARTRETIREMENT BLEND 2040 CL R5 Plan #575 Participants BOY/EOY0 / 0 Assets BOY/EOY$6,920,577 / $711,902 | 2021 | JPMORGAN SMARTRETIREMENT BLEND 2040 CL R5 - Plan #575 | 0 / 0 | $6,920,577 / $711,902 |
2021 | Plan NameVANGUARD BAL IDX ADMRL CL Plan #416 Participants BOY/EOY0 / 0 Assets BOY/EOY$525,728 / $708,589 | 2021 | VANGUARD BAL IDX ADMRL CL - Plan #416 | 0 / 0 | $525,728 / $708,589 |
2021 | Plan NameGOLDMAN SACHS GLBL CORE FI INV CL Plan #856 Participants BOY/EOY0 / 0 Assets BOY/EOY$810,412 / $703,106 | 2021 | GOLDMAN SACHS GLBL CORE FI INV CL - Plan #856 | 0 / 0 | $810,412 / $703,106 |
2021 | Plan NameAMANA GROWTH INV CL Plan #428 Participants BOY/EOY0 / 0 Assets BOY/EOY$525,433 / $702,637 | 2021 | AMANA GROWTH INV CL - Plan #428 | 0 / 0 | $525,433 / $702,637 |
2021 | Plan NameNEUBERGER BERMAN CORE BOND INSTL CL Plan #440 Participants BOY/EOY0 / 0 Assets BOY/EOY$910,437 / $694,346 | 2021 | NEUBERGER BERMAN CORE BOND INSTL CL - Plan #440 | 0 / 0 | $910,437 / $694,346 |
2021 | Plan NameJOHN HANCOCK DISCIPLINED VAL MID CAP CL R6 Plan #247 Participants BOY/EOY0 / 0 Assets BOY/EOY$422,965 / $684,810 | 2021 | JOHN HANCOCK DISCIPLINED VAL MID CAP CL R6 - Plan #247 | 0 / 0 | $422,965 / $684,810 |
2021 | Plan NameAMERICAN FUNDS 2010 TGT DATE RETIRE CL R6 Plan #381 Participants BOY/EOY0 / 0 Assets BOY/EOY$428,041 / $676,206 | 2021 | AMERICAN FUNDS 2010 TGT DATE RETIRE CL R6 - Plan #381 | 0 / 0 | $428,041 / $676,206 |
2021 | Plan NameJPMORGAN SMARTRETIREMENT BLEND 2030 CL R5 Plan #573 Participants BOY/EOY0 / 0 Assets BOY/EOY$10,589,456 / $656,264 | 2021 | JPMORGAN SMARTRETIREMENT BLEND 2030 CL R5 - Plan #573 | 0 / 0 | $10,589,456 / $656,264 |
2021 | Plan NameJPMORGAN SMARTRETIREMENT BLEND 2055 CL R5 Plan #578 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,491,596 / $639,853 | 2021 | JPMORGAN SMARTRETIREMENT BLEND 2055 CL R5 - Plan #578 | 0 / 0 | $4,491,596 / $639,853 |
2021 | Plan NameMFS MOD ALLOC CL R3 Plan #403 Participants BOY/EOY0 / 0 Assets BOY/EOY$627,596 / $613,196 | 2021 | MFS MOD ALLOC CL R3 - Plan #403 | 0 / 0 | $627,596 / $613,196 |
2021 | Plan NameJPMORGAN SMARTRETIREMENT 2030 CL A Plan #662 Participants BOY/EOY0 / 0 Assets BOY/EOY$910,067 / $611,746 | 2021 | JPMORGAN SMARTRETIREMENT 2030 CL A - Plan #662 | 0 / 0 | $910,067 / $611,746 |
2021 | Plan NameAB GLBL BOND CL Z Plan #778 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,740 / $602,629 | 2021 | AB GLBL BOND CL Z - Plan #778 | 0 / 0 | $3,740 / $602,629 |
2021 | Plan NameVANGUARD HIGH YLD CORP ADMRL CL Plan #626 Participants BOY/EOY0 / 0 Assets BOY/EOY$559,872 / $595,796 | 2021 | VANGUARD HIGH YLD CORP ADMRL CL - Plan #626 | 0 / 0 | $559,872 / $595,796 |
2021 | Plan NameINVESCO STABLE VAL TRUST I CL III Plan #265 Participants BOY/EOY0 / 0 Assets BOY/EOY$520,249 / $575,120 | 2021 | INVESCO STABLE VAL TRUST I CL III - Plan #265 | 0 / 0 | $520,249 / $575,120 |
2021 | Plan NameFIDELITY ADVISOR MATERIALS I CL Plan #457 Participants BOY/EOY0 / 0 Assets BOY/EOY$513,275 / $572,870 | 2021 | FIDELITY ADVISOR MATERIALS I CL - Plan #457 | 0 / 0 | $513,275 / $572,870 |
2021 | Plan NameDELAWARE IVY SECURIAN CORE BOND CL Y Plan #172 Participants BOY/EOY0 / 0 Assets BOY/EOY$490,722 / $563,704 | 2021 | DELAWARE IVY SECURIAN CORE BOND CL Y - Plan #172 | 0 / 0 | $490,722 / $563,704 |
2021 | Plan NameRETIRE ADVOCATE MOD CONSERV Plan #312 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,041,813 / $561,167 | 2021 | RETIRE ADVOCATE MOD CONSERV - Plan #312 | 0 / 0 | $1,041,813 / $561,167 |
2021 | Plan NameDOUBLELINE CORE FI I CL Plan #729 Participants BOY/EOY0 / 0 Assets BOY/EOY$427,366 / $555,404 | 2021 | DOUBLELINE CORE FI I CL - Plan #729 | 0 / 0 | $427,366 / $555,404 |
2021 | Plan NameBLACKROCK GLBL ALLOC INSTL CL Plan #189 Participants BOY/EOY0 / 0 Assets BOY/EOY$321,087 / $541,477 | 2021 | BLACKROCK GLBL ALLOC INSTL CL - Plan #189 | 0 / 0 | $321,087 / $541,477 |
2021 | Plan NameT. ROWE PRICE INTL DISC INV CL Plan #625 Participants BOY/EOY0 / 0 Assets BOY/EOY$388,899 / $520,197 | 2021 | T. ROWE PRICE INTL DISC INV CL - Plan #625 | 0 / 0 | $388,899 / $520,197 |
2021 | Plan NamePIMCO TOTAL RTRN CL A Plan #425 Participants BOY/EOY0 / 0 Assets BOY/EOY$799,491 / $517,898 | 2021 | PIMCO TOTAL RTRN CL A - Plan #425 | 0 / 0 | $799,491 / $517,898 |
2021 | Plan NameDELAWARE IVY SMID CAP CORE CL Y Plan #068 Participants BOY/EOY0 / 0 Assets BOY/EOY$622,384 / $507,900 | 2021 | DELAWARE IVY SMID CAP CORE CL Y - Plan #068 | 0 / 0 | $622,384 / $507,900 |
2021 | Plan NameFIDELITY VIP REAL ESTATE IC Plan #237 Participants BOY/EOY0 / 0 Assets BOY/EOY$440,178 / $506,721 | 2021 | FIDELITY VIP REAL ESTATE IC - Plan #237 | 0 / 0 | $440,178 / $506,721 |
2021 | Plan NameVANGUARD FINANCIALS IDX ADMRL CL Plan #644 Participants BOY/EOY0 / 0 Assets BOY/EOY$406,773 / $506,647 | 2021 | VANGUARD FINANCIALS IDX ADMRL CL - Plan #644 | 0 / 0 | $406,773 / $506,647 |
2021 | Plan NameDFA GLBL EQ INSTL CL Plan #633 Participants BOY/EOY0 / 0 Assets BOY/EOY$439,116 / $489,391 | 2021 | DFA GLBL EQ INSTL CL - Plan #633 | 0 / 0 | $439,116 / $489,391 |
2021 | Plan NameAMERICAN CENTURY ONE CHOICE 2060 I CL Plan #728 Participants BOY/EOY0 / 0 Assets BOY/EOY$227,139 / $468,731 | 2021 | AMERICAN CENTURY ONE CHOICE 2060 I CL - Plan #728 | 0 / 0 | $227,139 / $468,731 |
2021 | Plan NameLOOMIS SAYLES GROWTH CL A Plan #442 Participants BOY/EOY0 / 0 Assets BOY/EOY$910,810 / $464,286 | 2021 | LOOMIS SAYLES GROWTH CL A - Plan #442 | 0 / 0 | $910,810 / $464,286 |
2021 | Plan NameDFA EMERG MKTS VAL INSTL CL Plan #128 Participants BOY/EOY0 / 0 Assets BOY/EOY$24,828,482 / $459,002 | 2021 | DFA EMERG MKTS VAL INSTL CL - Plan #128 | 0 / 0 | $24,828,482 / $459,002 |
2021 | Plan NameLORD ABBETT SHORT DUR INC CL R6 Plan #434 Participants BOY/EOY0 / 0 Assets BOY/EOY$9,641,411 / $456,009 | 2021 | LORD ABBETT SHORT DUR INC CL R6 - Plan #434 | 0 / 0 | $9,641,411 / $456,009 |
2021 | Plan NameAMERICAN CENTURY ONE CHOICE 2025 I CL Plan #533 Participants BOY/EOY0 / 0 Assets BOY/EOY$281,213 / $455,997 | 2021 | AMERICAN CENTURY ONE CHOICE 2025 I CL - Plan #533 | 0 / 0 | $281,213 / $455,997 |
2021 | Plan NameAMERICAN CENTURY ONE CHOICE 2045 I CL Plan #537 Participants BOY/EOY0 / 0 Assets BOY/EOY$265,382 / $454,187 | 2021 | AMERICAN CENTURY ONE CHOICE 2045 I CL - Plan #537 | 0 / 0 | $265,382 / $454,187 |
2021 | Plan NameBLACKROCK EAFE EQ IDX CL R Plan #688 Participants BOY/EOY0 / 0 Assets BOY/EOY$722,338 / $447,887 | 2021 | BLACKROCK EAFE EQ IDX CL R - Plan #688 | 0 / 0 | $722,338 / $447,887 |
2021 | Plan NameFRANKLIN INC CL R Plan #510 Participants BOY/EOY0 / 0 Assets BOY/EOY$152,749 / $428,966 | 2021 | FRANKLIN INC CL R - Plan #510 | 0 / 0 | $152,749 / $428,966 |
2021 | Plan NameOAKMARK INTL INSTL CL Plan #252 Participants BOY/EOY0 / 0 Assets BOY/EOY$925,167 / $422,168 | 2021 | OAKMARK INTL INSTL CL - Plan #252 | 0 / 0 | $925,167 / $422,168 |
2021 | Plan NameT. ROWE PRICE SPECTRUM MOD ALLOC INV CL Plan #444 Participants BOY/EOY0 / 0 Assets BOY/EOY$574,452 / $420,158 | 2021 | T. ROWE PRICE SPECTRUM MOD ALLOC INV CL - Plan #444 | 0 / 0 | $574,452 / $420,158 |
2021 | Plan NameAMERICAN CENTURY INFL ADJ BOND CL R5 Plan #712 Participants BOY/EOY0 / 0 Assets BOY/EOY$307,190 / $406,155 | 2021 | AMERICAN CENTURY INFL ADJ BOND CL R5 - Plan #712 | 0 / 0 | $307,190 / $406,155 |
2021 | Plan NameCOLUMBIA MID CAP VAL ADV CL Plan #513 Participants BOY/EOY0 / 0 Assets BOY/EOY$147,293 / $398,140 | 2021 | COLUMBIA MID CAP VAL ADV CL - Plan #513 | 0 / 0 | $147,293 / $398,140 |
2021 | Plan NameSCHWAB IDXED RETIRE TRUST FUND 2010 I CL Plan #314 Participants BOY/EOY0 / 0 Assets BOY/EOY$324,685 / $396,015 | 2021 | SCHWAB IDXED RETIRE TRUST FUND 2010 I CL - Plan #314 | 0 / 0 | $324,685 / $396,015 |
2021 | Plan NamePIMCO REAL RTRN INSTL CL Plan #508 Participants BOY/EOY0 / 0 Assets BOY/EOY$323,715 / $392,632 | 2021 | PIMCO REAL RTRN INSTL CL - Plan #508 | 0 / 0 | $323,715 / $392,632 |
2021 | Plan NameINVESCO VI DISC MID CAP GROWTH SR II Plan #592 Participants BOY/EOY0 / 0 Assets BOY/EOY$155,557 / $388,492 | 2021 | INVESCO VI DISC MID CAP GROWTH SR II - Plan #592 | 0 / 0 | $155,557 / $388,492 |
2021 | Plan NameALGER SPECTRA I CL Plan #488 Participants BOY/EOY0 / 0 Assets BOY/EOY$259,267 / $387,464 | 2021 | ALGER SPECTRA I CL - Plan #488 | 0 / 0 | $259,267 / $387,464 |
2021 | Plan NameBNY MELLON OPPORTUNISTIC MID CAP VAL I CL Plan #339 Participants BOY/EOY0 / 0 Assets BOY/EOY$353,145 / $363,348 | 2021 | BNY MELLON OPPORTUNISTIC MID CAP VAL I CL - Plan #339 | 0 / 0 | $353,145 / $363,348 |
2021 | Plan NameAMERICAN CENTURY ONE CHOICE 2055 I CL Plan #539 Participants BOY/EOY0 / 0 Assets BOY/EOY$120,570 / $360,276 | 2021 | AMERICAN CENTURY ONE CHOICE 2055 I CL - Plan #539 | 0 / 0 | $120,570 / $360,276 |
2021 | Plan NameMFS INTL NEW DISC CL R3 Plan #346 Participants BOY/EOY0 / 0 Assets BOY/EOY$395,603 / $358,297 | 2021 | MFS INTL NEW DISC CL R3 - Plan #346 | 0 / 0 | $395,603 / $358,297 |
2021 | Plan NameAMERICAN BEACON MID CAP VAL CL Y Plan #384 Participants BOY/EOY0 / 0 Assets BOY/EOY$442,084 / $357,746 | 2021 | AMERICAN BEACON MID CAP VAL CL Y - Plan #384 | 0 / 0 | $442,084 / $357,746 |
2021 | Plan NameAB DISC GROWTH CL A Plan #338 Participants BOY/EOY0 / 0 Assets BOY/EOY$192,592 / $349,066 | 2021 | AB DISC GROWTH CL A - Plan #338 | 0 / 0 | $192,592 / $349,066 |
2021 | Plan NameDELAWARE IVY CORE EQ CL A Plan #084 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,050,604 / $345,787 | 2021 | DELAWARE IVY CORE EQ CL A - Plan #084 | 0 / 0 | $1,050,604 / $345,787 |
2021 | Plan NameCOLUMBIA SELIGMAN TECH INFO ADV CL Plan #839 Participants BOY/EOY0 / 0 Assets BOY/EOY$167,468 / $344,522 | 2021 | COLUMBIA SELIGMAN TECH INFO ADV CL - Plan #839 | 0 / 0 | $167,468 / $344,522 |
2021 | Plan NameCARILLON SCOUT MID CAP CL A Plan #222 Participants BOY/EOY0 / 0 Assets BOY/EOY$95,011 / $309,997 | 2021 | CARILLON SCOUT MID CAP CL A - Plan #222 | 0 / 0 | $95,011 / $309,997 |
2021 | Plan NameTOUCHSTONE DIV EQ CL A Plan #493 Participants BOY/EOY0 / 0 Assets BOY/EOY$231,979 / $299,785 | 2021 | TOUCHSTONE DIV EQ CL A - Plan #493 | 0 / 0 | $231,979 / $299,785 |
2021 | Plan NameWILMINGTON TRUST FP IDX+ AGGRES 2045 CL I1 Plan #703 Participants BOY/EOY0 / 0 Assets BOY/EOY$143,486 / $297,774 | 2021 | WILMINGTON TRUST FP IDX+ AGGRES 2045 CL I1 - Plan #703 | 0 / 0 | $143,486 / $297,774 |
2021 | Plan NameBLACKROCK ISHRS RUSSELL MID-CAP IDX INSTL CL Plan #657 Participants BOY/EOY0 / 0 Assets BOY/EOY$146,058 / $288,244 | 2021 | BLACKROCK ISHRS RUSSELL MID-CAP IDX INSTL CL - Plan #657 | 0 / 0 | $146,058 / $288,244 |
2021 | Plan NameDFA EMERG MKTS SM CAP INSTL CL Plan #388 Participants BOY/EOY0 / 0 Assets BOY/EOY$241,349 / $285,222 | 2021 | DFA EMERG MKTS SM CAP INSTL CL - Plan #388 | 0 / 0 | $241,349 / $285,222 |
2021 | Plan NameBUFFALO DISC Plan #435 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,437,930 / $280,780 | 2021 | BUFFALO DISC - Plan #435 | 0 / 0 | $3,437,930 / $280,780 |
2021 | Plan NameDELAWARE IVY NATURAL RESOURCES CL Y Plan #103 Participants BOY/EOY0 / 0 Assets BOY/EOY$356,520 / $274,229 | 2021 | DELAWARE IVY NATURAL RESOURCES CL Y - Plan #103 | 0 / 0 | $356,520 / $274,229 |
2021 | Plan NameJPMORGAN SMARTRETIREMENT BLEND INC CL R5 Plan #579 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,957,576 / $273,178 | 2021 | JPMORGAN SMARTRETIREMENT BLEND INC CL R5 - Plan #579 | 0 / 0 | $3,957,576 / $273,178 |
2021 | Plan NameHARTFORD DIV & GROWTH CL R5 Plan #366 Participants BOY/EOY0 / 0 Assets BOY/EOY$191,436 / $268,715 | 2021 | HARTFORD DIV & GROWTH CL R5 - Plan #366 | 0 / 0 | $191,436 / $268,715 |
2021 | Plan NameJOHN HANCOCK INTL GROWTH CL R6 Plan #587 Participants BOY/EOY0 / 0 Assets BOY/EOY$103,151 / $267,211 | 2021 | JOHN HANCOCK INTL GROWTH CL R6 - Plan #587 | 0 / 0 | $103,151 / $267,211 |
2021 | Plan NameDELAWARE IVY CORP BOND CL A Plan #049 Participants BOY/EOY0 / 0 Assets BOY/EOY$205,597 / $250,897 | 2021 | DELAWARE IVY CORP BOND CL A - Plan #049 | 0 / 0 | $205,597 / $250,897 |
2021 | Plan NameMAIRS & POWER GROWTH INV CL Plan #387 Participants BOY/EOY0 / 0 Assets BOY/EOY$190,857 / $246,220 | 2021 | MAIRS & POWER GROWTH INV CL - Plan #387 | 0 / 0 | $190,857 / $246,220 |
2021 | Plan NameVANGUARD GNMA ADMRL CL Plan #632 Participants BOY/EOY0 / 0 Assets BOY/EOY$217,256 / $244,970 | 2021 | VANGUARD GNMA ADMRL CL - Plan #632 | 0 / 0 | $217,256 / $244,970 |
2021 | Plan NameFEDERATED HERMES HIGH YLD SVC CL Plan #823 Participants BOY/EOY0 / 0 Assets BOY/EOY$131,590 / $227,885 | 2021 | FEDERATED HERMES HIGH YLD SVC CL - Plan #823 | 0 / 0 | $131,590 / $227,885 |
2021 | Plan NameAB HIGH INC ADV CL Plan #336 Participants BOY/EOY0 / 0 Assets BOY/EOY$232,367 / $217,889 | 2021 | AB HIGH INC ADV CL - Plan #336 | 0 / 0 | $232,367 / $217,889 |
2021 | Plan NamePIMCO LOW DUR CL A Plan #458 Participants BOY/EOY0 / 0 Assets BOY/EOY$229,803 / $211,181 | 2021 | PIMCO LOW DUR CL A - Plan #458 | 0 / 0 | $229,803 / $211,181 |
2021 | Plan NameT. ROWE PRICE TGT 2045 CL I Plan #685 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,206 / $207,432 | 2021 | T. ROWE PRICE TGT 2045 CL I - Plan #685 | 0 / 0 | $5,206 / $207,432 |
2021 | Plan NameFIDELITY ADVISOR TECH I CL Plan #525 Participants BOY/EOY0 / 0 Assets BOY/EOY$331,904 / $207,394 | 2021 | FIDELITY ADVISOR TECH I CL - Plan #525 | 0 / 0 | $331,904 / $207,394 |
2021 | Plan NameGOLDMAN SACHS SM CAP VAL INV CL Plan #529 Participants BOY/EOY0 / 0 Assets BOY/EOY$554,044 / $202,955 | 2021 | GOLDMAN SACHS SM CAP VAL INV CL - Plan #529 | 0 / 0 | $554,044 / $202,955 |
2021 | Plan NameHARDING LOEVNER EMERG MKTS ADV CL Plan #474 Participants BOY/EOY0 / 0 Assets BOY/EOY$217,858 / $199,856 | 2021 | HARDING LOEVNER EMERG MKTS ADV CL - Plan #474 | 0 / 0 | $217,858 / $199,856 |
2021 | Plan NameDELAWARE IVY GOVT MONEY MKT CL A Plan #071 Participants BOY/EOY0 / 0 Assets BOY/EOY$747,696 / $199,010 | 2021 | DELAWARE IVY GOVT MONEY MKT CL A - Plan #071 | 0 / 0 | $747,696 / $199,010 |
2021 | Plan NamePIONEER SELECT MID CAP GROWTH CL Y Plan #655 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,337,221 / $198,841 | 2021 | PIONEER SELECT MID CAP GROWTH CL Y - Plan #655 | 0 / 0 | $2,337,221 / $198,841 |
2021 | Plan NameRETIRE ADVOCATE CONSERV Plan #310 Participants BOY/EOY0 / 0 Assets BOY/EOY$174,824 / $194,707 | 2021 | RETIRE ADVOCATE CONSERV - Plan #310 | 0 / 0 | $174,824 / $194,707 |
2021 | Plan NameDFA U.S. SOCIAL CORE EQ 2 INSTL CL Plan #461 Participants BOY/EOY0 / 0 Assets BOY/EOY$131,014 / $189,174 | 2021 | DFA U.S. SOCIAL CORE EQ 2 INSTL CL - Plan #461 | 0 / 0 | $131,014 / $189,174 |
2021 | Plan NameVANGUARD LIFESTRATEGY INC INV CL Plan #432 Participants BOY/EOY0 / 0 Assets BOY/EOY$72,487 / $186,166 | 2021 | VANGUARD LIFESTRATEGY INC INV CL - Plan #432 | 0 / 0 | $72,487 / $186,166 |
2021 | Plan NameFRANKLIN SM CAP GROWTH ADV CL Plan #340 Participants BOY/EOY0 / 0 Assets BOY/EOY$121,577 / $183,321 | 2021 | FRANKLIN SM CAP GROWTH ADV CL - Plan #340 | 0 / 0 | $121,577 / $183,321 |
2021 | Plan NameWILMINGTON TRUST FP IDX+ AGGRES 2055 CL I1 Plan #704 Participants BOY/EOY0 / 0 Assets BOY/EOY$162,912 / $180,638 | 2021 | WILMINGTON TRUST FP IDX+ AGGRES 2055 CL I1 - Plan #704 | 0 / 0 | $162,912 / $180,638 |
2021 | Plan NameVANGUARD MATERIALS IDX ADMRL CL Plan #477 Participants BOY/EOY0 / 0 Assets BOY/EOY$45,187 / $176,007 | 2021 | VANGUARD MATERIALS IDX ADMRL CL - Plan #477 | 0 / 0 | $45,187 / $176,007 |
2021 | Plan NameHARDING LOEVNER INTL EQ INSTL CL Plan #505 Participants BOY/EOY0 / 0 Assets BOY/EOY$166,827 / $174,913 | 2021 | HARDING LOEVNER INTL EQ INSTL CL - Plan #505 | 0 / 0 | $166,827 / $174,913 |
2021 | Plan NameJPMORGAN SMARTRETIREMENT BLEND 2020 CL R5T Plan #571 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,951,012 / $173,720 | 2021 | JPMORGAN SMARTRETIREMENT BLEND 2020 CL R5T - Plan #571 | 0 / 0 | $2,951,012 / $173,720 |
2021 | Plan NameWILMINGTON TRUST FP IDX+ MOD 2055 CL R1 Plan #848 Participants BOY/EOY0 / 0 Assets BOY/EOY$693,450 / $170,960 | 2021 | WILMINGTON TRUST FP IDX+ MOD 2055 CL R1 - Plan #848 | 0 / 0 | $693,450 / $170,960 |
2021 | Plan NameMFS AGGRES GROWTH ALLOC CL R3 Plan #404 Participants BOY/EOY0 / 0 Assets BOY/EOY$188,154 / $169,982 | 2021 | MFS AGGRES GROWTH ALLOC CL R3 - Plan #404 | 0 / 0 | $188,154 / $169,982 |
2021 | Plan NameT. ROWE PRICE TGT 2030 CL I Plan #682 Participants BOY/EOY0 / 0 Assets BOY/EOY$57,248 / $167,651 | 2021 | T. ROWE PRICE TGT 2030 CL I - Plan #682 | 0 / 0 | $57,248 / $167,651 |
2021 | Plan NameALLSPRING DISC CL A Plan #385 Participants BOY/EOY0 / 0 Assets BOY/EOY$445,034 / $167,172 | 2021 | ALLSPRING DISC CL A - Plan #385 | 0 / 0 | $445,034 / $167,172 |
2021 | Plan NameAMERICAN FUNDS MOD GROWTH & INC CL R6 Plan #412 Participants BOY/EOY0 / 0 Assets BOY/EOY$64,197 / $163,120 | 2021 | AMERICAN FUNDS MOD GROWTH & INC CL R6 - Plan #412 | 0 / 0 | $64,197 / $163,120 |
2021 | Plan NameVANGUARD ENERGY IDX ADMRL CL Plan #473 Participants BOY/EOY0 / 0 Assets BOY/EOY$67,105 / $159,976 | 2021 | VANGUARD ENERGY IDX ADMRL CL - Plan #473 | 0 / 0 | $67,105 / $159,976 |
2021 | Plan NameFIDELITY ADVISOR MID CAP VAL I CL Plan #498 Participants BOY/EOY0 / 0 Assets BOY/EOY$27,783 / $157,790 | 2021 | FIDELITY ADVISOR MID CAP VAL I CL - Plan #498 | 0 / 0 | $27,783 / $157,790 |
2021 | Plan NameVANGUARD ENERGY ADMRL CL Plan #515 Participants BOY/EOY0 / 0 Assets BOY/EOY$71,594 / $157,553 | 2021 | VANGUARD ENERGY ADMRL CL - Plan #515 | 0 / 0 | $71,594 / $157,553 |
2021 | Plan NameNEUBERGER BERMAN GENESIS INSTL CL Plan #597 Participants BOY/EOY0 / 0 Assets BOY/EOY$138,998 / $154,875 | 2021 | NEUBERGER BERMAN GENESIS INSTL CL - Plan #597 | 0 / 0 | $138,998 / $154,875 |
2021 | Plan NameDELAWARE SM CAP CORE INSTL CL Plan #629 Participants BOY/EOY0 / 0 Assets BOY/EOY$45,843 / $154,847 | 2021 | DELAWARE SM CAP CORE INSTL CL - Plan #629 | 0 / 0 | $45,843 / $154,847 |
2021 | Plan NameVANGUARD HEALTH CARE ADMRL CL Plan #637 Participants BOY/EOY0 / 0 Assets BOY/EOY$142,667 / $154,284 | 2021 | VANGUARD HEALTH CARE ADMRL CL - Plan #637 | 0 / 0 | $142,667 / $154,284 |
2021 | Plan NameJANUS HENDERSON FLEX BOND I CL Plan #689 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,035,138 / $152,918 | 2021 | JANUS HENDERSON FLEX BOND I CL - Plan #689 | 0 / 0 | $1,035,138 / $152,918 |
2021 | Plan NameDELAWARE IVY GLBL BOND CI A Plan #047 Participants BOY/EOY0 / 0 Assets BOY/EOY$289,453 / $150,466 | 2021 | DELAWARE IVY GLBL BOND CI A - Plan #047 | 0 / 0 | $289,453 / $150,466 |
2021 | Plan NameT. ROWE PRICE GLBL TECH INV CL Plan #563 Participants BOY/EOY0 / 0 Assets BOY/EOY$109,635 / $142,645 | 2021 | T. ROWE PRICE GLBL TECH INV CL - Plan #563 | 0 / 0 | $109,635 / $142,645 |
2021 | Plan NameDELAWARE EMERG MKTS INSTL CL Plan #438 Participants BOY/EOY0 / 0 Assets BOY/EOY$23,855 / $141,655 | 2021 | DELAWARE EMERG MKTS INSTL CL - Plan #438 | 0 / 0 | $23,855 / $141,655 |
2021 | Plan NamePRINCIPAL GLBL DIVERS INC CL A Plan #398 Participants BOY/EOY0 / 0 Assets BOY/EOY$115,463 / $139,687 | 2021 | PRINCIPAL GLBL DIVERS INC CL A - Plan #398 | 0 / 0 | $115,463 / $139,687 |
2021 | Plan NameVAN ECK EMERG MKTS CL Z Plan #500 Participants BOY/EOY0 / 0 Assets BOY/EOY$273,110 / $139,630 | 2021 | VAN ECK EMERG MKTS CL Z - Plan #500 | 0 / 0 | $273,110 / $139,630 |
2021 | Plan NameMFS TOTAL RTRN CL R3 Plan #375 Participants BOY/EOY0 / 0 Assets BOY/EOY$125,461 / $135,125 | 2021 | MFS TOTAL RTRN CL R3 - Plan #375 | 0 / 0 | $125,461 / $135,125 |
2021 | Plan NameWILMINGTON TRUST FP IDX+ CONSERV 2035 CL R1 Plan #852 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,754 / $134,530 | 2021 | WILMINGTON TRUST FP IDX+ CONSERV 2035 CL R1 - Plan #852 | 0 / 0 | $1,754 / $134,530 |
2021 | Plan NameDELAWARE IVY INTL VAL CL Y Plan #070 Participants BOY/EOY0 / 0 Assets BOY/EOY$142,444 / $132,395 | 2021 | DELAWARE IVY INTL VAL CL Y - Plan #070 | 0 / 0 | $142,444 / $132,395 |
2021 | Plan NameALLSPRING SM CO GROWTH CL A Plan #475 Participants BOY/EOY0 / 0 Assets BOY/EOY$88,270 / $127,350 | 2021 | ALLSPRING SM CO GROWTH CL A - Plan #475 | 0 / 0 | $88,270 / $127,350 |
2021 | Plan NameEVENTIDE HEALTHCARE & LIFE SCIENCES I CL Plan #472 Participants BOY/EOY0 / 0 Assets BOY/EOY$137,652 / $126,152 | 2021 | EVENTIDE HEALTHCARE & LIFE SCIENCES I CL - Plan #472 | 0 / 0 | $137,652 / $126,152 |
2021 | Plan NameAMERICAN CENTURY HERITAGE CL R5 Plan #331 Participants BOY/EOY0 / 0 Assets BOY/EOY$96,633 / $122,735 | 2021 | AMERICAN CENTURY HERITAGE CL R5 - Plan #331 | 0 / 0 | $96,633 / $122,735 |
2021 | Plan NameOAKMARK INTL SM CAP INSTL CL Plan #306 Participants BOY/EOY0 / 0 Assets BOY/EOY$117,505 / $120,400 | 2021 | OAKMARK INTL SM CAP INSTL CL - Plan #306 | 0 / 0 | $117,505 / $120,400 |
2021 | Plan NameTIAA CREF RE SEC INSTL CL Plan #634 Participants BOY/EOY0 / 0 Assets BOY/EOY$90,729 / $119,597 | 2021 | TIAA CREF RE SEC INSTL CL - Plan #634 | 0 / 0 | $90,729 / $119,597 |
2021 | Plan NameAMANA INC INV CL Plan #429 Participants BOY/EOY0 / 0 Assets BOY/EOY$162,474 / $119,556 | 2021 | AMANA INC INV CL - Plan #429 | 0 / 0 | $162,474 / $119,556 |
2021 | Plan NameVANGUARD SELECTED VAL INV CL Plan #294 Participants BOY/EOY0 / 0 Assets BOY/EOY$282,412 / $113,705 | 2021 | VANGUARD SELECTED VAL INV CL - Plan #294 | 0 / 0 | $282,412 / $113,705 |
2021 | Plan NameMFS UTILITIES CL R3 Plan #348 Participants BOY/EOY0 / 0 Assets BOY/EOY$88,598 / $111,979 | 2021 | MFS UTILITIES CL R3 - Plan #348 | 0 / 0 | $88,598 / $111,979 |
2021 | Plan NameDFA U.S. MICRO CAP INSTL CL Plan #078 Participants BOY/EOY0 / 0 Assets BOY/EOY$9,132,127 / $111,537 | 2021 | DFA U.S. MICRO CAP INSTL CL - Plan #078 | 0 / 0 | $9,132,127 / $111,537 |
2021 | Plan NameAZZAD WISE CAPITAL Plan #427 Participants BOY/EOY0 / 0 Assets BOY/EOY$189,773 / $111,203 | 2021 | AZZAD WISE CAPITAL - Plan #427 | 0 / 0 | $189,773 / $111,203 |
2021 | Plan NameVAN ECK GLBL HARD ASSETS CL A Plan #715 Participants BOY/EOY0 / 0 Assets BOY/EOY$64,467 / $104,425 | 2021 | VAN ECK GLBL HARD ASSETS CL A - Plan #715 | 0 / 0 | $64,467 / $104,425 |
2021 | Plan NameTOUCHSTONE SM CO CL Y Plan #825 Participants BOY/EOY0 / 0 Assets BOY/EOY$90,105 / $101,795 | 2021 | TOUCHSTONE SM CO CL Y - Plan #825 | 0 / 0 | $90,105 / $101,795 |
2021 | Plan NamePGIM JENNISON UTILITY CL Z Plan #415 Participants BOY/EOY0 / 0 Assets BOY/EOY$120,315 / $101,192 | 2021 | PGIM JENNISON UTILITY CL Z - Plan #415 | 0 / 0 | $120,315 / $101,192 |
2021 | Plan NameAMERICAN FUNDS U.S. GOVT MONEY MKT CL R6 Plan #379 Participants BOY/EOY0 / 0 Assets BOY/EOY$732,757 / $100,587 | 2021 | AMERICAN FUNDS U.S. GOVT MONEY MKT CL R6 - Plan #379 | 0 / 0 | $732,757 / $100,587 |
2021 | Plan NameMFS BLENDED RESEARCH CORE EQ CL R3 Plan #591 Participants BOY/EOY0 / 0 Assets BOY/EOY$179,864 / $96,477 | 2021 | MFS BLENDED RESEARCH CORE EQ CL R3 - Plan #591 | 0 / 0 | $179,864 / $96,477 |
2021 | Plan NameDELAWARE VAL CL A Plan #708 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,376,078 / $96,155 | 2021 | DELAWARE VAL CL A - Plan #708 | 0 / 0 | $1,376,078 / $96,155 |
2021 | Plan NameBNY MELLON GLBL FI I CL Plan #636 Participants BOY/EOY0 / 0 Assets BOY/EOY$64,740 / $90,252 | 2021 | BNY MELLON GLBL FI I CL - Plan #636 | 0 / 0 | $64,740 / $90,252 |
2021 | Plan NameAMERICAN FUNDS CAPITAL INC BUILDER CL R6 Plan #413 Participants BOY/EOY0 / 0 Assets BOY/EOY$53,426 / $88,260 | 2021 | AMERICAN FUNDS CAPITAL INC BUILDER CL R6 - Plan #413 | 0 / 0 | $53,426 / $88,260 |
2021 | Plan NameT. ROWE PRICE TGT 2035 CL I Plan #683 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,027 / $86,007 | 2021 | T. ROWE PRICE TGT 2035 CL I - Plan #683 | 0 / 0 | $5,027 / $86,007 |
2021 | Plan NameAMERICAN CENTURY ONE CHOICE 2035 I CL Plan #535 Participants BOY/EOY0 / 0 Assets BOY/EOY$27,928 / $84,299 | 2021 | AMERICAN CENTURY ONE CHOICE 2035 I CL - Plan #535 | 0 / 0 | $27,928 / $84,299 |
2021 | Plan NameFIDELITY ADVISOR BAL I CL Plan #543 Participants BOY/EOY0 / 0 Assets BOY/EOY$95,401 / $82,072 | 2021 | FIDELITY ADVISOR BAL I CL - Plan #543 | 0 / 0 | $95,401 / $82,072 |
2021 | Plan NameBRANDES EMERG MKTS VAL CL A Plan #862 Participants BOY/EOY0 / 0 Assets BOY/EOY$67,988 / $75,389 | 2021 | BRANDES EMERG MKTS VAL CL A - Plan #862 | 0 / 0 | $67,988 / $75,389 |
2021 | Plan NameSTATE STREET U.S. GOVT MONEY MKT ADMIN CL Plan #426 Participants BOY/EOY0 / 0 Assets BOY/EOY$217,885 / $75,385 | 2021 | STATE STREET U.S. GOVT MONEY MKT ADMIN CL - Plan #426 | 0 / 0 | $217,885 / $75,385 |
2021 | Plan NameFIRST EAGLE GLBL CL R3 Plan #400 Participants BOY/EOY0 / 0 Assets BOY/EOY$70,567 / $74,455 | 2021 | FIRST EAGLE GLBL CL R3 - Plan #400 | 0 / 0 | $70,567 / $74,455 |
2021 | Plan NamePIMCO CMDTY REAL RTRN STRAT INSTL CL Plan #376 Participants BOY/EOY0 / 0 Assets BOY/EOY$31 / $71,912 | 2021 | PIMCO CMDTY REAL RTRN STRAT INSTL CL - Plan #376 | 0 / 0 | $31 / $71,912 |
2021 | Plan NameWILLIAM BLAIR EMERG MKTS LDRS CL N Plan #495 Participants BOY/EOY0 / 0 Assets BOY/EOY$64,316 / $70,003 | 2021 | WILLIAM BLAIR EMERG MKTS LDRS CL N - Plan #495 | 0 / 0 | $64,316 / $70,003 |
2021 | Plan NameDWS RREEF GLBL INFRASTRUCTURE CL A Plan #360 Participants BOY/EOY0 / 0 Assets BOY/EOY$55,320 / $67,881 | 2021 | DWS RREEF GLBL INFRASTRUCTURE CL A - Plan #360 | 0 / 0 | $55,320 / $67,881 |
2021 | Plan NameAB RELATIVE VAL CL R Plan #753 Participants BOY/EOY0 / 0 Assets BOY/EOY$44,947 / $67,688 | 2021 | AB RELATIVE VAL CL R - Plan #753 | 0 / 0 | $44,947 / $67,688 |
2021 | Plan NameFIDELITY ADVISOR BIOTECH I CL Plan #478 Participants BOY/EOY0 / 0 Assets BOY/EOY$41,224 / $67,303 | 2021 | FIDELITY ADVISOR BIOTECH I CL - Plan #478 | 0 / 0 | $41,224 / $67,303 |
2021 | Plan NameTRANSAMERICA BOND I CL Plan #545 Participants BOY/EOY0 / 0 Assets BOY/EOY$57,892 / $65,630 | 2021 | TRANSAMERICA BOND I CL - Plan #545 | 0 / 0 | $57,892 / $65,630 |
2021 | Plan NameAMANA DEV WORLD INV CL Plan #431 Participants BOY/EOY0 / 0 Assets BOY/EOY$105,879 / $63,334 | 2021 | AMANA DEV WORLD INV CL - Plan #431 | 0 / 0 | $105,879 / $63,334 |
2021 | Plan NameEVENTIDE GILEAD I CL Plan #471 Participants BOY/EOY0 / 0 Assets BOY/EOY$53,580 / $61,724 | 2021 | EVENTIDE GILEAD I CL - Plan #471 | 0 / 0 | $53,580 / $61,724 |
2021 | Plan NameGOLDMAN SACHS SM/MID CAP GROWTH INV CL Plan #422 Participants BOY/EOY0 / 0 Assets BOY/EOY$61,432 / $59,128 | 2021 | GOLDMAN SACHS SM/MID CAP GROWTH INV CL - Plan #422 | 0 / 0 | $61,432 / $59,128 |
2021 | Plan NameNATIXIS AEW GLBL FOCUSED RE CL Y Plan #374 Participants BOY/EOY0 / 0 Assets BOY/EOY$47,257 / $58,631 | 2021 | NATIXIS AEW GLBL FOCUSED RE CL Y - Plan #374 | 0 / 0 | $47,257 / $58,631 |
2021 | Plan NameVICTORY INTEGRITY SM CAP VAL CL Y Plan #736 Participants BOY/EOY0 / 0 Assets BOY/EOY$79,693 / $57,563 | 2021 | VICTORY INTEGRITY SM CAP VAL CL Y - Plan #736 | 0 / 0 | $79,693 / $57,563 |
2021 | Plan NameCARILLON EAGLE GROWTH & INC CL A Plan #596 Participants BOY/EOY0 / 0 Assets BOY/EOY$40,794 / $55,681 | 2021 | CARILLON EAGLE GROWTH & INC CL A - Plan #596 | 0 / 0 | $40,794 / $55,681 |
2021 | Plan NameAMG YACKTMAN I CL Plan #483 Participants BOY/EOY0 / 0 Assets BOY/EOY$381,550 / $54,885 | 2021 | AMG YACKTMAN I CL - Plan #483 | 0 / 0 | $381,550 / $54,885 |
2021 | Plan NamePIMCO ALL ASSET INSTL CL Plan #541 Participants BOY/EOY0 / 0 Assets BOY/EOY$43,864 / $54,358 | 2021 | PIMCO ALL ASSET INSTL CL - Plan #541 | 0 / 0 | $43,864 / $54,358 |
2021 | Plan NamePRINCIPAL DIVERS REAL ASSET INSTL CL Plan #580 Participants BOY/EOY0 / 0 Assets BOY/EOY$16,455 / $52,444 | 2021 | PRINCIPAL DIVERS REAL ASSET INSTL CL - Plan #580 | 0 / 0 | $16,455 / $52,444 |
2021 | Plan NameAZZAD ETHICAL Plan #430 Participants BOY/EOY0 / 0 Assets BOY/EOY$108,607 / $51,584 | 2021 | AZZAD ETHICAL - Plan #430 | 0 / 0 | $108,607 / $51,584 |
2021 | Plan NameT. ROWE PRICE TGT 2055 CL I Plan #686 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,389 / $50,952 | 2021 | T. ROWE PRICE TGT 2055 CL I - Plan #686 | 0 / 0 | $5,389 / $50,952 |
2021 | Plan NameAMERICAN FUNDS INFL LINKED BOND CL R6 Plan #724 Participants BOY/EOY0 / 0 Assets BOY/EOY$156,971 / $50,519 | 2021 | AMERICAN FUNDS INFL LINKED BOND CL R6 - Plan #724 | 0 / 0 | $156,971 / $50,519 |
2021 | Plan NameOAKMARK EQ & INC INSTL CL Plan #371 Participants BOY/EOY0 / 0 Assets BOY/EOY$36,898 / $46,846 | 2021 | OAKMARK EQ & INC INSTL CL - Plan #371 | 0 / 0 | $36,898 / $46,846 |
2021 | Plan NameFROST TOTAL RTRN BOND INV CL Plan #486 Participants BOY/EOY0 / 0 Assets BOY/EOY$32,859 / $39,909 | 2021 | FROST TOTAL RTRN BOND INV CL - Plan #486 | 0 / 0 | $32,859 / $39,909 |
2021 | Plan NameWILMINGTON TRUST FP IDX+ CONSERV 2045 CL I1 Plan #698 Participants BOY/EOY0 / 0 Assets BOY/EOY$20,287 / $37,253 | 2021 | WILMINGTON TRUST FP IDX+ CONSERV 2045 CL I1 - Plan #698 | 0 / 0 | $20,287 / $37,253 |
2021 | Plan NameT. ROWE PRICE TGT 2040 CL I Plan #684 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,074 / $36,891 | 2021 | T. ROWE PRICE TGT 2040 CL I - Plan #684 | 0 / 0 | $5,074 / $36,891 |
2021 | Plan NameVANGUARD INTERM TERM TRSY IDX ADMRL CL Plan #565 Participants BOY/EOY0 / 0 Assets BOY/EOY$219,309 / $36,594 | 2021 | VANGUARD INTERM TERM TRSY IDX ADMRL CL - Plan #565 | 0 / 0 | $219,309 / $36,594 |
2021 | Plan NameWILMINGTON TRUST FP IDX+ CONSERV 2025 CL I1 Plan #696 Participants BOY/EOY0 / 0 Assets BOY/EOY$19,049 / $35,087 | 2021 | WILMINGTON TRUST FP IDX+ CONSERV 2025 CL I1 - Plan #696 | 0 / 0 | $19,049 / $35,087 |
2021 | Plan NameTCW CORE FI CL N Plan #253 Participants BOY/EOY0 / 0 Assets BOY/EOY$77,916 / $33,030 | 2021 | TCW CORE FI CL N - Plan #253 | 0 / 0 | $77,916 / $33,030 |
2021 | Plan NameWILMINGTON TRUST FP IDX+ AGGRES RETIRE CL I1 Plan #700 Participants BOY/EOY0 / 0 Assets BOY/EOY$17,402 / $29,450 | 2021 | WILMINGTON TRUST FP IDX+ AGGRES RETIRE CL I1 - Plan #700 | 0 / 0 | $17,402 / $29,450 |
2021 | Plan NameHARBOR MID CAP VAL INSTL CL Plan #551 Participants BOY/EOY0 / 0 Assets BOY/EOY$12,213 / $27,898 | 2021 | HARBOR MID CAP VAL INSTL CL - Plan #551 | 0 / 0 | $12,213 / $27,898 |
2021 | Plan NameWILMINGTON TRUST FP IDX+ MOD 2045 CL R1 Plan #847 Participants BOY/EOY0 / 0 Assets BOY/EOY$991,480 / $27,261 | 2021 | WILMINGTON TRUST FP IDX+ MOD 2045 CL R1 - Plan #847 | 0 / 0 | $991,480 / $27,261 |
2021 | Plan NameINVESCO ENERGY CL R5 Plan #373 Participants BOY/EOY0 / 0 Assets BOY/EOY$27,137 / $27,098 | 2021 | INVESCO ENERGY CL R5 - Plan #373 | 0 / 0 | $27,137 / $27,098 |
2021 | Plan NameDELAWARE IVY INTL CORE EQ CL Y Plan #228 Participants BOY/EOY0 / 0 Assets BOY/EOY$522,261 / $25,140 | 2021 | DELAWARE IVY INTL CORE EQ CL Y - Plan #228 | 0 / 0 | $522,261 / $25,140 |
2021 | Plan NameWILMINGTON TRUST FP IDX+ CONSERV 2035 CL I1 Plan #697 Participants BOY/EOY0 / 0 Assets BOY/EOY$21,829 / $24,904 | 2021 | WILMINGTON TRUST FP IDX+ CONSERV 2035 CL I1 - Plan #697 | 0 / 0 | $21,829 / $24,904 |
2021 | Plan NameMFS CONSERV ALLOC CL R3 Plan #402 Participants BOY/EOY0 / 0 Assets BOY/EOY$54,408 / $24,714 | 2021 | MFS CONSERV ALLOC CL R3 - Plan #402 | 0 / 0 | $54,408 / $24,714 |
2021 | Plan NameWILMINGTON TRUST FP IDX+ MOD 2035 CL R1 Plan #846 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,869,128 / $24,442 | 2021 | WILMINGTON TRUST FP IDX+ MOD 2035 CL R1 - Plan #846 | 0 / 0 | $1,869,128 / $24,442 |
2021 | Plan NameHOTCHKIS & WILEY VAL OPPS CL A Plan #489 Participants BOY/EOY0 / 0 Assets BOY/EOY$16,545 / $22,810 | 2021 | HOTCHKIS & WILEY VAL OPPS CL A - Plan #489 | 0 / 0 | $16,545 / $22,810 |
2021 | Plan NameT. ROWE PRICE TGT 2060 CL I Plan #687 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,512 / $21,331 | 2021 | T. ROWE PRICE TGT 2060 CL I - Plan #687 | 0 / 0 | $5,512 / $21,331 |
2021 | Plan NameDELAWARE IVY ASSET STRAT CL Y Plan #669 Participants BOY/EOY0 / 0 Assets BOY/EOY$22,223 / $18,644 | 2021 | DELAWARE IVY ASSET STRAT CL Y - Plan #669 | 0 / 0 | $22,223 / $18,644 |
2021 | Plan NameINVESCO SM CAP EQ CL R5 Plan #150 Participants BOY/EOY0 / 0 Assets BOY/EOY$13,369 / $18,596 | 2021 | INVESCO SM CAP EQ CL R5 - Plan #150 | 0 / 0 | $13,369 / $18,596 |
2021 | Plan NameHARTFORD SM CAP GROWTH CL R4 Plan #364 Participants BOY/EOY0 / 0 Assets BOY/EOY$13,813 / $18,451 | 2021 | HARTFORD SM CAP GROWTH CL R4 - Plan #364 | 0 / 0 | $13,813 / $18,451 |
2021 | Plan NameINVESCO GLBL FOCUS CL Y Plan #516 Participants BOY/EOY0 / 0 Assets BOY/EOY$37,354 / $17,725 | 2021 | INVESCO GLBL FOCUS CL Y - Plan #516 | 0 / 0 | $37,354 / $17,725 |
2021 | Plan NameVANGUARD GLBL CAPITAL CYCLES INV CL Plan #710 Participants BOY/EOY0 / 0 Assets BOY/EOY$26,172 / $17,239 | 2021 | VANGUARD GLBL CAPITAL CYCLES INV CL - Plan #710 | 0 / 0 | $26,172 / $17,239 |
2021 | Plan NameTIAA CREF INFL LINKED BOND ADV CL Plan #752 Participants BOY/EOY0 / 0 Assets BOY/EOY$73,014 / $16,910 | 2021 | TIAA CREF INFL LINKED BOND ADV CL - Plan #752 | 0 / 0 | $73,014 / $16,910 |
2021 | Plan NameFIDELITY ADVISOR DIVERS INTL I CL Plan #581 Participants BOY/EOY0 / 0 Assets BOY/EOY$13,007 / $16,682 | 2021 | FIDELITY ADVISOR DIVERS INTL I CL - Plan #581 | 0 / 0 | $13,007 / $16,682 |
2021 | Plan NameAMERICAN BEACON BRIDGEWAY LRG CAP VAL CL Y Plan #759 Participants BOY/EOY0 / 0 Assets BOY/EOY$169,625 / $14,854 | 2021 | AMERICAN BEACON BRIDGEWAY LRG CAP VAL CL Y - Plan #759 | 0 / 0 | $169,625 / $14,854 |
2021 | Plan NameVANGUARD INTL EXPLORER INV CL Plan #414 Participants BOY/EOY0 / 0 Assets BOY/EOY$15,862 / $13,536 | 2021 | VANGUARD INTL EXPLORER INV CL - Plan #414 | 0 / 0 | $15,862 / $13,536 |
2021 | Plan NameAMG RIVER ROAD MID CAP CL N Plan #165 Participants BOY/EOY0 / 0 Assets BOY/EOY$6,439 / $13,481 | 2021 | AMG RIVER ROAD MID CAP CL N - Plan #165 | 0 / 0 | $6,439 / $13,481 |
2021 | Plan NameWILMINGTON TRUST FP IDX+ CONSERV 2055 CL I1 Plan #699 Participants BOY/EOY0 / 0 Assets BOY/EOY$6,570 / $11,979 | 2021 | WILMINGTON TRUST FP IDX+ CONSERV 2055 CL I1 - Plan #699 | 0 / 0 | $6,570 / $11,979 |
2021 | Plan NameDFA LRG CAP INTL INSTL CL Plan #628 Participants BOY/EOY0 / 0 Assets BOY/EOY$10,420 / $11,837 | 2021 | DFA LRG CAP INTL INSTL CL - Plan #628 | 0 / 0 | $10,420 / $11,837 |
2021 | Plan NameWILMINGTON TRUST FP IDX+ AGGRES 2025 CL I1 Plan #701 Participants BOY/EOY0 / 0 Assets BOY/EOY$6,986 / $11,714 | 2021 | WILMINGTON TRUST FP IDX+ AGGRES 2025 CL I1 - Plan #701 | 0 / 0 | $6,986 / $11,714 |
2021 | Plan NameWEITZ PARTNERS III OPP INSTL CL Plan #256 Participants BOY/EOY0 / 0 Assets BOY/EOY$10,092 / $11,312 | 2021 | WEITZ PARTNERS III OPP INSTL CL - Plan #256 | 0 / 0 | $10,092 / $11,312 |
2021 | Plan NameDFA ONE YEAR FI INSTL CL Plan #169 Participants BOY/EOY0 / 0 Assets BOY/EOY$586,960 / $7,899 | 2021 | DFA ONE YEAR FI INSTL CL - Plan #169 | 0 / 0 | $586,960 / $7,899 |
2021 | Plan NameWILMINGTON TRUST FP IDX+ AGGRES 2055 CL R1 Plan #844 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,806 / $7,483 | 2021 | WILMINGTON TRUST FP IDX+ AGGRES 2055 CL R1 - Plan #844 | 0 / 0 | $2,806 / $7,483 |
2021 | Plan NameWILMINGTON TRUST FP IDX+ AGGRES 2045 CL R1 Plan #843 Participants BOY/EOY0 / 0 Assets BOY/EOY$114,124 / $5,256 | 2021 | WILMINGTON TRUST FP IDX+ AGGRES 2045 CL R1 - Plan #843 | 0 / 0 | $114,124 / $5,256 |
2021 | Plan NameAMERICAN FUNDS CONSERV GROWTH & INC CL R6 Plan #329 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,452 / $5,048 | 2021 | AMERICAN FUNDS CONSERV GROWTH & INC CL R6 - Plan #329 | 0 / 0 | $4,452 / $5,048 |
2021 | Plan NameT. ROWE PRICE TGT 2015 CL I Plan #679 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,258 / $4,758 | 2021 | T. ROWE PRICE TGT 2015 CL I - Plan #679 | 0 / 0 | $4,258 / $4,758 |
2021 | Plan NameT. ROWE PRICE TGT 2010 CL I Plan #678 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,192 / $4,507 | 2021 | T. ROWE PRICE TGT 2010 CL I - Plan #678 | 0 / 0 | $4,192 / $4,507 |
2021 | Plan NameDFA INTL SM CAP VAL INSTL CL Plan #665 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,739 / $3,863 | 2021 | DFA INTL SM CAP VAL INSTL CL - Plan #665 | 0 / 0 | $5,739 / $3,863 |
2021 | Plan NameWILMINGTON TRUST FP IDX+ CONSERV RETIRE CL I1 Plan #695 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,322 / $3,012 | 2021 | WILMINGTON TRUST FP IDX+ CONSERV RETIRE CL I1 - Plan #695 | 0 / 0 | $2,322 / $3,012 |
2021 | Plan NameVANGUARD S-T TRSY IDX ADMRL CL Plan #566 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,969 / $3,009 | 2021 | VANGUARD S-T TRSY IDX ADMRL CL - Plan #566 | 0 / 0 | $1,969 / $3,009 |
2021 | Plan NamePGIM QUANT SOLUTIONS SM CAP VAL R6 Plan #386 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,962 / $2,768 | 2021 | PGIM QUANT SOLUTIONS SM CAP VAL R6 - Plan #386 | 0 / 0 | $1,962 / $2,768 |
2021 | Plan NameVOYA MID CAP OPPS I CL Plan #246 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,948 / $2,538 | 2021 | VOYA MID CAP OPPS I CL - Plan #246 | 0 / 0 | $5,948 / $2,538 |
2021 | Plan NameDELAWARE IVY ENERGY CL Y Plan #227 Participants BOY/EOY0 / 0 Assets BOY/EOY$37,915 / $2,359 | 2021 | DELAWARE IVY ENERGY CL Y - Plan #227 | 0 / 0 | $37,915 / $2,359 |
2021 | Plan NameT. ROWE PRICE RE I CL Plan #601 Participants BOY/EOY0 / 0 Assets BOY/EOY$20,213 / $357 | 2021 | T. ROWE PRICE RE I CL - Plan #601 | 0 / 0 | $20,213 / $357 |
2021 | Plan NameWILMINGTON TRUST FP IDX+ MOD 2025 CL R1 Plan #845 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,742,003 / $244 | 2021 | WILMINGTON TRUST FP IDX+ MOD 2025 CL R1 - Plan #845 | 0 / 0 | $1,742,003 / $244 |
2021 | Plan NameSECURIAN AM REAL ASSET INC INSTL CL Plan #775 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,826,404 / $99 | 2021 | SECURIAN AM REAL ASSET INC INSTL CL - Plan #775 | 0 / 0 | $1,826,404 / $99 |
2021 | Plan NameNUVEEN DIV VAL I CL Plan #244 Participants BOY/EOY0 / 0 Assets BOY/EOY$147,948 / $37 | 2021 | NUVEEN DIV VAL I CL - Plan #244 | 0 / 0 | $147,948 / $37 |
2021 | Plan NamePGIM JENNISON NATURAL RESOURCES CL Z Plan #464 Participants BOY/EOY0 / 0 Assets BOY/EOY$11 / $14 | 2021 | PGIM JENNISON NATURAL RESOURCES CL Z - Plan #464 | 0 / 0 | $11 / $14 |
2021 | Plan NamePARAMETRIC EMERG MKTS INV CL Plan #243 Participants BOY/EOY0 / 0 Assets BOY/EOY$2 / $2 | 2021 | PARAMETRIC EMERG MKTS INV CL - Plan #243 | 0 / 0 | $2 / $2 |
2021 | Plan NameWILMINGTON TRUST FP IDX+ MOD RETIRE CL R1 Plan #849 Participants BOY/EOY0 / 0 Assets BOY/EOY$31,123 / $2 | 2021 | WILMINGTON TRUST FP IDX+ MOD RETIRE CL R1 - Plan #849 | 0 / 0 | $31,123 / $2 |
2021 | Plan NameMASSMUTUAL SMALL CAP GROWTH EQ CL R5 Plan #550 Participants BOY/EOY0 / 0 Assets BOY/EOY$2 / $2 | 2021 | MASSMUTUAL SMALL CAP GROWTH EQ CL R5 - Plan #550 | 0 / 0 | $2 / $2 |
2021 | Plan NameLAZARD INTL EQ OPEN INSTL CL Plan #830 Participants BOY/EOY0 / 0 Assets BOY/EOY$114,429 / $2 | 2021 | LAZARD INTL EQ OPEN INSTL CL - Plan #830 | 0 / 0 | $114,429 / $2 |
2021 | Plan NameWILMINGTON TRUST FP IDX+ AGGRES 2035 CL R1 Plan #842 Participants BOY/EOY0 / 0 Assets BOY/EOY$83 / $0 | 2021 | WILMINGTON TRUST FP IDX+ AGGRES 2035 CL R1 - Plan #842 | 0 / 0 | $83 / $0 |
2021 | Plan NameSPROTT GOLD EQ FUND Plan #754 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,264 / $0 | 2021 | SPROTT GOLD EQ FUND - Plan #754 | 0 / 0 | $4,264 / $0 |
2021 | Plan NamePRIMECAP ODYSSEY STOCK Plan #492 Participants BOY/EOY0 / 0 Assets BOY/EOY$15,881 / $0 | 2021 | PRIMECAP ODYSSEY STOCK - Plan #492 | 0 / 0 | $15,881 / $0 |
2021 | Plan NameTRADEMARK TACTICAL RISK 2050 CL R Plan #262 Participants BOY/EOY0 / 0 Assets BOY/EOY$903,779 / $0 | 2021 | TRADEMARK TACTICAL RISK 2050 CL R - Plan #262 | 0 / 0 | $903,779 / $0 |
2021 | Plan NameSECURIAN AM JANUS OPPORTUNISTIC GROWTH Plan #266 Participants BOY/EOY0 / 0 Assets BOY/EOY$541,585,451 / $0 | 2021 | SECURIAN AM JANUS OPPORTUNISTIC GROWTH - Plan #266 | 0 / 0 | $541,585,451 / $0 |
2021 | Plan NamePIONEER FLEX OPPS CL Y Plan #485 Participants BOY/EOY0 / 0 Assets BOY/EOY$60,088 / $0 | 2021 | PIONEER FLEX OPPS CL Y - Plan #485 | 0 / 0 | $60,088 / $0 |
2021 | Plan NameINVESCO GLBL ALLOC CL Y Plan #584 Participants BOY/EOY0 / 0 Assets BOY/EOY$84,125 / $0 | 2021 | INVESCO GLBL ALLOC CL Y - Plan #584 | 0 / 0 | $84,125 / $0 |
2021 | Plan NameGOLDMAN SACHS MID CAP VAL CL R6 Plan #714 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,532 / $0 | 2021 | GOLDMAN SACHS MID CAP VAL CL R6 - Plan #714 | 0 / 0 | $4,532 / $0 |
2021 | Plan NameWILMINGTON TRUST FP IDX+ AGGRES RETIRE CL R1 Plan #840 Participants BOY/EOY0 / 0 Assets BOY/EOY$158 / $0 | 2021 | WILMINGTON TRUST FP IDX+ AGGRES RETIRE CL R1 - Plan #840 | 0 / 0 | $158 / $0 |
2021 | Plan NameWELLS FARGO TGT TODAY CL A Plan #555 Participants BOY/EOY0 / 0 Assets BOY/EOY$2 / $0 | 2021 | WELLS FARGO TGT TODAY CL A - Plan #555 | 0 / 0 | $2 / $0 |
2021 | Plan NameWILMINGTON TRUST FP IDX+ AGGRES 2025 CL R1 Plan #841 Participants BOY/EOY0 / 0 Assets BOY/EOY$161 / $0 | 2021 | WILMINGTON TRUST FP IDX+ AGGRES 2025 CL R1 - Plan #841 | 0 / 0 | $161 / $0 |
2021 | Plan NameWILMINGTON TRUST FP IDX+ CONSERV 2055 CL R1 Plan #854 Participants BOY/EOY0 / 0 Assets BOY/EOY$7,768 / $0 | 2021 | WILMINGTON TRUST FP IDX+ CONSERV 2055 CL R1 - Plan #854 | 0 / 0 | $7,768 / $0 |
2021 | Plan NameWILMINGTON TRUST FP IDX+ CONSERV RETIRE CL R1 Plan #850 Participants BOY/EOY0 / 0 Assets BOY/EOY$383 / $0 | 2021 | WILMINGTON TRUST FP IDX+ CONSERV RETIRE CL R1 - Plan #850 | 0 / 0 | $383 / $0 |
2021 | Plan NameMAINSTAY CBRE RE I CL Plan #308 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,908 / $0 | 2021 | MAINSTAY CBRE RE I CL - Plan #308 | 0 / 0 | $3,908 / $0 |
2021 | Plan NameTOUCHSTONE INTL EQ CL Y Plan #713 Participants BOY/EOY0 / 0 Assets BOY/EOY$19 / $0 | 2021 | TOUCHSTONE INTL EQ CL Y - Plan #713 | 0 / 0 | $19 / $0 |
2021 | Plan NameFIDELITY ADVISOR OVERSEAS I CL Plan #526 Participants BOY/EOY0 / 0 Assets BOY/EOY$89,280 / $0 | 2021 | FIDELITY ADVISOR OVERSEAS I CL - Plan #526 | 0 / 0 | $89,280 / $0 |
2021 | Plan NameFRANKLIN TEMPLETON FOREIGN ADV CL Plan #417 Participants BOY/EOY0 / 0 Assets BOY/EOY$4 / $0 | 2021 | FRANKLIN TEMPLETON FOREIGN ADV CL - Plan #417 | 0 / 0 | $4 / $0 |
2021 | Plan NameSECURIAN AM ALGER CAPITAL APPREC Plan #267 Participants BOY/EOY0 / 0 Assets BOY/EOY$136,691,823 / $0 | 2021 | SECURIAN AM ALGER CAPITAL APPREC - Plan #267 | 0 / 0 | $136,691,823 / $0 |
2021 | Plan NameFRANKLIN TEMPLETON GLBL TOTAL RTRN CL A Plan #368 Participants BOY/EOY0 / 0 Assets BOY/EOY$522,004 / $0 | 2021 | FRANKLIN TEMPLETON GLBL TOTAL RTRN CL A - Plan #368 | 0 / 0 | $522,004 / $0 |
2021 | Plan NameGOLDMAN SACHS GROWTH OPPS CL A Plan #721 Participants BOY/EOY0 / 0 Assets BOY/EOY$7,003 / $0 | 2021 | GOLDMAN SACHS GROWTH OPPS CL A - Plan #721 | 0 / 0 | $7,003 / $0 |
2021 | Plan NameAMERICAN FUNDS INTERM BOND OF AMERICA CL R6 Plan #866 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,467 / $0 | 2021 | AMERICAN FUNDS INTERM BOND OF AMERICA CL R6 - Plan #866 | 0 / 0 | $3,467 / $0 |
2021 | Plan NamePGIM QMA MID CAP VAL CL Z Plan #352 Participants BOY/EOY0 / 0 Assets BOY/EOY$9 / $0 | 2021 | PGIM QMA MID CAP VAL CL Z - Plan #352 | 0 / 0 | $9 / $0 |
2021 | Plan NameWILMINGTON TRUST FP IDX+ CONSERV 2045 CL R1 Plan #853 Participants BOY/EOY0 / 0 Assets BOY/EOY$164 / $0 | 2021 | WILMINGTON TRUST FP IDX+ CONSERV 2045 CL R1 - Plan #853 | 0 / 0 | $164 / $0 |
2021 | Plan NameWELLS FARGO TGT 2030 CL A Plan #558 Participants BOY/EOY0 / 0 Assets BOY/EOY$24 / $0 | 2021 | WELLS FARGO TGT 2030 CL A - Plan #558 | 0 / 0 | $24 / $0 |
2021 | Plan NameDELAWARE IVY INTL CORE EQ CL Y Plan #482 Participants BOY/EOY0 / 0 Assets BOY/EOY$248,407 / $0 | 2021 | DELAWARE IVY INTL CORE EQ CL Y - Plan #482 | 0 / 0 | $248,407 / $0 |
2021 | Plan NamePRINCIPAL SM CAP VAL II INSTL CL Plan #733 Participants BOY/EOY0 / 0 Assets BOY/EOY$261,899 / $0 | 2021 | PRINCIPAL SM CAP VAL II INSTL CL - Plan #733 | 0 / 0 | $261,899 / $0 |
2021 | Plan NameWELLS FARGO TGT 2020 CL A Plan #557 Participants BOY/EOY0 / 0 Assets BOY/EOY$22 / $0 | 2021 | WELLS FARGO TGT 2020 CL A - Plan #557 | 0 / 0 | $22 / $0 |
2021 | Plan NameAMERICAN FUNDS NEW ECONOMY CL R6 Plan #409 Participants BOY/EOY0 / 0 Assets BOY/EOY$116,385 / $0 | 2021 | AMERICAN FUNDS NEW ECONOMY CL R6 - Plan #409 | 0 / 0 | $116,385 / $0 |
2021 | Plan NameWELLS FARGO TGT 2050 CL A Plan #560 Participants BOY/EOY0 / 0 Assets BOY/EOY$22 / $0 | 2021 | WELLS FARGO TGT 2050 CL A - Plan #560 | 0 / 0 | $22 / $0 |
2021 | Plan NameWILMINGTON TRUST FP IDX+ CONSERV 2025 CL R1 Plan #851 Participants BOY/EOY0 / 0 Assets BOY/EOY$101,428 / $0 | 2021 | WILMINGTON TRUST FP IDX+ CONSERV 2025 CL R1 - Plan #851 | 0 / 0 | $101,428 / $0 |
2021 | Plan NameAMERICAN FUNDS GROWTH CL R6 Plan #411 Participants BOY/EOY0 / 0 Assets BOY/EOY$6,230 / $0 | 2021 | AMERICAN FUNDS GROWTH CL R6 - Plan #411 | 0 / 0 | $6,230 / $0 |
2021 | Plan NameTRADEMARK TACTICAL RISK 2040 CL R Plan #261 Participants BOY/EOY0 / 0 Assets BOY/EOY$772,414 / $0 | 2021 | TRADEMARK TACTICAL RISK 2040 CL R - Plan #261 | 0 / 0 | $772,414 / $0 |
2021 | Plan NameFEDERATED HERMES FLOATRATE STRAT INC INSTL CL Plan #640 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,460 / $0 | 2021 | FEDERATED HERMES FLOATRATE STRAT INC INSTL CL - Plan #640 | 0 / 0 | $3,460 / $0 |
2021 | Plan NameBLACKROCK HEALTH SCIENCES OPPS INSTL CL Plan #831 Participants BOY/EOY0 / 0 Assets BOY/EOY$236,157 / $0 | 2021 | BLACKROCK HEALTH SCIENCES OPPS INSTL CL - Plan #831 | 0 / 0 | $236,157 / $0 |
2021 | Plan NamePRINCIPAL MID CAP CL A Plan #756 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,410,275 / $0 | 2021 | PRINCIPAL MID CAP CL A - Plan #756 | 0 / 0 | $2,410,275 / $0 |
2021 | Plan NameAMERICAN FUNDS AMERICAN HIGH INC CL R6 Plan #407 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,002 / $0 | 2021 | AMERICAN FUNDS AMERICAN HIGH INC CL R6 - Plan #407 | 0 / 0 | $4,002 / $0 |
2021 | Plan NameBNY MELLON INTL CORE EQ I CL Plan #760 Participants BOY/EOY0 / 0 Assets BOY/EOY$5 / $0 | 2021 | BNY MELLON INTL CORE EQ I CL - Plan #760 | 0 / 0 | $5 / $0 |
2021 | Plan NameGOLDMAN SACHS LRG CAP GROWTH INSIGHTS INV CL Plan #863 Participants BOY/EOY0 / 0 Assets BOY/EOY$4 / $0 | 2021 | GOLDMAN SACHS LRG CAP GROWTH INSIGHTS INV CL - Plan #863 | 0 / 0 | $4 / $0 |
2021 | Plan NameHARTFORD BAL INC CL R4 Plan #399 Participants BOY/EOY0 / 0 Assets BOY/EOY$557,298 / $0 | 2021 | HARTFORD BAL INC CL R4 - Plan #399 | 0 / 0 | $557,298 / $0 |
2021 | Plan NamePGIM JENNISON SM CO CL R Plan #734 Participants BOY/EOY0 / 0 Assets BOY/EOY$262,735 / $0 | 2021 | PGIM JENNISON SM CO CL R - Plan #734 | 0 / 0 | $262,735 / $0 |
2021 | Plan NameWELLS FARGO TGT 2010 CL A Plan #556 Participants BOY/EOY0 / 0 Assets BOY/EOY$5 / $0 | 2021 | WELLS FARGO TGT 2010 CL A - Plan #556 | 0 / 0 | $5 / $0 |
2021 | Plan NameWILMINGTON TRUST SMART_LC 2045 INSTL CLSEPARATE ACCOUNT Plan #647 Participants BOY/EOY0 / 0 Assets BOY/EOY$14,577 / $0 | 2021 | WILMINGTON TRUST SMART_LC 2045 INSTL CLSEPARATE ACCOUNT - Plan #647 | 0 / 0 | $14,577 / $0 |
2021 | Plan NameWILMINGTON TRUST SMART_LC 2035 INSTL CL Plan #646 Participants BOY/EOY0 / 0 Assets BOY/EOY$21,014 / $0 | 2021 | WILMINGTON TRUST SMART_LC 2035 INSTL CL - Plan #646 | 0 / 0 | $21,014 / $0 |
2020 | Plan NameMASTER SEPARATE ACCOUNT Plan #900 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,682,338,459 / $3,447,354,129 | 2020 | MASTER SEPARATE ACCOUNT - Plan #900 | 0 / 0 | $2,682,338,459 / $3,447,354,129 |
2020 | Plan NameSECURIAN AM S&P 500 IDX Plan #011 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,478,995,356 / $1,668,973,535 | 2020 | SECURIAN AM S&P 500 IDX - Plan #011 | 0 / 0 | $1,478,995,356 / $1,668,973,535 |
2020 | Plan NameSECURIAN AM JANUS OPPORTUNISTIC GROWTH Plan #266 Participants BOY/EOY0 / 0 Assets BOY/EOY$485,385,834 / $541,585,451 | 2020 | SECURIAN AM JANUS OPPORTUNISTIC GROWTH - Plan #266 | 0 / 0 | $485,385,834 / $541,585,451 |
2020 | Plan NameVANGUARD LIFESTRATEGY GROWTH Plan #026 Participants BOY/EOY0 / 0 Assets BOY/EOY$397,567,191 / $421,815,232 | 2020 | VANGUARD LIFESTRATEGY GROWTH - Plan #026 | 0 / 0 | $397,567,191 / $421,815,232 |
2020 | Plan NameVANGUARD LIFESTRATEGY MOD GROWTH Plan #027 Participants BOY/EOY0 / 0 Assets BOY/EOY$388,972,077 / $421,658,948 | 2020 | VANGUARD LIFESTRATEGY MOD GROWTH - Plan #027 | 0 / 0 | $388,972,077 / $421,658,948 |
2020 | Plan NameTIAA CREF INTL EQ IDX INSTL CL Plan #788 Participants BOY/EOY0 / 0 Assets BOY/EOY$373,552,308 / $413,298,851 | 2020 | TIAA CREF INTL EQ IDX INSTL CL - Plan #788 | 0 / 0 | $373,552,308 / $413,298,851 |
2020 | Plan NameVANGUARD INTERM TERM BOND IDX ADMRL CL Plan #113 Participants BOY/EOY0 / 0 Assets BOY/EOY$352,260,590 / $403,677,712 | 2020 | VANGUARD INTERM TERM BOND IDX ADMRL CL - Plan #113 | 0 / 0 | $352,260,590 / $403,677,712 |
2020 | Plan NameDODGE & COX INTL STOCK FUND Plan #102 Participants BOY/EOY0 / 0 Assets BOY/EOY$360,035,913 / $381,362,785 | 2020 | DODGE & COX INTL STOCK FUND - Plan #102 | 0 / 0 | $360,035,913 / $381,362,785 |
2020 | Plan NameMET WEST TOTAL RTRN BOND ADMIN CL Plan #236 Participants BOY/EOY0 / 0 Assets BOY/EOY$297,003,560 / $376,316,215 | 2020 | MET WEST TOTAL RTRN BOND ADMIN CL - Plan #236 | 0 / 0 | $297,003,560 / $376,316,215 |
2020 | Plan NameSECURIAN AM MORGAN STANLEY LRG CAP GROWTH Plan #768 Participants BOY/EOY0 / 0 Assets BOY/EOY$212,371,860 / $324,793,485 | 2020 | SECURIAN AM MORGAN STANLEY LRG CAP GROWTH - Plan #768 | 0 / 0 | $212,371,860 / $324,793,485 |
2020 | Plan NameSECURIAN AM MONEY MKT Plan #009 Participants BOY/EOY0 / 0 Assets BOY/EOY$202,363,002 / $274,452,924 | 2020 | SECURIAN AM MONEY MKT - Plan #009 | 0 / 0 | $202,363,002 / $274,452,924 |
2020 | Plan NameVANGUARD INTERM TERM BOND IDX INSTL CL Plan #187 Participants BOY/EOY0 / 0 Assets BOY/EOY$206,260,125 / $247,595,504 | 2020 | VANGUARD INTERM TERM BOND IDX INSTL CL - Plan #187 | 0 / 0 | $206,260,125 / $247,595,504 |
2020 | Plan NameINVESCO INTL GROWTH CL R5 Plan #199 Participants BOY/EOY0 / 0 Assets BOY/EOY$234,572,235 / $239,671,531 | 2020 | INVESCO INTL GROWTH CL R5 - Plan #199 | 0 / 0 | $234,572,235 / $239,671,531 |
2020 | Plan NameDFA U.S. LRG CAP VAL INSTL CL Plan #105 Participants BOY/EOY0 / 0 Assets BOY/EOY$248,368,355 / $228,730,554 | 2020 | DFA U.S. LRG CAP VAL INSTL CL - Plan #105 | 0 / 0 | $248,368,355 / $228,730,554 |
2020 | Plan NameVANGUARD TOTAL BOND MKT IDX ADMRL CL Plan #154 Participants BOY/EOY0 / 0 Assets BOY/EOY$186,368,839 / $213,744,425 | 2020 | VANGUARD TOTAL BOND MKT IDX ADMRL CL - Plan #154 | 0 / 0 | $186,368,839 / $213,744,425 |
2020 | Plan NameVANGUARD 500 IDX ADMRL CL Plan #293 Participants BOY/EOY0 / 0 Assets BOY/EOY$187,398,310 / $209,920,832 | 2020 | VANGUARD 500 IDX ADMRL CL - Plan #293 | 0 / 0 | $187,398,310 / $209,920,832 |
2020 | Plan NameSCHWAB FUNDAMENTAL U.S. LRG CO IDX Plan #771 Participants BOY/EOY0 / 0 Assets BOY/EOY$188,921,351 / $199,032,069 | 2020 | SCHWAB FUNDAMENTAL U.S. LRG CO IDX - Plan #771 | 0 / 0 | $188,921,351 / $199,032,069 |
2020 | Plan NameVANGUARD EXTENDED MKT IDX ADMRL CL Plan #112 Participants BOY/EOY0 / 0 Assets BOY/EOY$150,696,117 / $194,870,148 | 2020 | VANGUARD EXTENDED MKT IDX ADMRL CL - Plan #112 | 0 / 0 | $150,696,117 / $194,870,148 |
2020 | Plan NameFRANKLIN TEMPLETON GLBL BOND CL A Plan #136 Participants BOY/EOY0 / 0 Assets BOY/EOY$243,225,626 / $192,580,588 | 2020 | FRANKLIN TEMPLETON GLBL BOND CL A - Plan #136 | 0 / 0 | $243,225,626 / $192,580,588 |
2020 | Plan NameVANGUARD LIFESTRATEGY CONSERV GROWTH Plan #028 Participants BOY/EOY0 / 0 Assets BOY/EOY$167,289,812 / $186,029,553 | 2020 | VANGUARD LIFESTRATEGY CONSERV GROWTH - Plan #028 | 0 / 0 | $167,289,812 / $186,029,553 |
2020 | Plan NameDODGE & COX STOCK FUND Plan #042 Participants BOY/EOY0 / 0 Assets BOY/EOY$178,247,976 / $182,857,948 | 2020 | DODGE & COX STOCK FUND - Plan #042 | 0 / 0 | $178,247,976 / $182,857,948 |
2020 | Plan NameINVESCO DIVERS DIV CL R5 Plan #283 Participants BOY/EOY0 / 0 Assets BOY/EOY$173,849,763 / $177,031,642 | 2020 | INVESCO DIVERS DIV CL R5 - Plan #283 | 0 / 0 | $173,849,763 / $177,031,642 |
2020 | Plan NameSECURIAN AM DISCIPLINED GROWTH MID CAP GROWTH Plan #059 Participants BOY/EOY0 / 0 Assets BOY/EOY$227,296,457 / $169,315,026 | 2020 | SECURIAN AM DISCIPLINED GROWTH MID CAP GROWTH - Plan #059 | 0 / 0 | $227,296,457 / $169,315,026 |
2020 | Plan NameJANUS HENDERSON TRITON CL N Plan #223 Participants BOY/EOY0 / 0 Assets BOY/EOY$129,687,063 / $157,079,953 | 2020 | JANUS HENDERSON TRITON CL N - Plan #223 | 0 / 0 | $129,687,063 / $157,079,953 |
2020 | Plan NameVANGUARD EQ INC ADMRL CL Plan #333 Participants BOY/EOY0 / 0 Assets BOY/EOY$121,316,754 / $149,651,176 | 2020 | VANGUARD EQ INC ADMRL CL - Plan #333 | 0 / 0 | $121,316,754 / $149,651,176 |
2020 | Plan NameFIDELITY 500 IDX Plan #730 Participants BOY/EOY0 / 0 Assets BOY/EOY$82,676,405 / $149,060,796 | 2020 | FIDELITY 500 IDX - Plan #730 | 0 / 0 | $82,676,405 / $149,060,796 |
2020 | Plan NameSECURIAN AM IVY SM CAP GROWTH Plan #062 Participants BOY/EOY0 / 0 Assets BOY/EOY$117,502,995 / $147,096,880 | 2020 | SECURIAN AM IVY SM CAP GROWTH - Plan #062 | 0 / 0 | $117,502,995 / $147,096,880 |
2020 | Plan NameADVISOR 401(K) RETIREMENT PLAN Plan #006 Participants BOY/EOY1,169 / 1,202 Assets BOY/EOY$129,207,579 / $140,319,015 | 2020 | ADVISOR 401(K) RETIREMENT PLAN - Plan #006 | 1,169 / 1,202 | $129,207,579 / $140,319,015 |
2020 | Plan NameSECURIAN AM PERKINS SM CAP VAL Plan #152 Participants BOY/EOY0 / 0 Assets BOY/EOY$106,068,853 / $139,663,080 | 2020 | SECURIAN AM PERKINS SM CAP VAL - Plan #152 | 0 / 0 | $106,068,853 / $139,663,080 |
2020 | Plan NameSECURIAN AM MFS MID CAP GROWTH Plan #783 Participants BOY/EOY0 / 0 Assets BOY/EOY$74,173,244 / $139,273,369 | 2020 | SECURIAN AM MFS MID CAP GROWTH - Plan #783 | 0 / 0 | $74,173,244 / $139,273,369 |
2020 | Plan NameSECURIAN AM ALGER CAPITAL APPREC Plan #267 Participants BOY/EOY0 / 0 Assets BOY/EOY$113,015,608 / $136,691,823 | 2020 | SECURIAN AM ALGER CAPITAL APPREC - Plan #267 | 0 / 0 | $113,015,608 / $136,691,823 |
2020 | Plan NameSECURIAN AM S&P 500/CITIGROUP GROWTH Plan #032 Participants BOY/EOY0 / 0 Assets BOY/EOY$120,777,375 / $136,192,890 | 2020 | SECURIAN AM S&P 500/CITIGROUP GROWTH - Plan #032 | 0 / 0 | $120,777,375 / $136,192,890 |
2020 | Plan NameVANGUARD SM CAP IDX ADMRL CL Plan #178 Participants BOY/EOY0 / 0 Assets BOY/EOY$105,107,229 / $134,881,440 | 2020 | VANGUARD SM CAP IDX ADMRL CL - Plan #178 | 0 / 0 | $105,107,229 / $134,881,440 |
2020 | Plan NameVANGUARD TGT RETIRE 2030 INV CL Plan #207 Participants BOY/EOY0 / 0 Assets BOY/EOY$101,580,584 / $132,270,658 | 2020 | VANGUARD TGT RETIRE 2030 INV CL - Plan #207 | 0 / 0 | $101,580,584 / $132,270,658 |
2020 | Plan NameSECURIAN AM T. ROWE PRICE SM CAP STOCK Plan #035 Participants BOY/EOY0 / 0 Assets BOY/EOY$117,407,504 / $131,236,022 | 2020 | SECURIAN AM T. ROWE PRICE SM CAP STOCK - Plan #035 | 0 / 0 | $117,407,504 / $131,236,022 |
2020 | Plan NameVANGUARD SM CAP GROWTH IDX ADMRL CL Plan #132 Participants BOY/EOY0 / 0 Assets BOY/EOY$100,589,597 / $126,773,433 | 2020 | VANGUARD SM CAP GROWTH IDX ADMRL CL - Plan #132 | 0 / 0 | $100,589,597 / $126,773,433 |
2020 | Plan NameDFA INTL VAL INSTL CL Plan #110 Participants BOY/EOY0 / 0 Assets BOY/EOY$124,466,556 / $125,963,183 | 2020 | DFA INTL VAL INSTL CL - Plan #110 | 0 / 0 | $124,466,556 / $125,963,183 |
2020 | Plan NameT. ROWE PRICE HEALTH SCIENCES INV CL Plan #196 Participants BOY/EOY0 / 0 Assets BOY/EOY$103,174,986 / $123,316,310 | 2020 | T. ROWE PRICE HEALTH SCIENCES INV CL - Plan #196 | 0 / 0 | $103,174,986 / $123,316,310 |
2020 | Plan NameMORGAN STANLEY INSTL INTL OPPS I CL Plan #770 Participants BOY/EOY0 / 0 Assets BOY/EOY$70,066,032 / $120,047,860 | 2020 | MORGAN STANLEY INSTL INTL OPPS I CL - Plan #770 | 0 / 0 | $70,066,032 / $120,047,860 |
2020 | Plan NameVANGUARD TGT RETIRE 2035 INV CL Plan #208 Participants BOY/EOY0 / 0 Assets BOY/EOY$90,322,362 / $117,672,124 | 2020 | VANGUARD TGT RETIRE 2035 INV CL - Plan #208 | 0 / 0 | $90,322,362 / $117,672,124 |
2020 | Plan NameINVESCO COMSTOCK CL R5 Plan #055 Participants BOY/EOY0 / 0 Assets BOY/EOY$117,980,461 / $113,662,574 | 2020 | INVESCO COMSTOCK CL R5 - Plan #055 | 0 / 0 | $117,980,461 / $113,662,574 |
2020 | Plan NameMFS GROWTH CL R3 Plan #361 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,391,272 / $110,930,784 | 2020 | MFS GROWTH CL R3 - Plan #361 | 0 / 0 | $4,391,272 / $110,930,784 |
2020 | Plan NameLOOMIS SAYLES INVMNT GRADE BOND ADMIN CL Plan #138 Participants BOY/EOY0 / 0 Assets BOY/EOY$92,147,429 / $110,372,503 | 2020 | LOOMIS SAYLES INVMNT GRADE BOND ADMIN CL - Plan #138 | 0 / 0 | $92,147,429 / $110,372,503 |
2020 | Plan NameVANGUARD MID CAP IDX ADMRL CL Plan #174 Participants BOY/EOY0 / 0 Assets BOY/EOY$96,492,354 / $109,349,245 | 2020 | VANGUARD MID CAP IDX ADMRL CL - Plan #174 | 0 / 0 | $96,492,354 / $109,349,245 |
2020 | Plan NameDFA INFL PROTCTD SEC INSTL CL Plan #221 Participants BOY/EOY0 / 0 Assets BOY/EOY$83,871,418 / $107,198,836 | 2020 | DFA INFL PROTCTD SEC INSTL CL - Plan #221 | 0 / 0 | $83,871,418 / $107,198,836 |
2020 | Plan NameSECURIAN AM IVY LRG CAP GROWTH Plan #060 Participants BOY/EOY0 / 0 Assets BOY/EOY$92,496,292 / $106,077,818 | 2020 | SECURIAN AM IVY LRG CAP GROWTH - Plan #060 | 0 / 0 | $92,496,292 / $106,077,818 |
2020 | Plan NameDFA US TARGETED VALUE PORT SEPARATE ACCOUNT Plan #127 Participants BOY/EOY0 / 0 Assets BOY/EOY$100,941,717 / $103,171,948 | 2020 | DFA US TARGETED VALUE PORT SEPARATE ACCOUNT - Plan #127 | 0 / 0 | $100,941,717 / $103,171,948 |
2020 | Plan NameVANGUARD TGT RETIRE 2025 INV CL Plan #206 Participants BOY/EOY0 / 0 Assets BOY/EOY$80,884,718 / $101,905,872 | 2020 | VANGUARD TGT RETIRE 2025 INV CL - Plan #206 | 0 / 0 | $80,884,718 / $101,905,872 |
2020 | Plan NameSECURIAN AM DISCIPLINED GROWTH SM CAP GROWTH Plan #170 Participants BOY/EOY0 / 0 Assets BOY/EOY$76,934,138 / $100,800,257 | 2020 | SECURIAN AM DISCIPLINED GROWTH SM CAP GROWTH - Plan #170 | 0 / 0 | $76,934,138 / $100,800,257 |
2020 | Plan NameSECURIAN AM LONG DUR BOND Plan #239 Participants BOY/EOY0 / 0 Assets BOY/EOY$83,528,564 / $96,288,570 | 2020 | SECURIAN AM LONG DUR BOND - Plan #239 | 0 / 0 | $83,528,564 / $96,288,570 |
2020 | Plan NameSECURIAN AM HOTCH & WILEY LRG CAP VAL Plan #095 Participants BOY/EOY0 / 0 Assets BOY/EOY$87,188,853 / $91,852,883 | 2020 | SECURIAN AM HOTCH & WILEY LRG CAP VAL - Plan #095 | 0 / 0 | $87,188,853 / $91,852,883 |
2020 | Plan NameDFA U.S. SM CAP INSTL CL Plan #077 Participants BOY/EOY0 / 0 Assets BOY/EOY$90,998,984 / $88,839,784 | 2020 | DFA U.S. SM CAP INSTL CL - Plan #077 | 0 / 0 | $90,998,984 / $88,839,784 |
2020 | Plan NameSECURIAN AM COLUMBIA CONTRARIAN CORE Plan #765 Participants BOY/EOY0 / 0 Assets BOY/EOY$83,757,827 / $87,633,004 | 2020 | SECURIAN AM COLUMBIA CONTRARIAN CORE - Plan #765 | 0 / 0 | $83,757,827 / $87,633,004 |
2020 | Plan NameLOOMIS SAYLES BOND INSTL CL Plan #123 Participants BOY/EOY0 / 0 Assets BOY/EOY$85,748,314 / $85,506,122 | 2020 | LOOMIS SAYLES BOND INSTL CL - Plan #123 | 0 / 0 | $85,748,314 / $85,506,122 |
2020 | Plan NameVANGUARD TGT RETIRE 2040 INV CL Plan #209 Participants BOY/EOY0 / 0 Assets BOY/EOY$61,258,986 / $84,648,105 | 2020 | VANGUARD TGT RETIRE 2040 INV CL - Plan #209 | 0 / 0 | $61,258,986 / $84,648,105 |
2020 | Plan NameSECURIAN AM GW&K SM CAP GROWTH Plan #238 Participants BOY/EOY0 / 0 Assets BOY/EOY$68,890,968 / $82,176,459 | 2020 | SECURIAN AM GW&K SM CAP GROWTH - Plan #238 | 0 / 0 | $68,890,968 / $82,176,459 |
2020 | Plan NameVANGUARD TGT RETIRE 2045 INV CL Plan #210 Participants BOY/EOY0 / 0 Assets BOY/EOY$55,440,163 / $79,699,955 | 2020 | VANGUARD TGT RETIRE 2045 INV CL - Plan #210 | 0 / 0 | $55,440,163 / $79,699,955 |
2020 | Plan NameSECURIAN AM S&P 500/CITIGROUP VAL Plan #031 Participants BOY/EOY0 / 0 Assets BOY/EOY$77,194,100 / $75,115,912 | 2020 | SECURIAN AM S&P 500/CITIGROUP VAL - Plan #031 | 0 / 0 | $77,194,100 / $75,115,912 |
2020 | Plan NameSECURIAN AM BARON GROWTH EQ Plan #075 Participants BOY/EOY0 / 0 Assets BOY/EOY$64,916,931 / $73,111,866 | 2020 | SECURIAN AM BARON GROWTH EQ - Plan #075 | 0 / 0 | $64,916,931 / $73,111,866 |
2020 | Plan NameLAZARD INTL STRAT EQ INSTL CL Plan #235 Participants BOY/EOY0 / 0 Assets BOY/EOY$65,186,935 / $67,747,476 | 2020 | LAZARD INTL STRAT EQ INSTL CL - Plan #235 | 0 / 0 | $65,186,935 / $67,747,476 |
2020 | Plan NameVANGUARD TGT RETIRE 2050 INV CL Plan #211 Participants BOY/EOY0 / 0 Assets BOY/EOY$44,603,221 / $65,209,029 | 2020 | VANGUARD TGT RETIRE 2050 INV CL - Plan #211 | 0 / 0 | $44,603,221 / $65,209,029 |
2020 | Plan NameVANGUARD LONG TERM INVMNT GRADE ADMRL CL Plan #114 Participants BOY/EOY0 / 0 Assets BOY/EOY$51,911,524 / $64,744,967 | 2020 | VANGUARD LONG TERM INVMNT GRADE ADMRL CL - Plan #114 | 0 / 0 | $51,911,524 / $64,744,967 |
2020 | Plan NameVANGUARD TOTAL STOCK MKT IDX ADMRL CL Plan #180 Participants BOY/EOY0 / 0 Assets BOY/EOY$54,968,419 / $64,606,963 | 2020 | VANGUARD TOTAL STOCK MKT IDX ADMRL CL - Plan #180 | 0 / 0 | $54,968,419 / $64,606,963 |
2020 | Plan NameIVY SECURIAN RE SEC CL Y Plan #036 Participants BOY/EOY0 / 0 Assets BOY/EOY$86,578,567 / $64,505,355 | 2020 | IVY SECURIAN RE SEC CL Y - Plan #036 | 0 / 0 | $86,578,567 / $64,505,355 |
2020 | Plan NameAMERICAN FUNDS NEW PERSPECTIVE CL R6 Plan #183 Participants BOY/EOY0 / 0 Assets BOY/EOY$53,171,323 / $63,750,127 | 2020 | AMERICAN FUNDS NEW PERSPECTIVE CL R6 - Plan #183 | 0 / 0 | $53,171,323 / $63,750,127 |
2020 | Plan NamePIMCO INVMNT GRADE CREDIT BOND INSTL CL Plan #142 Participants BOY/EOY0 / 0 Assets BOY/EOY$62,141,774 / $62,524,563 | 2020 | PIMCO INVMNT GRADE CREDIT BOND INSTL CL - Plan #142 | 0 / 0 | $62,141,774 / $62,524,563 |
2020 | Plan NameVANGUARD WELLESLEY INC ADMRL CL Plan #115 Participants BOY/EOY0 / 0 Assets BOY/EOY$55,472,272 / $61,436,419 | 2020 | VANGUARD WELLESLEY INC ADMRL CL - Plan #115 | 0 / 0 | $55,472,272 / $61,436,419 |
2020 | Plan NameSECURIAN AM RIVER ROAD SM CAP VAL Plan #109 Participants BOY/EOY0 / 0 Assets BOY/EOY$52,895,232 / $58,607,747 | 2020 | SECURIAN AM RIVER ROAD SM CAP VAL - Plan #109 | 0 / 0 | $52,895,232 / $58,607,747 |
2020 | Plan NameDODGE & COX INC FUND Plan #156 Participants BOY/EOY0 / 0 Assets BOY/EOY$46,062,131 / $57,777,305 | 2020 | DODGE & COX INC FUND - Plan #156 | 0 / 0 | $46,062,131 / $57,777,305 |
2020 | Plan NamePGIM TOTAL RTRN BOND CL Z Plan #382 Participants BOY/EOY0 / 0 Assets BOY/EOY$37,331,821 / $56,667,304 | 2020 | PGIM TOTAL RTRN BOND CL Z - Plan #382 | 0 / 0 | $37,331,821 / $56,667,304 |
2020 | Plan NameINVESCO EQ & INC CL R5 Plan #054 Participants BOY/EOY0 / 0 Assets BOY/EOY$78,122,724 / $55,014,782 | 2020 | INVESCO EQ & INC CL R5 - Plan #054 | 0 / 0 | $78,122,724 / $55,014,782 |
2020 | Plan NameVANGUARD MID CAP GROWTH IDX ADMRL CL Plan #175 Participants BOY/EOY0 / 0 Assets BOY/EOY$36,254,434 / $51,062,788 | 2020 | VANGUARD MID CAP GROWTH IDX ADMRL CL - Plan #175 | 0 / 0 | $36,254,434 / $51,062,788 |
2020 | Plan NameBLACKROCK ISHARES S&P 500 IDX SVC CL Plan #658 Participants BOY/EOY0 / 0 Assets BOY/EOY$35,957,506 / $47,165,996 | 2020 | BLACKROCK ISHARES S&P 500 IDX SVC CL - Plan #658 | 0 / 0 | $35,957,506 / $47,165,996 |
2020 | Plan NameAB DISC VAL ADV CL Plan #107 Participants BOY/EOY0 / 0 Assets BOY/EOY$37,239,620 / $46,329,109 | 2020 | AB DISC VAL ADV CL - Plan #107 | 0 / 0 | $37,239,620 / $46,329,109 |
2020 | Plan NameAMERICAN FUNDS EUROPACIFIC GROWTH CL R6 Plan #286 Participants BOY/EOY0 / 0 Assets BOY/EOY$34,103,265 / $43,426,261 | 2020 | AMERICAN FUNDS EUROPACIFIC GROWTH CL R6 - Plan #286 | 0 / 0 | $34,103,265 / $43,426,261 |
2020 | Plan NameCOLUMBIA LTD DUR CREDIT ADV CL Plan #270 Participants BOY/EOY0 / 0 Assets BOY/EOY$40,193,304 / $43,291,671 | 2020 | COLUMBIA LTD DUR CREDIT ADV CL - Plan #270 | 0 / 0 | $40,193,304 / $43,291,671 |
2020 | Plan NameVANGUARD TOTAL STOCK MKT IDX INSTL CL Plan #190 Participants BOY/EOY0 / 0 Assets BOY/EOY$42,030,606 / $42,212,961 | 2020 | VANGUARD TOTAL STOCK MKT IDX INSTL CL - Plan #190 | 0 / 0 | $42,030,606 / $42,212,961 |
2020 | Plan NameROXBURY HOOD RIVER SM CAP GROWTH INSTL CL Plan #278 Participants BOY/EOY0 / 0 Assets BOY/EOY$30,129,132 / $41,718,410 | 2020 | ROXBURY HOOD RIVER SM CAP GROWTH INSTL CL - Plan #278 | 0 / 0 | $30,129,132 / $41,718,410 |
2020 | Plan NameVANGUARD TGT RETIRE 2055 INV CL Plan #212 Participants BOY/EOY0 / 0 Assets BOY/EOY$25,504,578 / $40,720,340 | 2020 | VANGUARD TGT RETIRE 2055 INV CL - Plan #212 | 0 / 0 | $25,504,578 / $40,720,340 |
2020 | Plan NameVANGUARD SM CAP VAL IDX ADMRL CL Plan #133 Participants BOY/EOY0 / 0 Assets BOY/EOY$35,522,425 / $40,609,788 | 2020 | VANGUARD SM CAP VAL IDX ADMRL CL - Plan #133 | 0 / 0 | $35,522,425 / $40,609,788 |
2020 | Plan NameVANGUARD TOTAL INTL BOND IDX ADMRL CL Plan #269 Participants BOY/EOY0 / 0 Assets BOY/EOY$26,399,809 / $39,910,036 | 2020 | VANGUARD TOTAL INTL BOND IDX ADMRL CL - Plan #269 | 0 / 0 | $26,399,809 / $39,910,036 |
2020 | Plan NameSECURIAN AM MFS MID CAP VAL Plan #782 Participants BOY/EOY0 / 0 Assets BOY/EOY$40,033,632 / $39,805,370 | 2020 | SECURIAN AM MFS MID CAP VAL - Plan #782 | 0 / 0 | $40,033,632 / $39,805,370 |
2020 | Plan NameHOTCHKIS & WILEY HIGH YLD I CL Plan #232 Participants BOY/EOY0 / 0 Assets BOY/EOY$47,151,298 / $39,654,708 | 2020 | HOTCHKIS & WILEY HIGH YLD I CL - Plan #232 | 0 / 0 | $47,151,298 / $39,654,708 |
2020 | Plan NameJPMORGAN LRG CAP GROWTH CL A Plan #234 Participants BOY/EOY0 / 0 Assets BOY/EOY$19,940,713 / $39,234,126 | 2020 | JPMORGAN LRG CAP GROWTH CL A - Plan #234 | 0 / 0 | $19,940,713 / $39,234,126 |
2020 | Plan NameVANGUARD MID CAP VAL IDX ADMRL CL Plan #176 Participants BOY/EOY0 / 0 Assets BOY/EOY$38,667,975 / $36,764,325 | 2020 | VANGUARD MID CAP VAL IDX ADMRL CL - Plan #176 | 0 / 0 | $38,667,975 / $36,764,325 |
2020 | Plan NameAMERICAN FUNDS AMERICAN BAL CL R6 Plan #330 Participants BOY/EOY0 / 0 Assets BOY/EOY$28,928,541 / $36,527,377 | 2020 | AMERICAN FUNDS AMERICAN BAL CL R6 - Plan #330 | 0 / 0 | $28,928,541 / $36,527,377 |
2020 | Plan NameVANGUARD EXTENDED MKT IDX INSTL CL Plan #193 Participants BOY/EOY0 / 0 Assets BOY/EOY$27,428,788 / $36,293,081 | 2020 | VANGUARD EXTENDED MKT IDX INSTL CL - Plan #193 | 0 / 0 | $27,428,788 / $36,293,081 |
2020 | Plan NameINVESCO OPPHMR INTL GROWTH SEPARATE ACCOUNT Plan #277 Participants BOY/EOY0 / 0 Assets BOY/EOY$32,001,798 / $34,127,375 | 2020 | INVESCO OPPHMR INTL GROWTH SEPARATE ACCOUNT - Plan #277 | 0 / 0 | $32,001,798 / $34,127,375 |
2020 | Plan NameT. ROWE PRICE INTL STOCK I CL Plan #160 Participants BOY/EOY0 / 0 Assets BOY/EOY$28,221,598 / $32,831,151 | 2020 | T. ROWE PRICE INTL STOCK I CL - Plan #160 | 0 / 0 | $28,221,598 / $32,831,151 |
2020 | Plan NameFIDELITY SM CAP IDX Plan #732 Participants BOY/EOY0 / 0 Assets BOY/EOY$18,559,663 / $31,828,233 | 2020 | FIDELITY SM CAP IDX - Plan #732 | 0 / 0 | $18,559,663 / $31,828,233 |
2020 | Plan NameIVY MID CAP GROWTH CL Y Plan #063 Participants BOY/EOY0 / 0 Assets BOY/EOY$19,222,746 / $31,292,266 | 2020 | IVY MID CAP GROWTH CL Y - Plan #063 | 0 / 0 | $19,222,746 / $31,292,266 |
2020 | Plan NameFIDELITY RE IDX Plan #737 Participants BOY/EOY0 / 0 Assets BOY/EOY$40,469,523 / $29,920,848 | 2020 | FIDELITY RE IDX - Plan #737 | 0 / 0 | $40,469,523 / $29,920,848 |
2020 | Plan NameSECURIAN AM CORE BOND Plan #240 Participants BOY/EOY0 / 0 Assets BOY/EOY$27,752,999 / $29,072,691 | 2020 | SECURIAN AM CORE BOND - Plan #240 | 0 / 0 | $27,752,999 / $29,072,691 |
2020 | Plan NameT. ROWE PRICE MID CAP VAL INV CL Plan #018 Participants BOY/EOY0 / 0 Assets BOY/EOY$28,395,091 / $29,024,500 | 2020 | T. ROWE PRICE MID CAP VAL INV CL - Plan #018 | 0 / 0 | $28,395,091 / $29,024,500 |
2020 | Plan NameAB SM CAP VAL CL A Plan #200 Participants BOY/EOY0 / 0 Assets BOY/EOY$25,476,823 / $28,634,467 | 2020 | AB SM CAP VAL CL A - Plan #200 | 0 / 0 | $25,476,823 / $28,634,467 |
2020 | Plan NameVANGUARD GROWTH IDX ADMRL CL Plan #423 Participants BOY/EOY0 / 0 Assets BOY/EOY$12,756,195 / $28,488,941 | 2020 | VANGUARD GROWTH IDX ADMRL CL - Plan #423 | 0 / 0 | $12,756,195 / $28,488,941 |
2020 | Plan NameEATON VANCE ATLANTA CAPITAL SMID CAP A CL Plan #194 Participants BOY/EOY0 / 0 Assets BOY/EOY$21,597,786 / $28,412,664 | 2020 | EATON VANCE ATLANTA CAPITAL SMID CAP A CL - Plan #194 | 0 / 0 | $21,597,786 / $28,412,664 |
2020 | Plan NameAMERICAN CENTURY EQ INC CL R6 Plan #058 Participants BOY/EOY0 / 0 Assets BOY/EOY$30,752,786 / $28,059,709 | 2020 | AMERICAN CENTURY EQ INC CL R6 - Plan #058 | 0 / 0 | $30,752,786 / $28,059,709 |
2020 | Plan NameFIDELITY MID CAP IDX Plan #731 Participants BOY/EOY0 / 0 Assets BOY/EOY$16,027,117 / $27,090,449 | 2020 | FIDELITY MID CAP IDX - Plan #731 | 0 / 0 | $16,027,117 / $27,090,449 |
2020 | Plan NameAMERICAN FUNDS NEW WORLD CL R6 Plan #184 Participants BOY/EOY0 / 0 Assets BOY/EOY$13,202,238 / $26,568,833 | 2020 | AMERICAN FUNDS NEW WORLD CL R6 - Plan #184 | 0 / 0 | $13,202,238 / $26,568,833 |
2020 | Plan NameAB GLBL BOND ADV CL Plan #769 Participants BOY/EOY0 / 0 Assets BOY/EOY$24,899,833 / $26,305,605 | 2020 | AB GLBL BOND ADV CL - Plan #769 | 0 / 0 | $24,899,833 / $26,305,605 |
2020 | Plan NameWELLS FARGO STABLE VAL CL C Plan #479 Participants BOY/EOY0 / 0 Assets BOY/EOY$11,499,897 / $25,968,023 | 2020 | WELLS FARGO STABLE VAL CL C - Plan #479 | 0 / 0 | $11,499,897 / $25,968,023 |
2020 | Plan NameAMERICAN FUNDS 2030 TGT DATE RETIRE CL R6 Plan #448 Participants BOY/EOY0 / 0 Assets BOY/EOY$7,624,465 / $25,740,467 | 2020 | AMERICAN FUNDS 2030 TGT DATE RETIRE CL R6 - Plan #448 | 0 / 0 | $7,624,465 / $25,740,467 |
2020 | Plan NameDFA EMERG MKTS VAL INSTL CL Plan #128 Participants BOY/EOY0 / 0 Assets BOY/EOY$36,309,352 / $24,828,482 | 2020 | DFA EMERG MKTS VAL INSTL CL - Plan #128 | 0 / 0 | $36,309,352 / $24,828,482 |
2020 | Plan NameBNY MELLON NATURAL RESOURCES I CL Plan #790 Participants BOY/EOY0 / 0 Assets BOY/EOY$25,985,245 / $23,688,137 | 2020 | BNY MELLON NATURAL RESOURCES I CL - Plan #790 | 0 / 0 | $25,985,245 / $23,688,137 |
2020 | Plan NameCOLUMBIA HIGH YLD BOND ADV CL Plan #281 Participants BOY/EOY0 / 0 Assets BOY/EOY$16,812,992 / $23,540,279 | 2020 | COLUMBIA HIGH YLD BOND ADV CL - Plan #281 | 0 / 0 | $16,812,992 / $23,540,279 |
2020 | Plan NameMORLEY STABLE VAL CL 18-V Plan #324 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,880,376 / $23,216,775 | 2020 | MORLEY STABLE VAL CL 18-V - Plan #324 | 0 / 0 | $5,880,376 / $23,216,775 |
2020 | Plan NameVANGUARD DEV MKTS IDX ADMRL CL Plan #666 Participants BOY/EOY0 / 0 Assets BOY/EOY$20,388,816 / $22,464,948 | 2020 | VANGUARD DEV MKTS IDX ADMRL CL - Plan #666 | 0 / 0 | $20,388,816 / $22,464,948 |
2020 | Plan NameJANUS HENDERSON MID CAP VAL CL T Plan #043 Participants BOY/EOY0 / 0 Assets BOY/EOY$29,837,135 / $21,956,938 | 2020 | JANUS HENDERSON MID CAP VAL CL T - Plan #043 | 0 / 0 | $29,837,135 / $21,956,938 |
2020 | Plan NameDFA U.S. SM CAP VAL INSTL CL Plan #167 Participants BOY/EOY0 / 0 Assets BOY/EOY$23,736,223 / $21,307,561 | 2020 | DFA U.S. SM CAP VAL INSTL CL - Plan #167 | 0 / 0 | $23,736,223 / $21,307,561 |
2020 | Plan NameFEDERATED HERMES GOVT OBLIGATIONS PREMIER CL Plan #779 Participants BOY/EOY0 / 0 Assets BOY/EOY$13,909,135 / $19,940,719 | 2020 | FEDERATED HERMES GOVT OBLIGATIONS PREMIER CL - Plan #779 | 0 / 0 | $13,909,135 / $19,940,719 |
2020 | Plan NameVANGUARD TGT RETIRE 2060 INV CL Plan #213 Participants BOY/EOY0 / 0 Assets BOY/EOY$10,375,515 / $19,403,982 | 2020 | VANGUARD TGT RETIRE 2060 INV CL - Plan #213 | 0 / 0 | $10,375,515 / $19,403,982 |
2020 | Plan NameBLACKROCK STRAT INC OPPS INSTL CL Plan #279 Participants BOY/EOY0 / 0 Assets BOY/EOY$13,597,286 / $19,242,548 | 2020 | BLACKROCK STRAT INC OPPS INSTL CL - Plan #279 | 0 / 0 | $13,597,286 / $19,242,548 |
2020 | Plan NameVANGUARD TGT RETIRE INC INV CL Plan #214 Participants BOY/EOY0 / 0 Assets BOY/EOY$14,232,176 / $19,146,313 | 2020 | VANGUARD TGT RETIRE INC INV CL - Plan #214 | 0 / 0 | $14,232,176 / $19,146,313 |
2020 | Plan NameAMERICAN FUNDS INTL GROWTH & INC CL R6 Plan #282 Participants BOY/EOY0 / 0 Assets BOY/EOY$15,072,199 / $18,776,343 | 2020 | AMERICAN FUNDS INTL GROWTH & INC CL R6 - Plan #282 | 0 / 0 | $15,072,199 / $18,776,343 |
2020 | Plan NameVANGUARD SM CAP GROWTH IDX INSTL CL Plan #780 Participants BOY/EOY0 / 0 Assets BOY/EOY$14,453,295 / $18,532,162 | 2020 | VANGUARD SM CAP GROWTH IDX INSTL CL - Plan #780 | 0 / 0 | $14,453,295 / $18,532,162 |
2020 | Plan NameCAUSEWAY INTL VAL INSTL CL Plan #785 Participants BOY/EOY0 / 0 Assets BOY/EOY$17,994,645 / $18,480,696 | 2020 | CAUSEWAY INTL VAL INSTL CL - Plan #785 | 0 / 0 | $17,994,645 / $18,480,696 |
2020 | Plan NameVANGUARD TGT RETIRE 2015 INV CL Plan #204 Participants BOY/EOY0 / 0 Assets BOY/EOY$16,500,227 / $18,443,541 | 2020 | VANGUARD TGT RETIRE 2015 INV CL - Plan #204 | 0 / 0 | $16,500,227 / $18,443,541 |
2020 | Plan NameJANUS HENDERSON ENTERPRISE I CL Plan #274 Participants BOY/EOY0 / 0 Assets BOY/EOY$16,378,337 / $18,413,939 | 2020 | JANUS HENDERSON ENTERPRISE I CL - Plan #274 | 0 / 0 | $16,378,337 / $18,413,939 |
2020 | Plan NameSECURIAN AM INTECH U.S. CORE Plan #120 Participants BOY/EOY0 / 0 Assets BOY/EOY$23,638,242 / $18,044,755 | 2020 | SECURIAN AM INTECH U.S. CORE - Plan #120 | 0 / 0 | $23,638,242 / $18,044,755 |
2020 | Plan NameVANGUARD TOTAL BOND MKT IDX INSTL CL Plan #168 Participants BOY/EOY0 / 0 Assets BOY/EOY$9,289,570 / $17,717,538 | 2020 | VANGUARD TOTAL BOND MKT IDX INSTL CL - Plan #168 | 0 / 0 | $9,289,570 / $17,717,538 |
2020 | Plan NameVANGUARD S-T BOND IDX ADMRL CL Plan #789 Participants BOY/EOY0 / 0 Assets BOY/EOY$15,901,776 / $17,623,296 | 2020 | VANGUARD S-T BOND IDX ADMRL CL - Plan #789 | 0 / 0 | $15,901,776 / $17,623,296 |
2020 | Plan NameAMERICAN FUNDS 2050 TGT DATE RETIRE CL R6 Plan #452 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,748,539 / $17,361,496 | 2020 | AMERICAN FUNDS 2050 TGT DATE RETIRE CL R6 - Plan #452 | 0 / 0 | $2,748,539 / $17,361,496 |
2020 | Plan NameWELLS FARGO SPECIAL MID CAP VAL CL A Plan #609 Participants BOY/EOY0 / 0 Assets BOY/EOY$11,888,605 / $17,097,244 | 2020 | WELLS FARGO SPECIAL MID CAP VAL CL A - Plan #609 | 0 / 0 | $11,888,605 / $17,097,244 |
2020 | Plan NameAMERICAN FUNDS 2025 TGT DATE RETIRE CL R6 Plan #447 Participants BOY/EOY0 / 0 Assets BOY/EOY$8,017,172 / $17,088,104 | 2020 | AMERICAN FUNDS 2025 TGT DATE RETIRE CL R6 - Plan #447 | 0 / 0 | $8,017,172 / $17,088,104 |
2020 | Plan NameDFA INTERM GOVT FI INSTL CL Plan #139 Participants BOY/EOY0 / 0 Assets BOY/EOY$9,861,063 / $16,531,396 | 2020 | DFA INTERM GOVT FI INSTL CL - Plan #139 | 0 / 0 | $9,861,063 / $16,531,396 |
2020 | Plan NameSECURIAN AM SEGALL BRYANT & HAMILL SM CAP GRO Plan #766 Participants BOY/EOY0 / 0 Assets BOY/EOY$8,902,975 / $15,869,198 | 2020 | SECURIAN AM SEGALL BRYANT & HAMILL SM CAP GRO - Plan #766 | 0 / 0 | $8,902,975 / $15,869,198 |
2020 | Plan NameBLACKROCK LIFEPATH IDX 2030 INSTL CL Plan #763 Participants BOY/EOY0 / 0 Assets BOY/EOY$7,152,923 / $15,610,604 | 2020 | BLACKROCK LIFEPATH IDX 2030 INSTL CL - Plan #763 | 0 / 0 | $7,152,923 / $15,610,604 |
2020 | Plan NameAMERICAN FUNDS 2040 TGT DATE RETIRE CL R6 Plan #450 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,618,869 / $15,409,250 | 2020 | AMERICAN FUNDS 2040 TGT DATE RETIRE CL R6 - Plan #450 | 0 / 0 | $4,618,869 / $15,409,250 |
2020 | Plan NameVANGUARD VAL IDX ADMRL CL Plan #424 Participants BOY/EOY0 / 0 Assets BOY/EOY$6,497,736 / $14,980,172 | 2020 | VANGUARD VAL IDX ADMRL CL - Plan #424 | 0 / 0 | $6,497,736 / $14,980,172 |
2020 | Plan NameBLACKROCK TOTAL RTRN INSTL CL Plan #561 Participants BOY/EOY0 / 0 Assets BOY/EOY$10,296,871 / $14,363,017 | 2020 | BLACKROCK TOTAL RTRN INSTL CL - Plan #561 | 0 / 0 | $10,296,871 / $14,363,017 |
2020 | Plan NameBLACKROCK LIFEPATH IDX 2040 INSTL CL Plan #822 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,987,872 / $14,064,119 | 2020 | BLACKROCK LIFEPATH IDX 2040 INSTL CL - Plan #822 | 0 / 0 | $5,987,872 / $14,064,119 |
2020 | Plan NamePINEBRIDGE DYN ASSET ALLOC INSTL CL Plan #787 Participants BOY/EOY0 / 0 Assets BOY/EOY$19,042,058 / $13,687,225 | 2020 | PINEBRIDGE DYN ASSET ALLOC INSTL CL - Plan #787 | 0 / 0 | $19,042,058 / $13,687,225 |
2020 | Plan NameVANGUARD TOTAL INTL STOCK IDX ADMRL CL Plan #219 Participants BOY/EOY0 / 0 Assets BOY/EOY$9,418,055 / $13,670,980 | 2020 | VANGUARD TOTAL INTL STOCK IDX ADMRL CL - Plan #219 | 0 / 0 | $9,418,055 / $13,670,980 |
2020 | Plan NameAMERICAN CENTURY MID CAP VAL CL R6 Plan #192 Participants BOY/EOY0 / 0 Assets BOY/EOY$13,694,419 / $13,506,808 | 2020 | AMERICAN CENTURY MID CAP VAL CL R6 - Plan #192 | 0 / 0 | $13,694,419 / $13,506,808 |
2020 | Plan NameJOHN HANCOCK DISCIPLINED VAL CL R6 Plan #604 Participants BOY/EOY0 / 0 Assets BOY/EOY$12,887,455 / $13,378,770 | 2020 | JOHN HANCOCK DISCIPLINED VAL CL R6 - Plan #604 | 0 / 0 | $12,887,455 / $13,378,770 |
2020 | Plan NameJANUS HENDERSON GLBL LIFE SCIENCES I CL Plan #233 Participants BOY/EOY0 / 0 Assets BOY/EOY$13,972,904 / $13,303,277 | 2020 | JANUS HENDERSON GLBL LIFE SCIENCES I CL - Plan #233 | 0 / 0 | $13,972,904 / $13,303,277 |
2020 | Plan NameAMERICAN FUNDS CAPITAL WORLD BOND CL R6 Plan #185 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,669,350 / $13,221,459 | 2020 | AMERICAN FUNDS CAPITAL WORLD BOND CL R6 - Plan #185 | 0 / 0 | $4,669,350 / $13,221,459 |
2020 | Plan NameAMERICAN FUNDS 2035 TGT DATE RETIRE CL R6 Plan #449 Participants BOY/EOY0 / 0 Assets BOY/EOY$6,764,775 / $12,973,785 | 2020 | AMERICAN FUNDS 2035 TGT DATE RETIRE CL R6 - Plan #449 | 0 / 0 | $6,764,775 / $12,973,785 |
2020 | Plan NameFEDERATED HERMES INTL LDRS INSTL CL Plan #773 Participants BOY/EOY0 / 0 Assets BOY/EOY$9,742,260 / $12,677,579 | 2020 | FEDERATED HERMES INTL LDRS INSTL CL - Plan #773 | 0 / 0 | $9,742,260 / $12,677,579 |
2020 | Plan NameCARILLON EAGLE MID CAP GROWTH CL A Plan #362 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,971,566 / $12,443,389 | 2020 | CARILLON EAGLE MID CAP GROWTH CL A - Plan #362 | 0 / 0 | $5,971,566 / $12,443,389 |
2020 | Plan NameFIDELITY ADVISOR INTL GROWTH I CL Plan #470 Participants BOY/EOY0 / 0 Assets BOY/EOY$9,052,116 / $12,201,345 | 2020 | FIDELITY ADVISOR INTL GROWTH I CL - Plan #470 | 0 / 0 | $9,052,116 / $12,201,345 |
2020 | Plan NameBLACKROCK LOW DUR BOND INSTL CL Plan #272 Participants BOY/EOY0 / 0 Assets BOY/EOY$10,189,602 / $11,922,497 | 2020 | BLACKROCK LOW DUR BOND INSTL CL - Plan #272 | 0 / 0 | $10,189,602 / $11,922,497 |
2020 | Plan NameGOLDMAN SACHS SHORT DUR GOVT INSTL CL Plan #149 Participants BOY/EOY0 / 0 Assets BOY/EOY$9,394,202 / $11,898,097 | 2020 | GOLDMAN SACHS SHORT DUR GOVT INSTL CL - Plan #149 | 0 / 0 | $9,394,202 / $11,898,097 |
2020 | Plan NameFRANKLIN TEMPLETON GLBL BOND CL A Plan #137 Participants BOY/EOY0 / 0 Assets BOY/EOY$12,760,829 / $11,584,001 | 2020 | FRANKLIN TEMPLETON GLBL BOND CL A - Plan #137 | 0 / 0 | $12,760,829 / $11,584,001 |
2020 | Plan NameVANGUARD MID CAP IDX INSTL CL Plan #781 Participants BOY/EOY0 / 0 Assets BOY/EOY$9,714,518 / $11,447,331 | 2020 | VANGUARD MID CAP IDX INSTL CL - Plan #781 | 0 / 0 | $9,714,518 / $11,447,331 |
2020 | Plan NameBLACKROCK LIFEPATH IDX 2050 INSTL CL Plan #820 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,450,175 / $11,321,056 | 2020 | BLACKROCK LIFEPATH IDX 2050 INSTL CL - Plan #820 | 0 / 0 | $2,450,175 / $11,321,056 |
2020 | Plan NameHARBOR CAPITAL APPREC INSTL CL Plan #530 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,891,019 / $11,287,104 | 2020 | HARBOR CAPITAL APPREC INSTL CL - Plan #530 | 0 / 0 | $4,891,019 / $11,287,104 |
2020 | Plan NameVANGUARD FED MONEY MKT INV CL Plan #564 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,642,559 / $11,170,067 | 2020 | VANGUARD FED MONEY MKT INV CL - Plan #564 | 0 / 0 | $5,642,559 / $11,170,067 |
2020 | Plan NameAMERICAN FUNDS 2020 TGT DATE RETIRE CL R6 Plan #446 Participants BOY/EOY0 / 0 Assets BOY/EOY$8,773,837 / $10,854,576 | 2020 | AMERICAN FUNDS 2020 TGT DATE RETIRE CL R6 - Plan #446 | 0 / 0 | $8,773,837 / $10,854,576 |
2020 | Plan NameVANGUARD INTL GROWTH ADMRL CL Plan #292 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,710,049 / $10,708,184 | 2020 | VANGUARD INTL GROWTH ADMRL CL - Plan #292 | 0 / 0 | $5,710,049 / $10,708,184 |
2020 | Plan NamePIMCO INC INSTL CL Plan #621 Participants BOY/EOY0 / 0 Assets BOY/EOY$8,148,812 / $10,613,639 | 2020 | PIMCO INC INSTL CL - Plan #621 | 0 / 0 | $8,148,812 / $10,613,639 |
2020 | Plan NameHARTFORD CORE EQ CL R5 Plan #786 Participants BOY/EOY0 / 0 Assets BOY/EOY$9,066,447 / $10,599,559 | 2020 | HARTFORD CORE EQ CL R5 - Plan #786 | 0 / 0 | $9,066,447 / $10,599,559 |
2020 | Plan NameJPMORGAN SMARTRETIREMENT BLEND 2030 CL R5 Plan #573 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,349,763 / $10,589,456 | 2020 | JPMORGAN SMARTRETIREMENT BLEND 2030 CL R5 - Plan #573 | 0 / 0 | $5,349,763 / $10,589,456 |
2020 | Plan NameVANGUARD LRG CAP IDX ADMRL CL Plan #351 Participants BOY/EOY0 / 0 Assets BOY/EOY$9,286,261 / $10,193,989 | 2020 | VANGUARD LRG CAP IDX ADMRL CL - Plan #351 | 0 / 0 | $9,286,261 / $10,193,989 |
2020 | Plan NameAMERICAN FUNDS GROWTH FUND OF AMERICA CL R6 Plan #181 Participants BOY/EOY0 / 0 Assets BOY/EOY$102,557,390 / $9,831,919 | 2020 | AMERICAN FUNDS GROWTH FUND OF AMERICA CL R6 - Plan #181 | 0 / 0 | $102,557,390 / $9,831,919 |
2020 | Plan NameT. ROWE PRICE GROWTH STOCK INV CL Plan #598 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,137,721 / $9,764,588 | 2020 | T. ROWE PRICE GROWTH STOCK INV CL - Plan #598 | 0 / 0 | $4,137,721 / $9,764,588 |
2020 | Plan NameLORD ABBETT SHORT DUR INC CL R6 Plan #434 Participants BOY/EOY0 / 0 Assets BOY/EOY$10,135,114 / $9,641,411 | 2020 | LORD ABBETT SHORT DUR INC CL R6 - Plan #434 | 0 / 0 | $10,135,114 / $9,641,411 |
2020 | Plan NameBLACKROCK LIFEPATH IDX RETIRE INSTL CL Plan #750 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,810,105 / $9,378,333 | 2020 | BLACKROCK LIFEPATH IDX RETIRE INSTL CL - Plan #750 | 0 / 0 | $4,810,105 / $9,378,333 |
2020 | Plan NameUNDISCOVERED MGRS BEHAVIORAL VAL CL R6 Plan #365 Participants BOY/EOY0 / 0 Assets BOY/EOY$10,135,193 / $9,349,616 | 2020 | UNDISCOVERED MGRS BEHAVIORAL VAL CL R6 - Plan #365 | 0 / 0 | $10,135,193 / $9,349,616 |
2020 | Plan NameT. ROWE PRICE BAL INV CL Plan #397 Participants BOY/EOY0 / 0 Assets BOY/EOY$7,701,123 / $9,210,593 | 2020 | T. ROWE PRICE BAL INV CL - Plan #397 | 0 / 0 | $7,701,123 / $9,210,593 |
2020 | Plan NameDFA U.S. MICRO CAP INSTL CL Plan #078 Participants BOY/EOY0 / 0 Assets BOY/EOY$10,275,026 / $9,132,127 | 2020 | DFA U.S. MICRO CAP INSTL CL - Plan #078 | 0 / 0 | $10,275,026 / $9,132,127 |
2020 | Plan NameBLACKROCK LIFEPATH IDX 2035 INSTL CL Plan #764 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,878,435 / $9,099,505 | 2020 | BLACKROCK LIFEPATH IDX 2035 INSTL CL - Plan #764 | 0 / 0 | $3,878,435 / $9,099,505 |
2020 | Plan NameAMERICAN FUNDS 2045 TGT DATE RETIRE CL R6 Plan #451 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,913,231 / $9,028,680 | 2020 | AMERICAN FUNDS 2045 TGT DATE RETIRE CL R6 - Plan #451 | 0 / 0 | $4,913,231 / $9,028,680 |
2020 | Plan NameDFA GLBL RE SEC INSTL CL Plan #273 Participants BOY/EOY0 / 0 Assets BOY/EOY$10,272,783 / $8,948,146 | 2020 | DFA GLBL RE SEC INSTL CL - Plan #273 | 0 / 0 | $10,272,783 / $8,948,146 |
2020 | Plan NameVANGUARD SM CAP IDX INSTL CL Plan #837 Participants BOY/EOY0 / 0 Assets BOY/EOY$7,437,305 / $8,848,429 | 2020 | VANGUARD SM CAP IDX INSTL CL - Plan #837 | 0 / 0 | $7,437,305 / $8,848,429 |
2020 | Plan NameDFA INTL SM CO INSTL CL Plan #130 Participants BOY/EOY0 / 0 Assets BOY/EOY$9,519,766 / $8,810,940 | 2020 | DFA INTL SM CO INSTL CL - Plan #130 | 0 / 0 | $9,519,766 / $8,810,940 |
2020 | Plan NameBLACKROCK LIFEPATH IDX 2025 INSTL CL Plan #762 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,873,605 / $8,726,049 | 2020 | BLACKROCK LIFEPATH IDX 2025 INSTL CL - Plan #762 | 0 / 0 | $4,873,605 / $8,726,049 |
2020 | Plan NameBLACKROCK LIFEPATH IDX 2045 INSTL CLSEPARATE ACCOUNT Plan #819 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,465,149 / $8,576,262 | 2020 | BLACKROCK LIFEPATH IDX 2045 INSTL CLSEPARATE ACCOUNT - Plan #819 | 0 / 0 | $3,465,149 / $8,576,262 |
2020 | Plan NameJPMORGAN SMARTRETIREMENT BLEND 2035 CL R5 Plan #574 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,981,580 / $8,326,105 | 2020 | JPMORGAN SMARTRETIREMENT BLEND 2035 CL R5 - Plan #574 | 0 / 0 | $1,981,580 / $8,326,105 |
2020 | Plan NameLOOMIS SAYLES SM CAP GROWTH I CL Plan #166 Participants BOY/EOY0 / 0 Assets BOY/EOY$8,319,794 / $8,250,393 | 2020 | LOOMIS SAYLES SM CAP GROWTH I CL - Plan #166 | 0 / 0 | $8,319,794 / $8,250,393 |
2020 | Plan NameMFS VAL CL R3 Plan #722 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,622,416 / $8,155,034 | 2020 | MFS VAL CL R3 - Plan #722 | 0 / 0 | $2,622,416 / $8,155,034 |
2020 | Plan NameVANGUARD EMERG MKTS STK IDX ADMRL CL Plan #226 Participants BOY/EOY0 / 0 Assets BOY/EOY$7,451,827 / $8,092,037 | 2020 | VANGUARD EMERG MKTS STK IDX ADMRL CL - Plan #226 | 0 / 0 | $7,451,827 / $8,092,037 |
2020 | Plan NameBLACKROCK ISHARES MSCI EAFE INTL IDX INSTL CL Plan #867 Participants BOY/EOY0 / 0 Assets BOY/EOY$883,164 / $7,924,427 | 2020 | BLACKROCK ISHARES MSCI EAFE INTL IDX INSTL CL - Plan #867 | 0 / 0 | $883,164 / $7,924,427 |
2020 | Plan NameBARON EMERG MKTS INSTL CL Plan #280 Participants BOY/EOY0 / 0 Assets BOY/EOY$11,023,727 / $7,845,224 | 2020 | BARON EMERG MKTS INSTL CL - Plan #280 | 0 / 0 | $11,023,727 / $7,845,224 |
2020 | Plan NamePIONEER BOND CL Y Plan #337 Participants BOY/EOY0 / 0 Assets BOY/EOY$7,532,777 / $7,746,672 | 2020 | PIONEER BOND CL Y - Plan #337 | 0 / 0 | $7,532,777 / $7,746,672 |
2020 | Plan NameWILMINGTON TRUST FP IDX+ MOD 2045 CL I1 Plan #693 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,113,620 / $7,141,698 | 2020 | WILMINGTON TRUST FP IDX+ MOD 2045 CL I1 - Plan #693 | 0 / 0 | $2,113,620 / $7,141,698 |
2020 | Plan NameSCHWAB IDXED RETIRE TRUST FUND 2035 I CL Plan #319 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,714,584 / $7,034,273 | 2020 | SCHWAB IDXED RETIRE TRUST FUND 2035 I CL - Plan #319 | 0 / 0 | $5,714,584 / $7,034,273 |
2020 | Plan NameJPMORGAN SMARTRETIREMENT BLEND 2045 CL R5 Plan #576 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,400,163 / $6,943,044 | 2020 | JPMORGAN SMARTRETIREMENT BLEND 2045 CL R5 - Plan #576 | 0 / 0 | $1,400,163 / $6,943,044 |
2020 | Plan NameJPMORGAN SMARTRETIREMENT BLEND 2040 CL R5 Plan #575 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,218,100 / $6,920,577 | 2020 | JPMORGAN SMARTRETIREMENT BLEND 2040 CL R5 - Plan #575 | 0 / 0 | $2,218,100 / $6,920,577 |
2020 | Plan NameJPMORGAN SMARTRETIREMENT BLEND 2050 CL R5 Plan #577 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,515,486 / $6,862,143 | 2020 | JPMORGAN SMARTRETIREMENT BLEND 2050 CL R5 - Plan #577 | 0 / 0 | $1,515,486 / $6,862,143 |
2020 | Plan NameSCHWAB IDXED RETIRE TRUST FUND 2040 I CL Plan #320 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,596,689 / $6,436,069 | 2020 | SCHWAB IDXED RETIRE TRUST FUND 2040 I CL - Plan #320 | 0 / 0 | $5,596,689 / $6,436,069 |
2020 | Plan NameSCHWAB IDXED RETIRE TRUST FUND 2030 I CL Plan #318 Participants BOY/EOY0 / 0 Assets BOY/EOY$6,571,412 / $6,407,171 | 2020 | SCHWAB IDXED RETIRE TRUST FUND 2030 I CL - Plan #318 | 0 / 0 | $6,571,412 / $6,407,171 |
2020 | Plan NameAMERICAN FUNDS AMCAP CL R6 Plan #327 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,454,793 / $6,400,143 | 2020 | AMERICAN FUNDS AMCAP CL R6 - Plan #327 | 0 / 0 | $5,454,793 / $6,400,143 |
2020 | Plan NameSECURIAN AM MAIRS & POWER SM CAP Plan #767 Participants BOY/EOY0 / 0 Assets BOY/EOY$6,514,893 / $6,290,112 | 2020 | SECURIAN AM MAIRS & POWER SM CAP - Plan #767 | 0 / 0 | $6,514,893 / $6,290,112 |
2020 | Plan NameFIDELITY ADVISOR SM CAP GROWTH I CL Plan #499 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,633,303 / $6,245,870 | 2020 | FIDELITY ADVISOR SM CAP GROWTH I CL - Plan #499 | 0 / 0 | $4,633,303 / $6,245,870 |
2020 | Plan NameJPMORGAN GOVT BOND I CL Plan #602 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,769,642 / $6,134,741 | 2020 | JPMORGAN GOVT BOND I CL - Plan #602 | 0 / 0 | $4,769,642 / $6,134,741 |
2020 | Plan NameBAIRD CORE PLUS BOND INSTL CL Plan #527 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,449,197 / $5,945,835 | 2020 | BAIRD CORE PLUS BOND INSTL CL - Plan #527 | 0 / 0 | $5,449,197 / $5,945,835 |
2020 | Plan NameVANGUARD EXPLORER ADMRL CL Plan #528 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,258,921 / $5,808,239 | 2020 | VANGUARD EXPLORER ADMRL CL - Plan #528 | 0 / 0 | $3,258,921 / $5,808,239 |
2020 | Plan NameWILMINGTON TRUST FP IDX+ MOD 2035 CL I1 Plan #692 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,079,253 / $5,798,090 | 2020 | WILMINGTON TRUST FP IDX+ MOD 2035 CL I1 - Plan #692 | 0 / 0 | $3,079,253 / $5,798,090 |
2020 | Plan NameFIRST EAGLE OVERSEAS CL R4 Plan #251 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,974,878 / $5,778,327 | 2020 | FIRST EAGLE OVERSEAS CL R4 - Plan #251 | 0 / 0 | $4,974,878 / $5,778,327 |
2020 | Plan NameSCHWAB IDXED RETIRE TRUST FUND 2025 I CL Plan #317 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,839,375 / $5,742,918 | 2020 | SCHWAB IDXED RETIRE TRUST FUND 2025 I CL - Plan #317 | 0 / 0 | $4,839,375 / $5,742,918 |
2020 | Plan NameT. ROWE PRICE MID CAP GROWTH INV CL Plan #288 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,340,779 / $5,736,520 | 2020 | T. ROWE PRICE MID CAP GROWTH INV CL - Plan #288 | 0 / 0 | $2,340,779 / $5,736,520 |
2020 | Plan NameWESTERN ASSET CORE BOND I CL Plan #719 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,398,888 / $5,704,198 | 2020 | WESTERN ASSET CORE BOND I CL - Plan #719 | 0 / 0 | $3,398,888 / $5,704,198 |
2020 | Plan NameNUVEEN WINSLOW LRG CAP GROWTH I CL Plan #131 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,836,046 / $5,641,581 | 2020 | NUVEEN WINSLOW LRG CAP GROWTH I CL - Plan #131 | 0 / 0 | $4,836,046 / $5,641,581 |
2020 | Plan NameCOHEN & STEERS RE SEC CL A Plan #354 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,095,511 / $5,636,131 | 2020 | COHEN & STEERS RE SEC CL A - Plan #354 | 0 / 0 | $3,095,511 / $5,636,131 |
2020 | Plan NameLOOM SAYLES STRAT INC ADMIN CL Plan #406 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,474,581 / $5,535,082 | 2020 | LOOM SAYLES STRAT INC ADMIN CL - Plan #406 | 0 / 0 | $4,474,581 / $5,535,082 |
2020 | Plan NameCLEARBRIDGE SM CAP GROWTH CL I Plan #772 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,120,646 / $5,422,419 | 2020 | CLEARBRIDGE SM CAP GROWTH CL I - Plan #772 | 0 / 0 | $2,120,646 / $5,422,419 |
2020 | Plan NameBAIRD AGGREG BOND INSTL CL Plan #456 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,889,754 / $5,422,050 | 2020 | BAIRD AGGREG BOND INSTL CL - Plan #456 | 0 / 0 | $4,889,754 / $5,422,050 |
2020 | Plan NamePRINCIPAL SM MID CAP DIV INC CL A Plan #784 Participants BOY/EOY0 / 0 Assets BOY/EOY$9,108,920 / $5,403,029 | 2020 | PRINCIPAL SM MID CAP DIV INC CL A - Plan #784 | 0 / 0 | $9,108,920 / $5,403,029 |
2020 | Plan NameBLACKROCK LIFEPATH IDX 2055 INSTL CL Plan #821 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,469,468 / $5,369,017 | 2020 | BLACKROCK LIFEPATH IDX 2055 INSTL CL - Plan #821 | 0 / 0 | $1,469,468 / $5,369,017 |
2020 | Plan NameBARON PARTNERS INSTL CL Plan #469 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,080,911 / $5,329,317 | 2020 | BARON PARTNERS INSTL CL - Plan #469 | 0 / 0 | $2,080,911 / $5,329,317 |
2020 | Plan NameJPMORGAN SMARTRETIREMENT BLEND 2025 CL R5 Plan #572 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,808,166 / $5,204,772 | 2020 | JPMORGAN SMARTRETIREMENT BLEND 2025 CL R5 - Plan #572 | 0 / 0 | $1,808,166 / $5,204,772 |
2020 | Plan NameVANGUARD REIT IDX ADMRL CL Plan #254 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,912,974 / $5,157,744 | 2020 | VANGUARD REIT IDX ADMRL CL - Plan #254 | 0 / 0 | $5,912,974 / $5,157,744 |
2020 | Plan NameDELAWARE SM CAP VAL INSTL CL Plan #583 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,064,366 / $5,077,274 | 2020 | DELAWARE SM CAP VAL INSTL CL - Plan #583 | 0 / 0 | $3,064,366 / $5,077,274 |
2020 | Plan NameVANGUARD INTERM TERM INVMNT GRADE ADMRL CL Plan #611 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,631,564 / $4,866,866 | 2020 | VANGUARD INTERM TERM INVMNT GRADE ADMRL CL - Plan #611 | 0 / 0 | $3,631,564 / $4,866,866 |
2020 | Plan NameWILMINGTON TRUST FP IDX+ MOD 2025 CL I1 Plan #691 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,513,704 / $4,845,123 | 2020 | WILMINGTON TRUST FP IDX+ MOD 2025 CL I1 - Plan #691 | 0 / 0 | $2,513,704 / $4,845,123 |
2020 | Plan NameVANGUARD U.S. GROWTH ADMRL CL Plan #593 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,180,954 / $4,738,754 | 2020 | VANGUARD U.S. GROWTH ADMRL CL - Plan #593 | 0 / 0 | $3,180,954 / $4,738,754 |
2020 | Plan NameVICTORY SYCAMORE SM CO OPP CL R Plan #468 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,518,328 / $4,684,075 | 2020 | VICTORY SYCAMORE SM CO OPP CL R - Plan #468 | 0 / 0 | $4,518,328 / $4,684,075 |
2020 | Plan NameMFS INTL GROWTH CL R3 Plan #827 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,599,686 / $4,625,035 | 2020 | MFS INTL GROWTH CL R3 - Plan #827 | 0 / 0 | $2,599,686 / $4,625,035 |
2020 | Plan NameJPMORGAN SMARTRETIREMENT BLEND 2055 CL R5 Plan #578 Participants BOY/EOY0 / 0 Assets BOY/EOY$550,467 / $4,491,596 | 2020 | JPMORGAN SMARTRETIREMENT BLEND 2055 CL R5 - Plan #578 | 0 / 0 | $550,467 / $4,491,596 |
2020 | Plan NameVANGUARD U.S. GROWTH ADMRL CL Plan #334 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,957,321 / $4,355,923 | 2020 | VANGUARD U.S. GROWTH ADMRL CL - Plan #334 | 0 / 0 | $3,957,321 / $4,355,923 |
2020 | Plan NameAMERICAN FUNDS 2055 TGT DATE RETIRE CL R6 Plan #453 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,925,754 / $4,251,602 | 2020 | AMERICAN FUNDS 2055 TGT DATE RETIRE CL R6 - Plan #453 | 0 / 0 | $1,925,754 / $4,251,602 |
2020 | Plan NameSCHWAB IDXED RETIRE TRUST FUND 2045 I CL Plan #321 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,168,181 / $4,231,165 | 2020 | SCHWAB IDXED RETIRE TRUST FUND 2045 I CL - Plan #321 | 0 / 0 | $3,168,181 / $4,231,165 |
2020 | Plan NameJPMORGAN CORE BOND CL A Plan #507 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,678,886 / $4,195,392 | 2020 | JPMORGAN CORE BOND CL A - Plan #507 | 0 / 0 | $2,678,886 / $4,195,392 |
2020 | Plan NameVANGUARD S-T CORP BOND IDX ADMRL CL Plan #421 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,509,265 / $4,088,009 | 2020 | VANGUARD S-T CORP BOND IDX ADMRL CL - Plan #421 | 0 / 0 | $3,509,265 / $4,088,009 |
2020 | Plan NameJPMORGAN SMARTRETIREMENT BLEND INC CL R5 Plan #579 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,718,676 / $3,957,576 | 2020 | JPMORGAN SMARTRETIREMENT BLEND INC CL R5 - Plan #579 | 0 / 0 | $2,718,676 / $3,957,576 |
2020 | Plan NameAMERICAN FUNDS WASHINGTON MUT INVS CL R6 Plan #328 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,035,888 / $3,937,971 | 2020 | AMERICAN FUNDS WASHINGTON MUT INVS CL R6 - Plan #328 | 0 / 0 | $3,035,888 / $3,937,971 |
2020 | Plan NameJPMORGAN MID CAP GROWTH I CL Plan #480 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,145,516 / $3,894,628 | 2020 | JPMORGAN MID CAP GROWTH I CL - Plan #480 | 0 / 0 | $2,145,516 / $3,894,628 |
2020 | Plan NameVANGUARD INTL VAL INV Plan #727 Participants BOY/EOY0 / 0 Assets BOY/EOY$133,531 / $3,658,028 | 2020 | VANGUARD INTL VAL INV - Plan #727 | 0 / 0 | $133,531 / $3,658,028 |
2020 | Plan NameWILMINGTON TRUST FP IDX+ MOD 2055 CL I1 Plan #694 Participants BOY/EOY0 / 0 Assets BOY/EOY$373,501 / $3,649,771 | 2020 | WILMINGTON TRUST FP IDX+ MOD 2055 CL I1 - Plan #694 | 0 / 0 | $373,501 / $3,649,771 |
2020 | Plan NameSCHWAB IDXED RETIRE TRUST FUND 2050 I CL Plan #322 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,971,361 / $3,542,247 | 2020 | SCHWAB IDXED RETIRE TRUST FUND 2050 I CL - Plan #322 | 0 / 0 | $2,971,361 / $3,542,247 |
2020 | Plan NameVICTORY SYCAMORE ESTABLISHED VAL CL R Plan #726 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,311,651 / $3,529,240 | 2020 | VICTORY SYCAMORE ESTABLISHED VAL CL R - Plan #726 | 0 / 0 | $3,311,651 / $3,529,240 |
2020 | Plan NamePIMCO LONG DUR TOTAL RTRN I CL Plan #188 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,674,306 / $3,499,775 | 2020 | PIMCO LONG DUR TOTAL RTRN I CL - Plan #188 | 0 / 0 | $2,674,306 / $3,499,775 |
2020 | Plan NameSCHWAB IDXED RETIRE TRUST FUND 2020 I CL Plan #316 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,088,753 / $3,496,741 | 2020 | SCHWAB IDXED RETIRE TRUST FUND 2020 I CL - Plan #316 | 0 / 0 | $4,088,753 / $3,496,741 |
2020 | Plan NameJPMORGAN INTREPID GROWTH CL R5 Plan #546 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,466,137 / $3,480,885 | 2020 | JPMORGAN INTREPID GROWTH CL R5 - Plan #546 | 0 / 0 | $3,466,137 / $3,480,885 |
2020 | Plan NameBUFFALO DISC Plan #435 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,610,851 / $3,437,930 | 2020 | BUFFALO DISC - Plan #435 | 0 / 0 | $3,610,851 / $3,437,930 |
2020 | Plan NameVANGUARD INFL PROTCTD SEC ADMRL CL Plan #494 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,574,834 / $3,409,998 | 2020 | VANGUARD INFL PROTCTD SEC ADMRL CL - Plan #494 | 0 / 0 | $2,574,834 / $3,409,998 |
2020 | Plan NameCLEARBRIDGE LRG CAP GROWTH CL A Plan #603 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,651,125 / $3,171,274 | 2020 | CLEARBRIDGE LRG CAP GROWTH CL A - Plan #603 | 0 / 0 | $2,651,125 / $3,171,274 |
2020 | Plan NameAMERICAN CENTURY ONE CHOICE 2030 I CL Plan #534 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,319,862 / $3,163,584 | 2020 | AMERICAN CENTURY ONE CHOICE 2030 I CL - Plan #534 | 0 / 0 | $4,319,862 / $3,163,584 |
2020 | Plan NameTD AMERITRADE RETIRE ADVOCATE MOD AGGRES Plan #311 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,781,551 / $3,144,124 | 2020 | TD AMERITRADE RETIRE ADVOCATE MOD AGGRES - Plan #311 | 0 / 0 | $2,781,551 / $3,144,124 |
2020 | Plan NameFRANKLIN SM CAP VAL CL A Plan #350 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,996,884 / $3,056,735 | 2020 | FRANKLIN SM CAP VAL CL A - Plan #350 | 0 / 0 | $2,996,884 / $3,056,735 |
2020 | Plan NamePAX GLBL ENVIRONMENTAL MKTS INSTL CL Plan #198 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,383,306 / $3,030,525 | 2020 | PAX GLBL ENVIRONMENTAL MKTS INSTL CL - Plan #198 | 0 / 0 | $2,383,306 / $3,030,525 |
2020 | Plan NameVANGUARD FTSE SOCIAL IDX ADMRL CL Plan #741 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,454,989 / $3,006,897 | 2020 | VANGUARD FTSE SOCIAL IDX ADMRL CL - Plan #741 | 0 / 0 | $2,454,989 / $3,006,897 |
2020 | Plan NameT. ROWE PRICE DIV GROWTH INV CL Plan #370 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,944,918 / $2,953,689 | 2020 | T. ROWE PRICE DIV GROWTH INV CL - Plan #370 | 0 / 0 | $2,944,918 / $2,953,689 |
2020 | Plan NameJPMORGAN SMARTRETIREMENT BLEND 2020 CL R5T Plan #571 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,628,098 / $2,951,012 | 2020 | JPMORGAN SMARTRETIREMENT BLEND 2020 CL R5T - Plan #571 | 0 / 0 | $1,628,098 / $2,951,012 |
2020 | Plan NameAMERICAN FUNDS 2060 TGT DATE RETIRE CL R6 Plan #705 Participants BOY/EOY0 / 0 Assets BOY/EOY$452,937 / $2,935,618 | 2020 | AMERICAN FUNDS 2060 TGT DATE RETIRE CL R6 - Plan #705 | 0 / 0 | $452,937 / $2,935,618 |
2020 | Plan NameINVESCO INTL DIVERS CL Y Plan #353 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,647,841 / $2,934,419 | 2020 | INVESCO INTL DIVERS CL Y - Plan #353 | 0 / 0 | $2,647,841 / $2,934,419 |
2020 | Plan NameVANGUARD WINDSOR II ADMRL CL Plan #711 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,440,913 / $2,914,285 | 2020 | VANGUARD WINDSOR II ADMRL CL - Plan #711 | 0 / 0 | $3,440,913 / $2,914,285 |
2020 | Plan NameAMERICAN FUNDS FUNDAMENTAL INVS CL R6 Plan #408 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,907,896 / $2,867,090 | 2020 | AMERICAN FUNDS FUNDAMENTAL INVS CL R6 - Plan #408 | 0 / 0 | $1,907,896 / $2,867,090 |
2020 | Plan NameALLIANZGI TECH CL A Plan #038 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,044,682 / $2,851,690 | 2020 | ALLIANZGI TECH CL A - Plan #038 | 0 / 0 | $2,044,682 / $2,851,690 |
2020 | Plan NameJPMORGAN EQ INC CL R5 Plan #369 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,436,155 / $2,843,933 | 2020 | JPMORGAN EQ INC CL R5 - Plan #369 | 0 / 0 | $2,436,155 / $2,843,933 |
2020 | Plan NameDODGE & COX BAL FUND Plan #588 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,212,560 / $2,839,045 | 2020 | DODGE & COX BAL FUND - Plan #588 | 0 / 0 | $2,212,560 / $2,839,045 |
2020 | Plan NameFIDELITY ADVISOR NEW INSIGHTS I CL Plan #504 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,890,548 / $2,820,913 | 2020 | FIDELITY ADVISOR NEW INSIGHTS I CL - Plan #504 | 0 / 0 | $2,890,548 / $2,820,913 |
2020 | Plan NameBLACKROCK LIFEPATH IDX 2060 INSTL CL Plan #828 Participants BOY/EOY0 / 0 Assets BOY/EOY$459,710 / $2,687,296 | 2020 | BLACKROCK LIFEPATH IDX 2060 INSTL CL - Plan #828 | 0 / 0 | $459,710 / $2,687,296 |
2020 | Plan NameDFA RE SEC INSTL CL Plan #389 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,104,331 / $2,549,357 | 2020 | DFA RE SEC INSTL CL - Plan #389 | 0 / 0 | $2,104,331 / $2,549,357 |
2020 | Plan NameIVY SCIENCE & TECH CL Y Plan #065 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,985,731 / $2,509,593 | 2020 | IVY SCIENCE & TECH CL Y - Plan #065 | 0 / 0 | $1,985,731 / $2,509,593 |
2020 | Plan NameTRADEMARK TACTICAL RISK RETIRE CL R Plan #258 Participants BOY/EOY0 / 0 Assets BOY/EOY$661,203 / $2,452,248 | 2020 | TRADEMARK TACTICAL RISK RETIRE CL R - Plan #258 | 0 / 0 | $661,203 / $2,452,248 |
2020 | Plan NamePRINCIPAL MID CAP CL A Plan #756 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,729,162 / $2,410,275 | 2020 | PRINCIPAL MID CAP CL A - Plan #756 | 0 / 0 | $1,729,162 / $2,410,275 |
2020 | Plan NameDFA CMDTY STRAT INSTL CL Plan #271 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,669,061 / $2,396,131 | 2020 | DFA CMDTY STRAT INSTL CL - Plan #271 | 0 / 0 | $2,669,061 / $2,396,131 |
2020 | Plan NameMASSMUTUAL SELECT MID GROWTH CL R5 Plan #531 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,295,201 / $2,372,111 | 2020 | MASSMUTUAL SELECT MID GROWTH CL R5 - Plan #531 | 0 / 0 | $3,295,201 / $2,372,111 |
2020 | Plan NamePIONEER SELECT MID CAP GROWTH CL Y Plan #655 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,287,949 / $2,337,221 | 2020 | PIONEER SELECT MID CAP GROWTH CL Y - Plan #655 | 0 / 0 | $2,287,949 / $2,337,221 |
2020 | Plan NameJPMORGAN MID CAP VAL CL L Plan #635 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,305,714 / $2,330,924 | 2020 | JPMORGAN MID CAP VAL CL L - Plan #635 | 0 / 0 | $3,305,714 / $2,330,924 |
2020 | Plan NamePGIM S-T CORP BOND CL Z Plan #445 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,133,638 / $2,296,440 | 2020 | PGIM S-T CORP BOND CL Z - Plan #445 | 0 / 0 | $2,133,638 / $2,296,440 |
2020 | Plan NameWILMINGTON TRUST FP IDX+ MOD RETIRE CL I1 Plan #690 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,200,459 / $2,279,026 | 2020 | WILMINGTON TRUST FP IDX+ MOD RETIRE CL I1 - Plan #690 | 0 / 0 | $1,200,459 / $2,279,026 |
2020 | Plan NameSCHWAB IDXED RETIRE TRUST FUND 2055 I CL Plan #323 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,753,403 / $2,272,632 | 2020 | SCHWAB IDXED RETIRE TRUST FUND 2055 I CL - Plan #323 | 0 / 0 | $1,753,403 / $2,272,632 |
2020 | Plan NameWELLS FARGO LRG CAP GROWTH CL A Plan #220 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,589,754 / $2,211,167 | 2020 | WELLS FARGO LRG CAP GROWTH CL A - Plan #220 | 0 / 0 | $2,589,754 / $2,211,167 |
2020 | Plan NameDFA EMERG MKTS INSTL CL Plan #439 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,089,507 / $2,196,345 | 2020 | DFA EMERG MKTS INSTL CL - Plan #439 | 0 / 0 | $3,089,507 / $2,196,345 |
2020 | Plan NameTRADEMARK TACTICAL RISK 2030 CL R Plan #260 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,647,670 / $2,157,343 | 2020 | TRADEMARK TACTICAL RISK 2030 CL R - Plan #260 | 0 / 0 | $2,647,670 / $2,157,343 |
2020 | Plan NameJPMORGAN SMARTRETIREMENT 2035 CL A Plan #392 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,005,682 / $2,124,846 | 2020 | JPMORGAN SMARTRETIREMENT 2035 CL A - Plan #392 | 0 / 0 | $2,005,682 / $2,124,846 |
2020 | Plan NameSCHWAB IDXED RETIRE TRUST FUND 2015 I CL Plan #315 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,839,696 / $2,121,073 | 2020 | SCHWAB IDXED RETIRE TRUST FUND 2015 I CL - Plan #315 | 0 / 0 | $1,839,696 / $2,121,073 |
2020 | Plan NameJPMORGAN SMARTRETIREMENT 2055 CL A Plan #394 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,457,320 / $2,111,537 | 2020 | JPMORGAN SMARTRETIREMENT 2055 CL A - Plan #394 | 0 / 0 | $1,457,320 / $2,111,537 |
2020 | Plan NameCOHEN & STEERS REALTY SHARES CL L Plan #569 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,384,506 / $2,091,660 | 2020 | COHEN & STEERS REALTY SHARES CL L - Plan #569 | 0 / 0 | $1,384,506 / $2,091,660 |
2020 | Plan NameWESTERN ASSET CORE PLUS BOND I CL Plan #465 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,621,363 / $2,083,951 | 2020 | WESTERN ASSET CORE PLUS BOND I CL - Plan #465 | 0 / 0 | $1,621,363 / $2,083,951 |
2020 | Plan NameAMERICAN FUNDS 2015 TGT DATE RETIRE CL R6 Plan #380 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,437,443 / $2,083,814 | 2020 | AMERICAN FUNDS 2015 TGT DATE RETIRE CL R6 - Plan #380 | 0 / 0 | $1,437,443 / $2,083,814 |
2020 | Plan NameTD AMERITRADE RETIRE ADVOCATE MOD Plan #313 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,881,961 / $2,046,210 | 2020 | TD AMERITRADE RETIRE ADVOCATE MOD - Plan #313 | 0 / 0 | $1,881,961 / $2,046,210 |
2020 | Plan NameAB LRG CAP GROWTH ADV CL Plan #824 Participants BOY/EOY0 / 0 Assets BOY/EOY$887,552 / $2,040,030 | 2020 | AB LRG CAP GROWTH ADV CL - Plan #824 | 0 / 0 | $887,552 / $2,040,030 |
2020 | Plan NameJPMORGAN SMARTRETIREMENT 2045 CL A Plan #393 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,724,000 / $2,036,807 | 2020 | JPMORGAN SMARTRETIREMENT 2045 CL A - Plan #393 | 0 / 0 | $1,724,000 / $2,036,807 |
2020 | Plan NameTD AMERITRADE RETIRE ADVOCATE AGGRES Plan #309 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,756,181 / $1,929,242 | 2020 | TD AMERITRADE RETIRE ADVOCATE AGGRES - Plan #309 | 0 / 0 | $1,756,181 / $1,929,242 |
2020 | Plan NameJPMORGAN SMARTRETIREMENT 2025 CL A Plan #391 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,320,751 / $1,926,869 | 2020 | JPMORGAN SMARTRETIREMENT 2025 CL A - Plan #391 | 0 / 0 | $1,320,751 / $1,926,869 |
2020 | Plan NameWILMINGTON TRUST FP IDX+ MOD 2035 CL R1 Plan #846 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,518,108 / $1,869,128 | 2020 | WILMINGTON TRUST FP IDX+ MOD 2035 CL R1 - Plan #846 | 0 / 0 | $1,518,108 / $1,869,128 |
2020 | Plan NameIVY HIGH INC CL A Plan #048 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,387,717 / $1,855,629 | 2020 | IVY HIGH INC CL A - Plan #048 | 0 / 0 | $2,387,717 / $1,855,629 |
2020 | Plan NameDODGE & COX STOCK FUND Plan #164 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,804,488 / $1,846,727 | 2020 | DODGE & COX STOCK FUND - Plan #164 | 0 / 0 | $1,804,488 / $1,846,727 |
2020 | Plan NameSECURIAN AM REAL ASSET INC INSTL CL Plan #775 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,936,110 / $1,826,404 | 2020 | SECURIAN AM REAL ASSET INC INSTL CL - Plan #775 | 0 / 0 | $1,936,110 / $1,826,404 |
2020 | Plan NameMFS INTL INTRINSIC VAL CL R3 Plan #335 Participants BOY/EOY0 / 0 Assets BOY/EOY$836,499 / $1,818,749 | 2020 | MFS INTL INTRINSIC VAL CL R3 - Plan #335 | 0 / 0 | $836,499 / $1,818,749 |
2020 | Plan NameVANGUARD S-T INFL PROTCTD SEC IDX ADMRL CLSEPARATE ACCOUNT Plan #791 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,132,177 / $1,816,006 | 2020 | VANGUARD S-T INFL PROTCTD SEC IDX ADMRL CLSEPARATE ACCOUNT - Plan #791 | 0 / 0 | $2,132,177 / $1,816,006 |
2020 | Plan NamePIONEER STRAT INC CL Y Plan #631 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,193,763 / $1,782,939 | 2020 | PIONEER STRAT INC CL Y - Plan #631 | 0 / 0 | $1,193,763 / $1,782,939 |
2020 | Plan NamePARAMETRIC INTL EQ INV CL Plan #548 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,283,943 / $1,772,100 | 2020 | PARAMETRIC INTL EQ INV CL - Plan #548 | 0 / 0 | $1,283,943 / $1,772,100 |
2020 | Plan NameDFA INTL CORE EQ INSTL CL Plan #857 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,828,953 / $1,756,558 | 2020 | DFA INTL CORE EQ INSTL CL - Plan #857 | 0 / 0 | $1,828,953 / $1,756,558 |
2020 | Plan NameWILMINGTON TRUST FP IDX+ MOD 2025 CL R1 Plan #845 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,558,828 / $1,742,003 | 2020 | WILMINGTON TRUST FP IDX+ MOD 2025 CL R1 - Plan #845 | 0 / 0 | $1,558,828 / $1,742,003 |
2020 | Plan NameINVESCO DEV MKTS CL Y Plan #301 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,008,145 / $1,694,126 | 2020 | INVESCO DEV MKTS CL Y - Plan #301 | 0 / 0 | $4,008,145 / $1,694,126 |
2020 | Plan NameINVESCO GLBL FUND CL A Plan #326 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,327,331 / $1,685,443 | 2020 | INVESCO GLBL FUND CL A - Plan #326 | 0 / 0 | $1,327,331 / $1,685,443 |
2020 | Plan NameVANGUARD WELLINGTON INC ADMRL CL Plan #401 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,347,437 / $1,661,009 | 2020 | VANGUARD WELLINGTON INC ADMRL CL - Plan #401 | 0 / 0 | $1,347,437 / $1,661,009 |
2020 | Plan NameGOLDMAN SACHS EMERG MKTS EQ INSIGHTS CL R Plan #613 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,314,836 / $1,633,336 | 2020 | GOLDMAN SACHS EMERG MKTS EQ INSIGHTS CL R - Plan #613 | 0 / 0 | $1,314,836 / $1,633,336 |
2020 | Plan NameGOLDMAN SACHS INTL EQ INSIGHTS INV CL Plan #707 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,244,157 / $1,593,383 | 2020 | GOLDMAN SACHS INTL EQ INSIGHTS INV CL - Plan #707 | 0 / 0 | $3,244,157 / $1,593,383 |
2020 | Plan NameJPMORGAN INTREPID VAL CL A Plan #496 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,308,437 / $1,562,622 | 2020 | JPMORGAN INTREPID VAL CL A - Plan #496 | 0 / 0 | $1,308,437 / $1,562,622 |
2020 | Plan NameTIAA CREF LRG CAP GROWTH ADV CL Plan #650 Participants BOY/EOY0 / 0 Assets BOY/EOY$965,252 / $1,556,059 | 2020 | TIAA CREF LRG CAP GROWTH ADV CL - Plan #650 | 0 / 0 | $965,252 / $1,556,059 |
2020 | Plan NameJANUS HENDERSON VENTURE I CL Plan #542 Participants BOY/EOY0 / 0 Assets BOY/EOY$786,345 / $1,547,963 | 2020 | JANUS HENDERSON VENTURE I CL - Plan #542 | 0 / 0 | $786,345 / $1,547,963 |
2020 | Plan NameAMERICAN FUNDS CAP WORLD GROWTH & INC CL R6 Plan #410 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,434,678 / $1,472,721 | 2020 | AMERICAN FUNDS CAP WORLD GROWTH & INC CL R6 - Plan #410 | 0 / 0 | $1,434,678 / $1,472,721 |
2020 | Plan NamePRINCIPAL LRG CAP GROWTH I CL A Plan #344 Participants BOY/EOY0 / 0 Assets BOY/EOY$502,467 / $1,468,618 | 2020 | PRINCIPAL LRG CAP GROWTH I CL A - Plan #344 | 0 / 0 | $502,467 / $1,468,618 |
2020 | Plan NamePUTNAM EQ INC CL Y Plan #619 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,566,834 / $1,447,724 | 2020 | PUTNAM EQ INC CL Y - Plan #619 | 0 / 0 | $1,566,834 / $1,447,724 |
2020 | Plan NameVANGUARD LONG TERM TRSY IDX ADMRL CL Plan #643 Participants BOY/EOY0 / 0 Assets BOY/EOY$922,026 / $1,411,772 | 2020 | VANGUARD LONG TERM TRSY IDX ADMRL CL - Plan #643 | 0 / 0 | $922,026 / $1,411,772 |
2020 | Plan NameTWEEDY, BROWNE GLBL VAL Plan #725 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,430,985 / $1,379,639 | 2020 | TWEEDY, BROWNE GLBL VAL - Plan #725 | 0 / 0 | $1,430,985 / $1,379,639 |
2020 | Plan NameDELAWARE VAL CL A Plan #708 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,085,944 / $1,376,078 | 2020 | DELAWARE VAL CL A - Plan #708 | 0 / 0 | $1,085,944 / $1,376,078 |
2020 | Plan NameVANGUARD S-T INVMNT GROWTH ADMRL CL Plan #257 Participants BOY/EOY0 / 0 Assets BOY/EOY$845,475 / $1,373,301 | 2020 | VANGUARD S-T INVMNT GROWTH ADMRL CL - Plan #257 | 0 / 0 | $845,475 / $1,373,301 |
2020 | Plan NameDFA EMERG MKTS CORE EQ INSTL CL Plan #660 Participants BOY/EOY0 / 0 Assets BOY/EOY$638,529 / $1,346,888 | 2020 | DFA EMERG MKTS CORE EQ INSTL CL - Plan #660 | 0 / 0 | $638,529 / $1,346,888 |
2020 | Plan NameVANGUARD IT IDX ADMRL CL Plan #612 Participants BOY/EOY0 / 0 Assets BOY/EOY$876,596 / $1,312,027 | 2020 | VANGUARD IT IDX ADMRL CL - Plan #612 | 0 / 0 | $876,596 / $1,312,027 |
2020 | Plan NameDOUBLELINE TOTAL RTRN BOND CL N Plan #454 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,769,200 / $1,292,268 | 2020 | DOUBLELINE TOTAL RTRN BOND CL N - Plan #454 | 0 / 0 | $1,769,200 / $1,292,268 |
2020 | Plan NameIVY ASSET STRAT CL Y Plan #080 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,859,133 / $1,258,534 | 2020 | IVY ASSET STRAT CL Y - Plan #080 | 0 / 0 | $1,859,133 / $1,258,534 |
2020 | Plan NameBLACKROCK HIGH YLD BOND INSTL CL Plan #242 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,277,702 / $1,250,036 | 2020 | BLACKROCK HIGH YLD BOND INSTL CL - Plan #242 | 0 / 0 | $1,277,702 / $1,250,036 |
2020 | Plan NameJPMORGAN U.S. EQ CL A Plan #514 Participants BOY/EOY0 / 0 Assets BOY/EOY$783,129 / $1,247,113 | 2020 | JPMORGAN U.S. EQ CL A - Plan #514 | 0 / 0 | $783,129 / $1,247,113 |
2020 | Plan NameSCHWAB IDXED RETIRE TRUST FUND 2060 I CL Plan #864 Participants BOY/EOY0 / 0 Assets BOY/EOY$748,652 / $1,244,100 | 2020 | SCHWAB IDXED RETIRE TRUST FUND 2060 I CL - Plan #864 | 0 / 0 | $748,652 / $1,244,100 |
2020 | Plan NameFIDELITY ADVISOR GROWTH OPPS I CL Plan #290 Participants BOY/EOY0 / 0 Assets BOY/EOY$256,215 / $1,227,908 | 2020 | FIDELITY ADVISOR GROWTH OPPS I CL - Plan #290 | 0 / 0 | $256,215 / $1,227,908 |
2020 | Plan NameMFS TECHNOLOGY CL R3 Plan #610 Participants BOY/EOY0 / 0 Assets BOY/EOY$777,176 / $1,181,408 | 2020 | MFS TECHNOLOGY CL R3 - Plan #610 | 0 / 0 | $777,176 / $1,181,408 |
2020 | Plan NameJPMORGAN SMARTRETIREMENT 2020 CL A Plan #661 Participants BOY/EOY0 / 0 Assets BOY/EOY$323,242 / $1,176,360 | 2020 | JPMORGAN SMARTRETIREMENT 2020 CL A - Plan #661 | 0 / 0 | $323,242 / $1,176,360 |
2020 | Plan NameFIDELITY ADVISOR HEALTH CARE I CL Plan #463 Participants BOY/EOY0 / 0 Assets BOY/EOY$642,047 / $1,151,335 | 2020 | FIDELITY ADVISOR HEALTH CARE I CL - Plan #463 | 0 / 0 | $642,047 / $1,151,335 |
2020 | Plan NameAMERICAN CENTURY EMERG MKTS CL R6 Plan #826 Participants BOY/EOY0 / 0 Assets BOY/EOY$796,483 / $1,141,999 | 2020 | AMERICAN CENTURY EMERG MKTS CL R6 - Plan #826 | 0 / 0 | $796,483 / $1,141,999 |
2020 | Plan NameFEDERATED HERMES CAPITAL PRESERVATION CL R6 Plan #549 Participants BOY/EOY0 / 0 Assets BOY/EOY$383,791 / $1,138,575 | 2020 | FEDERATED HERMES CAPITAL PRESERVATION CL R6 - Plan #549 | 0 / 0 | $383,791 / $1,138,575 |
2020 | Plan NameJPMORGAN SMARTRETIREMENT 2040 CL A Plan #663 Participants BOY/EOY0 / 0 Assets BOY/EOY$722,536 / $1,116,783 | 2020 | JPMORGAN SMARTRETIREMENT 2040 CL A - Plan #663 | 0 / 0 | $722,536 / $1,116,783 |
2020 | Plan NameAMERICAN BEACON SM CAP VAL CL Y Plan #303 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,000,585 / $1,094,443 | 2020 | AMERICAN BEACON SM CAP VAL CL Y - Plan #303 | 0 / 0 | $1,000,585 / $1,094,443 |
2020 | Plan NameIVY VAL CL A Plan #083 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,619,628 / $1,081,642 | 2020 | IVY VAL CL A - Plan #083 | 0 / 0 | $1,619,628 / $1,081,642 |
2020 | Plan NameT. ROWE PRICE QM U.S. SM CAP GROWTH EQ INV CL Plan #868 Participants BOY/EOY0 / 0 Assets BOY/EOY$638,092 / $1,080,062 | 2020 | T. ROWE PRICE QM U.S. SM CAP GROWTH EQ INV CL - Plan #868 | 0 / 0 | $638,092 / $1,080,062 |
2020 | Plan NameEATON VANCE HIGH INC OPPS CL A Plan #855 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,289,844 / $1,072,369 | 2020 | EATON VANCE HIGH INC OPPS CL A - Plan #855 | 0 / 0 | $1,289,844 / $1,072,369 |
2020 | Plan NameAMERICAN CENTURY ONE CHOICE 2040 I CL Plan #536 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,361,852 / $1,060,932 | 2020 | AMERICAN CENTURY ONE CHOICE 2040 I CL - Plan #536 | 0 / 0 | $1,361,852 / $1,060,932 |
2020 | Plan NameIVY CORE EQ CL A Plan #084 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,612,015 / $1,050,604 | 2020 | IVY CORE EQ CL A - Plan #084 | 0 / 0 | $1,612,015 / $1,050,604 |
2020 | Plan NameTD AMERITRADE RETIRE ADVOCATE MOD CONSERV Plan #312 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,068,860 / $1,041,813 | 2020 | TD AMERITRADE RETIRE ADVOCATE MOD CONSERV - Plan #312 | 0 / 0 | $1,068,860 / $1,041,813 |
2020 | Plan NameJPMORGAN SMARTRETIREMENT 2050 CL A Plan #664 Participants BOY/EOY0 / 0 Assets BOY/EOY$650,524 / $1,041,291 | 2020 | JPMORGAN SMARTRETIREMENT 2050 CL A - Plan #664 | 0 / 0 | $650,524 / $1,041,291 |
2020 | Plan NameJANUS HENDERSON FLEX BOND I CL Plan #689 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,026,111 / $1,035,138 | 2020 | JANUS HENDERSON FLEX BOND I CL - Plan #689 | 0 / 0 | $1,026,111 / $1,035,138 |
2020 | Plan NameFEDERATED HERMES INSTL HIGH YLD BOND INSTL CL Plan #355 Participants BOY/EOY0 / 0 Assets BOY/EOY$198,001 / $1,010,792 | 2020 | FEDERATED HERMES INSTL HIGH YLD BOND INSTL CL - Plan #355 | 0 / 0 | $198,001 / $1,010,792 |
2020 | Plan NameAMERICAN FUNDS SMALLCAP WORLD CL R6 Plan #377 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,978 / $1,008,583 | 2020 | AMERICAN FUNDS SMALLCAP WORLD CL R6 - Plan #377 | 0 / 0 | $4,978 / $1,008,583 |
2020 | Plan NameJOHN HANCOCK INVMNT GRADE BOND CL R6 Plan #568 Participants BOY/EOY0 / 0 Assets BOY/EOY$793,190 / $1,005,738 | 2020 | JOHN HANCOCK INVMNT GRADE BOND CL R6 - Plan #568 | 0 / 0 | $793,190 / $1,005,738 |
2020 | Plan NameAMERICAN CENTURY ONE CHOICE 2050 I CL Plan #538 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,050,263 / $994,757 | 2020 | AMERICAN CENTURY ONE CHOICE 2050 I CL - Plan #538 | 0 / 0 | $1,050,263 / $994,757 |
2020 | Plan NameWILMINGTON TRUST FP IDX+ MOD 2045 CL R1 Plan #847 Participants BOY/EOY0 / 0 Assets BOY/EOY$816,583 / $991,480 | 2020 | WILMINGTON TRUST FP IDX+ MOD 2045 CL R1 - Plan #847 | 0 / 0 | $816,583 / $991,480 |
2020 | Plan NameVANGUARD STRAT EQ INV CL Plan #547 Participants BOY/EOY0 / 0 Assets BOY/EOY$976,617 / $977,983 | 2020 | VANGUARD STRAT EQ INV CL - Plan #547 | 0 / 0 | $976,617 / $977,983 |
2020 | Plan NameDODGE & COX INC FUND Plan #157 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,242,063 / $972,641 | 2020 | DODGE & COX INC FUND - Plan #157 | 0 / 0 | $1,242,063 / $972,641 |
2020 | Plan NameGOLDMAN SACHS SM CAP GROWTH INSIGHTS CL R Plan #720 Participants BOY/EOY0 / 0 Assets BOY/EOY$870,257 / $956,448 | 2020 | GOLDMAN SACHS SM CAP GROWTH INSIGHTS CL R - Plan #720 | 0 / 0 | $870,257 / $956,448 |
2020 | Plan NameVANGUARD GLBL EQ INV CL Plan #600 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,683 / $955,179 | 2020 | VANGUARD GLBL EQ INV CL - Plan #600 | 0 / 0 | $4,683 / $955,179 |
2020 | Plan NameLORD ABBETT TOTAL RTRN CL R6 Plan #590 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,041,437 / $951,175 | 2020 | LORD ABBETT TOTAL RTRN CL R6 - Plan #590 | 0 / 0 | $1,041,437 / $951,175 |
2020 | Plan NameOAKMARK INTL INSTL CL Plan #252 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,106,360 / $925,167 | 2020 | OAKMARK INTL INSTL CL - Plan #252 | 0 / 0 | $4,106,360 / $925,167 |
2020 | Plan NameIVY GLBL GROWTH CL A Plan #090 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,091,021 / $921,910 | 2020 | IVY GLBL GROWTH CL A - Plan #090 | 0 / 0 | $1,091,021 / $921,910 |
2020 | Plan NameMFS GROWTH ALLOC CL R3SEPARATE ACCOUNT Plan #405 Participants BOY/EOY0 / 0 Assets BOY/EOY$0 / $918,377 | 2020 | MFS GROWTH ALLOC CL R3SEPARATE ACCOUNT - Plan #405 | 0 / 0 | $0 / $918,377 |
2020 | Plan NameLOOMIS SAYLES GROWTH CL A Plan #442 Participants BOY/EOY0 / 0 Assets BOY/EOY$674,619 / $910,810 | 2020 | LOOMIS SAYLES GROWTH CL A - Plan #442 | 0 / 0 | $674,619 / $910,810 |
2020 | Plan NameNEUBERGER BERMAN CORE BOND INSTL CL Plan #440 Participants BOY/EOY0 / 0 Assets BOY/EOY$550,400 / $910,437 | 2020 | NEUBERGER BERMAN CORE BOND INSTL CL - Plan #440 | 0 / 0 | $550,400 / $910,437 |
2020 | Plan NameJPMORGAN SMARTRETIREMENT 2030 CL A Plan #662 Participants BOY/EOY0 / 0 Assets BOY/EOY$432,363 / $910,067 | 2020 | JPMORGAN SMARTRETIREMENT 2030 CL A - Plan #662 | 0 / 0 | $432,363 / $910,067 |
2020 | Plan NameLORD ABBETT HIGH YLD CL R6 Plan #552 Participants BOY/EOY0 / 0 Assets BOY/EOY$956,197 / $908,111 | 2020 | LORD ABBETT HIGH YLD CL R6 - Plan #552 | 0 / 0 | $956,197 / $908,111 |
2020 | Plan NameCLEARBRIDGE MID CAP CL A Plan #735 Participants BOY/EOY0 / 0 Assets BOY/EOY$896,220 / $905,792 | 2020 | CLEARBRIDGE MID CAP CL A - Plan #735 | 0 / 0 | $896,220 / $905,792 |
2020 | Plan NameT. ROWE PRICE SPECTRUM MOD GRO ALLOC INV CL Plan #443 Participants BOY/EOY0 / 0 Assets BOY/EOY$683,058 / $905,501 | 2020 | T. ROWE PRICE SPECTRUM MOD GRO ALLOC INV CL - Plan #443 | 0 / 0 | $683,058 / $905,501 |
2020 | Plan NameTRADEMARK TACTICAL RISK 2050 CL R Plan #262 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,106,714 / $903,779 | 2020 | TRADEMARK TACTICAL RISK 2050 CL R - Plan #262 | 0 / 0 | $1,106,714 / $903,779 |
2020 | Plan NameIVY ACCUMULATIVE CL A Plan #085 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,127,962 / $899,819 | 2020 | IVY ACCUMULATIVE CL A - Plan #085 | 0 / 0 | $1,127,962 / $899,819 |
2020 | Plan NameWILMINGTON TRUST FP IDX+ AGGRES 2035 CL I1 Plan #702 Participants BOY/EOY0 / 0 Assets BOY/EOY$731,764 / $896,757 | 2020 | WILMINGTON TRUST FP IDX+ AGGRES 2035 CL I1 - Plan #702 | 0 / 0 | $731,764 / $896,757 |
2020 | Plan NameDODGE & COX INTL STOCK FUND Plan #161 Participants BOY/EOY0 / 0 Assets BOY/EOY$907,158 / $893,350 | 2020 | DODGE & COX INTL STOCK FUND - Plan #161 | 0 / 0 | $907,158 / $893,350 |
2020 | Plan NameIVY EMERG MKTS EQ CL Y Plan #069 Participants BOY/EOY0 / 0 Assets BOY/EOY$677,162 / $886,548 | 2020 | IVY EMERG MKTS EQ CL Y - Plan #069 | 0 / 0 | $677,162 / $886,548 |
2020 | Plan NameIVY BAL FUND CL Y Plan #010 Participants BOY/EOY0 / 0 Assets BOY/EOY$800,771 / $870,197 | 2020 | IVY BAL FUND CL Y - Plan #010 | 0 / 0 | $800,771 / $870,197 |
2020 | Plan NameLONGLEAF PARTNERS SM CAP Plan #502 Participants BOY/EOY0 / 0 Assets BOY/EOY$878,960 / $845,525 | 2020 | LONGLEAF PARTNERS SM CAP - Plan #502 | 0 / 0 | $878,960 / $845,525 |
2020 | Plan NameCARILLON EAGLE SM CAP GROWTH CL R5 Plan #659 Participants BOY/EOY0 / 0 Assets BOY/EOY$380,793 / $829,164 | 2020 | CARILLON EAGLE SM CAP GROWTH CL R5 - Plan #659 | 0 / 0 | $380,793 / $829,164 |
2020 | Plan NameGOLDMAN SACHS GLBL CORE FI INV CL Plan #856 Participants BOY/EOY0 / 0 Assets BOY/EOY$447,182 / $810,412 | 2020 | GOLDMAN SACHS GLBL CORE FI INV CL - Plan #856 | 0 / 0 | $447,182 / $810,412 |
2020 | Plan NamePIMCO TOTAL RTRN CL A Plan #425 Participants BOY/EOY0 / 0 Assets BOY/EOY$835,549 / $799,491 | 2020 | PIMCO TOTAL RTRN CL A - Plan #425 | 0 / 0 | $835,549 / $799,491 |
2020 | Plan NameJPMORGAN SMARTRETIREMENT INC CL A Plan #395 Participants BOY/EOY0 / 0 Assets BOY/EOY$138,410 / $799,466 | 2020 | JPMORGAN SMARTRETIREMENT INC CL A - Plan #395 | 0 / 0 | $138,410 / $799,466 |
2020 | Plan NameAMERICAN FUNDS INVMNT CO OF AMERICA CL R6 Plan #671 Participants BOY/EOY0 / 0 Assets BOY/EOY$823,214 / $786,436 | 2020 | AMERICAN FUNDS INVMNT CO OF AMERICA CL R6 - Plan #671 | 0 / 0 | $823,214 / $786,436 |
2020 | Plan NameINVESCO EQUALLY WEIGHTED S&P 500 CL Y Plan #490 Participants BOY/EOY0 / 0 Assets BOY/EOY$550,535 / $774,348 | 2020 | INVESCO EQUALLY WEIGHTED S&P 500 CL Y - Plan #490 | 0 / 0 | $550,535 / $774,348 |
2020 | Plan NameTRADEMARK TACTICAL RISK 2040 CL R Plan #261 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,025,047 / $772,414 | 2020 | TRADEMARK TACTICAL RISK 2040 CL R - Plan #261 | 0 / 0 | $1,025,047 / $772,414 |
2020 | Plan NameAMERICAN CENTURY ONE CHOICE LN RETIRE I CL Plan #540 Participants BOY/EOY0 / 0 Assets BOY/EOY$241,694 / $770,762 | 2020 | AMERICAN CENTURY ONE CHOICE LN RETIRE I CL - Plan #540 | 0 / 0 | $241,694 / $770,762 |
2020 | Plan NameINVESCO SM CAP VAL CL Y Plan #151 Participants BOY/EOY0 / 0 Assets BOY/EOY$31,769,760 / $763,453 | 2020 | INVESCO SM CAP VAL CL Y - Plan #151 | 0 / 0 | $31,769,760 / $763,453 |
2020 | Plan NamePUTNAM INC CL Y Plan #487 Participants BOY/EOY0 / 0 Assets BOY/EOY$379,625 / $756,423 | 2020 | PUTNAM INC CL Y - Plan #487 | 0 / 0 | $379,625 / $756,423 |
2020 | Plan NameIVY GOVT MONEY MKT CL A Plan #071 Participants BOY/EOY0 / 0 Assets BOY/EOY$702,643 / $747,696 | 2020 | IVY GOVT MONEY MKT CL A - Plan #071 | 0 / 0 | $702,643 / $747,696 |
2020 | Plan NameAMERICAN FUNDS U.S. GOVT MONEY MKT CL R6 Plan #379 Participants BOY/EOY0 / 0 Assets BOY/EOY$140,913 / $732,757 | 2020 | AMERICAN FUNDS U.S. GOVT MONEY MKT CL R6 - Plan #379 | 0 / 0 | $140,913 / $732,757 |
2020 | Plan NameBLACKROCK EAFE EQ IDX CL R Plan #688 Participants BOY/EOY0 / 0 Assets BOY/EOY$485,734 / $722,338 | 2020 | BLACKROCK EAFE EQ IDX CL R - Plan #688 | 0 / 0 | $485,734 / $722,338 |
2020 | Plan NameAMERICAN BEACON INTL EQ CL R6 Plan #562 Participants BOY/EOY0 / 0 Assets BOY/EOY$650,783 / $715,098 | 2020 | AMERICAN BEACON INTL EQ CL R6 - Plan #562 | 0 / 0 | $650,783 / $715,098 |
2020 | Plan NameNUVEEN RE SEC CL A Plan #287 Participants BOY/EOY0 / 0 Assets BOY/EOY$67,961 / $701,624 | 2020 | NUVEEN RE SEC CL A - Plan #287 | 0 / 0 | $67,961 / $701,624 |
2020 | Plan NameFIDELITY CONTRAFUND Plan #484 Participants BOY/EOY0 / 0 Assets BOY/EOY$660,552 / $698,284 | 2020 | FIDELITY CONTRAFUND - Plan #484 | 0 / 0 | $660,552 / $698,284 |
2020 | Plan NameWILMINGTON TRUST FP IDX+ MOD 2055 CL R1 Plan #848 Participants BOY/EOY0 / 0 Assets BOY/EOY$529,221 / $693,450 | 2020 | WILMINGTON TRUST FP IDX+ MOD 2055 CL R1 - Plan #848 | 0 / 0 | $529,221 / $693,450 |
2020 | Plan NameBLACKROCK ISHARES RUSSELL 2000 SM CAP CL K Plan #521 Participants BOY/EOY0 / 0 Assets BOY/EOY$534,738 / $683,453 | 2020 | BLACKROCK ISHARES RUSSELL 2000 SM CAP CL K - Plan #521 | 0 / 0 | $534,738 / $683,453 |
2020 | Plan NameMFS MOD ALLOC CL R3 Plan #403 Participants BOY/EOY0 / 0 Assets BOY/EOY$341,100 / $627,596 | 2020 | MFS MOD ALLOC CL R3 - Plan #403 | 0 / 0 | $341,100 / $627,596 |
2020 | Plan NameIVY SMALL CAP VALUE CL Y SEPARATE ACCOUNT Plan #068 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,079,524 / $622,384 | 2020 | IVY SMALL CAP VALUE CL Y SEPARATE ACCOUNT - Plan #068 | 0 / 0 | $1,079,524 / $622,384 |
2020 | Plan NameLORD ABBETT BOND DEBENTURE CL R6 Plan #358 Participants BOY/EOY0 / 0 Assets BOY/EOY$463,736 / $619,429 | 2020 | LORD ABBETT BOND DEBENTURE CL R6 - Plan #358 | 0 / 0 | $463,736 / $619,429 |
2020 | Plan NameFIDELITY ADVISOR GOVT INC I CL Plan #299 Participants BOY/EOY0 / 0 Assets BOY/EOY$203,188 / $590,721 | 2020 | FIDELITY ADVISOR GOVT INC I CL - Plan #299 | 0 / 0 | $203,188 / $590,721 |
2020 | Plan NameTHORNBURG INVMNT INC BUILDER CL R5 Plan #511 Participants BOY/EOY0 / 0 Assets BOY/EOY$306,406 / $587,216 | 2020 | THORNBURG INVMNT INC BUILDER CL R5 - Plan #511 | 0 / 0 | $306,406 / $587,216 |
2020 | Plan NameDFA ONE YEAR FI INSTL CL Plan #169 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,781 / $586,960 | 2020 | DFA ONE YEAR FI INSTL CL - Plan #169 | 0 / 0 | $5,781 / $586,960 |
2020 | Plan NameFEDERATED HERMES MID CAP IDX INSTL CL Plan #654 Participants BOY/EOY0 / 0 Assets BOY/EOY$616,509 / $579,909 | 2020 | FEDERATED HERMES MID CAP IDX INSTL CL - Plan #654 | 0 / 0 | $616,509 / $579,909 |
2020 | Plan NameJPMORGAN U.S. RESEARCH ENHANCED EQ CL R6 Plan #343 Participants BOY/EOY0 / 0 Assets BOY/EOY$584,673 / $576,204 | 2020 | JPMORGAN U.S. RESEARCH ENHANCED EQ CL R6 - Plan #343 | 0 / 0 | $584,673 / $576,204 |
2020 | Plan NameT. ROWE PRICE SPECTRUM MOD ALLOC INV CL Plan #444 Participants BOY/EOY0 / 0 Assets BOY/EOY$478,263 / $574,452 | 2020 | T. ROWE PRICE SPECTRUM MOD ALLOC INV CL - Plan #444 | 0 / 0 | $478,263 / $574,452 |
2020 | Plan NameVANGUARD HIGH YLD CORP ADMRL CL Plan #626 Participants BOY/EOY0 / 0 Assets BOY/EOY$231,864 / $559,872 | 2020 | VANGUARD HIGH YLD CORP ADMRL CL - Plan #626 | 0 / 0 | $231,864 / $559,872 |
2020 | Plan NameHARTFORD BAL INC CL R4 Plan #399 Participants BOY/EOY0 / 0 Assets BOY/EOY$422,946 / $557,298 | 2020 | HARTFORD BAL INC CL R4 - Plan #399 | 0 / 0 | $422,946 / $557,298 |
2020 | Plan NameGOLDMAN SACHS SM CAP VAL INV CL Plan #529 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,720,491 / $554,044 | 2020 | GOLDMAN SACHS SM CAP VAL INV CL - Plan #529 | 0 / 0 | $1,720,491 / $554,044 |
2020 | Plan NamePIMCO INTL BOND (USD-H) I CL Plan #865 Participants BOY/EOY0 / 0 Assets BOY/EOY$657,676 / $552,611 | 2020 | PIMCO INTL BOND (USD-H) I CL - Plan #865 | 0 / 0 | $657,676 / $552,611 |
2020 | Plan NameAMERICAN FUNDS INC FUND OF AMERICA CL R6 Plan #285 Participants BOY/EOY0 / 0 Assets BOY/EOY$389,534 / $544,460 | 2020 | AMERICAN FUNDS INC FUND OF AMERICA CL R6 - Plan #285 | 0 / 0 | $389,534 / $544,460 |
2020 | Plan NameVANGUARD BAL IDX ADMRL CL Plan #416 Participants BOY/EOY0 / 0 Assets BOY/EOY$336,143 / $525,728 | 2020 | VANGUARD BAL IDX ADMRL CL - Plan #416 | 0 / 0 | $336,143 / $525,728 |
2020 | Plan NameAMANA GROWTH INV CL Plan #428 Participants BOY/EOY0 / 0 Assets BOY/EOY$128,952 / $525,433 | 2020 | AMANA GROWTH INV CL - Plan #428 | 0 / 0 | $128,952 / $525,433 |
2020 | Plan NamePARNASSUS MID CAP INSTL CLSEPARATE ACCOUNT Plan #757 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,437 / $523,041 | 2020 | PARNASSUS MID CAP INSTL CLSEPARATE ACCOUNT - Plan #757 | 0 / 0 | $4,437 / $523,041 |
2020 | Plan NameIVY INTL CORE EQ CL Y Plan #228 Participants BOY/EOY0 / 0 Assets BOY/EOY$650,898 / $522,261 | 2020 | IVY INTL CORE EQ CL Y - Plan #228 | 0 / 0 | $650,898 / $522,261 |
2020 | Plan NameFRANKLIN TEMPLETON GLBL TOTAL RTRN CL A Plan #368 Participants BOY/EOY0 / 0 Assets BOY/EOY$533,579 / $522,004 | 2020 | FRANKLIN TEMPLETON GLBL TOTAL RTRN CL A - Plan #368 | 0 / 0 | $533,579 / $522,004 |
2020 | Plan NameINVESCO STABLE VAL TRUST I CL III Plan #265 Participants BOY/EOY0 / 0 Assets BOY/EOY$613,497 / $520,249 | 2020 | INVESCO STABLE VAL TRUST I CL III - Plan #265 | 0 / 0 | $613,497 / $520,249 |
2020 | Plan NameVANGUARD MID CAP GROWTH INV CL Plan #503 Participants BOY/EOY0 / 0 Assets BOY/EOY$480,510 / $518,061 | 2020 | VANGUARD MID CAP GROWTH INV CL - Plan #503 | 0 / 0 | $480,510 / $518,061 |
2020 | Plan NameFIDELITY ADVISOR MATERIALS I CL Plan #457 Participants BOY/EOY0 / 0 Assets BOY/EOY$413,559 / $513,275 | 2020 | FIDELITY ADVISOR MATERIALS I CL - Plan #457 | 0 / 0 | $413,559 / $513,275 |
2020 | Plan NameDWS RREEF RE SEC CL A Plan #359 Participants BOY/EOY0 / 0 Assets BOY/EOY$611,004 / $502,330 | 2020 | DWS RREEF RE SEC CL A - Plan #359 | 0 / 0 | $611,004 / $502,330 |
2020 | Plan NameIVY SECURIAN CORE BOND CL Y Plan #172 Participants BOY/EOY0 / 0 Assets BOY/EOY$752,534 / $490,722 | 2020 | IVY SECURIAN CORE BOND CL Y - Plan #172 | 0 / 0 | $752,534 / $490,722 |
2020 | Plan NameNORTHERN SM TRUST CAP VAL Plan #623 Participants BOY/EOY0 / 0 Assets BOY/EOY$169,307 / $471,673 | 2020 | NORTHERN SM TRUST CAP VAL - Plan #623 | 0 / 0 | $169,307 / $471,673 |
2020 | Plan NameNEUBERGER BERMAN SUSTAINABLE EQ INSTL CL Plan #134 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,893,927 / $471,045 | 2020 | NEUBERGER BERMAN SUSTAINABLE EQ INSTL CL - Plan #134 | 0 / 0 | $5,893,927 / $471,045 |
2020 | Plan NameCOLUMBIA GLBL TECH GROWTH ADV CL Plan #620 Participants BOY/EOY0 / 0 Assets BOY/EOY$399,740 / $452,875 | 2020 | COLUMBIA GLBL TECH GROWTH ADV CL - Plan #620 | 0 / 0 | $399,740 / $452,875 |
2020 | Plan NameWELLS FARGO DISC CL A Plan #385 Participants BOY/EOY0 / 0 Assets BOY/EOY$330,982 / $445,034 | 2020 | WELLS FARGO DISC CL A - Plan #385 | 0 / 0 | $330,982 / $445,034 |
2020 | Plan NameAMERICAN BEACON MID CAP VAL CL R6 Plan #384 Participants BOY/EOY0 / 0 Assets BOY/EOY$412,110 / $442,084 | 2020 | AMERICAN BEACON MID CAP VAL CL R6 - Plan #384 | 0 / 0 | $412,110 / $442,084 |
2020 | Plan NameFIDELITY VIP REAL ESTATE IC Plan #237 Participants BOY/EOY0 / 0 Assets BOY/EOY$419,766 / $440,178 | 2020 | FIDELITY VIP REAL ESTATE IC - Plan #237 | 0 / 0 | $419,766 / $440,178 |
2020 | Plan NameDFA GLBL EQ INSTL CL Plan #633 Participants BOY/EOY0 / 0 Assets BOY/EOY$503,167 / $439,116 | 2020 | DFA GLBL EQ INSTL CL - Plan #633 | 0 / 0 | $503,167 / $439,116 |
2020 | Plan NameAMERICAN FUNDS 2010 TGT DATE RETIRE CL R6 Plan #381 Participants BOY/EOY0 / 0 Assets BOY/EOY$369,438 / $428,041 | 2020 | AMERICAN FUNDS 2010 TGT DATE RETIRE CL R6 - Plan #381 | 0 / 0 | $369,438 / $428,041 |
2020 | Plan NameDOUBLELINE CORE FI I CL Plan #729 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,148,564 / $427,366 | 2020 | DOUBLELINE CORE FI I CL - Plan #729 | 0 / 0 | $2,148,564 / $427,366 |
2020 | Plan NamePIMCO COMMODITIESPLUS STRAT INSTL CL Plan #607 Participants BOY/EOY0 / 0 Assets BOY/EOY$365,343 / $426,720 | 2020 | PIMCO COMMODITIESPLUS STRAT INSTL CL - Plan #607 | 0 / 0 | $365,343 / $426,720 |
2020 | Plan NameJOHN HANCOCK DISCIPLINED VAL MID CAP CL R6 Plan #247 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,268,146 / $422,965 | 2020 | JOHN HANCOCK DISCIPLINED VAL MID CAP CL R6 - Plan #247 | 0 / 0 | $1,268,146 / $422,965 |
2020 | Plan NameVANGUARD FINANCIALS IDX ADMRL CL Plan #644 Participants BOY/EOY0 / 0 Assets BOY/EOY$360,158 / $406,773 | 2020 | VANGUARD FINANCIALS IDX ADMRL CL - Plan #644 | 0 / 0 | $360,158 / $406,773 |
2020 | Plan NameMFS INTL NEW DISC CL R3 Plan #346 Participants BOY/EOY0 / 0 Assets BOY/EOY$232,463 / $395,603 | 2020 | MFS INTL NEW DISC CL R3 - Plan #346 | 0 / 0 | $232,463 / $395,603 |
2020 | Plan NameT. ROWE PRICE INTL DISC INV CL Plan #625 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,694,816 / $388,899 | 2020 | T. ROWE PRICE INTL DISC INV CL - Plan #625 | 0 / 0 | $1,694,816 / $388,899 |
2020 | Plan NameAMG YACKTMAN I CL Plan #483 Participants BOY/EOY0 / 0 Assets BOY/EOY$294,634 / $381,550 | 2020 | AMG YACKTMAN I CL - Plan #483 | 0 / 0 | $294,634 / $381,550 |
2020 | Plan NameIVY NATURAL RESOURCES CL Y Plan #103 Participants BOY/EOY0 / 0 Assets BOY/EOY$514,869 / $356,520 | 2020 | IVY NATURAL RESOURCES CL Y - Plan #103 | 0 / 0 | $514,869 / $356,520 |
2020 | Plan NameBNY MELLON OPPORTUNISTIC MID CAP VAL I CL Plan #339 Participants BOY/EOY0 / 0 Assets BOY/EOY$291,792 / $353,145 | 2020 | BNY MELLON OPPORTUNISTIC MID CAP VAL I CL - Plan #339 | 0 / 0 | $291,792 / $353,145 |
2020 | Plan NameFIDELITY ADVISOR TECH I CL Plan #525 Participants BOY/EOY0 / 0 Assets BOY/EOY$184,887 / $331,904 | 2020 | FIDELITY ADVISOR TECH I CL - Plan #525 | 0 / 0 | $184,887 / $331,904 |
2020 | Plan NameSCHWAB IDXED RETIRE TRUST FUND 2010 I CL Plan #314 Participants BOY/EOY0 / 0 Assets BOY/EOY$285,116 / $324,685 | 2020 | SCHWAB IDXED RETIRE TRUST FUND 2010 I CL - Plan #314 | 0 / 0 | $285,116 / $324,685 |
2020 | Plan NamePIMCO REAL RTRN INSTL CL Plan #508 Participants BOY/EOY0 / 0 Assets BOY/EOY$716,216 / $323,715 | 2020 | PIMCO REAL RTRN INSTL CL - Plan #508 | 0 / 0 | $716,216 / $323,715 |
2020 | Plan NameBLACKROCK GLBL ALLOC INSTL CL Plan #189 Participants BOY/EOY0 / 0 Assets BOY/EOY$264,577 / $321,087 | 2020 | BLACKROCK GLBL ALLOC INSTL CL - Plan #189 | 0 / 0 | $264,577 / $321,087 |
2020 | Plan NamePRINCIPAL GLBL RE SEC INSTL CL Plan #651 Participants BOY/EOY0 / 0 Assets BOY/EOY$594,494 / $310,770 | 2020 | PRINCIPAL GLBL RE SEC INSTL CL - Plan #651 | 0 / 0 | $594,494 / $310,770 |
2020 | Plan NameAMERICAN CENTURY INFL ADJ BOND CL R5 Plan #712 Participants BOY/EOY0 / 0 Assets BOY/EOY$307,196 / $307,190 | 2020 | AMERICAN CENTURY INFL ADJ BOND CL R5 - Plan #712 | 0 / 0 | $307,196 / $307,190 |
2020 | Plan NameIVY GLOBAL BOND CL A SEPARATE ACCOUNT Plan #047 Participants BOY/EOY0 / 0 Assets BOY/EOY$415,143 / $289,453 | 2020 | IVY GLOBAL BOND CL A SEPARATE ACCOUNT - Plan #047 | 0 / 0 | $415,143 / $289,453 |
2020 | Plan NameVANGUARD SELECTED VAL INV CL Plan #294 Participants BOY/EOY0 / 0 Assets BOY/EOY$409,701 / $282,412 | 2020 | VANGUARD SELECTED VAL INV CL - Plan #294 | 0 / 0 | $409,701 / $282,412 |
2020 | Plan NameGOLDMAN SACHS GOVT INC CL A Plan #506 Participants BOY/EOY0 / 0 Assets BOY/EOY$299,174 / $281,675 | 2020 | GOLDMAN SACHS GOVT INC CL A - Plan #506 | 0 / 0 | $299,174 / $281,675 |
2020 | Plan NameAMERICAN CENTURY ONE CHOICE 2025 I CL Plan #533 Participants BOY/EOY0 / 0 Assets BOY/EOY$282,753 / $281,213 | 2020 | AMERICAN CENTURY ONE CHOICE 2025 I CL - Plan #533 | 0 / 0 | $282,753 / $281,213 |
2020 | Plan NameVAN ECK EMERG MKTS CL Z Plan #500 Participants BOY/EOY0 / 0 Assets BOY/EOY$266,614 / $273,110 | 2020 | VAN ECK EMERG MKTS CL Z - Plan #500 | 0 / 0 | $266,614 / $273,110 |
2020 | Plan NameAMERICAN CENTURY ONE CHOICE 2045 I CL Plan #537 Participants BOY/EOY0 / 0 Assets BOY/EOY$259,058 / $265,382 | 2020 | AMERICAN CENTURY ONE CHOICE 2045 I CL - Plan #537 | 0 / 0 | $259,058 / $265,382 |
2020 | Plan NamePGIM JENNISON SM CO CL R Plan #734 Participants BOY/EOY0 / 0 Assets BOY/EOY$252,341 / $262,735 | 2020 | PGIM JENNISON SM CO CL R - Plan #734 | 0 / 0 | $252,341 / $262,735 |
2020 | Plan NamePRINCIPAL SM CAP VAL II INSTL CL Plan #733 Participants BOY/EOY0 / 0 Assets BOY/EOY$247,176 / $261,899 | 2020 | PRINCIPAL SM CAP VAL II INSTL CL - Plan #733 | 0 / 0 | $247,176 / $261,899 |
2020 | Plan NameALGER SPECTRA I CL Plan #488 Participants BOY/EOY0 / 0 Assets BOY/EOY$125,667 / $259,267 | 2020 | ALGER SPECTRA I CL - Plan #488 | 0 / 0 | $125,667 / $259,267 |
2020 | Plan NameIVY INTL CORE EQ CL Y Plan #482 Participants BOY/EOY0 / 0 Assets BOY/EOY$856,725 / $248,407 | 2020 | IVY INTL CORE EQ CL Y - Plan #482 | 0 / 0 | $856,725 / $248,407 |
2020 | Plan NameDFA EMERG MKTS SM CAP INSTL CL Plan #388 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,309,114 / $241,349 | 2020 | DFA EMERG MKTS SM CAP INSTL CL - Plan #388 | 0 / 0 | $1,309,114 / $241,349 |
2020 | Plan NameBLACKROCK HEALTH SCIENCES OPPS INSTL CL Plan #831 Participants BOY/EOY0 / 0 Assets BOY/EOY$144,092 / $236,157 | 2020 | BLACKROCK HEALTH SCIENCES OPPS INSTL CL - Plan #831 | 0 / 0 | $144,092 / $236,157 |
2020 | Plan NameAB HIGH INC ADV CL Plan #336 Participants BOY/EOY0 / 0 Assets BOY/EOY$58,000 / $232,367 | 2020 | AB HIGH INC ADV CL - Plan #336 | 0 / 0 | $58,000 / $232,367 |
2020 | Plan NameAIG FOCUSED DIV STRAT CL A Plan #493 Participants BOY/EOY0 / 0 Assets BOY/EOY$333,883 / $231,979 | 2020 | AIG FOCUSED DIV STRAT CL A - Plan #493 | 0 / 0 | $333,883 / $231,979 |
2020 | Plan NamePIMCO LOW DUR CL A Plan #458 Participants BOY/EOY0 / 0 Assets BOY/EOY$231,828 / $229,803 | 2020 | PIMCO LOW DUR CL A - Plan #458 | 0 / 0 | $231,828 / $229,803 |
2020 | Plan NameAMERICAN CENTURY ONE CHOICE 2060 I CL Plan #728 Participants BOY/EOY0 / 0 Assets BOY/EOY$291,943 / $227,139 | 2020 | AMERICAN CENTURY ONE CHOICE 2060 I CL - Plan #728 | 0 / 0 | $291,943 / $227,139 |
2020 | Plan NameVANGUARD INTERM TERM TRSY IDX ADMRL CL Plan #565 Participants BOY/EOY0 / 0 Assets BOY/EOY$141,071 / $219,309 | 2020 | VANGUARD INTERM TERM TRSY IDX ADMRL CL - Plan #565 | 0 / 0 | $141,071 / $219,309 |
2020 | Plan NameSTATE STREET U.S. GOVT MONEY MKT ADMIN CL Plan #426 Participants BOY/EOY0 / 0 Assets BOY/EOY$17,633 / $217,885 | 2020 | STATE STREET U.S. GOVT MONEY MKT ADMIN CL - Plan #426 | 0 / 0 | $17,633 / $217,885 |
2020 | Plan NameHARDING LOEVNER EMERG MKTS ADV CL Plan #474 Participants BOY/EOY0 / 0 Assets BOY/EOY$188,437 / $217,858 | 2020 | HARDING LOEVNER EMERG MKTS ADV CL - Plan #474 | 0 / 0 | $188,437 / $217,858 |
2020 | Plan NameVANGUARD GNMA ADMRL CL Plan #632 Participants BOY/EOY0 / 0 Assets BOY/EOY$148,578 / $217,256 | 2020 | VANGUARD GNMA ADMRL CL - Plan #632 | 0 / 0 | $148,578 / $217,256 |
2020 | Plan NameIVY CORP BOND CL A Plan #049 Participants BOY/EOY0 / 0 Assets BOY/EOY$397,385 / $205,597 | 2020 | IVY CORP BOND CL A - Plan #049 | 0 / 0 | $397,385 / $205,597 |
2020 | Plan NameAB DISC GROWTH CL A Plan #338 Participants BOY/EOY0 / 0 Assets BOY/EOY$31,374 / $192,592 | 2020 | AB DISC GROWTH CL A - Plan #338 | 0 / 0 | $31,374 / $192,592 |
2020 | Plan NameHARTFORD DIV & GROWTH CL R5 Plan #366 Participants BOY/EOY0 / 0 Assets BOY/EOY$217,572 / $191,436 | 2020 | HARTFORD DIV & GROWTH CL R5 - Plan #366 | 0 / 0 | $217,572 / $191,436 |
2020 | Plan NameMAIRS & POWER GROWTH INV CL Plan #387 Participants BOY/EOY0 / 0 Assets BOY/EOY$479,558 / $190,857 | 2020 | MAIRS & POWER GROWTH INV CL - Plan #387 | 0 / 0 | $479,558 / $190,857 |
2020 | Plan NameAZZAD WISE CAPITAL Plan #427 Participants BOY/EOY0 / 0 Assets BOY/EOY$155,794 / $189,773 | 2020 | AZZAD WISE CAPITAL - Plan #427 | 0 / 0 | $155,794 / $189,773 |
2020 | Plan NameMFS AGGRES GROWTH ALLOC CL R3 Plan #404 Participants BOY/EOY0 / 0 Assets BOY/EOY$8,794 / $188,154 | 2020 | MFS AGGRES GROWTH ALLOC CL R3 - Plan #404 | 0 / 0 | $8,794 / $188,154 |
2020 | Plan NameMFS BLENDED RESEARCH CORE EQ CL R3 Plan #591 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,635 / $179,864 | 2020 | MFS BLENDED RESEARCH CORE EQ CL R3 - Plan #591 | 0 / 0 | $4,635 / $179,864 |
2020 | Plan NameTD AMERITRADE RETIRE ADVOCATE CONSERV Plan #310 Participants BOY/EOY0 / 0 Assets BOY/EOY$219,423 / $174,824 | 2020 | TD AMERITRADE RETIRE ADVOCATE CONSERV - Plan #310 | 0 / 0 | $219,423 / $174,824 |
2020 | Plan NameAMERICAN BEACON BRIDGEWAY LRG CAP VAL CL Y Plan #759 Participants BOY/EOY0 / 0 Assets BOY/EOY$314,285 / $169,625 | 2020 | AMERICAN BEACON BRIDGEWAY LRG CAP VAL CL Y - Plan #759 | 0 / 0 | $314,285 / $169,625 |
2020 | Plan NameCOLUMBIA SELIGMAN COMM & INFO ADV CL Plan #839 Participants BOY/EOY0 / 0 Assets BOY/EOY$62,687 / $167,468 | 2020 | COLUMBIA SELIGMAN COMM & INFO ADV CL - Plan #839 | 0 / 0 | $62,687 / $167,468 |
2020 | Plan NameHARDING LOEVNER INTL EQ INSTL CL Plan #505 Participants BOY/EOY0 / 0 Assets BOY/EOY$117,261 / $166,827 | 2020 | HARDING LOEVNER INTL EQ INSTL CL - Plan #505 | 0 / 0 | $117,261 / $166,827 |
2020 | Plan NameWILMINGTON TRUST FP IDX+ AGGRES 2055 CL I1 Plan #704 Participants BOY/EOY0 / 0 Assets BOY/EOY$131,496 / $162,912 | 2020 | WILMINGTON TRUST FP IDX+ AGGRES 2055 CL I1 - Plan #704 | 0 / 0 | $131,496 / $162,912 |
2020 | Plan NameAMANA INC INV CL Plan #429 Participants BOY/EOY0 / 0 Assets BOY/EOY$84,264 / $162,474 | 2020 | AMANA INC INV CL - Plan #429 | 0 / 0 | $84,264 / $162,474 |
2020 | Plan NameAMERICAN FUNDS INFL LINKED BOND CL R6 Plan #724 Participants BOY/EOY0 / 0 Assets BOY/EOY$322,917 / $156,971 | 2020 | AMERICAN FUNDS INFL LINKED BOND CL R6 - Plan #724 | 0 / 0 | $322,917 / $156,971 |
2020 | Plan NameINVESCO OPPHMR VI DISC MID CAP GROWTH I CL I Plan #592 Participants BOY/EOY0 / 0 Assets BOY/EOY$37,939 / $155,557 | 2020 | INVESCO OPPHMR VI DISC MID CAP GROWTH I CL I - Plan #592 | 0 / 0 | $37,939 / $155,557 |
2020 | Plan NameFRANKLIN INC CL R Plan #510 Participants BOY/EOY0 / 0 Assets BOY/EOY$181,439 / $152,749 | 2020 | FRANKLIN INC CL R - Plan #510 | 0 / 0 | $181,439 / $152,749 |
2020 | Plan NameNUVEEN DIV VAL I CL Plan #244 Participants BOY/EOY0 / 0 Assets BOY/EOY$134,144 / $147,948 | 2020 | NUVEEN DIV VAL I CL - Plan #244 | 0 / 0 | $134,144 / $147,948 |
2020 | Plan NameCOLUMBIA MID CAP VAL ADV CL Plan #513 Participants BOY/EOY0 / 0 Assets BOY/EOY$131,548 / $147,293 | 2020 | COLUMBIA MID CAP VAL ADV CL - Plan #513 | 0 / 0 | $131,548 / $147,293 |
2020 | Plan NameBLACKROCK ISHARES RUSSELL MID CAP INV CL ASEPARATE Plan #657 Participants BOY/EOY0 / 0 Assets BOY/EOY$557,992 / $146,058 | 2020 | BLACKROCK ISHARES RUSSELL MID CAP INV CL ASEPARATE - Plan #657 | 0 / 0 | $557,992 / $146,058 |
2020 | Plan NameWILMINGTON TRUST FP IDX+ AGGRES 2045 CL I1 Plan #703 Participants BOY/EOY0 / 0 Assets BOY/EOY$120,061 / $143,486 | 2020 | WILMINGTON TRUST FP IDX+ AGGRES 2045 CL I1 - Plan #703 | 0 / 0 | $120,061 / $143,486 |
2020 | Plan NameVANGUARD HEALTH CARE ADMRL CL Plan #637 Participants BOY/EOY0 / 0 Assets BOY/EOY$410,754 / $142,667 | 2020 | VANGUARD HEALTH CARE ADMRL CL - Plan #637 | 0 / 0 | $410,754 / $142,667 |
2020 | Plan NameIVY PZENA INTL VAL CL Y Plan #070 Participants BOY/EOY0 / 0 Assets BOY/EOY$172,080 / $142,444 | 2020 | IVY PZENA INTL VAL CL Y - Plan #070 | 0 / 0 | $172,080 / $142,444 |
2020 | Plan NameNEUBERGER BERMAN GENESIS INSTL CL Plan #597 Participants BOY/EOY0 / 0 Assets BOY/EOY$285,266 / $138,998 | 2020 | NEUBERGER BERMAN GENESIS INSTL CL - Plan #597 | 0 / 0 | $285,266 / $138,998 |
2020 | Plan NameEVENTIDE HEALTHCARE & LIFE SCIENCES I CL Plan #472 Participants BOY/EOY0 / 0 Assets BOY/EOY$120,461 / $137,652 | 2020 | EVENTIDE HEALTHCARE & LIFE SCIENCES I CL - Plan #472 | 0 / 0 | $120,461 / $137,652 |
2020 | Plan NameFEDERATED HERMES HIGH YLD SVC CL Plan #823 Participants BOY/EOY0 / 0 Assets BOY/EOY$123,482 / $131,590 | 2020 | FEDERATED HERMES HIGH YLD SVC CL - Plan #823 | 0 / 0 | $123,482 / $131,590 |
2020 | Plan NameDFA U.S. SOCIAL CORE EQ 2 INSTL CL Plan #461 Participants BOY/EOY0 / 0 Assets BOY/EOY$104,789 / $131,014 | 2020 | DFA U.S. SOCIAL CORE EQ 2 INSTL CL - Plan #461 | 0 / 0 | $104,789 / $131,014 |
2020 | Plan NameMFS TOTAL RTRN CL R3 Plan #375 Participants BOY/EOY0 / 0 Assets BOY/EOY$195,099 / $125,461 | 2020 | MFS TOTAL RTRN CL R3 - Plan #375 | 0 / 0 | $195,099 / $125,461 |
2020 | Plan NameFRANKLIN SM CAP GROWTH ADV CL Plan #340 Participants BOY/EOY0 / 0 Assets BOY/EOY$123,900 / $121,577 | 2020 | FRANKLIN SM CAP GROWTH ADV CL - Plan #340 | 0 / 0 | $123,900 / $121,577 |
2020 | Plan NameAMERICAN CENTURY ONE CHOICE 2055 I CL Plan #539 Participants BOY/EOY0 / 0 Assets BOY/EOY$146,785 / $120,570 | 2020 | AMERICAN CENTURY ONE CHOICE 2055 I CL - Plan #539 | 0 / 0 | $146,785 / $120,570 |
2020 | Plan NamePGIM JENNISON UTILITY CL Z Plan #415 Participants BOY/EOY0 / 0 Assets BOY/EOY$106,337 / $120,315 | 2020 | PGIM JENNISON UTILITY CL Z - Plan #415 | 0 / 0 | $106,337 / $120,315 |
2020 | Plan NameOAKMARK INTL SM CAP INSTL CL Plan #306 Participants BOY/EOY0 / 0 Assets BOY/EOY$132,375 / $117,505 | 2020 | OAKMARK INTL SM CAP INSTL CL - Plan #306 | 0 / 0 | $132,375 / $117,505 |
2020 | Plan NameAMERICAN FUNDS NEW ECONOMY CL R6 Plan #409 Participants BOY/EOY0 / 0 Assets BOY/EOY$87,681 / $116,385 | 2020 | AMERICAN FUNDS NEW ECONOMY CL R6 - Plan #409 | 0 / 0 | $87,681 / $116,385 |
2020 | Plan NamePRINCIPAL GLBL DIVERS INC CL A Plan #398 Participants BOY/EOY0 / 0 Assets BOY/EOY$99,318 / $115,463 | 2020 | PRINCIPAL GLBL DIVERS INC CL A - Plan #398 | 0 / 0 | $99,318 / $115,463 |
2020 | Plan NameLAZARD INTL EQ OPEN INSTL CL Plan #830 Participants BOY/EOY0 / 0 Assets BOY/EOY$93,361 / $114,429 | 2020 | LAZARD INTL EQ OPEN INSTL CL - Plan #830 | 0 / 0 | $93,361 / $114,429 |
2020 | Plan NameWILMINGTON TRUST FP IDX+ AGGRES 2045 CL R1 Plan #843 Participants BOY/EOY0 / 0 Assets BOY/EOY$83,589 / $114,124 | 2020 | WILMINGTON TRUST FP IDX+ AGGRES 2045 CL R1 - Plan #843 | 0 / 0 | $83,589 / $114,124 |
2020 | Plan NameT. ROWE PRICE GLBL TECH INV CL Plan #563 Participants BOY/EOY0 / 0 Assets BOY/EOY$68,249 / $109,635 | 2020 | T. ROWE PRICE GLBL TECH INV CL - Plan #563 | 0 / 0 | $68,249 / $109,635 |
2020 | Plan NameAZZAD ETHICAL Plan #430 Participants BOY/EOY0 / 0 Assets BOY/EOY$74,663 / $108,607 | 2020 | AZZAD ETHICAL - Plan #430 | 0 / 0 | $74,663 / $108,607 |
2020 | Plan NameAMANA DEV WORLD INV CL Plan #431 Participants BOY/EOY0 / 0 Assets BOY/EOY$62,505 / $105,879 | 2020 | AMANA DEV WORLD INV CL - Plan #431 | 0 / 0 | $62,505 / $105,879 |
2020 | Plan NameJOHN HANCOCK INTL GROWTH CL R6 Plan #587 Participants BOY/EOY0 / 0 Assets BOY/EOY$880,097 / $103,151 | 2020 | JOHN HANCOCK INTL GROWTH CL R6 - Plan #587 | 0 / 0 | $880,097 / $103,151 |
2020 | Plan NameWILMINGTON TRUST FP IDX+ CONSERV 2025 CL R1 Plan #851 Participants BOY/EOY0 / 0 Assets BOY/EOY$80,713 / $101,428 | 2020 | WILMINGTON TRUST FP IDX+ CONSERV 2025 CL R1 - Plan #851 | 0 / 0 | $80,713 / $101,428 |
2020 | Plan NameAMERICAN CENTURY HERITAGE CL R5 Plan #331 Participants BOY/EOY0 / 0 Assets BOY/EOY$49,776 / $96,633 | 2020 | AMERICAN CENTURY HERITAGE CL R5 - Plan #331 | 0 / 0 | $49,776 / $96,633 |
2020 | Plan NameFIDELITY ADVISOR BAL I CL Plan #543 Participants BOY/EOY0 / 0 Assets BOY/EOY$15,160 / $95,401 | 2020 | FIDELITY ADVISOR BAL I CL - Plan #543 | 0 / 0 | $15,160 / $95,401 |
2020 | Plan NameCARILLON SCOUT MID CAP CL A Plan #222 Participants BOY/EOY0 / 0 Assets BOY/EOY$98,619 / $95,011 | 2020 | CARILLON SCOUT MID CAP CL A - Plan #222 | 0 / 0 | $98,619 / $95,011 |
2020 | Plan NameTIAA CREF RE SEC INSTL CL Plan #634 Participants BOY/EOY0 / 0 Assets BOY/EOY$0 / $90,729 | 2020 | TIAA CREF RE SEC INSTL CL - Plan #634 | 0 / 0 | $0 / $90,729 |
2020 | Plan NameTOUCHSTONE SM CO CL Y Plan #825 Participants BOY/EOY0 / 0 Assets BOY/EOY$22,939 / $90,105 | 2020 | TOUCHSTONE SM CO CL Y - Plan #825 | 0 / 0 | $22,939 / $90,105 |
2020 | Plan NameFIDELITY ADVISOR OVERSEAS I CL Plan #526 Participants BOY/EOY0 / 0 Assets BOY/EOY$232,216 / $89,280 | 2020 | FIDELITY ADVISOR OVERSEAS I CL - Plan #526 | 0 / 0 | $232,216 / $89,280 |
2020 | Plan NameMFS UTILITIES CL R3 Plan #348 Participants BOY/EOY0 / 0 Assets BOY/EOY$72,564 / $88,598 | 2020 | MFS UTILITIES CL R3 - Plan #348 | 0 / 0 | $72,564 / $88,598 |
2020 | Plan NameWELLS FARGO SM CO GROWTH CL A Plan #475 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,321,480 / $88,270 | 2020 | WELLS FARGO SM CO GROWTH CL A - Plan #475 | 0 / 0 | $1,321,480 / $88,270 |
2020 | Plan NameINVESCO GLBL ALLOC CL Y Plan #584 Participants BOY/EOY0 / 0 Assets BOY/EOY$158,987 / $84,125 | 2020 | INVESCO GLBL ALLOC CL Y - Plan #584 | 0 / 0 | $158,987 / $84,125 |
2020 | Plan NameVICTORY INTEGRITY SM CAP VAL CL Y Plan #736 Participants BOY/EOY0 / 0 Assets BOY/EOY$818,145 / $79,693 | 2020 | VICTORY INTEGRITY SM CAP VAL CL Y - Plan #736 | 0 / 0 | $818,145 / $79,693 |
2020 | Plan NameTCW CORE FI CL N Plan #253 Participants BOY/EOY0 / 0 Assets BOY/EOY$90,040 / $77,916 | 2020 | TCW CORE FI CL N - Plan #253 | 0 / 0 | $90,040 / $77,916 |
2020 | Plan NameTIAA CREF INFL LINKED BOND ADV CL Plan #752 Participants BOY/EOY0 / 0 Assets BOY/EOY$80,364 / $73,014 | 2020 | TIAA CREF INFL LINKED BOND ADV CL - Plan #752 | 0 / 0 | $80,364 / $73,014 |
2020 | Plan NameVANGUARD LIFESTRATEGY INC INV CL Plan #432 Participants BOY/EOY0 / 0 Assets BOY/EOY$64,853 / $72,487 | 2020 | VANGUARD LIFESTRATEGY INC INV CL - Plan #432 | 0 / 0 | $64,853 / $72,487 |
2020 | Plan NameVANGUARD ENERGY ADMRL CL Plan #515 Participants BOY/EOY0 / 0 Assets BOY/EOY$201,539 / $71,594 | 2020 | VANGUARD ENERGY ADMRL CL - Plan #515 | 0 / 0 | $201,539 / $71,594 |
2020 | Plan NameFIRST EAGLE GLBL CL R3 Plan #400 Participants BOY/EOY0 / 0 Assets BOY/EOY$88,911 / $70,567 | 2020 | FIRST EAGLE GLBL CL R3 - Plan #400 | 0 / 0 | $88,911 / $70,567 |
2020 | Plan NameBRANDES EMERG MKTS VAL CL A Plan #862 Participants BOY/EOY0 / 0 Assets BOY/EOY$64,983 / $67,988 | 2020 | BRANDES EMERG MKTS VAL CL A - Plan #862 | 0 / 0 | $64,983 / $67,988 |
2020 | Plan NameVANGUARD ENERGY IDX ADMRL CL Plan #473 Participants BOY/EOY0 / 0 Assets BOY/EOY$143,037 / $67,105 | 2020 | VANGUARD ENERGY IDX ADMRL CL - Plan #473 | 0 / 0 | $143,037 / $67,105 |
2020 | Plan NameBNY MELLON GLBL FI I CL Plan #636 Participants BOY/EOY0 / 0 Assets BOY/EOY$69,612 / $64,740 | 2020 | BNY MELLON GLBL FI I CL - Plan #636 | 0 / 0 | $69,612 / $64,740 |
2020 | Plan NameVAN ECK GLBL HARD ASSETS CL A Plan #715 Participants BOY/EOY0 / 0 Assets BOY/EOY$381,208 / $64,467 | 2020 | VAN ECK GLBL HARD ASSETS CL A - Plan #715 | 0 / 0 | $381,208 / $64,467 |
2020 | Plan NameWILLIAM BLAIR EMERG MKTS LDRS CL N Plan #495 Participants BOY/EOY0 / 0 Assets BOY/EOY$105,140 / $64,316 | 2020 | WILLIAM BLAIR EMERG MKTS LDRS CL N - Plan #495 | 0 / 0 | $105,140 / $64,316 |
2020 | Plan NameAMERICAN FUNDS MOD GROWTH & INC CL R6 Plan #412 Participants BOY/EOY0 / 0 Assets BOY/EOY$72,342 / $64,197 | 2020 | AMERICAN FUNDS MOD GROWTH & INC CL R6 - Plan #412 | 0 / 0 | $72,342 / $64,197 |
2020 | Plan NameGOLDMAN SACHS SM/MID CAP GROWTH INV CL Plan #422 Participants BOY/EOY0 / 0 Assets BOY/EOY$129,024 / $61,432 | 2020 | GOLDMAN SACHS SM/MID CAP GROWTH INV CL - Plan #422 | 0 / 0 | $129,024 / $61,432 |
2020 | Plan NamePIONEER FLEX OPPS CL Y Plan #485 Participants BOY/EOY0 / 0 Assets BOY/EOY$58,114 / $60,088 | 2020 | PIONEER FLEX OPPS CL Y - Plan #485 | 0 / 0 | $58,114 / $60,088 |
2020 | Plan NameTRANSAMERICA BOND I CL Plan #545 Participants BOY/EOY0 / 0 Assets BOY/EOY$54,025 / $57,892 | 2020 | TRANSAMERICA BOND I CL - Plan #545 | 0 / 0 | $54,025 / $57,892 |
2020 | Plan NameT. ROWE PRICE TGT 2030 CL I Plan #682 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,139 / $57,248 | 2020 | T. ROWE PRICE TGT 2030 CL I - Plan #682 | 0 / 0 | $4,139 / $57,248 |
2020 | Plan NameDWS RREEF GLBL INFRASTRUCTURE CL A Plan #360 Participants BOY/EOY0 / 0 Assets BOY/EOY$61,383 / $55,320 | 2020 | DWS RREEF GLBL INFRASTRUCTURE CL A - Plan #360 | 0 / 0 | $61,383 / $55,320 |
2020 | Plan NameMFS CONSERV ALLOC CL R3 Plan #402 Participants BOY/EOY0 / 0 Assets BOY/EOY$36,702 / $54,408 | 2020 | MFS CONSERV ALLOC CL R3 - Plan #402 | 0 / 0 | $36,702 / $54,408 |
2020 | Plan NameEVENTIDE GILEAD I CL Plan #471 Participants BOY/EOY0 / 0 Assets BOY/EOY$39,153 / $53,580 | 2020 | EVENTIDE GILEAD I CL - Plan #471 | 0 / 0 | $39,153 / $53,580 |
2020 | Plan NameAMERICAN FUNDS CAPITAL INC BUILDER CL R6 Plan #413 Participants BOY/EOY0 / 0 Assets BOY/EOY$135,805 / $53,426 | 2020 | AMERICAN FUNDS CAPITAL INC BUILDER CL R6 - Plan #413 | 0 / 0 | $135,805 / $53,426 |
2020 | Plan NameNATIXIS AEW GLBL FOCUSED RE CL Y Plan #374 Participants BOY/EOY0 / 0 Assets BOY/EOY$56,212 / $47,257 | 2020 | NATIXIS AEW GLBL FOCUSED RE CL Y - Plan #374 | 0 / 0 | $56,212 / $47,257 |
2020 | Plan NameDELAWARE SM CAP CORE INSTL CL Plan #629 Participants BOY/EOY0 / 0 Assets BOY/EOY$192,581 / $45,843 | 2020 | DELAWARE SM CAP CORE INSTL CL - Plan #629 | 0 / 0 | $192,581 / $45,843 |
2020 | Plan NameVANGUARD MATERIALS IDX ADMRL CL Plan #477 Participants BOY/EOY0 / 0 Assets BOY/EOY$26,881 / $45,187 | 2020 | VANGUARD MATERIALS IDX ADMRL CL - Plan #477 | 0 / 0 | $26,881 / $45,187 |
2020 | Plan NameAB RELATIVE VAL CL R Plan #753 Participants BOY/EOY0 / 0 Assets BOY/EOY$43,163 / $44,947 | 2020 | AB RELATIVE VAL CL R - Plan #753 | 0 / 0 | $43,163 / $44,947 |
2020 | Plan NamePIMCO ALL ASSET INSTL CL Plan #541 Participants BOY/EOY0 / 0 Assets BOY/EOY$46,323 / $43,864 | 2020 | PIMCO ALL ASSET INSTL CL - Plan #541 | 0 / 0 | $46,323 / $43,864 |
2020 | Plan NameFIDELITY ADVISOR BIOTECH I CL Plan #478 Participants BOY/EOY0 / 0 Assets BOY/EOY$167,789 / $41,224 | 2020 | FIDELITY ADVISOR BIOTECH I CL - Plan #478 | 0 / 0 | $167,789 / $41,224 |
2020 | Plan NameCARILLON EAGLE GROWTH & INC CL A Plan #596 Participants BOY/EOY0 / 0 Assets BOY/EOY$39,923 / $40,794 | 2020 | CARILLON EAGLE GROWTH & INC CL A - Plan #596 | 0 / 0 | $39,923 / $40,794 |
2020 | Plan NameIVY ENERGY CL Y Plan #227 Participants BOY/EOY0 / 0 Assets BOY/EOY$156,066 / $37,915 | 2020 | IVY ENERGY CL Y - Plan #227 | 0 / 0 | $156,066 / $37,915 |
2020 | Plan NameINVESCO GLBL FOCUS CL Y Plan #516 Participants BOY/EOY0 / 0 Assets BOY/EOY$12,870 / $37,354 | 2020 | INVESCO GLBL FOCUS CL Y - Plan #516 | 0 / 0 | $12,870 / $37,354 |
2020 | Plan NameOAKMARK EQ & INC INSTL CL Plan #371 Participants BOY/EOY0 / 0 Assets BOY/EOY$35,617 / $36,898 | 2020 | OAKMARK EQ & INC INSTL CL - Plan #371 | 0 / 0 | $35,617 / $36,898 |
2020 | Plan NameFROST TOTAL RTRN BOND INV CL Plan #486 Participants BOY/EOY0 / 0 Assets BOY/EOY$88,757 / $32,859 | 2020 | FROST TOTAL RTRN BOND INV CL - Plan #486 | 0 / 0 | $88,757 / $32,859 |
2020 | Plan NameWILMINGTON TRUST FP IDX+ MOD RETIRE CL R1 Plan #849 Participants BOY/EOY0 / 0 Assets BOY/EOY$74,642 / $31,123 | 2020 | WILMINGTON TRUST FP IDX+ MOD RETIRE CL R1 - Plan #849 | 0 / 0 | $74,642 / $31,123 |
2020 | Plan NameAMERICAN CENTURY ONE CHOICE 2035 I CL Plan #535 Participants BOY/EOY0 / 0 Assets BOY/EOY$936,936 / $27,928 | 2020 | AMERICAN CENTURY ONE CHOICE 2035 I CL - Plan #535 | 0 / 0 | $936,936 / $27,928 |
2020 | Plan NameFIDELITY ADVISOR MID CAP VAL I CL Plan #498 Participants BOY/EOY0 / 0 Assets BOY/EOY$24,439 / $27,783 | 2020 | FIDELITY ADVISOR MID CAP VAL I CL - Plan #498 | 0 / 0 | $24,439 / $27,783 |
2020 | Plan NameINVESCO ENERGY CL R5 Plan #373 Participants BOY/EOY0 / 0 Assets BOY/EOY$45,876 / $27,137 | 2020 | INVESCO ENERGY CL R5 - Plan #373 | 0 / 0 | $45,876 / $27,137 |
2020 | Plan NameAMERICAN FUNDS BOND FUND OF AMERICA CL R6 Plan #378 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,082 / $26,813 | 2020 | AMERICAN FUNDS BOND FUND OF AMERICA CL R6 - Plan #378 | 0 / 0 | $4,082 / $26,813 |
2020 | Plan NameVANGUARD GLBL CAPITAL CYCLES INV CL Plan #710 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,274,111 / $26,172 | 2020 | VANGUARD GLBL CAPITAL CYCLES INV CL - Plan #710 | 0 / 0 | $1,274,111 / $26,172 |
2020 | Plan NameDELAWARE EMERG MKTS INSTL CL Plan #438 Participants BOY/EOY0 / 0 Assets BOY/EOY$10,141 / $23,855 | 2020 | DELAWARE EMERG MKTS INSTL CL - Plan #438 | 0 / 0 | $10,141 / $23,855 |
2020 | Plan NameIVY ASSET STRAT CL Y Plan #669 Participants BOY/EOY0 / 0 Assets BOY/EOY$8,287 / $22,223 | 2020 | IVY ASSET STRAT CL Y - Plan #669 | 0 / 0 | $8,287 / $22,223 |
2020 | Plan NameWILMINGTON TRUST FP IDX+ CONSERV 2035 CL I1 Plan #697 Participants BOY/EOY0 / 0 Assets BOY/EOY$19,147 / $21,829 | 2020 | WILMINGTON TRUST FP IDX+ CONSERV 2035 CL I1 - Plan #697 | 0 / 0 | $19,147 / $21,829 |
2020 | Plan NameWILMINGTON TRUST SMART_LC 2035 INSTL CL Plan #646 Participants BOY/EOY0 / 0 Assets BOY/EOY$0 / $21,014 | 2020 | WILMINGTON TRUST SMART_LC 2035 INSTL CL - Plan #646 | 0 / 0 | $0 / $21,014 |
2020 | Plan NameWILMINGTON TRUST FP IDX+ CONSERV 2045 CL I1 Plan #698 Participants BOY/EOY0 / 0 Assets BOY/EOY$10,010 / $20,287 | 2020 | WILMINGTON TRUST FP IDX+ CONSERV 2045 CL I1 - Plan #698 | 0 / 0 | $10,010 / $20,287 |
2020 | Plan NameT. ROWE PRICE RE I CL Plan #601 Participants BOY/EOY0 / 0 Assets BOY/EOY$8,615 / $20,213 | 2020 | T. ROWE PRICE RE I CL - Plan #601 | 0 / 0 | $8,615 / $20,213 |
2020 | Plan NameWILMINGTON TRUST FP IDX+ CONSERV 2025 CL I1 Plan #696 Participants BOY/EOY0 / 0 Assets BOY/EOY$11,471 / $19,049 | 2020 | WILMINGTON TRUST FP IDX+ CONSERV 2025 CL I1 - Plan #696 | 0 / 0 | $11,471 / $19,049 |
2020 | Plan NameWILMINGTON TRUST FP IDX+ AGGRES RETIRE CL I1 Plan #700 Participants BOY/EOY0 / 0 Assets BOY/EOY$8,052 / $17,402 | 2020 | WILMINGTON TRUST FP IDX+ AGGRES RETIRE CL I1 - Plan #700 | 0 / 0 | $8,052 / $17,402 |
2020 | Plan NameHOTCHKIS & WILEY VAL OPPS CL A Plan #489 Participants BOY/EOY0 / 0 Assets BOY/EOY$15,597 / $16,545 | 2020 | HOTCHKIS & WILEY VAL OPPS CL A - Plan #489 | 0 / 0 | $15,597 / $16,545 |
2020 | Plan NamePRINCIPAL DIVERS REAL ASSET INSTL CL Plan #580 Participants BOY/EOY0 / 0 Assets BOY/EOY$152,029 / $16,455 | 2020 | PRINCIPAL DIVERS REAL ASSET INSTL CL - Plan #580 | 0 / 0 | $152,029 / $16,455 |
2020 | Plan NamePRIMECAP ODYSSEY STOCK Plan #492 Participants BOY/EOY0 / 0 Assets BOY/EOY$15,640 / $15,881 | 2020 | PRIMECAP ODYSSEY STOCK - Plan #492 | 0 / 0 | $15,640 / $15,881 |
2020 | Plan NameVANGUARD INTL EXPLORER INV CL Plan #414 Participants BOY/EOY0 / 0 Assets BOY/EOY$70,217 / $15,862 | 2020 | VANGUARD INTL EXPLORER INV CL - Plan #414 | 0 / 0 | $70,217 / $15,862 |
2020 | Plan NameWILMINGTON TRUST SMART_LC 2045 INSTL CLSEPARATE ACCOUNT Plan #647 Participants BOY/EOY0 / 0 Assets BOY/EOY$0 / $14,577 | 2020 | WILMINGTON TRUST SMART_LC 2045 INSTL CLSEPARATE ACCOUNT - Plan #647 | 0 / 0 | $0 / $14,577 |
2020 | Plan NameHARTFORD SM CAP GROWTH CL R4 Plan #364 Participants BOY/EOY0 / 0 Assets BOY/EOY$47,457 / $13,813 | 2020 | HARTFORD SM CAP GROWTH CL R4 - Plan #364 | 0 / 0 | $47,457 / $13,813 |
2020 | Plan NameINVESCO SM CAP EQ CL R5 Plan #150 Participants BOY/EOY0 / 0 Assets BOY/EOY$7,873 / $13,369 | 2020 | INVESCO SM CAP EQ CL R5 - Plan #150 | 0 / 0 | $7,873 / $13,369 |
2020 | Plan NameFIDELITY ADVISOR DIVERS INTL I CL Plan #581 Participants BOY/EOY0 / 0 Assets BOY/EOY$7,039 / $13,007 | 2020 | FIDELITY ADVISOR DIVERS INTL I CL - Plan #581 | 0 / 0 | $7,039 / $13,007 |
2020 | Plan NameHARBOR MID CAP VAL INSTL CL Plan #551 Participants BOY/EOY0 / 0 Assets BOY/EOY$555,149 / $12,213 | 2020 | HARBOR MID CAP VAL INSTL CL - Plan #551 | 0 / 0 | $555,149 / $12,213 |
2020 | Plan NameDFA LRG CAP INTL INSTL CL Plan #628 Participants BOY/EOY0 / 0 Assets BOY/EOY$47,978 / $10,420 | 2020 | DFA LRG CAP INTL INSTL CL - Plan #628 | 0 / 0 | $47,978 / $10,420 |
2020 | Plan NameWEITZ PARTNERS III OPP INSTL CL Plan #256 Participants BOY/EOY0 / 0 Assets BOY/EOY$17,682 / $10,092 | 2020 | WEITZ PARTNERS III OPP INSTL CL - Plan #256 | 0 / 0 | $17,682 / $10,092 |
2020 | Plan NameWILMINGTON TRUST FP IDX+ CONSERV 2055 CL R1 Plan #854 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,128 / $7,768 | 2020 | WILMINGTON TRUST FP IDX+ CONSERV 2055 CL R1 - Plan #854 | 0 / 0 | $1,128 / $7,768 |
2020 | Plan NameGOLDMAN SACHS GROWTH OPPS CL A Plan #721 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,837 / $7,003 | 2020 | GOLDMAN SACHS GROWTH OPPS CL A - Plan #721 | 0 / 0 | $4,837 / $7,003 |
2020 | Plan NameWILMINGTON TRUST FP IDX+ AGGRES 2025 CL I1 Plan #701 Participants BOY/EOY0 / 0 Assets BOY/EOY$714 / $6,986 | 2020 | WILMINGTON TRUST FP IDX+ AGGRES 2025 CL I1 - Plan #701 | 0 / 0 | $714 / $6,986 |
2020 | Plan NameWILMINGTON TRUST FP IDX+ CONSERV 2055 CL I1 Plan #699 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,709 / $6,570 | 2020 | WILMINGTON TRUST FP IDX+ CONSERV 2055 CL I1 - Plan #699 | 0 / 0 | $2,709 / $6,570 |
2020 | Plan NameAMG MANAGERS FAIRPOINTE MID CAP CL N Plan #165 Participants BOY/EOY0 / 0 Assets BOY/EOY$14,350 / $6,439 | 2020 | AMG MANAGERS FAIRPOINTE MID CAP CL N - Plan #165 | 0 / 0 | $14,350 / $6,439 |
2020 | Plan NameAMERICAN FUNDS GROWTH CL R6 Plan #411 Participants BOY/EOY0 / 0 Assets BOY/EOY$6,606 / $6,230 | 2020 | AMERICAN FUNDS GROWTH CL R6 - Plan #411 | 0 / 0 | $6,606 / $6,230 |
2020 | Plan NameVOYA MID CAP OPPS I CL Plan #246 Participants BOY/EOY0 / 0 Assets BOY/EOY$41,391 / $5,948 | 2020 | VOYA MID CAP OPPS I CL - Plan #246 | 0 / 0 | $41,391 / $5,948 |
2020 | Plan NameDFA INTL SM CAP VAL INSTL CL Plan #665 Participants BOY/EOY0 / 0 Assets BOY/EOY$57,632 / $5,739 | 2020 | DFA INTL SM CAP VAL INSTL CL - Plan #665 | 0 / 0 | $57,632 / $5,739 |
2020 | Plan NameT. ROWE PRICE TGT 2060 CL I Plan #687 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,561 / $5,512 | 2020 | T. ROWE PRICE TGT 2060 CL I - Plan #687 | 0 / 0 | $4,561 / $5,512 |
2020 | Plan NameT. ROWE PRICE TGT 2055 CL I Plan #686 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,544 / $5,389 | 2020 | T. ROWE PRICE TGT 2055 CL I - Plan #686 | 0 / 0 | $4,544 / $5,389 |
2020 | Plan NameT. ROWE PRICE TGT 2045 CL I Plan #685 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,424 / $5,206 | 2020 | T. ROWE PRICE TGT 2045 CL I - Plan #685 | 0 / 0 | $4,424 / $5,206 |
2020 | Plan NameT. ROWE PRICE TGT 2040 CL I Plan #684 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,349 / $5,074 | 2020 | T. ROWE PRICE TGT 2040 CL I - Plan #684 | 0 / 0 | $4,349 / $5,074 |
2020 | Plan NameT. ROWE PRICE TGT 2035 CL I Plan #683 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,253 / $5,027 | 2020 | T. ROWE PRICE TGT 2035 CL I - Plan #683 | 0 / 0 | $4,253 / $5,027 |
2020 | Plan NameGOLDMAN SACHS MID CAP VAL CL R6 Plan #714 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,165 / $4,532 | 2020 | GOLDMAN SACHS MID CAP VAL CL R6 - Plan #714 | 0 / 0 | $4,165 / $4,532 |
2020 | Plan NameAMERICAN FUNDS CONSERV GROWTH & INC CL R6 Plan #329 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,682 / $4,452 | 2020 | AMERICAN FUNDS CONSERV GROWTH & INC CL R6 - Plan #329 | 0 / 0 | $4,682 / $4,452 |
2020 | Plan NameSPROTT GOLD EQ FUND Plan #754 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,225 / $4,264 | 2020 | SPROTT GOLD EQ FUND - Plan #754 | 0 / 0 | $3,225 / $4,264 |
2020 | Plan NameT. ROWE PRICE TGT 2015 CL I Plan #679 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,814 / $4,258 | 2020 | T. ROWE PRICE TGT 2015 CL I - Plan #679 | 0 / 0 | $3,814 / $4,258 |
2020 | Plan NameT. ROWE PRICE TGT 2010 CL I Plan #678 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,768 / $4,192 | 2020 | T. ROWE PRICE TGT 2010 CL I - Plan #678 | 0 / 0 | $3,768 / $4,192 |
2020 | Plan NameAMERICAN FUNDS AMERICAN HIGH INC CL R6 Plan #407 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,266 / $4,002 | 2020 | AMERICAN FUNDS AMERICAN HIGH INC CL R6 - Plan #407 | 0 / 0 | $4,266 / $4,002 |
2020 | Plan NameMAINSTAY CBRE RE I CL Plan #308 Participants BOY/EOY0 / 0 Assets BOY/EOY$687,768 / $3,908 | 2020 | MAINSTAY CBRE RE I CL - Plan #308 | 0 / 0 | $687,768 / $3,908 |
2020 | Plan NameAB GLBL BOND CL Z Plan #778 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,558 / $3,740 | 2020 | AB GLBL BOND CL Z - Plan #778 | 0 / 0 | $3,558 / $3,740 |
2020 | Plan NameAMERICAN FUNDS INTERM BOND OF AMERICA CL R6 Plan #866 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,217 / $3,467 | 2020 | AMERICAN FUNDS INTERM BOND OF AMERICA CL R6 - Plan #866 | 0 / 0 | $3,217 / $3,467 |
2020 | Plan NameFEDERATED HERMES FLOATRATE STRAT INC INSTL CL Plan #640 Participants BOY/EOY0 / 0 Assets BOY/EOY$16,255 / $3,460 | 2020 | FEDERATED HERMES FLOATRATE STRAT INC INSTL CL - Plan #640 | 0 / 0 | $16,255 / $3,460 |
2020 | Plan NameWILMINGTON TRUST FP IDX+ AGGRES 2055 CL R1 Plan #844 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,178 / $2,806 | 2020 | WILMINGTON TRUST FP IDX+ AGGRES 2055 CL R1 - Plan #844 | 0 / 0 | $5,178 / $2,806 |
2020 | Plan NameWILMINGTON TRUST FP IDX+ CONSERV RETIRE CL I1 Plan #695 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,701 / $2,322 | 2020 | WILMINGTON TRUST FP IDX+ CONSERV RETIRE CL I1 - Plan #695 | 0 / 0 | $1,701 / $2,322 |
2020 | Plan NameVANGUARD S-T TRSY IDX ADMRL CL Plan #566 Participants BOY/EOY0 / 0 Assets BOY/EOY$69,904 / $1,969 | 2020 | VANGUARD S-T TRSY IDX ADMRL CL - Plan #566 | 0 / 0 | $69,904 / $1,969 |
2020 | Plan NamePGIM QMA SM CAP VAL CL Q Plan #386 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,022 / $1,962 | 2020 | PGIM QMA SM CAP VAL CL Q - Plan #386 | 0 / 0 | $2,022 / $1,962 |
2020 | Plan NameWILMINGTON TRUST FP IDX+ CONSERV 2035 CL R1 Plan #852 Participants BOY/EOY0 / 0 Assets BOY/EOY$7,378 / $1,754 | 2020 | WILMINGTON TRUST FP IDX+ CONSERV 2035 CL R1 - Plan #852 | 0 / 0 | $7,378 / $1,754 |
2020 | Plan NameWILMINGTON TRUST FP IDX+ CONSERV RETIRE CL R1 Plan #850 Participants BOY/EOY0 / 0 Assets BOY/EOY$103 / $383 | 2020 | WILMINGTON TRUST FP IDX+ CONSERV RETIRE CL R1 - Plan #850 | 0 / 0 | $103 / $383 |
2020 | Plan NameWILMINGTON TRUST FP IDX+ CONSERV 2045 CL R1 Plan #853 Participants BOY/EOY0 / 0 Assets BOY/EOY$15,551 / $164 | 2020 | WILMINGTON TRUST FP IDX+ CONSERV 2045 CL R1 - Plan #853 | 0 / 0 | $15,551 / $164 |
2020 | Plan NameWILMINGTON TRUST FP IDX+ AGGRES 2025 CL R1 Plan #841 Participants BOY/EOY0 / 0 Assets BOY/EOY$42 / $161 | 2020 | WILMINGTON TRUST FP IDX+ AGGRES 2025 CL R1 - Plan #841 | 0 / 0 | $42 / $161 |
2020 | Plan NameWILMINGTON TRUST FP IDX+ AGGRES RETIRE CL R1 Plan #840 Participants BOY/EOY0 / 0 Assets BOY/EOY$42 / $158 | 2020 | WILMINGTON TRUST FP IDX+ AGGRES RETIRE CL R1 - Plan #840 | 0 / 0 | $42 / $158 |
2020 | Plan NameWILMINGTON TRUST FP IDX+ AGGRES 2035 CL R1 Plan #842 Participants BOY/EOY0 / 0 Assets BOY/EOY$15,679 / $83 | 2020 | WILMINGTON TRUST FP IDX+ AGGRES 2035 CL R1 - Plan #842 | 0 / 0 | $15,679 / $83 |
2020 | Plan NamePIMCO CMDTY REAL RTRN STRAT INSTL CL Plan #376 Participants BOY/EOY0 / 0 Assets BOY/EOY$17,404 / $31 | 2020 | PIMCO CMDTY REAL RTRN STRAT INSTL CL - Plan #376 | 0 / 0 | $17,404 / $31 |
2020 | Plan NameWELLS FARGO TGT 2030 CL A Plan #558 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,325,102 / $24 | 2020 | WELLS FARGO TGT 2030 CL A - Plan #558 | 0 / 0 | $4,325,102 / $24 |
2020 | Plan NameWELLS FARGO TGT 2020 CL A Plan #557 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,514,281 / $22 | 2020 | WELLS FARGO TGT 2020 CL A - Plan #557 | 0 / 0 | $3,514,281 / $22 |
2020 | Plan NameWELLS FARGO TGT 2050 CL A Plan #560 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,386,795 / $22 | 2020 | WELLS FARGO TGT 2050 CL A - Plan #560 | 0 / 0 | $4,386,795 / $22 |
2020 | Plan NameTOUCHSTONE INTL EQ CL Y Plan #713 Participants BOY/EOY0 / 0 Assets BOY/EOY$562,158 / $19 | 2020 | TOUCHSTONE INTL EQ CL Y - Plan #713 | 0 / 0 | $562,158 / $19 |
2020 | Plan NamePGIM JENNISON NATURAL RESOURCES CL Z Plan #464 Participants BOY/EOY0 / 0 Assets BOY/EOY$20,119 / $11 | 2020 | PGIM JENNISON NATURAL RESOURCES CL Z - Plan #464 | 0 / 0 | $20,119 / $11 |
2020 | Plan NamePGIM QMA MID CAP VAL CL Z Plan #352 Participants BOY/EOY0 / 0 Assets BOY/EOY$30,889 / $9 | 2020 | PGIM QMA MID CAP VAL CL Z - Plan #352 | 0 / 0 | $30,889 / $9 |
2020 | Plan NameBNY MELLON INTL CORE EQ I CL Plan #760 Participants BOY/EOY0 / 0 Assets BOY/EOY$467,670 / $5 | 2020 | BNY MELLON INTL CORE EQ I CL - Plan #760 | 0 / 0 | $467,670 / $5 |
2020 | Plan NameWELLS FARGO TGT 2010 CL A Plan #556 Participants BOY/EOY0 / 0 Assets BOY/EOY$886,957 / $5 | 2020 | WELLS FARGO TGT 2010 CL A - Plan #556 | 0 / 0 | $886,957 / $5 |
2020 | Plan NameGOLDMAN SACHS LRG CAP GROWTH INSIGHTS INV CL Plan #863 Participants BOY/EOY0 / 0 Assets BOY/EOY$38,371 / $4 | 2020 | GOLDMAN SACHS LRG CAP GROWTH INSIGHTS INV CL - Plan #863 | 0 / 0 | $38,371 / $4 |
2020 | Plan NameFRANKLIN TEMPLETON FOREIGN ADV CL Plan #417 Participants BOY/EOY0 / 0 Assets BOY/EOY$309,681 / $4 | 2020 | FRANKLIN TEMPLETON FOREIGN ADV CL - Plan #417 | 0 / 0 | $309,681 / $4 |
2020 | Plan NamePARAMETRIC EMERG MKTS INV CL Plan #243 Participants BOY/EOY0 / 0 Assets BOY/EOY$57,211 / $2 | 2020 | PARAMETRIC EMERG MKTS INV CL - Plan #243 | 0 / 0 | $57,211 / $2 |
2020 | Plan NameMASSMUTUAL SELECT SM CAP GROWTH EQ CL R5 Plan #550 Participants BOY/EOY0 / 0 Assets BOY/EOY$165,819 / $2 | 2020 | MASSMUTUAL SELECT SM CAP GROWTH EQ CL R5 - Plan #550 | 0 / 0 | $165,819 / $2 |
2020 | Plan NameWELLS FARGO TGT TODAY CL A Plan #555 Participants BOY/EOY0 / 0 Assets BOY/EOY$138,935 / $2 | 2020 | WELLS FARGO TGT TODAY CL A - Plan #555 | 0 / 0 | $138,935 / $2 |
2020 | Plan NameTRADEMARK TACTICAL RISK RETIRE CL R Plan #259 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,829,842 / $0 | 2020 | TRADEMARK TACTICAL RISK RETIRE CL R - Plan #259 | 0 / 0 | $1,829,842 / $0 |
2020 | Plan NameALZGI GLBL NAT RES A Plan #652 Participants BOY/EOY0 / 0 Assets BOY/EOY$21,541 / $0 | 2020 | ALZGI GLBL NAT RES A - Plan #652 | 0 / 0 | $21,541 / $0 |
2020 | Plan NameDWS ENHANCED CMDTY STRAT INSTL CL Plan #476 Participants BOY/EOY0 / 0 Assets BOY/EOY$50,009 / $0 | 2020 | DWS ENHANCED CMDTY STRAT INSTL CL - Plan #476 | 0 / 0 | $50,009 / $0 |
2020 | Plan NameIVY HIGH INC CL Y Plan #300 Participants BOY/EOY0 / 0 Assets BOY/EOY$211,014 / $0 | 2020 | IVY HIGH INC CL Y - Plan #300 | 0 / 0 | $211,014 / $0 |
2020 | Plan NameWILMINGTON TRUST SMART_LC 2055 INSTL CLSEPARATE ACCOUNT Plan #648 Participants BOY/EOY0 / 0 Assets BOY/EOY$0 / $0 | 2020 | WILMINGTON TRUST SMART_LC 2055 INSTL CLSEPARATE ACCOUNT - Plan #648 | 0 / 0 | $0 / $0 |
2020 | Plan NameWESTERN ASSET INFL IDX PLUS BOND CL A Plan #255 Participants BOY/EOY0 / 0 Assets BOY/EOY$47,454 / $0 | 2020 | WESTERN ASSET INFL IDX PLUS BOND CL A - Plan #255 | 0 / 0 | $47,454 / $0 |
2020 | Plan NameMFS GLBL EQ CL R3 Plan #372 Participants BOY/EOY0 / 0 Assets BOY/EOY$150,928 / $0 | 2020 | MFS GLBL EQ CL R3 - Plan #372 | 0 / 0 | $150,928 / $0 |
2020 | Plan NameMORGAN STANLEY INSTL GLBL RE I CL Plan #716 Participants BOY/EOY0 / 0 Assets BOY/EOY$68,809 / $0 | 2020 | MORGAN STANLEY INSTL GLBL RE I CL - Plan #716 | 0 / 0 | $68,809 / $0 |
2020 | Plan NameJOHN HANCOCK CLASSIC VAL CL R6 Plan #466 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,297,604 / $0 | 2020 | JOHN HANCOCK CLASSIC VAL CL R6 - Plan #466 | 0 / 0 | $1,297,604 / $0 |
2020 | Plan NameJPMORGAN SM CAP VAL CL A Plan #297 Participants BOY/EOY0 / 0 Assets BOY/EOY$248,873 / $0 | 2020 | JPMORGAN SM CAP VAL CL A - Plan #297 | 0 / 0 | $248,873 / $0 |
2020 | Plan NameAMERICAN CENTURY GLBL BOND CL R6 Plan #641 Participants BOY/EOY0 / 0 Assets BOY/EOY$13,611 / $0 | 2020 | AMERICAN CENTURY GLBL BOND CL R6 - Plan #641 | 0 / 0 | $13,611 / $0 |
2020 | Plan NameDFA S-T GOVT INSTL CL Plan #751 Participants BOY/EOY0 / 0 Assets BOY/EOY$18,181 / $0 | 2020 | DFA S-T GOVT INSTL CL - Plan #751 | 0 / 0 | $18,181 / $0 |
2020 | Plan NameAB DISC VAL CL Z Plan #777 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,936,656 / $0 | 2020 | AB DISC VAL CL Z - Plan #777 | 0 / 0 | $1,936,656 / $0 |
2020 | Plan NameWELLS FARGO TGT 2040 CL A Plan #559 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,738,532 / $0 | 2020 | WELLS FARGO TGT 2040 CL A - Plan #559 | 0 / 0 | $3,738,532 / $0 |
2019 | Plan NameMASTER SEPARATE ACCOUNT Plan #900 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,665,223,964 / $2,682,338,459 | 2019 | MASTER SEPARATE ACCOUNT - Plan #900 | 0 / 0 | $1,665,223,964 / $2,682,338,459 |
2019 | Plan NameSECURIAN AM S&P 500 INDEX SEPARATE ACCOUNT Plan #011 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,124,608,148 / $1,478,995,356 | 2019 | SECURIAN AM S&P 500 INDEX SEPARATE ACCOUNT - Plan #011 | 0 / 0 | $1,124,608,148 / $1,478,995,356 |
2019 | Plan NameJANUS OPPORTUNISTIC GROWTH SEPARATE ACCOUNT Plan #266 Participants BOY/EOY0 / 0 Assets BOY/EOY$364,750,823 / $485,385,834 | 2019 | JANUS OPPORTUNISTIC GROWTH SEPARATE ACCOUNT - Plan #266 | 0 / 0 | $364,750,823 / $485,385,834 |
2019 | Plan NameT. ROWE PRICE LARGE CAP VALUE SEPARATE ACCOUNT Plan #030 Participants BOY/EOY0 / 0 Assets BOY/EOY$315,602,463 / $402,592,679 | 2019 | T. ROWE PRICE LARGE CAP VALUE SEPARATE ACCOUNT - Plan #030 | 0 / 0 | $315,602,463 / $402,592,679 |
2019 | Plan NameVANGUARD LIFESTRATEGY GROWTH SEPARATE ACCOUNT Plan #026 Participants BOY/EOY0 / 0 Assets BOY/EOY$343,395,818 / $397,567,191 | 2019 | VANGUARD LIFESTRATEGY GROWTH SEPARATE ACCOUNT - Plan #026 | 0 / 0 | $343,395,818 / $397,567,191 |
2019 | Plan NameVANGUARD LIFESTRATEGY MOD GROWTH SEPARATE ACCOUNT Plan #027 Participants BOY/EOY0 / 0 Assets BOY/EOY$342,800,408 / $388,972,077 | 2019 | VANGUARD LIFESTRATEGY MOD GROWTH SEPARATE ACCOUNT - Plan #027 | 0 / 0 | $342,800,408 / $388,972,077 |
2019 | Plan NameTIAA-CREF INTL EQ INDEX INSTL SEPARATE ACCOUNT Plan #788 Participants BOY/EOY0 / 0 Assets BOY/EOY$282,852,614 / $373,552,308 | 2019 | TIAA-CREF INTL EQ INDEX INSTL SEPARATE ACCOUNT - Plan #788 | 0 / 0 | $282,852,614 / $373,552,308 |
2019 | Plan NameDODGE & COX INTL STOCK FUND SEPARATE ACCOUNT Plan #102 Participants BOY/EOY0 / 0 Assets BOY/EOY$290,557,498 / $360,035,913 | 2019 | DODGE & COX INTL STOCK FUND SEPARATE ACCOUNT - Plan #102 | 0 / 0 | $290,557,498 / $360,035,913 |
2019 | Plan NameVANGUARD INTERM BOND INDEX ADMIRAL SEPARATE ACCOUNT Plan #113 Participants BOY/EOY0 / 0 Assets BOY/EOY$315,906,826 / $352,260,590 | 2019 | VANGUARD INTERM BOND INDEX ADMIRAL SEPARATE ACCOUNT - Plan #113 | 0 / 0 | $315,906,826 / $352,260,590 |
2019 | Plan NameMET WEST TOTAL RETURN BOND ADM SEPARATE ACCOUNT Plan #236 Participants BOY/EOY0 / 0 Assets BOY/EOY$284,817,915 / $297,003,560 | 2019 | MET WEST TOTAL RETURN BOND ADM SEPARATE ACCOUNT - Plan #236 | 0 / 0 | $284,817,915 / $297,003,560 |
2019 | Plan NameDFA US LARGE CAP VALUE PORT SEPARATE ACCOUNT Plan #105 Participants BOY/EOY0 / 0 Assets BOY/EOY$198,377,781 / $248,368,355 | 2019 | DFA US LARGE CAP VALUE PORT SEPARATE ACCOUNT - Plan #105 | 0 / 0 | $198,377,781 / $248,368,355 |
2019 | Plan NameTEMPLETON GLOBAL BOND A SEPARATE ACCOUNT Plan #136 Participants BOY/EOY0 / 0 Assets BOY/EOY$237,136,693 / $243,225,626 | 2019 | TEMPLETON GLOBAL BOND A SEPARATE ACCOUNT - Plan #136 | 0 / 0 | $237,136,693 / $243,225,626 |
2019 | Plan NameINVESCO INTL GROWTH R5 SEPARATE ACCOUNT Plan #199 Participants BOY/EOY0 / 0 Assets BOY/EOY$188,443,304 / $234,572,235 | 2019 | INVESCO INTL GROWTH R5 SEPARATE ACCOUNT - Plan #199 | 0 / 0 | $188,443,304 / $234,572,235 |
2019 | Plan NameDISCIPLINED GRO MID CAP GRO SEPARATE ACCOUNT Plan #059 Participants BOY/EOY0 / 0 Assets BOY/EOY$190,938,034 / $227,296,457 | 2019 | DISCIPLINED GRO MID CAP GRO SEPARATE ACCOUNT - Plan #059 | 0 / 0 | $190,938,034 / $227,296,457 |
2019 | Plan NameMORGAN STANLEY LARGE CAP GROWTH SEPARATE ACCOUNT Plan #768 Participants BOY/EOY0 / 0 Assets BOY/EOY$177,953,078 / $212,371,860 | 2019 | MORGAN STANLEY LARGE CAP GROWTH SEPARATE ACCOUNT - Plan #768 | 0 / 0 | $177,953,078 / $212,371,860 |
2019 | Plan NameVANGUARD INTRM BOND INDEX INSTL SEPARATE ACCOUNT Plan #187 Participants BOY/EOY0 / 0 Assets BOY/EOY$172,138,460 / $206,260,125 | 2019 | VANGUARD INTRM BOND INDEX INSTL SEPARATE ACCOUNT - Plan #187 | 0 / 0 | $172,138,460 / $206,260,125 |
2019 | Plan NameSECURIAN AM MONEY MARKET SEPARATE ACCOUNT Plan #009 Participants BOY/EOY0 / 0 Assets BOY/EOY$207,594,967 / $202,363,002 | 2019 | SECURIAN AM MONEY MARKET SEPARATE ACCOUNT - Plan #009 | 0 / 0 | $207,594,967 / $202,363,002 |
2019 | Plan NameSCHWAB FDMTL US LARGE CO INDEX SEPARATE ACCOUNT Plan #771 Participants BOY/EOY0 / 0 Assets BOY/EOY$152,828,459 / $188,921,351 | 2019 | SCHWAB FDMTL US LARGE CO INDEX SEPARATE ACCOUNT - Plan #771 | 0 / 0 | $152,828,459 / $188,921,351 |
2019 | Plan NameVANGUARD 500 INDEX ADMIRAL SEPARATE ACCOUNT Plan #293 Participants BOY/EOY0 / 0 Assets BOY/EOY$130,825,482 / $187,398,310 | 2019 | VANGUARD 500 INDEX ADMIRAL SEPARATE ACCOUNT - Plan #293 | 0 / 0 | $130,825,482 / $187,398,310 |
2019 | Plan NameVANGUARD TOT BOND MKT INDEX ADMIRAL SEPARATE ACCOUNT Plan #154 Participants BOY/EOY0 / 0 Assets BOY/EOY$149,222,845 / $186,368,839 | 2019 | VANGUARD TOT BOND MKT INDEX ADMIRAL SEPARATE ACCOUNT - Plan #154 | 0 / 0 | $149,222,845 / $186,368,839 |
2019 | Plan NameDODGE & COX STOCK FUND SEPARATE ACCOUNT Plan #042 Participants BOY/EOY0 / 0 Assets BOY/EOY$143,350,602 / $178,247,976 | 2019 | DODGE & COX STOCK FUND SEPARATE ACCOUNT - Plan #042 | 0 / 0 | $143,350,602 / $178,247,976 |
2019 | Plan NameINVESCO DIVERSFIED DIVIDEND R5 SEPARATE ACCOUNT Plan #283 Participants BOY/EOY0 / 0 Assets BOY/EOY$135,509,559 / $173,849,763 | 2019 | INVESCO DIVERSFIED DIVIDEND R5 SEPARATE ACCOUNT - Plan #283 | 0 / 0 | $135,509,559 / $173,849,763 |
2019 | Plan NameVANGUARD LIFESTRATEGY CONSERV GROWTH SEPARATE ACCOUNT Plan #028 Participants BOY/EOY0 / 0 Assets BOY/EOY$141,600,347 / $167,289,812 | 2019 | VANGUARD LIFESTRATEGY CONSERV GROWTH SEPARATE ACCOUNT - Plan #028 | 0 / 0 | $141,600,347 / $167,289,812 |
2019 | Plan NameVANGUARD EXTENDED MKT INDEX ADMIRAL SEPARATE ACCOUNT Plan #112 Participants BOY/EOY0 / 0 Assets BOY/EOY$114,109,050 / $150,696,117 | 2019 | VANGUARD EXTENDED MKT INDEX ADMIRAL SEPARATE ACCOUNT - Plan #112 | 0 / 0 | $114,109,050 / $150,696,117 |
2019 | Plan NameJANUS HENDERSON TRITON N SEPARATE ACCOUNT Plan #223 Participants BOY/EOY0 / 0 Assets BOY/EOY$98,557,462 / $129,687,063 | 2019 | JANUS HENDERSON TRITON N SEPARATE ACCOUNT - Plan #223 | 0 / 0 | $98,557,462 / $129,687,063 |
2019 | Plan NameADVISOR 401(K) RETIREMENT PLAN Plan #006 Participants BOY/EOY1,161 / 1,170 Assets BOY/EOY$104,951,811 / $129,207,579 | 2019 | ADVISOR 401(K) RETIREMENT PLAN - Plan #006 | 1,161 / 1,170 | $104,951,811 / $129,207,579 |
2019 | Plan NameDFA INTL VALUE PORT SEPARATE ACCOUNT Plan #110 Participants BOY/EOY0 / 0 Assets BOY/EOY$100,219,278 / $124,466,556 | 2019 | DFA INTL VALUE PORT SEPARATE ACCOUNT - Plan #110 | 0 / 0 | $100,219,278 / $124,466,556 |
2019 | Plan NameVANGUARD EQUITY-INCOME ADMIRAL SEPARATE ACCOUNT Plan #333 Participants BOY/EOY0 / 0 Assets BOY/EOY$93,325,721 / $121,316,754 | 2019 | VANGUARD EQUITY-INCOME ADMIRAL SEPARATE ACCOUNT - Plan #333 | 0 / 0 | $93,325,721 / $121,316,754 |
2019 | Plan NameSECURIAN AM S&P 500/CITIGROUP SEPARATE ACCOUNT Plan #032 Participants BOY/EOY0 / 0 Assets BOY/EOY$98,783,958 / $120,777,375 | 2019 | SECURIAN AM S&P 500/CITIGROUP SEPARATE ACCOUNT - Plan #032 | 0 / 0 | $98,783,958 / $120,777,375 |
2019 | Plan NameINVESCO COMSTOCK FUND R5 SEPARATE ACCOUNT Plan #055 Participants BOY/EOY0 / 0 Assets BOY/EOY$98,463,020 / $117,980,461 | 2019 | INVESCO COMSTOCK FUND R5 SEPARATE ACCOUNT - Plan #055 | 0 / 0 | $98,463,020 / $117,980,461 |
2019 | Plan NameIVY SMALL CAP GROWTH SEPARATE ACCOUNT Plan #062 Participants BOY/EOY0 / 0 Assets BOY/EOY$98,574,101 / $117,502,995 | 2019 | IVY SMALL CAP GROWTH SEPARATE ACCOUNT - Plan #062 | 0 / 0 | $98,574,101 / $117,502,995 |
2019 | Plan NameT. ROWE PRICE SMALL CAP STOCK SEPARATE ACCOUNT Plan #035 Participants BOY/EOY0 / 0 Assets BOY/EOY$88,181,705 / $117,407,504 | 2019 | T. ROWE PRICE SMALL CAP STOCK SEPARATE ACCOUNT - Plan #035 | 0 / 0 | $88,181,705 / $117,407,504 |
2019 | Plan NameALGER CAPITAL APPRECIATION SEPARATE ACCOUNT Plan #267 Participants BOY/EOY0 / 0 Assets BOY/EOY$88,227,642 / $113,015,608 | 2019 | ALGER CAPITAL APPRECIATION SEPARATE ACCOUNT - Plan #267 | 0 / 0 | $88,227,642 / $113,015,608 |
2019 | Plan NamePERKINS SMALL CAP VALUE SEPARATE ACCOUNT Plan #152 Participants BOY/EOY0 / 0 Assets BOY/EOY$85,507,222 / $106,068,853 | 2019 | PERKINS SMALL CAP VALUE SEPARATE ACCOUNT - Plan #152 | 0 / 0 | $85,507,222 / $106,068,853 |
2019 | Plan NameVANGUARD SMALL CAP INDEX ADM SEPARATE ACCOUNT Plan #178 Participants BOY/EOY0 / 0 Assets BOY/EOY$75,472,943 / $105,107,229 | 2019 | VANGUARD SMALL CAP INDEX ADM SEPARATE ACCOUNT - Plan #178 | 0 / 0 | $75,472,943 / $105,107,229 |
2019 | Plan NameT. ROWE PRICE HEALTH SCIENCES SEPARATE ACCOUNT Plan #196 Participants BOY/EOY0 / 0 Assets BOY/EOY$92,162,959 / $103,174,986 | 2019 | T. ROWE PRICE HEALTH SCIENCES SEPARATE ACCOUNT - Plan #196 | 0 / 0 | $92,162,959 / $103,174,986 |
2019 | Plan NameAMER FUNDS GROWTH FUND OF AMER R6 SEPARATE ACCOUNT Plan #181 Participants BOY/EOY0 / 0 Assets BOY/EOY$82,458,602 / $102,557,390 | 2019 | AMER FUNDS GROWTH FUND OF AMER R6 SEPARATE ACCOUNT - Plan #181 | 0 / 0 | $82,458,602 / $102,557,390 |
2019 | Plan NameVANGUARD TARGET RET 2030 INV SEPARATE ACCOUNT Plan #207 Participants BOY/EOY0 / 0 Assets BOY/EOY$64,552,479 / $101,580,584 | 2019 | VANGUARD TARGET RET 2030 INV SEPARATE ACCOUNT - Plan #207 | 0 / 0 | $64,552,479 / $101,580,584 |
2019 | Plan NameDFA US TARGETED VALUE PORT SEPARATE ACCOUNT Plan #127 Participants BOY/EOY0 / 0 Assets BOY/EOY$80,085,464 / $100,941,717 | 2019 | DFA US TARGETED VALUE PORT SEPARATE ACCOUNT - Plan #127 | 0 / 0 | $80,085,464 / $100,941,717 |
2019 | Plan NameVANGUARD SMALL-CAP GRO INDEX ADM SEPARATE ACCOUNT Plan #132 Participants BOY/EOY0 / 0 Assets BOY/EOY$79,374,823 / $100,589,597 | 2019 | VANGUARD SMALL-CAP GRO INDEX ADM SEPARATE ACCOUNT - Plan #132 | 0 / 0 | $79,374,823 / $100,589,597 |
2019 | Plan NameVANGUARD MID CAP INDEX ADMIRAL SEPARATE ACCOUNT Plan #174 Participants BOY/EOY0 / 0 Assets BOY/EOY$67,111,371 / $96,492,354 | 2019 | VANGUARD MID CAP INDEX ADMIRAL SEPARATE ACCOUNT - Plan #174 | 0 / 0 | $67,111,371 / $96,492,354 |
2019 | Plan NameIVY LARGE CAP GROWTH SEPARATE ACCOUNT Plan #060 Participants BOY/EOY0 / 0 Assets BOY/EOY$71,888,884 / $92,496,292 | 2019 | IVY LARGE CAP GROWTH SEPARATE ACCOUNT - Plan #060 | 0 / 0 | $71,888,884 / $92,496,292 |
2019 | Plan NameLOOMIS SAYLES INVSTM GR BOND ADM SEPARATE ACCOUNT Plan #138 Participants BOY/EOY0 / 0 Assets BOY/EOY$92,429,457 / $92,147,429 | 2019 | LOOMIS SAYLES INVSTM GR BOND ADM SEPARATE ACCOUNT - Plan #138 | 0 / 0 | $92,429,457 / $92,147,429 |
2019 | Plan NameDFA US SMALL CAP PORTFOLIO SEPARATE ACCOUNT Plan #077 Participants BOY/EOY0 / 0 Assets BOY/EOY$79,845,980 / $90,998,984 | 2019 | DFA US SMALL CAP PORTFOLIO SEPARATE ACCOUNT - Plan #077 | 0 / 0 | $79,845,980 / $90,998,984 |
2019 | Plan NameVANGUARD TARGET RET 2035 INV SEPARATE ACCOUNT Plan #208 Participants BOY/EOY0 / 0 Assets BOY/EOY$57,634,976 / $90,322,362 | 2019 | VANGUARD TARGET RET 2035 INV SEPARATE ACCOUNT - Plan #208 | 0 / 0 | $57,634,976 / $90,322,362 |
2019 | Plan NameHOTCHKIS & WILEY LARGE CAP VALUE SEPARATE ACCOUNT Plan #095 Participants BOY/EOY0 / 0 Assets BOY/EOY$64,855,829 / $87,188,853 | 2019 | HOTCHKIS & WILEY LARGE CAP VALUE SEPARATE ACCOUNT - Plan #095 | 0 / 0 | $64,855,829 / $87,188,853 |
2019 | Plan NameIVY SECURIAN REAL ESTATE SEC CL Y SEPARATE ACCOUNT Plan #036 Participants BOY/EOY0 / 0 Assets BOY/EOY$81,177,690 / $86,578,567 | 2019 | IVY SECURIAN REAL ESTATE SEC CL Y SEPARATE ACCOUNT - Plan #036 | 0 / 0 | $81,177,690 / $86,578,567 |
2019 | Plan NameLOOMIS SAYLES BOND INSTL SEPARATE ACCOUNT Plan #123 Participants BOY/EOY0 / 0 Assets BOY/EOY$85,490,060 / $85,748,314 | 2019 | LOOMIS SAYLES BOND INSTL SEPARATE ACCOUNT - Plan #123 | 0 / 0 | $85,490,060 / $85,748,314 |
2019 | Plan NameDFA INFL-PROTECTED SEC PORT I SEPARATE ACCOUNT Plan #221 Participants BOY/EOY0 / 0 Assets BOY/EOY$80,369,716 / $83,871,418 | 2019 | DFA INFL-PROTECTED SEC PORT I SEPARATE ACCOUNT - Plan #221 | 0 / 0 | $80,369,716 / $83,871,418 |
2019 | Plan NameCOLUMBIA CONTRARIAN CORE SEPARATE ACCOUNT Plan #765 Participants BOY/EOY0 / 0 Assets BOY/EOY$75,189,802 / $83,757,827 | 2019 | COLUMBIA CONTRARIAN CORE SEPARATE ACCOUNT - Plan #765 | 0 / 0 | $75,189,802 / $83,757,827 |
2019 | Plan NameSECURIAN AM LONG DURATION BOND SEPARATE ACCOUNT Plan #239 Participants BOY/EOY0 / 0 Assets BOY/EOY$69,378,882 / $83,528,564 | 2019 | SECURIAN AM LONG DURATION BOND SEPARATE ACCOUNT - Plan #239 | 0 / 0 | $69,378,882 / $83,528,564 |
2019 | Plan NameFIDELITY 500 INDEX SEPARATE ACCOUNT Plan #730 Participants BOY/EOY0 / 0 Assets BOY/EOY$17,349,986 / $82,676,405 | 2019 | FIDELITY 500 INDEX SEPARATE ACCOUNT - Plan #730 | 0 / 0 | $17,349,986 / $82,676,405 |
2019 | Plan NameVANGUARD TARGET RET 2025 INV SEPARATE ACCOUNT Plan #206 Participants BOY/EOY0 / 0 Assets BOY/EOY$52,964,393 / $80,884,718 | 2019 | VANGUARD TARGET RET 2025 INV SEPARATE ACCOUNT - Plan #206 | 0 / 0 | $52,964,393 / $80,884,718 |
2019 | Plan NameINVESCO EQUITY AND INCOME R5 SEPARATE ACCOUNT Plan #054 Participants BOY/EOY0 / 0 Assets BOY/EOY$70,808,486 / $78,122,724 | 2019 | INVESCO EQUITY AND INCOME R5 SEPARATE ACCOUNT - Plan #054 | 0 / 0 | $70,808,486 / $78,122,724 |
2019 | Plan NameSECURIAN AM S&P 500/CITIGROUP SEPARATE ACCOUNT Plan #031 Participants BOY/EOY0 / 0 Assets BOY/EOY$64,368,285 / $77,194,100 | 2019 | SECURIAN AM S&P 500/CITIGROUP SEPARATE ACCOUNT - Plan #031 | 0 / 0 | $64,368,285 / $77,194,100 |
2019 | Plan NameDISCIPLINED GRO SMALL CAP GRO SEPARATE ACCOUNT Plan #170 Participants BOY/EOY0 / 0 Assets BOY/EOY$66,592,504 / $76,934,138 | 2019 | DISCIPLINED GRO SMALL CAP GRO SEPARATE ACCOUNT - Plan #170 | 0 / 0 | $66,592,504 / $76,934,138 |
2019 | Plan NameMFS MID CAP GROWTH SEPARATE ACCOUNT Plan #783 Participants BOY/EOY0 / 0 Assets BOY/EOY$53,175,626 / $74,173,244 | 2019 | MFS MID CAP GROWTH SEPARATE ACCOUNT - Plan #783 | 0 / 0 | $53,175,626 / $74,173,244 |
2019 | Plan NameMORGAN STANLEY INST INTL OPP I SEPARATE ACCOUNT Plan #770 Participants BOY/EOY0 / 0 Assets BOY/EOY$42,528,852 / $70,066,032 | 2019 | MORGAN STANLEY INST INTL OPP I SEPARATE ACCOUNT - Plan #770 | 0 / 0 | $42,528,852 / $70,066,032 |
2019 | Plan NameGW&K SMALL CAP GROWTH SEPARATE ACCOUNT Plan #238 Participants BOY/EOY0 / 0 Assets BOY/EOY$52,216,256 / $68,890,968 | 2019 | GW&K SMALL CAP GROWTH SEPARATE ACCOUNT - Plan #238 | 0 / 0 | $52,216,256 / $68,890,968 |
2019 | Plan NameLAZARD INTERNATIONAL STRATEGIC EQUITY SEPARATE ACCOUNT Plan #235 Participants BOY/EOY0 / 0 Assets BOY/EOY$59,826,812 / $65,186,935 | 2019 | LAZARD INTERNATIONAL STRATEGIC EQUITY SEPARATE ACCOUNT - Plan #235 | 0 / 0 | $59,826,812 / $65,186,935 |
2019 | Plan NameBARON GROWTH EQUITY SEPARATE ACCOUNT Plan #075 Participants BOY/EOY0 / 0 Assets BOY/EOY$52,001,918 / $64,916,931 | 2019 | BARON GROWTH EQUITY SEPARATE ACCOUNT - Plan #075 | 0 / 0 | $52,001,918 / $64,916,931 |
2019 | Plan NamePIMCO INVSTMT GR CREDIT BOND INSTL SEPARATE ACCOUNT Plan #142 Participants BOY/EOY0 / 0 Assets BOY/EOY$49,059,561 / $62,141,774 | 2019 | PIMCO INVSTMT GR CREDIT BOND INSTL SEPARATE ACCOUNT - Plan #142 | 0 / 0 | $49,059,561 / $62,141,774 |
2019 | Plan NameVANGUARD TARGET RET 2040 INV SEPARATE ACCOUNT Plan #209 Participants BOY/EOY0 / 0 Assets BOY/EOY$36,603,471 / $61,258,986 | 2019 | VANGUARD TARGET RET 2040 INV SEPARATE ACCOUNT - Plan #209 | 0 / 0 | $36,603,471 / $61,258,986 |
2019 | Plan NameVANGUARD WELLESLEY INCOME ADMIRAL SEPARATE ACCOUNT Plan #115 Participants BOY/EOY0 / 0 Assets BOY/EOY$49,383,259 / $55,472,272 | 2019 | VANGUARD WELLESLEY INCOME ADMIRAL SEPARATE ACCOUNT - Plan #115 | 0 / 0 | $49,383,259 / $55,472,272 |
2019 | Plan NameVANGUARD TARGET RET 2045 INV SEPARATE ACCOUNT Plan #210 Participants BOY/EOY0 / 0 Assets BOY/EOY$30,230,081 / $55,440,163 | 2019 | VANGUARD TARGET RET 2045 INV SEPARATE ACCOUNT - Plan #210 | 0 / 0 | $30,230,081 / $55,440,163 |
2019 | Plan NameVANGUARD TOT STK MKT INDEX ADMIRAL SEPARATE ACCOUNT Plan #180 Participants BOY/EOY0 / 0 Assets BOY/EOY$32,197,195 / $54,968,419 | 2019 | VANGUARD TOT STK MKT INDEX ADMIRAL SEPARATE ACCOUNT - Plan #180 | 0 / 0 | $32,197,195 / $54,968,419 |
2019 | Plan NameAMER FUNDS NEW PERSP FUND R6 SEPARATE ACCOUNT Plan #183 Participants BOY/EOY0 / 0 Assets BOY/EOY$34,576,940 / $53,171,323 | 2019 | AMER FUNDS NEW PERSP FUND R6 SEPARATE ACCOUNT - Plan #183 | 0 / 0 | $34,576,940 / $53,171,323 |
2019 | Plan NameRIVER ROAD SMALL CAP VALUE SEPARATE ACCOUNT Plan #109 Participants BOY/EOY0 / 0 Assets BOY/EOY$40,112,502 / $52,895,232 | 2019 | RIVER ROAD SMALL CAP VALUE SEPARATE ACCOUNT - Plan #109 | 0 / 0 | $40,112,502 / $52,895,232 |
2019 | Plan NameVANGUARD TARGET RET 2020 INV SEPARATE ACCOUNT Plan #205 Participants BOY/EOY0 / 0 Assets BOY/EOY$39,282,069 / $52,636,267 | 2019 | VANGUARD TARGET RET 2020 INV SEPARATE ACCOUNT - Plan #205 | 0 / 0 | $39,282,069 / $52,636,267 |
2019 | Plan NameVANGUARD LONG TERM INV GR ADMIRAL SEPARATE ACCOUNT Plan #114 Participants BOY/EOY0 / 0 Assets BOY/EOY$36,229,884 / $51,911,524 | 2019 | VANGUARD LONG TERM INV GR ADMIRAL SEPARATE ACCOUNT - Plan #114 | 0 / 0 | $36,229,884 / $51,911,524 |
2019 | Plan NameHOTCHKIS & WILEY HIGH YIELD I SEPARATE ACCOUNT Plan #232 Participants BOY/EOY0 / 0 Assets BOY/EOY$42,179,425 / $47,151,298 | 2019 | HOTCHKIS & WILEY HIGH YIELD I SEPARATE ACCOUNT - Plan #232 | 0 / 0 | $42,179,425 / $47,151,298 |
2019 | Plan NameDODGE & COX INCOME FUND SEPARATE ACCOUNT Plan #156 Participants BOY/EOY0 / 0 Assets BOY/EOY$30,937,521 / $46,062,131 | 2019 | DODGE & COX INCOME FUND SEPARATE ACCOUNT - Plan #156 | 0 / 0 | $30,937,521 / $46,062,131 |
2019 | Plan NameVANGUARD TARGET RET 2050 INV SEPARATE ACCOUNT Plan #211 Participants BOY/EOY0 / 0 Assets BOY/EOY$24,400,882 / $44,603,221 | 2019 | VANGUARD TARGET RET 2050 INV SEPARATE ACCOUNT - Plan #211 | 0 / 0 | $24,400,882 / $44,603,221 |
2019 | Plan NameVANGUARD TOT STK MKT INDEX INSTL SEPARATE ACCOUNT Plan #190 Participants BOY/EOY0 / 0 Assets BOY/EOY$47,023,957 / $42,030,606 | 2019 | VANGUARD TOT STK MKT INDEX INSTL SEPARATE ACCOUNT - Plan #190 | 0 / 0 | $47,023,957 / $42,030,606 |
2019 | Plan NameFIDELITY REAL ESTATE INDEX SEPARATE ACCOUNT Plan #737 Participants BOY/EOY0 / 0 Assets BOY/EOY$22,456,384 / $40,469,523 | 2019 | FIDELITY REAL ESTATE INDEX SEPARATE ACCOUNT - Plan #737 | 0 / 0 | $22,456,384 / $40,469,523 |
2019 | Plan NameCOLUMBIA LTD DURATION CREDIT ADV SEPARATE ACCOUNT Plan #270 Participants BOY/EOY0 / 0 Assets BOY/EOY$36,883,662 / $40,193,304 | 2019 | COLUMBIA LTD DURATION CREDIT ADV SEPARATE ACCOUNT - Plan #270 | 0 / 0 | $36,883,662 / $40,193,304 |
2019 | Plan NameMFS MID CAP VALUE SEPARATE ACCOUNT Plan #782 Participants BOY/EOY0 / 0 Assets BOY/EOY$30,040,008 / $40,033,632 | 2019 | MFS MID CAP VALUE SEPARATE ACCOUNT - Plan #782 | 0 / 0 | $30,040,008 / $40,033,632 |
2019 | Plan NameVANGUARD MID CAP VAL INDEX ADMIRAL SEPARATE ACCOUNT Plan #176 Participants BOY/EOY0 / 0 Assets BOY/EOY$29,563,264 / $38,667,975 | 2019 | VANGUARD MID CAP VAL INDEX ADMIRAL SEPARATE ACCOUNT - Plan #176 | 0 / 0 | $29,563,264 / $38,667,975 |
2019 | Plan NamePGIM TOTAL RETURN BOND Z SEPARATE ACCOUNT Plan #382 Participants BOY/EOY0 / 0 Assets BOY/EOY$12,936,752 / $37,331,821 | 2019 | PGIM TOTAL RETURN BOND Z SEPARATE ACCOUNT - Plan #382 | 0 / 0 | $12,936,752 / $37,331,821 |
2019 | Plan NameAB DISCOVERY VALUE ADV SEPARATE ACCOUNT Plan #107 Participants BOY/EOY0 / 0 Assets BOY/EOY$26,649,848 / $37,239,620 | 2019 | AB DISCOVERY VALUE ADV SEPARATE ACCOUNT - Plan #107 | 0 / 0 | $26,649,848 / $37,239,620 |
2019 | Plan NameDFA EMERGING MKTS VAL PORT I SEPARATE ACCOUNT Plan #128 Participants BOY/EOY0 / 0 Assets BOY/EOY$36,209,862 / $36,309,352 | 2019 | DFA EMERGING MKTS VAL PORT I SEPARATE ACCOUNT - Plan #128 | 0 / 0 | $36,209,862 / $36,309,352 |
2019 | Plan NameVANGUARD MID CAP GRO INDEX ADMIRAL SEPARATE ACCOUNT Plan #175 Participants BOY/EOY0 / 0 Assets BOY/EOY$26,202,483 / $36,254,434 | 2019 | VANGUARD MID CAP GRO INDEX ADMIRAL SEPARATE ACCOUNT - Plan #175 | 0 / 0 | $26,202,483 / $36,254,434 |
2019 | Plan NameISHARES S&P 500 INDEX FUND SEPARATE ACCOUNT Plan #658 Participants BOY/EOY0 / 0 Assets BOY/EOY$25,029,625 / $35,957,506 | 2019 | ISHARES S&P 500 INDEX FUND SEPARATE ACCOUNT - Plan #658 | 0 / 0 | $25,029,625 / $35,957,506 |
2019 | Plan NameVANGUARD SMALL-CAP VALUE INDEX ADM SEPARATE ACCOUNT Plan #133 Participants BOY/EOY0 / 0 Assets BOY/EOY$26,881,645 / $35,522,425 | 2019 | VANGUARD SMALL-CAP VALUE INDEX ADM SEPARATE ACCOUNT - Plan #133 | 0 / 0 | $26,881,645 / $35,522,425 |
2019 | Plan NameAMER FUNDS EUROPACIFIC GR R6 SEPARATE ACCOUNT Plan #286 Participants BOY/EOY0 / 0 Assets BOY/EOY$16,299,495 / $34,103,265 | 2019 | AMER FUNDS EUROPACIFIC GR R6 SEPARATE ACCOUNT - Plan #286 | 0 / 0 | $16,299,495 / $34,103,265 |
2019 | Plan NameINVESCO OPPHMR INTL GROWTH SEPARATE ACCOUNT Plan #277 Participants BOY/EOY0 / 0 Assets BOY/EOY$29,531,282 / $32,001,798 | 2019 | INVESCO OPPHMR INTL GROWTH SEPARATE ACCOUNT - Plan #277 | 0 / 0 | $29,531,282 / $32,001,798 |
2019 | Plan NameINVESCO SMALL CAP VALUE CL Y SEPARATE ACCOUNT Plan #151 Participants BOY/EOY0 / 0 Assets BOY/EOY$25,640,984 / $31,769,760 | 2019 | INVESCO SMALL CAP VALUE CL Y SEPARATE ACCOUNT - Plan #151 | 0 / 0 | $25,640,984 / $31,769,760 |
2019 | Plan NameAMER CENTURY EQUITY INC R6 SEPARATE ACCOUNT Plan #058 Participants BOY/EOY0 / 0 Assets BOY/EOY$25,733,724 / $30,752,786 | 2019 | AMER CENTURY EQUITY INC R6 SEPARATE ACCOUNT - Plan #058 | 0 / 0 | $25,733,724 / $30,752,786 |
2019 | Plan NameHOOD RIVER SMALL CAP GRO INSTL SEPARATE ACCOUNT Plan #278 Participants BOY/EOY0 / 0 Assets BOY/EOY$28,037,557 / $30,129,132 | 2019 | HOOD RIVER SMALL CAP GRO INSTL SEPARATE ACCOUNT - Plan #278 | 0 / 0 | $28,037,557 / $30,129,132 |
2019 | Plan NameJANUS HENDERSON MID CAP VALUE N SEPARATE ACCOUNT Plan #043 Participants BOY/EOY0 / 0 Assets BOY/EOY$24,381,859 / $29,837,135 | 2019 | JANUS HENDERSON MID CAP VALUE N SEPARATE ACCOUNT - Plan #043 | 0 / 0 | $24,381,859 / $29,837,135 |
2019 | Plan NameAMER FUNDS AMER BAL R6 SEPARATE ACCOUNT Plan #330 Participants BOY/EOY0 / 0 Assets BOY/EOY$7,722,533 / $28,928,541 | 2019 | AMER FUNDS AMER BAL R6 SEPARATE ACCOUNT - Plan #330 | 0 / 0 | $7,722,533 / $28,928,541 |
2019 | Plan NameT. ROWE PRICE MID CAP VAL FUND SEPARATE ACCOUNT Plan #018 Participants BOY/EOY0 / 0 Assets BOY/EOY$24,842,044 / $28,395,091 | 2019 | T. ROWE PRICE MID CAP VAL FUND SEPARATE ACCOUNT - Plan #018 | 0 / 0 | $24,842,044 / $28,395,091 |
2019 | Plan NameT. ROWE PRICE INTL STOCK INV SEPARATE ACCOUNT Plan #160 Participants BOY/EOY0 / 0 Assets BOY/EOY$19,282,793 / $28,221,598 | 2019 | T. ROWE PRICE INTL STOCK INV SEPARATE ACCOUNT - Plan #160 | 0 / 0 | $19,282,793 / $28,221,598 |
2019 | Plan NameSECURIAN AM CORE BOND SEPARATE ACCOUNT Plan #240 Participants BOY/EOY0 / 0 Assets BOY/EOY$103,128,716 / $27,752,999 | 2019 | SECURIAN AM CORE BOND SEPARATE ACCOUNT - Plan #240 | 0 / 0 | $103,128,716 / $27,752,999 |
2019 | Plan NameVANGUARD EXTENDED MARKET INSTL SEPARATE ACCOUNT Plan #193 Participants BOY/EOY0 / 0 Assets BOY/EOY$21,874,381 / $27,428,788 | 2019 | VANGUARD EXTENDED MARKET INSTL SEPARATE ACCOUNT - Plan #193 | 0 / 0 | $21,874,381 / $27,428,788 |
2019 | Plan NameRELIANCE METLIFE SERIES 25157 SEPARATE ACCOUNT Plan #608 Participants BOY/EOY0 / 0 Assets BOY/EOY$20,140,860 / $27,073,533 | 2019 | RELIANCE METLIFE SERIES 25157 SEPARATE ACCOUNT - Plan #608 | 0 / 0 | $20,140,860 / $27,073,533 |
2019 | Plan NameVANGUARD TOT INTL BOND INDEX ADMIRAL SEPARATE ACCOUNT Plan #269 Participants BOY/EOY0 / 0 Assets BOY/EOY$21,422,816 / $26,399,809 | 2019 | VANGUARD TOT INTL BOND INDEX ADMIRAL SEPARATE ACCOUNT - Plan #269 | 0 / 0 | $21,422,816 / $26,399,809 |
2019 | Plan NameBNY MELLON NATURAL RES CL I SEPARATE ACCOUNT Plan #790 Participants BOY/EOY0 / 0 Assets BOY/EOY$23,696,097 / $25,985,245 | 2019 | BNY MELLON NATURAL RES CL I SEPARATE ACCOUNT - Plan #790 | 0 / 0 | $23,696,097 / $25,985,245 |
2019 | Plan NameVANGUARD TARGET RET 2055 INV SEPARATE ACCOUNT Plan #212 Participants BOY/EOY0 / 0 Assets BOY/EOY$12,826,255 / $25,504,578 | 2019 | VANGUARD TARGET RET 2055 INV SEPARATE ACCOUNT - Plan #212 | 0 / 0 | $12,826,255 / $25,504,578 |
2019 | Plan NameAB SMALL CAP VALUE ADV SEPARATE ACCOUNT Plan #200 Participants BOY/EOY0 / 0 Assets BOY/EOY$20,323,615 / $25,476,823 | 2019 | AB SMALL CAP VALUE ADV SEPARATE ACCOUNT - Plan #200 | 0 / 0 | $20,323,615 / $25,476,823 |
2019 | Plan NameAB GLOBAL BOND ADV SEPARATE ACCOUNT Plan #769 Participants BOY/EOY0 / 0 Assets BOY/EOY$21,025,226 / $24,899,833 | 2019 | AB GLOBAL BOND ADV SEPARATE ACCOUNT - Plan #769 | 0 / 0 | $21,025,226 / $24,899,833 |
2019 | Plan NameDFA US SMALL CAP VAL PORT INS SEPARATE ACCOUNT Plan #167 Participants BOY/EOY0 / 0 Assets BOY/EOY$21,225,492 / $23,736,223 | 2019 | DFA US SMALL CAP VAL PORT INS SEPARATE ACCOUNT - Plan #167 | 0 / 0 | $21,225,492 / $23,736,223 |
2019 | Plan NameINTECH US CORE SEPARATE ACCOUNT Plan #120 Participants BOY/EOY0 / 0 Assets BOY/EOY$22,928,905 / $23,638,242 | 2019 | INTECH US CORE SEPARATE ACCOUNT - Plan #120 | 0 / 0 | $22,928,905 / $23,638,242 |
2019 | Plan NameEATON VANCE ATLANTA SMID-CAP A SEPARATE ACCOUNT Plan #194 Participants BOY/EOY0 / 0 Assets BOY/EOY$15,608,198 / $21,597,786 | 2019 | EATON VANCE ATLANTA SMID-CAP A SEPARATE ACCOUNT - Plan #194 | 0 / 0 | $15,608,198 / $21,597,786 |
2019 | Plan NameVANGUARD DVLP MKTS INDEX ADMIRAL SEPARATE ACCOUNT Plan #666 Participants BOY/EOY0 / 0 Assets BOY/EOY$10,330,358 / $20,388,816 | 2019 | VANGUARD DVLP MKTS INDEX ADMIRAL SEPARATE ACCOUNT - Plan #666 | 0 / 0 | $10,330,358 / $20,388,816 |
2019 | Plan NameJPMORGAN LARGE CAP GROWTH A SEPARATE ACCOUNT Plan #234 Participants BOY/EOY0 / 0 Assets BOY/EOY$14,305,928 / $19,940,713 | 2019 | JPMORGAN LARGE CAP GROWTH A SEPARATE ACCOUNT - Plan #234 | 0 / 0 | $14,305,928 / $19,940,713 |
2019 | Plan NameIVY MID CAP GROWTH FUND CL Y SEPARATE ACCOUNT Plan #063 Participants BOY/EOY0 / 0 Assets BOY/EOY$15,245,909 / $19,222,746 | 2019 | IVY MID CAP GROWTH FUND CL Y SEPARATE ACCOUNT - Plan #063 | 0 / 0 | $15,245,909 / $19,222,746 |
2019 | Plan NamePINEBRIDGE DYN ASST ALLC INSTL SEPARATE ACCOUNT Plan #787 Participants BOY/EOY0 / 0 Assets BOY/EOY$20,477,798 / $19,042,058 | 2019 | PINEBRIDGE DYN ASST ALLC INSTL SEPARATE ACCOUNT - Plan #787 | 0 / 0 | $20,477,798 / $19,042,058 |
2019 | Plan NameFIDELITY SMALL CAP INDEX SEPARATE ACCOUNT Plan #732 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,357,068 / $18,559,663 | 2019 | FIDELITY SMALL CAP INDEX SEPARATE ACCOUNT - Plan #732 | 0 / 0 | $4,357,068 / $18,559,663 |
2019 | Plan NameCAUSEWAY INTL VALUE INSTL SEPARATE ACCOUNT Plan #785 Participants BOY/EOY0 / 0 Assets BOY/EOY$14,507,977 / $17,994,645 | 2019 | CAUSEWAY INTL VALUE INSTL SEPARATE ACCOUNT - Plan #785 | 0 / 0 | $14,507,977 / $17,994,645 |
2019 | Plan NameCOLUMBIA HIGH YIELD BOND ADVISOR SEPARATE ACCOUNT Plan #281 Participants BOY/EOY0 / 0 Assets BOY/EOY$9,583,194 / $16,812,992 | 2019 | COLUMBIA HIGH YIELD BOND ADVISOR SEPARATE ACCOUNT - Plan #281 | 0 / 0 | $9,583,194 / $16,812,992 |
2019 | Plan NameVANGUARD TARGET RET 2015 INV SEPARATE ACCOUNT Plan #204 Participants BOY/EOY0 / 0 Assets BOY/EOY$14,490,095 / $16,500,227 | 2019 | VANGUARD TARGET RET 2015 INV SEPARATE ACCOUNT - Plan #204 | 0 / 0 | $14,490,095 / $16,500,227 |
2019 | Plan NameJANUS HENDERSON ENTERPRISE I SEPARATE ACCOUNT Plan #274 Participants BOY/EOY0 / 0 Assets BOY/EOY$8,150,239 / $16,378,337 | 2019 | JANUS HENDERSON ENTERPRISE I SEPARATE ACCOUNT - Plan #274 | 0 / 0 | $8,150,239 / $16,378,337 |
2019 | Plan NameFIDELITY MID CAP INDEX SEPARATE ACCOUNT Plan #731 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,464,869 / $16,027,117 | 2019 | FIDELITY MID CAP INDEX SEPARATE ACCOUNT - Plan #731 | 0 / 0 | $3,464,869 / $16,027,117 |
2019 | Plan NameVANGUARD ST BOND INDEX ADM SEPARATE ACCOUNT Plan #789 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,271,608 / $15,901,776 | 2019 | VANGUARD ST BOND INDEX ADM SEPARATE ACCOUNT - Plan #789 | 0 / 0 | $3,271,608 / $15,901,776 |
2019 | Plan NameAMERICAN FUNDS INTL GROWTH INC R6 SEPARATE ACCOUNT Plan #282 Participants BOY/EOY0 / 0 Assets BOY/EOY$11,722,920 / $15,072,199 | 2019 | AMERICAN FUNDS INTL GROWTH INC R6 SEPARATE ACCOUNT - Plan #282 | 0 / 0 | $11,722,920 / $15,072,199 |
2019 | Plan NameVANGUARD SMALL CAP GROWTH INDEX I SEPARATE ACCOUNT Plan #780 Participants BOY/EOY0 / 0 Assets BOY/EOY$10,637,032 / $14,453,295 | 2019 | VANGUARD SMALL CAP GROWTH INDEX I SEPARATE ACCOUNT - Plan #780 | 0 / 0 | $10,637,032 / $14,453,295 |
2019 | Plan NameVANGUARD TARGET RET INCOME INV SEPARATE ACCOUNT Plan #214 Participants BOY/EOY0 / 0 Assets BOY/EOY$11,012,964 / $14,232,176 | 2019 | VANGUARD TARGET RET INCOME INV SEPARATE ACCOUNT - Plan #214 | 0 / 0 | $11,012,964 / $14,232,176 |
2019 | Plan NameJANUS HENDERSON GLBL LIFE SCIENCES I SEPARATE ACCOUNT Plan #233 Participants BOY/EOY0 / 0 Assets BOY/EOY$11,894,804 / $13,972,904 | 2019 | JANUS HENDERSON GLBL LIFE SCIENCES I SEPARATE ACCOUNT - Plan #233 | 0 / 0 | $11,894,804 / $13,972,904 |
2019 | Plan NameFEDERATED GOVT OBLIGS PREMIER SEPARATE ACCOUNT Plan #779 Participants BOY/EOY0 / 0 Assets BOY/EOY$11,692,218 / $13,909,135 | 2019 | FEDERATED GOVT OBLIGS PREMIER SEPARATE ACCOUNT - Plan #779 | 0 / 0 | $11,692,218 / $13,909,135 |
2019 | Plan NameAMERICAN CENTURY MID CAP VALUE R6 SEPARATE ACCOUNT Plan #192 Participants BOY/EOY0 / 0 Assets BOY/EOY$10,160,146 / $13,694,419 | 2019 | AMERICAN CENTURY MID CAP VALUE R6 SEPARATE ACCOUNT - Plan #192 | 0 / 0 | $10,160,146 / $13,694,419 |
2019 | Plan NameBLACKROCK STRAT INC OPPS INSTL SEPARATE ACCOUNT Plan #279 Participants BOY/EOY0 / 0 Assets BOY/EOY$15,921,043 / $13,597,286 | 2019 | BLACKROCK STRAT INC OPPS INSTL SEPARATE ACCOUNT - Plan #279 | 0 / 0 | $15,921,043 / $13,597,286 |
2019 | Plan NameAMER FUNDS NEW WORLD FUND R6 SEPARATE ACCOUNT Plan #184 Participants BOY/EOY0 / 0 Assets BOY/EOY$7,531,980 / $13,202,238 | 2019 | AMER FUNDS NEW WORLD FUND R6 SEPARATE ACCOUNT - Plan #184 | 0 / 0 | $7,531,980 / $13,202,238 |
2019 | Plan NameJHANCOCK DISCIPLINED VALUE R6 SEPARATE ACCOUNT Plan #604 Participants BOY/EOY0 / 0 Assets BOY/EOY$9,530,185 / $12,887,455 | 2019 | JHANCOCK DISCIPLINED VALUE R6 SEPARATE ACCOUNT - Plan #604 | 0 / 0 | $9,530,185 / $12,887,455 |
2019 | Plan NameTEMPLETON GLOBAL BOND A SEPARATE ACCOUNT Plan #137 Participants BOY/EOY0 / 0 Assets BOY/EOY$15,241,607 / $12,760,829 | 2019 | TEMPLETON GLOBAL BOND A SEPARATE ACCOUNT - Plan #137 | 0 / 0 | $15,241,607 / $12,760,829 |
2019 | Plan NameVANGUARD GROWTH INDEX ADM SEPARATE ACCOUNT Plan #423 Participants BOY/EOY0 / 0 Assets BOY/EOY$8,535,328 / $12,756,195 | 2019 | VANGUARD GROWTH INDEX ADM SEPARATE ACCOUNT - Plan #423 | 0 / 0 | $8,535,328 / $12,756,195 |
2019 | Plan NameWELLS FARGO SPEC MD CP VAL A SEPARATE ACCOUNT Plan #609 Participants BOY/EOY0 / 0 Assets BOY/EOY$6,502,235 / $11,888,605 | 2019 | WELLS FARGO SPEC MD CP VAL A SEPARATE ACCOUNT - Plan #609 | 0 / 0 | $6,502,235 / $11,888,605 |
2019 | Plan NameWELLS FARGO STABLE VAL FND C SEPARATE ACCOUNT Plan #479 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,188,184 / $11,499,897 | 2019 | WELLS FARGO STABLE VAL FND C SEPARATE ACCOUNT - Plan #479 | 0 / 0 | $4,188,184 / $11,499,897 |
2019 | Plan NameBARON EMERG MKTS INSTL SEPARATE ACCOUNT Plan #280 Participants BOY/EOY0 / 0 Assets BOY/EOY$7,102,015 / $11,023,727 | 2019 | BARON EMERG MKTS INSTL SEPARATE ACCOUNT - Plan #280 | 0 / 0 | $7,102,015 / $11,023,727 |
2019 | Plan NameVANGUARD TARGET RET 2060 INV SEPARATE ACCOUNT Plan #213 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,749,940 / $10,375,515 | 2019 | VANGUARD TARGET RET 2060 INV SEPARATE ACCOUNT - Plan #213 | 0 / 0 | $4,749,940 / $10,375,515 |
2019 | Plan NameBLACKROCK TOTAL RETURN INSTL SEPARATE ACCOUNT Plan #561 Participants BOY/EOY0 / 0 Assets BOY/EOY$9,107,332 / $10,296,871 | 2019 | BLACKROCK TOTAL RETURN INSTL SEPARATE ACCOUNT - Plan #561 | 0 / 0 | $9,107,332 / $10,296,871 |
2019 | Plan NameDFA US MICRO CAP PORTFOLIO SEPARATE ACCOUNT Plan #078 Participants BOY/EOY0 / 0 Assets BOY/EOY$9,657,007 / $10,275,026 | 2019 | DFA US MICRO CAP PORTFOLIO SEPARATE ACCOUNT - Plan #078 | 0 / 0 | $9,657,007 / $10,275,026 |
2019 | Plan NameDFA GLBL RE SECURITIES PORT SEPARATE ACCOUNT Plan #273 Participants BOY/EOY0 / 0 Assets BOY/EOY$7,062,733 / $10,272,783 | 2019 | DFA GLBL RE SECURITIES PORT SEPARATE ACCOUNT - Plan #273 | 0 / 0 | $7,062,733 / $10,272,783 |
2019 | Plan NameBLACKROCK LOW DUR BOND INSTL SEPARATE ACCOUNT Plan #272 Participants BOY/EOY0 / 0 Assets BOY/EOY$7,687,387 / $10,189,602 | 2019 | BLACKROCK LOW DUR BOND INSTL SEPARATE ACCOUNT - Plan #272 | 0 / 0 | $7,687,387 / $10,189,602 |
2019 | Plan NameUNDISCOVERED MGRS BEHAV VAL R6 SEPARATE ACCOUNT Plan #365 Participants BOY/EOY0 / 0 Assets BOY/EOY$6,647,541 / $10,135,193 | 2019 | UNDISCOVERED MGRS BEHAV VAL R6 SEPARATE ACCOUNT - Plan #365 | 0 / 0 | $6,647,541 / $10,135,193 |
2019 | Plan NameLORD ABBETT SHORT DUR INC R6 SEPARATE ACCOUNT Plan #434 Participants BOY/EOY0 / 0 Assets BOY/EOY$8,833,891 / $10,135,114 | 2019 | LORD ABBETT SHORT DUR INC R6 SEPARATE ACCOUNT - Plan #434 | 0 / 0 | $8,833,891 / $10,135,114 |
2019 | Plan NameDFA INTERM GOVT FIXED INC PORT SEPARATE ACCOUNT Plan #139 Participants BOY/EOY0 / 0 Assets BOY/EOY$8,934,174 / $9,861,063 | 2019 | DFA INTERM GOVT FIXED INC PORT SEPARATE ACCOUNT - Plan #139 | 0 / 0 | $8,934,174 / $9,861,063 |
2019 | Plan NameFEDERATED INTL LEADERS INSTL SEPARATE ACCOUNT Plan #773 Participants BOY/EOY0 / 0 Assets BOY/EOY$6,389,102 / $9,742,260 | 2019 | FEDERATED INTL LEADERS INSTL SEPARATE ACCOUNT - Plan #773 | 0 / 0 | $6,389,102 / $9,742,260 |
2019 | Plan NameVANGUARD MID CAP INDEX INSTL SEPARATE ACCOUNT Plan #781 Participants BOY/EOY0 / 0 Assets BOY/EOY$7,339,480 / $9,714,518 | 2019 | VANGUARD MID CAP INDEX INSTL SEPARATE ACCOUNT - Plan #781 | 0 / 0 | $7,339,480 / $9,714,518 |
2019 | Plan NameDFA INTL SMALL COMPANY PORT SEPARATE ACCOUNT Plan #130 Participants BOY/EOY0 / 0 Assets BOY/EOY$7,113,238 / $9,519,766 | 2019 | DFA INTL SMALL COMPANY PORT SEPARATE ACCOUNT - Plan #130 | 0 / 0 | $7,113,238 / $9,519,766 |
2019 | Plan NameVANGUARD TOT INTL STK INDEX ADMIRAL SEPARATE ACCOUNT Plan #219 Participants BOY/EOY0 / 0 Assets BOY/EOY$58,003,182 / $9,418,055 | 2019 | VANGUARD TOT INTL STK INDEX ADMIRAL SEPARATE ACCOUNT - Plan #219 | 0 / 0 | $58,003,182 / $9,418,055 |
2019 | Plan NameGOLDMAN SACHS SHORT DUR GOVT I SEPARATE ACCOUNT Plan #149 Participants BOY/EOY0 / 0 Assets BOY/EOY$18,713,650 / $9,394,202 | 2019 | GOLDMAN SACHS SHORT DUR GOVT I SEPARATE ACCOUNT - Plan #149 | 0 / 0 | $18,713,650 / $9,394,202 |
2019 | Plan NameVANGUARD TOT BOND MKT INDEX INSTL SEPARATE ACCOUNT Plan #168 Participants BOY/EOY0 / 0 Assets BOY/EOY$56,379,776 / $9,289,570 | 2019 | VANGUARD TOT BOND MKT INDEX INSTL SEPARATE ACCOUNT - Plan #168 | 0 / 0 | $56,379,776 / $9,289,570 |
2019 | Plan NameVANGUARD LARGE CAP INDEX ADMIRAL SEPARATE ACCOUNT Plan #351 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,632,807 / $9,286,261 | 2019 | VANGUARD LARGE CAP INDEX ADMIRAL SEPARATE ACCOUNT - Plan #351 | 0 / 0 | $4,632,807 / $9,286,261 |
2019 | Plan NameEDGE SMALL MID EQUITY INCOME SEPARATE ACCOUNT Plan #784 Participants BOY/EOY0 / 0 Assets BOY/EOY$7,494,157 / $9,108,920 | 2019 | EDGE SMALL MID EQUITY INCOME SEPARATE ACCOUNT - Plan #784 | 0 / 0 | $7,494,157 / $9,108,920 |
2019 | Plan NameHARTFORD CORE EQUITY R5 SEPARATE ACCOUNT Plan #786 Participants BOY/EOY0 / 0 Assets BOY/EOY$6,777,942 / $9,066,447 | 2019 | HARTFORD CORE EQUITY R5 SEPARATE ACCOUNT - Plan #786 | 0 / 0 | $6,777,942 / $9,066,447 |
2019 | Plan NameFIDELITY ADVISOR INTL GROWTH I SEPARATE ACCOUNT Plan #470 Participants BOY/EOY0 / 0 Assets BOY/EOY$6,092,910 / $9,052,116 | 2019 | FIDELITY ADVISOR INTL GROWTH I SEPARATE ACCOUNT - Plan #470 | 0 / 0 | $6,092,910 / $9,052,116 |
2019 | Plan NameSEGALL BRYANT & HAMILL SMALL CAP GR SEPARATE ACCOU Plan #766 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,959,599 / $8,902,975 | 2019 | SEGALL BRYANT & HAMILL SMALL CAP GR SEPARATE ACCOU - Plan #766 | 0 / 0 | $4,959,599 / $8,902,975 |
2019 | Plan NameAMERICAN FUNDS 2020 TARGET DATE RET R6 SEPARATE AC Plan #446 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,438,515 / $8,773,837 | 2019 | AMERICAN FUNDS 2020 TARGET DATE RET R6 SEPARATE AC - Plan #446 | 0 / 0 | $5,438,515 / $8,773,837 |
2019 | Plan NameLOOMIS SAYLES SM CAP GRO INSTL SEPARATE ACCOUNT Plan #166 Participants BOY/EOY0 / 0 Assets BOY/EOY$6,805,650 / $8,319,794 | 2019 | LOOMIS SAYLES SM CAP GRO INSTL SEPARATE ACCOUNT - Plan #166 | 0 / 0 | $6,805,650 / $8,319,794 |
2019 | Plan NamePIMCO INCOME INSTL SEPARATE ACCOUNT Plan #621 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,457,825 / $8,148,812 | 2019 | PIMCO INCOME INSTL SEPARATE ACCOUNT - Plan #621 | 0 / 0 | $5,457,825 / $8,148,812 |
2019 | Plan NameAMERICAN FUNDS 2025 TARGET DATE RET R6 SEPARATE AC Plan #447 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,012,962 / $8,017,172 | 2019 | AMERICAN FUNDS 2025 TARGET DATE RET R6 SEPARATE AC - Plan #447 | 0 / 0 | $5,012,962 / $8,017,172 |
2019 | Plan NameT. ROWE PRICE BALANCED I SEPARATE ACCOUNT Plan #397 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,845,656 / $7,701,123 | 2019 | T. ROWE PRICE BALANCED I SEPARATE ACCOUNT - Plan #397 | 0 / 0 | $5,845,656 / $7,701,123 |
2019 | Plan NameAMERICAN FUNDS 2030 TARGET DATE RET R6 SEPARATE AC Plan #448 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,943,227 / $7,624,465 | 2019 | AMERICAN FUNDS 2030 TARGET DATE RET R6 SEPARATE AC - Plan #448 | 0 / 0 | $2,943,227 / $7,624,465 |
2019 | Plan NamePIONEER BOND Y SEPARATE ACCOUNT Plan #337 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,543,313 / $7,532,777 | 2019 | PIONEER BOND Y SEPARATE ACCOUNT - Plan #337 | 0 / 0 | $3,543,313 / $7,532,777 |
2019 | Plan NameVANGUARD EMERG MKT STK INDEX ADMIRAL SEPARATE ACCOUNT Plan #226 Participants BOY/EOY0 / 0 Assets BOY/EOY$16,629,233 / $7,451,827 | 2019 | VANGUARD EMERG MKT STK INDEX ADMIRAL SEPARATE ACCOUNT - Plan #226 | 0 / 0 | $16,629,233 / $7,451,827 |
2019 | Plan NameVANGUARD SMALL CAP INDEX INSTL SEPARATE ACCOUNT Plan #837 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,597,767 / $7,437,305 | 2019 | VANGUARD SMALL CAP INDEX INSTL SEPARATE ACCOUNT - Plan #837 | 0 / 0 | $5,597,767 / $7,437,305 |
2019 | Plan NameBLACKROCK LIFEPATH INDEX 2030 INSTL SEPARATE ACCOU Plan #763 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,907,321 / $7,152,923 | 2019 | BLACKROCK LIFEPATH INDEX 2030 INSTL SEPARATE ACCOU - Plan #763 | 0 / 0 | $3,907,321 / $7,152,923 |
2019 | Plan NameAMERICAN FUNDS 2035 TARGET DATE RET R6 SEPARATE AC Plan #449 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,841,727 / $6,764,775 | 2019 | AMERICAN FUNDS 2035 TARGET DATE RET R6 SEPARATE AC - Plan #449 | 0 / 0 | $2,841,727 / $6,764,775 |
2019 | Plan NameSCHWAB INDEXED RET TR FD 2030 I SEPARATE ACCOUNT Plan #318 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,583,023 / $6,571,412 | 2019 | SCHWAB INDEXED RET TR FD 2030 I SEPARATE ACCOUNT - Plan #318 | 0 / 0 | $2,583,023 / $6,571,412 |
2019 | Plan NameMAIRS & POWER SMALL CAP SEPARATE ACCOUNT Plan #767 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,255,141 / $6,514,893 | 2019 | MAIRS & POWER SMALL CAP SEPARATE ACCOUNT - Plan #767 | 0 / 0 | $5,255,141 / $6,514,893 |
2019 | Plan NameVANGUARD VALUE INDEX ADM SEPARATE ACCOUNT Plan #424 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,592,150 / $6,497,736 | 2019 | VANGUARD VALUE INDEX ADM SEPARATE ACCOUNT - Plan #424 | 0 / 0 | $2,592,150 / $6,497,736 |
2019 | Plan NameBLACKROCK LIFEPATH INDEX 2040 INSTL SEPARATE ACCOUNT Plan #822 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,595,176 / $5,987,872 | 2019 | BLACKROCK LIFEPATH INDEX 2040 INSTL SEPARATE ACCOUNT - Plan #822 | 0 / 0 | $2,595,176 / $5,987,872 |
2019 | Plan NameCARILLON EAGLE MID CAP GROWTH A SEPARATE ACCOUNT Plan #362 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,882,392 / $5,971,566 | 2019 | CARILLON EAGLE MID CAP GROWTH A SEPARATE ACCOUNT - Plan #362 | 0 / 0 | $3,882,392 / $5,971,566 |
2019 | Plan NameVANGUARD REIT INDEX ADMIRAL SEPARATE ACCOUNT Plan #254 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,718,814 / $5,912,974 | 2019 | VANGUARD REIT INDEX ADMIRAL SEPARATE ACCOUNT - Plan #254 | 0 / 0 | $4,718,814 / $5,912,974 |
2019 | Plan NameNEUBERGER BERMAN SOC RESP INSTL SEPARATE ACCOUNT Plan #134 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,333,907 / $5,893,927 | 2019 | NEUBERGER BERMAN SOC RESP INSTL SEPARATE ACCOUNT - Plan #134 | 0 / 0 | $5,333,907 / $5,893,927 |
2019 | Plan NameMORLEY STABLE VALUE CL 18 -I SEPARATE ACCOUNT Plan #324 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,095,079 / $5,880,376 | 2019 | MORLEY STABLE VALUE CL 18 -I SEPARATE ACCOUNT - Plan #324 | 0 / 0 | $5,095,079 / $5,880,376 |
2019 | Plan NameSCHWAB INDEXED RET TR FD 2035 I SEPARATE ACCOUNT Plan #319 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,665,678 / $5,714,584 | 2019 | SCHWAB INDEXED RET TR FD 2035 I SEPARATE ACCOUNT - Plan #319 | 0 / 0 | $1,665,678 / $5,714,584 |
2019 | Plan NameVANGUARD INTL GROWTH ADMIRAL SEPARATE ACCOUNT Plan #292 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,185,260 / $5,710,049 | 2019 | VANGUARD INTL GROWTH ADMIRAL SEPARATE ACCOUNT - Plan #292 | 0 / 0 | $1,185,260 / $5,710,049 |
2019 | Plan NameVANGUARD FDRL MMKT INV SEPARATE ACCOUNT Plan #564 Participants BOY/EOY0 / 0 Assets BOY/EOY$9,290,763 / $5,642,559 | 2019 | VANGUARD FDRL MMKT INV SEPARATE ACCOUNT - Plan #564 | 0 / 0 | $9,290,763 / $5,642,559 |
2019 | Plan NameSCHWAB INDEXED RET TR FD 2040 I SEPARATE ACCOUNT Plan #320 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,030,468 / $5,596,689 | 2019 | SCHWAB INDEXED RET TR FD 2040 I SEPARATE ACCOUNT - Plan #320 | 0 / 0 | $1,030,468 / $5,596,689 |
2019 | Plan NameAMER FUNDS AMCAP R6 SEPARATE ACCOUNT Plan #327 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,609,131 / $5,454,793 | 2019 | AMER FUNDS AMCAP R6 SEPARATE ACCOUNT - Plan #327 | 0 / 0 | $5,609,131 / $5,454,793 |
2019 | Plan NameBAIRD CORE PLUS BOND INST SEPARATE ACCOUNT Plan #527 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,129,174 / $5,449,197 | 2019 | BAIRD CORE PLUS BOND INST SEPARATE ACCOUNT - Plan #527 | 0 / 0 | $1,129,174 / $5,449,197 |
2019 | Plan NameJPMORGAN SMARTRET BLEND 2030 R5 SEPARATE ACCOUNT Plan #573 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,548,150 / $5,349,763 | 2019 | JPMORGAN SMARTRET BLEND 2030 R5 SEPARATE ACCOUNT - Plan #573 | 0 / 0 | $4,548,150 / $5,349,763 |
2019 | Plan NameFIRST EAGLE OVERSEAS R6 SEPARATE ACCOUNT Plan #251 Participants BOY/EOY0 / 0 Assets BOY/EOY$7,820 / $4,974,878 | 2019 | FIRST EAGLE OVERSEAS R6 SEPARATE ACCOUNT - Plan #251 | 0 / 0 | $7,820 / $4,974,878 |
2019 | Plan NameAMERICAN FUNDS 2045 TARGET DATE RET R6 SEPARATE AC Plan #451 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,075,360 / $4,913,231 | 2019 | AMERICAN FUNDS 2045 TARGET DATE RET R6 SEPARATE AC - Plan #451 | 0 / 0 | $2,075,360 / $4,913,231 |
2019 | Plan NameHARBOR CAP APPREC INSTL SEPARATE ACCOUNT Plan #530 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,348,110 / $4,891,019 | 2019 | HARBOR CAP APPREC INSTL SEPARATE ACCOUNT - Plan #530 | 0 / 0 | $2,348,110 / $4,891,019 |
2019 | Plan NameBAIRD AGGREGATE BOND INST SEPARATE ACCOUNT Plan #456 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,867,785 / $4,889,754 | 2019 | BAIRD AGGREGATE BOND INST SEPARATE ACCOUNT - Plan #456 | 0 / 0 | $3,867,785 / $4,889,754 |
2019 | Plan NameBLACKROCK LIFEPATH INDEX 2025 INSTL SEPARATE ACCOU Plan #762 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,296,992 / $4,873,605 | 2019 | BLACKROCK LIFEPATH INDEX 2025 INSTL SEPARATE ACCOU - Plan #762 | 0 / 0 | $2,296,992 / $4,873,605 |
2019 | Plan NameSCHWAB INDEXED RET TR FD 2025 I SEPARATE ACCOUNT Plan #317 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,630,228 / $4,839,375 | 2019 | SCHWAB INDEXED RET TR FD 2025 I SEPARATE ACCOUNT - Plan #317 | 0 / 0 | $1,630,228 / $4,839,375 |
2019 | Plan NameNUVEEN WINSLOW LARGE CAP GROWTH I SEPARATE ACCOUNT Plan #131 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,191,354 / $4,836,046 | 2019 | NUVEEN WINSLOW LARGE CAP GROWTH I SEPARATE ACCOUNT - Plan #131 | 0 / 0 | $4,191,354 / $4,836,046 |
2019 | Plan NameBLACKROCK LIFEPATH INDEX RET INSTL SEPARATE ACCOUN Plan #750 Participants BOY/EOY0 / 0 Assets BOY/EOY$703,226 / $4,810,105 | 2019 | BLACKROCK LIFEPATH INDEX RET INSTL SEPARATE ACCOUN - Plan #750 | 0 / 0 | $703,226 / $4,810,105 |
2019 | Plan NameJPMORGAN GOV BOND SEL SEPARATE ACCOUNT Plan #602 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,139,814 / $4,769,642 | 2019 | JPMORGAN GOV BOND SEL SEPARATE ACCOUNT - Plan #602 | 0 / 0 | $4,139,814 / $4,769,642 |
2019 | Plan NameAMER FUNDS CAP WORLD BOND R6 SEPARATE ACCOUNT Plan #185 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,652,934 / $4,669,350 | 2019 | AMER FUNDS CAP WORLD BOND R6 SEPARATE ACCOUNT - Plan #185 | 0 / 0 | $4,652,934 / $4,669,350 |
2019 | Plan NameFIDELITY ADV SMALL CAP GROWTH SEPARATE ACCOUNT Plan #499 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,059,550 / $4,633,303 | 2019 | FIDELITY ADV SMALL CAP GROWTH SEPARATE ACCOUNT - Plan #499 | 0 / 0 | $3,059,550 / $4,633,303 |
2019 | Plan NameAM FNDS 2040 TRGT DATE RET R6 SEPARATE ACCOUNT Plan #450 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,965,572 / $4,618,869 | 2019 | AM FNDS 2040 TRGT DATE RET R6 SEPARATE ACCOUNT - Plan #450 | 0 / 0 | $2,965,572 / $4,618,869 |
2019 | Plan NameHOTCHKIS & WILEY MID CAP VALUE SEPARATE ACCOUNT Plan #276 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,744,772 / $4,586,238 | 2019 | HOTCHKIS & WILEY MID CAP VALUE SEPARATE ACCOUNT - Plan #276 | 0 / 0 | $5,744,772 / $4,586,238 |
2019 | Plan NameVICTORY SYCAMORE SMCO OPPTNY R SEPARATE ACCOUNT Plan #468 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,990,579 / $4,518,328 | 2019 | VICTORY SYCAMORE SMCO OPPTNY R SEPARATE ACCOUNT - Plan #468 | 0 / 0 | $2,990,579 / $4,518,328 |
2019 | Plan NameLOOMIS SAY STRAT INC ADMIN SEPARATE ACCOUNT Plan #406 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,121,142 / $4,474,581 | 2019 | LOOMIS SAY STRAT INC ADMIN SEPARATE ACCOUNT - Plan #406 | 0 / 0 | $4,121,142 / $4,474,581 |
2019 | Plan NameMFS GROWTH R3 SEPARATE ACCOUNT Plan #361 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,461,882 / $4,391,272 | 2019 | MFS GROWTH R3 SEPARATE ACCOUNT - Plan #361 | 0 / 0 | $2,461,882 / $4,391,272 |
2019 | Plan NameWELLS FARGO TARGET 2050 A SEPARATE ACCOUNT Plan #560 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,757 / $4,386,795 | 2019 | WELLS FARGO TARGET 2050 A SEPARATE ACCOUNT - Plan #560 | 0 / 0 | $3,757 / $4,386,795 |
2019 | Plan NameWELLS FARGO TARGET 2030 A SEPARATE ACCOUNT Plan #558 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,542 / $4,325,102 | 2019 | WELLS FARGO TARGET 2030 A SEPARATE ACCOUNT - Plan #558 | 0 / 0 | $3,542 / $4,325,102 |
2019 | Plan NameAMERICAN CENTURY ONE CHOICE 2030 I SEPARATE ACCOUN Plan #534 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,233,942 / $4,319,862 | 2019 | AMERICAN CENTURY ONE CHOICE 2030 I SEPARATE ACCOUN - Plan #534 | 0 / 0 | $1,233,942 / $4,319,862 |
2019 | Plan NameT. ROWE PRICE GROWTH STOCK I SEPARATE ACCOUNT Plan #598 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,060,097 / $4,137,721 | 2019 | T. ROWE PRICE GROWTH STOCK I SEPARATE ACCOUNT - Plan #598 | 0 / 0 | $1,060,097 / $4,137,721 |
2019 | Plan NameOAKMARK INTERNATIONAL INSTL SEPARATE ACCOUNT Plan #252 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,414,112 / $4,106,360 | 2019 | OAKMARK INTERNATIONAL INSTL SEPARATE ACCOUNT - Plan #252 | 0 / 0 | $4,414,112 / $4,106,360 |
2019 | Plan NameSCHWAB INDEXED RET TR FD 2020 I SEPARATE ACCOUNT Plan #316 Participants BOY/EOY0 / 0 Assets BOY/EOY$715,495 / $4,088,753 | 2019 | SCHWAB INDEXED RET TR FD 2020 I SEPARATE ACCOUNT - Plan #316 | 0 / 0 | $715,495 / $4,088,753 |
2019 | Plan NameINVESCO OPPHMR DEV MARKETS SEPARATE ACCOUNT Plan #301 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,105,127 / $4,008,145 | 2019 | INVESCO OPPHMR DEV MARKETS SEPARATE ACCOUNT - Plan #301 | 0 / 0 | $2,105,127 / $4,008,145 |
2019 | Plan NameVANGUARD US GROWTH ADMIRAL SEPARATE ACCOUNT Plan #334 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,057,862 / $3,957,321 | 2019 | VANGUARD US GROWTH ADMIRAL SEPARATE ACCOUNT - Plan #334 | 0 / 0 | $3,057,862 / $3,957,321 |
2019 | Plan NameBLACKROCK LIFEPATH INDEX 2035 INSTL SEPARATE ACCOU Plan #764 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,814,201 / $3,878,435 | 2019 | BLACKROCK LIFEPATH INDEX 2035 INSTL SEPARATE ACCOU - Plan #764 | 0 / 0 | $1,814,201 / $3,878,435 |
2019 | Plan NameWELLS FARGO TARGET 2040 A SEPARATE ACCOUNT Plan #559 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,693 / $3,738,532 | 2019 | WELLS FARGO TARGET 2040 A SEPARATE ACCOUNT - Plan #559 | 0 / 0 | $3,693 / $3,738,532 |
2019 | Plan NameVG INTERM-TERM INVT-GRDE ADM SEPARATE ACCOUNT Plan #611 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,289,014 / $3,631,564 | 2019 | VG INTERM-TERM INVT-GRDE ADM SEPARATE ACCOUNT - Plan #611 | 0 / 0 | $3,289,014 / $3,631,564 |
2019 | Plan NameBUFFALO DISCOVERY SEPARATE ACCOUNT Plan #435 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,447,610 / $3,610,851 | 2019 | BUFFALO DISCOVERY SEPARATE ACCOUNT - Plan #435 | 0 / 0 | $2,447,610 / $3,610,851 |
2019 | Plan NameSECURIAN AM DYNAMIC MGD VOL INSTL SEPARATE ACCOUNT Plan #776 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,842,123 / $3,600,127 | 2019 | SECURIAN AM DYNAMIC MGD VOL INSTL SEPARATE ACCOUNT - Plan #776 | 0 / 0 | $1,842,123 / $3,600,127 |
2019 | Plan NameWELLS FARGO TARGET 2020 A SEPARATE ACCOUNT Plan #557 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,358 / $3,514,281 | 2019 | WELLS FARGO TARGET 2020 A SEPARATE ACCOUNT - Plan #557 | 0 / 0 | $3,358 / $3,514,281 |
2019 | Plan NameVANGUARD SHRT TERM CORP BD IDX ADM SEPARATE ACCOUN Plan #421 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,368,811 / $3,509,265 | 2019 | VANGUARD SHRT TERM CORP BD IDX ADM SEPARATE ACCOUN - Plan #421 | 0 / 0 | $3,368,811 / $3,509,265 |
2019 | Plan NameJPMORGAN INTREPID GROWTH R5 SEPARATE ACCOUNT Plan #546 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,124,179 / $3,466,137 | 2019 | JPMORGAN INTREPID GROWTH R5 SEPARATE ACCOUNT - Plan #546 | 0 / 0 | $3,124,179 / $3,466,137 |
2019 | Plan NameVANGUARD WINDSOR II ADMIRAL SEPARATE ACCOUNT Plan #711 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,661,593 / $3,440,913 | 2019 | VANGUARD WINDSOR II ADMIRAL SEPARATE ACCOUNT - Plan #711 | 0 / 0 | $3,661,593 / $3,440,913 |
2019 | Plan NameWESTERN ASSET CORE BOND I SEPARATE ACCOUNT Plan #719 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,628,548 / $3,398,888 | 2019 | WESTERN ASSET CORE BOND I SEPARATE ACCOUNT - Plan #719 | 0 / 0 | $1,628,548 / $3,398,888 |
2019 | Plan NameVICTORY SYCAMORE ESTABLISHED VALUE R SEPARATE ACCO Plan #726 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,662,925 / $3,311,651 | 2019 | VICTORY SYCAMORE ESTABLISHED VALUE R SEPARATE ACCO - Plan #726 | 0 / 0 | $2,662,925 / $3,311,651 |
2019 | Plan NameJPMORGAN MID CAP VALUE L SEPARATE ACCOUNT Plan #635 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,064,870 / $3,305,714 | 2019 | JPMORGAN MID CAP VALUE L SEPARATE ACCOUNT - Plan #635 | 0 / 0 | $2,064,870 / $3,305,714 |
2019 | Plan NameMASSMUTUAL SEL MID GROWTH R5 SEPARATE ACCOUNT Plan #531 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,497,728 / $3,295,201 | 2019 | MASSMUTUAL SEL MID GROWTH R5 SEPARATE ACCOUNT - Plan #531 | 0 / 0 | $1,497,728 / $3,295,201 |
2019 | Plan NameVANGUARD EXPLORER ADM SEPARATE ACCOUNT Plan #528 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,056,522 / $3,258,921 | 2019 | VANGUARD EXPLORER ADM SEPARATE ACCOUNT - Plan #528 | 0 / 0 | $2,056,522 / $3,258,921 |
2019 | Plan NameGOLDMAN SACHS INTL EQ INSIGHTS INV SEPARATE ACCOUN Plan #707 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,786,534 / $3,244,157 | 2019 | GOLDMAN SACHS INTL EQ INSIGHTS INV SEPARATE ACCOUN - Plan #707 | 0 / 0 | $2,786,534 / $3,244,157 |
2019 | Plan NameVANGUARD US GROWTH ADMIRAL? SEPARATE ACCOUNT Plan #593 Participants BOY/EOY0 / 0 Assets BOY/EOY$526,892 / $3,180,954 | 2019 | VANGUARD US GROWTH ADMIRAL? SEPARATE ACCOUNT - Plan #593 | 0 / 0 | $526,892 / $3,180,954 |
2019 | Plan NameSCHWAB INDEXED RET TR FD 2045 I SEPARATE ACCOUNT Plan #321 Participants BOY/EOY0 / 0 Assets BOY/EOY$791,758 / $3,168,181 | 2019 | SCHWAB INDEXED RET TR FD 2045 I SEPARATE ACCOUNT - Plan #321 | 0 / 0 | $791,758 / $3,168,181 |
2019 | Plan NameCOHEN & STEERS RE SECURITIES I SEPARATE ACCOUNT Plan #354 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,545,069 / $3,095,511 | 2019 | COHEN & STEERS RE SECURITIES I SEPARATE ACCOUNT - Plan #354 | 0 / 0 | $1,545,069 / $3,095,511 |
2019 | Plan NameDFA EMERGING MARKETS I SEPARATE ACCOUNT Plan #439 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,521,965 / $3,089,507 | 2019 | DFA EMERGING MARKETS I SEPARATE ACCOUNT - Plan #439 | 0 / 0 | $2,521,965 / $3,089,507 |
2019 | Plan NameFLEXPATH INDEX+ MOD 2035 I1 SEPARATE ACCOUNT Plan #692 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,719,161 / $3,079,253 | 2019 | FLEXPATH INDEX+ MOD 2035 I1 SEPARATE ACCOUNT - Plan #692 | 0 / 0 | $2,719,161 / $3,079,253 |
2019 | Plan NameDELAWARE SMALL CAP VALUE INSTL SEPARATE ACCOUNT Plan #583 Participants BOY/EOY0 / 0 Assets BOY/EOY$93,874 / $3,064,366 | 2019 | DELAWARE SMALL CAP VALUE INSTL SEPARATE ACCOUNT - Plan #583 | 0 / 0 | $93,874 / $3,064,366 |
2019 | Plan NameAMER FUNDS WA MUTUAL R6 SEPARATE ACCOUNT Plan #328 Participants BOY/EOY0 / 0 Assets BOY/EOY$822,264 / $3,035,888 | 2019 | AMER FUNDS WA MUTUAL R6 SEPARATE ACCOUNT - Plan #328 | 0 / 0 | $822,264 / $3,035,888 |
2019 | Plan NameFRANKLIN SMALL CAP VALUE R6 SEPARATE ACCOUNT Plan #350 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,908,128 / $2,996,884 | 2019 | FRANKLIN SMALL CAP VALUE R6 SEPARATE ACCOUNT - Plan #350 | 0 / 0 | $1,908,128 / $2,996,884 |
2019 | Plan NameSCHWAB INDEXED RET TR FD 2050 I SEPARATE ACCOUNT Plan #322 Participants BOY/EOY0 / 0 Assets BOY/EOY$646,195 / $2,971,361 | 2019 | SCHWAB INDEXED RET TR FD 2050 I SEPARATE ACCOUNT - Plan #322 | 0 / 0 | $646,195 / $2,971,361 |
2019 | Plan NameT. ROWE PRICE DIVIDEND GROWTH SEPARATE ACCOUNT Plan #370 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,523,808 / $2,944,918 | 2019 | T. ROWE PRICE DIVIDEND GROWTH SEPARATE ACCOUNT - Plan #370 | 0 / 0 | $1,523,808 / $2,944,918 |
2019 | Plan NameFIDELITY ADV NEW INSIGHTS I SEPARATE ACCOUNT Plan #504 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,709,273 / $2,890,548 | 2019 | FIDELITY ADV NEW INSIGHTS I SEPARATE ACCOUNT - Plan #504 | 0 / 0 | $2,709,273 / $2,890,548 |
2019 | Plan NameRETIREMENT ADVOCATE MOD AGGR SEPARATE ACCOUNT Plan #311 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,098,847 / $2,781,551 | 2019 | RETIREMENT ADVOCATE MOD AGGR SEPARATE ACCOUNT - Plan #311 | 0 / 0 | $2,098,847 / $2,781,551 |
2019 | Plan NameAMERICAN FUNDS 2050 TARGET DATE RET R6 SEPARATE AC Plan #452 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,299,248 / $2,748,539 | 2019 | AMERICAN FUNDS 2050 TARGET DATE RET R6 SEPARATE AC - Plan #452 | 0 / 0 | $1,299,248 / $2,748,539 |
2019 | Plan NameJPMORGAN SMARTRET BLEND INC R5 SEPARATE ACCOUNT Plan #579 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,475,600 / $2,718,676 | 2019 | JPMORGAN SMARTRET BLEND INC R5 SEPARATE ACCOUNT - Plan #579 | 0 / 0 | $2,475,600 / $2,718,676 |
2019 | Plan NameJPMORGAN CORE BOND A SEPARATE ACCOUNT Plan #507 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,164,717 / $2,678,886 | 2019 | JPMORGAN CORE BOND A SEPARATE ACCOUNT - Plan #507 | 0 / 0 | $1,164,717 / $2,678,886 |
2019 | Plan NamePIMCO LONG DURATION TOT RET INSTL SEPARATE ACCOUNT Plan #188 Participants BOY/EOY0 / 0 Assets BOY/EOY$72,406,614 / $2,674,306 | 2019 | PIMCO LONG DURATION TOT RET INSTL SEPARATE ACCOUNT - Plan #188 | 0 / 0 | $72,406,614 / $2,674,306 |
2019 | Plan NameDFA COMMODITY STRATEGY I SEPARATE ACCOUNT Plan #271 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,615,583 / $2,669,061 | 2019 | DFA COMMODITY STRATEGY I SEPARATE ACCOUNT - Plan #271 | 0 / 0 | $2,615,583 / $2,669,061 |
2019 | Plan NameCLEARBRIDGE LARGE CAP GROWTH A SEPARATE ACCOUNT Plan #603 Participants BOY/EOY0 / 0 Assets BOY/EOY$233,864 / $2,651,125 | 2019 | CLEARBRIDGE LARGE CAP GROWTH A SEPARATE ACCOUNT - Plan #603 | 0 / 0 | $233,864 / $2,651,125 |
2019 | Plan NameINVESCO OPPHMR INTL DIVERSIFIED SEPARATE ACCOUNT Plan #353 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,049,629 / $2,647,841 | 2019 | INVESCO OPPHMR INTL DIVERSIFIED SEPARATE ACCOUNT - Plan #353 | 0 / 0 | $1,049,629 / $2,647,841 |
2019 | Plan NameTRADEMARK TACTICAL RISK 2030 R SEPARATE ACCOUNT Plan #260 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,212,003 / $2,647,670 | 2019 | TRADEMARK TACTICAL RISK 2030 R SEPARATE ACCOUNT - Plan #260 | 0 / 0 | $2,212,003 / $2,647,670 |
2019 | Plan NameMFS VALUE R3 SEPARATE ACCOUNT Plan #722 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,572,476 / $2,622,416 | 2019 | MFS VALUE R3 SEPARATE ACCOUNT - Plan #722 | 0 / 0 | $3,572,476 / $2,622,416 |
2019 | Plan NameMFS INTERNATIONAL GROWTH R3 SEPARATE ACCOUNT Plan #827 Participants BOY/EOY0 / 0 Assets BOY/EOY$341,089 / $2,599,686 | 2019 | MFS INTERNATIONAL GROWTH R3 SEPARATE ACCOUNT - Plan #827 | 0 / 0 | $341,089 / $2,599,686 |
2019 | Plan NameWELLS FARGO LARGE CAP GROWTH A SEPARATE ACCOUNT Plan #220 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,252,276 / $2,589,754 | 2019 | WELLS FARGO LARGE CAP GROWTH A SEPARATE ACCOUNT - Plan #220 | 0 / 0 | $3,252,276 / $2,589,754 |
2019 | Plan NameVANGUARD INF-PRTCD SECS ADM SEPARATE ACCOUNT Plan #494 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,032,046 / $2,574,834 | 2019 | VANGUARD INF-PRTCD SECS ADM SEPARATE ACCOUNT - Plan #494 | 0 / 0 | $2,032,046 / $2,574,834 |
2019 | Plan NameFLEXPATH INDEX+ MOD 2025 I1 SEPARATE ACCOUNT Plan #691 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,131,392 / $2,513,704 | 2019 | FLEXPATH INDEX+ MOD 2025 I1 SEPARATE ACCOUNT - Plan #691 | 0 / 0 | $2,131,392 / $2,513,704 |
2019 | Plan NameVANGUARD FTSE SOCIAL INDEX ADMIRAL SEPARATE ACCOUNT Plan #741 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,781 / $2,454,989 | 2019 | VANGUARD FTSE SOCIAL INDEX ADMIRAL SEPARATE ACCOUNT - Plan #741 | 0 / 0 | $3,781 / $2,454,989 |
2019 | Plan NameBLACKROCK LIFEPATH INDEX 2050 INSTL SEPARATE ACCOUNT Plan #820 Participants BOY/EOY0 / 0 Assets BOY/EOY$994,724 / $2,450,175 | 2019 | BLACKROCK LIFEPATH INDEX 2050 INSTL SEPARATE ACCOUNT - Plan #820 | 0 / 0 | $994,724 / $2,450,175 |
2019 | Plan NameJPMORGAN EQUITY INCOME R5 SEPARATE ACCOUNT Plan #369 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,522,272 / $2,436,155 | 2019 | JPMORGAN EQUITY INCOME R5 SEPARATE ACCOUNT - Plan #369 | 0 / 0 | $1,522,272 / $2,436,155 |
2019 | Plan NameIVY HIGH INCOME CL A SEPARATE ACCOUNT Plan #048 Participants BOY/EOY0 / 0 Assets BOY/EOY$6,187,841 / $2,387,717 | 2019 | IVY HIGH INCOME CL A SEPARATE ACCOUNT - Plan #048 | 0 / 0 | $6,187,841 / $2,387,717 |
2019 | Plan NamePAX GLOBAL ENVIRON FUND INSTL SEPARATE ACCOUNT Plan #198 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,576,672 / $2,383,306 | 2019 | PAX GLOBAL ENVIRON FUND INSTL SEPARATE ACCOUNT - Plan #198 | 0 / 0 | $1,576,672 / $2,383,306 |
2019 | Plan NameT. ROWE PRICE MID-CAP GROWTH SEPARATE ACCOUNT Plan #288 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,719,251 / $2,340,779 | 2019 | T. ROWE PRICE MID-CAP GROWTH SEPARATE ACCOUNT - Plan #288 | 0 / 0 | $1,719,251 / $2,340,779 |
2019 | Plan NamePIONEER SELECT MID CAP GROWTH Y SEPARATE ACCOUNT Plan #655 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,821,778 / $2,287,949 | 2019 | PIONEER SELECT MID CAP GROWTH Y SEPARATE ACCOUNT - Plan #655 | 0 / 0 | $1,821,778 / $2,287,949 |
2019 | Plan NameJPMORGAN SMARTRET BLEND 2040 R5 SEPARATE ACCOUNT Plan #575 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,879,499 / $2,218,100 | 2019 | JPMORGAN SMARTRET BLEND 2040 R5 SEPARATE ACCOUNT - Plan #575 | 0 / 0 | $1,879,499 / $2,218,100 |
2019 | Plan NameDODGE & COX BALANCED SEPARATE ACCOUNT Plan #588 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,354,299 / $2,212,560 | 2019 | DODGE & COX BALANCED SEPARATE ACCOUNT - Plan #588 | 0 / 0 | $1,354,299 / $2,212,560 |
2019 | Plan NamePRINCIPAL RE SECURITIES A SEPARATE ACCOUNT Plan #349 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,838,464 / $2,158,449 | 2019 | PRINCIPAL RE SECURITIES A SEPARATE ACCOUNT - Plan #349 | 0 / 0 | $1,838,464 / $2,158,449 |
2019 | Plan NameDOUBLELINE CORE FIXED INCOME I SEPARATE ACCOUNT Plan #729 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,872,522 / $2,148,564 | 2019 | DOUBLELINE CORE FIXED INCOME I SEPARATE ACCOUNT - Plan #729 | 0 / 0 | $1,872,522 / $2,148,564 |
2019 | Plan NameJPMORGAN MID CAP GROWTH R2 SEPARATE ACCOUNT Plan #480 Participants BOY/EOY0 / 0 Assets BOY/EOY$30,292 / $2,145,516 | 2019 | JPMORGAN MID CAP GROWTH R2 SEPARATE ACCOUNT - Plan #480 | 0 / 0 | $30,292 / $2,145,516 |
2019 | Plan NamePGIM SHORT-TERM CORPORATE BD Z SEPARATE ACCOUNT Plan #445 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,792,087 / $2,133,638 | 2019 | PGIM SHORT-TERM CORPORATE BD Z SEPARATE ACCOUNT - Plan #445 | 0 / 0 | $1,792,087 / $2,133,638 |
2019 | Plan NameCLEARBRIDGE SMALL CAP GROWTH CL I SEPARATE ACCOUNT Plan #772 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,672,461 / $2,120,646 | 2019 | CLEARBRIDGE SMALL CAP GROWTH CL I SEPARATE ACCOUNT - Plan #772 | 0 / 0 | $1,672,461 / $2,120,646 |
2019 | Plan NameFLEXPATH INDEX+ MOD 2045 I1 SEPARATE ACCOUNT Plan #693 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,551,261 / $2,113,620 | 2019 | FLEXPATH INDEX+ MOD 2045 I1 SEPARATE ACCOUNT - Plan #693 | 0 / 0 | $1,551,261 / $2,113,620 |
2019 | Plan NameDFA REAL ESTATE SECURITIES I SEPARATE ACCOUNT Plan #389 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,226,549 / $2,104,331 | 2019 | DFA REAL ESTATE SECURITIES I SEPARATE ACCOUNT - Plan #389 | 0 / 0 | $1,226,549 / $2,104,331 |
2019 | Plan NameBARON PARTNERS INSTL SEPARATE ACCOUNT Plan #469 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,020,216 / $2,080,911 | 2019 | BARON PARTNERS INSTL SEPARATE ACCOUNT - Plan #469 | 0 / 0 | $1,020,216 / $2,080,911 |
2019 | Plan NameALLIANZGI TECHNOLOGY A SEPARATE ACCOUNT Plan #038 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,426,261 / $2,044,682 | 2019 | ALLIANZGI TECHNOLOGY A SEPARATE ACCOUNT - Plan #038 | 0 / 0 | $1,426,261 / $2,044,682 |
2019 | Plan NameJPMORGAN SMARTRET 2035 A SEPARATE ACCOUNT Plan #392 Participants BOY/EOY0 / 0 Assets BOY/EOY$998,089 / $2,005,682 | 2019 | JPMORGAN SMARTRET 2035 A SEPARATE ACCOUNT - Plan #392 | 0 / 0 | $998,089 / $2,005,682 |
2019 | Plan NameIVY SCIENCE & TECH FUND CL Y SEPARATE ACCOUNT Plan #065 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,811,791 / $1,985,731 | 2019 | IVY SCIENCE & TECH FUND CL Y SEPARATE ACCOUNT - Plan #065 | 0 / 0 | $1,811,791 / $1,985,731 |
2019 | Plan NameJPMORGAN SMARTRET BLEND 2035 R5 SEPARATE ACCOUNT Plan #574 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,164,867 / $1,981,580 | 2019 | JPMORGAN SMARTRET BLEND 2035 R5 SEPARATE ACCOUNT - Plan #574 | 0 / 0 | $1,164,867 / $1,981,580 |
2019 | Plan NameAB DISCOVERY VALUE Z SEPARATE ACCOUNT Plan #777 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,613,874 / $1,936,656 | 2019 | AB DISCOVERY VALUE Z SEPARATE ACCOUNT - Plan #777 | 0 / 0 | $1,613,874 / $1,936,656 |
2019 | Plan NameSECURIAN AM REAL ASST INC INSTL SEPARATE ACCOUNT Plan #775 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,807,428 / $1,936,110 | 2019 | SECURIAN AM REAL ASST INC INSTL SEPARATE ACCOUNT - Plan #775 | 0 / 0 | $3,807,428 / $1,936,110 |
2019 | Plan NameAMERICAN FUNDS 2055 TARGET DATE RET R6 SEPARATE AC Plan #453 Participants BOY/EOY0 / 0 Assets BOY/EOY$607,465 / $1,925,754 | 2019 | AMERICAN FUNDS 2055 TARGET DATE RET R6 SEPARATE AC - Plan #453 | 0 / 0 | $607,465 / $1,925,754 |
2019 | Plan NameAMERICAN FUNDS FUNDAMENTAL INVS R6 SEPARATE ACCOUNT Plan #408 Participants BOY/EOY0 / 0 Assets BOY/EOY$910,082 / $1,907,896 | 2019 | AMERICAN FUNDS FUNDAMENTAL INVS R6 SEPARATE ACCOUNT - Plan #408 | 0 / 0 | $910,082 / $1,907,896 |
2019 | Plan NameRETIREMENT ADVOCATE MODERATE SEPARATE ACCOUNT Plan #313 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,579,463 / $1,881,961 | 2019 | RETIREMENT ADVOCATE MODERATE SEPARATE ACCOUNT - Plan #313 | 0 / 0 | $1,579,463 / $1,881,961 |
2019 | Plan NameIVY ASSET STRATEGY FUND CL Y SEPARATE ACCOUNT Plan #080 Participants BOY/EOY0 / 0 Assets BOY/EOY$6,800,346 / $1,859,133 | 2019 | IVY ASSET STRATEGY FUND CL Y SEPARATE ACCOUNT - Plan #080 | 0 / 0 | $6,800,346 / $1,859,133 |
2019 | Plan NameSCHWAB INDEXED RET TR FD 2015 I SEPARATE ACCOUNT Plan #315 Participants BOY/EOY0 / 0 Assets BOY/EOY$571,723 / $1,839,696 | 2019 | SCHWAB INDEXED RET TR FD 2015 I SEPARATE ACCOUNT - Plan #315 | 0 / 0 | $571,723 / $1,839,696 |
2019 | Plan NameTRADEMARK TACTICAL RISK 2020 R SEPARATE ACCOUNT Plan #259 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,135,089 / $1,829,842 | 2019 | TRADEMARK TACTICAL RISK 2020 R SEPARATE ACCOUNT - Plan #259 | 0 / 0 | $2,135,089 / $1,829,842 |
2019 | Plan NameDFA INTL CORE EQ I SEPARATE ACCOUNT Plan #857 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,373,832 / $1,828,953 | 2019 | DFA INTL CORE EQ I SEPARATE ACCOUNT - Plan #857 | 0 / 0 | $1,373,832 / $1,828,953 |
2019 | Plan NameJPMORGAN SMARTRET BLEND 2025 R5 SEPARATE ACCOUNT Plan #572 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,842,770 / $1,808,166 | 2019 | JPMORGAN SMARTRET BLEND 2025 R5 SEPARATE ACCOUNT - Plan #572 | 0 / 0 | $1,842,770 / $1,808,166 |
2019 | Plan NameDODGE & COX STOCK FUND SEPARATE ACCOUNT Plan #164 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,052,088 / $1,804,488 | 2019 | DODGE & COX STOCK FUND SEPARATE ACCOUNT - Plan #164 | 0 / 0 | $1,052,088 / $1,804,488 |
2019 | Plan NameDOUBLELINE TOTAL RETURN BOND N SEPARATE ACCOUNT Plan #454 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,712,892 / $1,769,200 | 2019 | DOUBLELINE TOTAL RETURN BOND N SEPARATE ACCOUNT - Plan #454 | 0 / 0 | $1,712,892 / $1,769,200 |
2019 | Plan NameRETIREMENT ADVOCATE AGGR SEPARATE ACCOUNT Plan #309 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,100,248 / $1,756,181 | 2019 | RETIREMENT ADVOCATE AGGR SEPARATE ACCOUNT - Plan #309 | 0 / 0 | $1,100,248 / $1,756,181 |
2019 | Plan NameSCHWAB INDEXED RET TR FD 2055 I SEPARATE ACCOUNT Plan #323 Participants BOY/EOY0 / 0 Assets BOY/EOY$403,470 / $1,753,403 | 2019 | SCHWAB INDEXED RET TR FD 2055 I SEPARATE ACCOUNT - Plan #323 | 0 / 0 | $403,470 / $1,753,403 |
2019 | Plan NamePRINCIPAL MIDCAP A SEPARATE ACCOUNT Plan #756 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,163,209 / $1,729,162 | 2019 | PRINCIPAL MIDCAP A SEPARATE ACCOUNT - Plan #756 | 0 / 0 | $1,163,209 / $1,729,162 |
2019 | Plan NameJPMORGAN SMARTRET 2045 A SEPARATE ACCOUNT Plan #393 Participants BOY/EOY0 / 0 Assets BOY/EOY$872,340 / $1,724,000 | 2019 | JPMORGAN SMARTRET 2045 A SEPARATE ACCOUNT - Plan #393 | 0 / 0 | $872,340 / $1,724,000 |
2019 | Plan NameGOLDMAN SACHS SML CAP VAL INSTL SEPARATE ACCOUNT Plan #529 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,279,007 / $1,720,491 | 2019 | GOLDMAN SACHS SML CAP VAL INSTL SEPARATE ACCOUNT - Plan #529 | 0 / 0 | $1,279,007 / $1,720,491 |
2019 | Plan NameTR PRICE INTL DISCOVERY SEPARATE ACCOUNT Plan #625 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,325,646 / $1,694,816 | 2019 | TR PRICE INTL DISCOVERY SEPARATE ACCOUNT - Plan #625 | 0 / 0 | $1,325,646 / $1,694,816 |
2019 | Plan NameJPMORGAN SMARTRET BLEND 2020 R5 SEPARATE ACCOUNT Plan #571 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,640,434 / $1,628,098 | 2019 | JPMORGAN SMARTRET BLEND 2020 R5 SEPARATE ACCOUNT - Plan #571 | 0 / 0 | $1,640,434 / $1,628,098 |
2019 | Plan NameWESTERN ASSET CORE PLUS BOND A SEPARATE ACCOUNT Plan #465 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,934,724 / $1,621,363 | 2019 | WESTERN ASSET CORE PLUS BOND A SEPARATE ACCOUNT - Plan #465 | 0 / 0 | $1,934,724 / $1,621,363 |
2019 | Plan NameIVY VALUE CL A SEPARATE ACCOUNT Plan #083 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,546,525 / $1,619,628 | 2019 | IVY VALUE CL A SEPARATE ACCOUNT - Plan #083 | 0 / 0 | $3,546,525 / $1,619,628 |
2019 | Plan NameIVY CORE EQUITY CL A SEPARATE ACCOUNT Plan #084 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,760,419 / $1,612,015 | 2019 | IVY CORE EQUITY CL A SEPARATE ACCOUNT - Plan #084 | 0 / 0 | $4,760,419 / $1,612,015 |
2019 | Plan NamePUTNAM EQUITY INCOME Y SEPARATE ACCOUNT Plan #619 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,204,610 / $1,566,834 | 2019 | PUTNAM EQUITY INCOME Y SEPARATE ACCOUNT - Plan #619 | 0 / 0 | $1,204,610 / $1,566,834 |
2019 | Plan NamePGIM HIGH-YIELD Z SEPARATE ACCOUNT Plan #501 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,242,833 / $1,561,296 | 2019 | PGIM HIGH-YIELD Z SEPARATE ACCOUNT - Plan #501 | 0 / 0 | $1,242,833 / $1,561,296 |
2019 | Plan NameFLEXPATH INDEX+ MOD 2025 R1 SEPARATE ACCOUNT Plan #845 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,194,180 / $1,558,828 | 2019 | FLEXPATH INDEX+ MOD 2025 R1 SEPARATE ACCOUNT - Plan #845 | 0 / 0 | $1,194,180 / $1,558,828 |
2019 | Plan NameFLEXPATH INDEX+ MOD 2035 R1 SEPARATE ACCOUNT Plan #846 Participants BOY/EOY0 / 0 Assets BOY/EOY$908,280 / $1,518,108 | 2019 | FLEXPATH INDEX+ MOD 2035 R1 SEPARATE ACCOUNT - Plan #846 | 0 / 0 | $908,280 / $1,518,108 |
2019 | Plan NameJPMORGAN SMARTRET BLEND 2050 R5 SEPARATE ACCOUNT Plan #577 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,161,678 / $1,515,486 | 2019 | JPMORGAN SMARTRET BLEND 2050 R5 SEPARATE ACCOUNT - Plan #577 | 0 / 0 | $1,161,678 / $1,515,486 |
2019 | Plan NameBLACKROCK LIFEPATH INDEX 2055 INSTL SEPARATE ACCOUNT Plan #821 Participants BOY/EOY0 / 0 Assets BOY/EOY$511,850 / $1,469,468 | 2019 | BLACKROCK LIFEPATH INDEX 2055 INSTL SEPARATE ACCOUNT - Plan #821 | 0 / 0 | $511,850 / $1,469,468 |
2019 | Plan NameJPMORGAN SMARTRET 2055 A SEPARATE ACCOUNT Plan #394 Participants BOY/EOY0 / 0 Assets BOY/EOY$637,182 / $1,457,320 | 2019 | JPMORGAN SMARTRET 2055 A SEPARATE ACCOUNT - Plan #394 | 0 / 0 | $637,182 / $1,457,320 |
2019 | Plan NameAMERICAN FUNDS 2015 TARGET DATE RET R6 SEPARATE AC Plan #380 Participants BOY/EOY0 / 0 Assets BOY/EOY$157,575 / $1,437,443 | 2019 | AMERICAN FUNDS 2015 TARGET DATE RET R6 SEPARATE AC - Plan #380 | 0 / 0 | $157,575 / $1,437,443 |
2019 | Plan NameAMERICAN FUNDS CAP WLD G/I R6 SEPARATE ACCOUNT Plan #410 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,009,442 / $1,434,678 | 2019 | AMERICAN FUNDS CAP WLD G/I R6 SEPARATE ACCOUNT - Plan #410 | 0 / 0 | $1,009,442 / $1,434,678 |
2019 | Plan NameTWEEDY, BROWNE GLOBAL VALUE SEPARATE ACCOUNT Plan #725 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,250,182 / $1,430,985 | 2019 | TWEEDY, BROWNE GLOBAL VALUE SEPARATE ACCOUNT - Plan #725 | 0 / 0 | $1,250,182 / $1,430,985 |
2019 | Plan NameJPMORGAN SMARTRET BLEND 2045 R5 SEPARATE ACCOUNT Plan #576 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,051,013 / $1,400,163 | 2019 | JPMORGAN SMARTRET BLEND 2045 R5 SEPARATE ACCOUNT - Plan #576 | 0 / 0 | $1,051,013 / $1,400,163 |
2019 | Plan NameCOHEN & STEERS REALTY SHARES SEPARATE ACCOUNT Plan #569 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,028,391 / $1,384,506 | 2019 | COHEN & STEERS REALTY SHARES SEPARATE ACCOUNT - Plan #569 | 0 / 0 | $1,028,391 / $1,384,506 |
2019 | Plan NameAMERICAN CENTURY ONE CHOICE 2040 I SEPARATE ACCOUN Plan #536 Participants BOY/EOY0 / 0 Assets BOY/EOY$307,046 / $1,361,852 | 2019 | AMERICAN CENTURY ONE CHOICE 2040 I SEPARATE ACCOUN - Plan #536 | 0 / 0 | $307,046 / $1,361,852 |
2019 | Plan NameVANGUARD WELLINGTON ADMIRAL SEPARATE ACCOUNT Plan #401 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,084,447 / $1,347,437 | 2019 | VANGUARD WELLINGTON ADMIRAL SEPARATE ACCOUNT - Plan #401 | 0 / 0 | $1,084,447 / $1,347,437 |
2019 | Plan NameINVESCO OPPHMR GLBL ALLOCATION SEPARATE ACCOUNT Plan #326 Participants BOY/EOY0 / 0 Assets BOY/EOY$251,649 / $1,327,331 | 2019 | INVESCO OPPHMR GLBL ALLOCATION SEPARATE ACCOUNT - Plan #326 | 0 / 0 | $251,649 / $1,327,331 |
2019 | Plan NameWELLS FARGO SM CO GR INST SEPARATE ACCOUNT Plan #475 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,451,342 / $1,321,480 | 2019 | WELLS FARGO SM CO GR INST SEPARATE ACCOUNT - Plan #475 | 0 / 0 | $1,451,342 / $1,321,480 |
2019 | Plan NameJPMORGAN SMARTRET 2025 A SEPARATE ACCOUNT Plan #391 Participants BOY/EOY0 / 0 Assets BOY/EOY$924,182 / $1,320,751 | 2019 | JPMORGAN SMARTRET 2025 A SEPARATE ACCOUNT - Plan #391 | 0 / 0 | $924,182 / $1,320,751 |
2019 | Plan NameGM SACHS EM EQ INSGHTS R SEPARATE ACCOUNT Plan #613 Participants BOY/EOY0 / 0 Assets BOY/EOY$999,721 / $1,314,836 | 2019 | GM SACHS EM EQ INSGHTS R SEPARATE ACCOUNT - Plan #613 | 0 / 0 | $999,721 / $1,314,836 |
2019 | Plan NameDFA EMERGING MKTS SM CAP I SEPARATE ACCOUNT Plan #388 Participants BOY/EOY0 / 0 Assets BOY/EOY$907,811 / $1,309,114 | 2019 | DFA EMERGING MKTS SM CAP I SEPARATE ACCOUNT - Plan #388 | 0 / 0 | $907,811 / $1,309,114 |
2019 | Plan NameJPMORGAN INTREPID VALUE A SEPARATE ACCOUNT Plan #496 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,007,485 / $1,308,437 | 2019 | JPMORGAN INTREPID VALUE A SEPARATE ACCOUNT - Plan #496 | 0 / 0 | $1,007,485 / $1,308,437 |
2019 | Plan NameJHANCOCK CLASSIC VALUE R6 SEPARATE ACCOUNT Plan #466 Participants BOY/EOY0 / 0 Assets BOY/EOY$920,393 / $1,297,604 | 2019 | JHANCOCK CLASSIC VALUE R6 SEPARATE ACCOUNT - Plan #466 | 0 / 0 | $920,393 / $1,297,604 |
2019 | Plan NameEATON VANCE HI INC OPP A SEPARATE ACCOUNT Plan #855 Participants BOY/EOY0 / 0 Assets BOY/EOY$847,239 / $1,289,844 | 2019 | EATON VANCE HI INC OPP A SEPARATE ACCOUNT - Plan #855 | 0 / 0 | $847,239 / $1,289,844 |
2019 | Plan NamePARAMETRIC INTL EQ INVSTR SEPARATE ACCOUNT Plan #548 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,139,668 / $1,283,943 | 2019 | PARAMETRIC INTL EQ INVSTR SEPARATE ACCOUNT - Plan #548 | 0 / 0 | $1,139,668 / $1,283,943 |
2019 | Plan NameBLACKROCK HIGH YIELD BOND INSTL SEPARATE ACCOUNT Plan #242 Participants BOY/EOY0 / 0 Assets BOY/EOY$870,473 / $1,277,702 | 2019 | BLACKROCK HIGH YIELD BOND INSTL SEPARATE ACCOUNT - Plan #242 | 0 / 0 | $870,473 / $1,277,702 |
2019 | Plan NameVANGUARD GLOBAL CAPITAL CYCLES INV SEPARATE ACCOUN Plan #710 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,040,570 / $1,274,111 | 2019 | VANGUARD GLOBAL CAPITAL CYCLES INV SEPARATE ACCOUN - Plan #710 | 0 / 0 | $1,040,570 / $1,274,111 |
2019 | Plan NameJHANCOCK DISCIP VALUE MID R6 SEPARATE ACCOUNT Plan #247 Participants BOY/EOY0 / 0 Assets BOY/EOY$993,220 / $1,268,146 | 2019 | JHANCOCK DISCIP VALUE MID R6 SEPARATE ACCOUNT - Plan #247 | 0 / 0 | $993,220 / $1,268,146 |
2019 | Plan NameDODGE & COX INCOME FUND SEPARATE ACCOUNT Plan #157 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,105,965 / $1,242,063 | 2019 | DODGE & COX INCOME FUND SEPARATE ACCOUNT - Plan #157 | 0 / 0 | $1,105,965 / $1,242,063 |
2019 | Plan NameFLEXPATH INDEX+ MOD RET I1 SEPARATE ACCOUNT Plan #690 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,265,717 / $1,200,459 | 2019 | FLEXPATH INDEX+ MOD RET I1 SEPARATE ACCOUNT - Plan #690 | 0 / 0 | $1,265,717 / $1,200,459 |
2019 | Plan NamePIONEER STRATEGIC INCOME Y SEPARATE ACCOUNT Plan #631 Participants BOY/EOY0 / 0 Assets BOY/EOY$494,136 / $1,193,763 | 2019 | PIONEER STRATEGIC INCOME Y SEPARATE ACCOUNT - Plan #631 | 0 / 0 | $494,136 / $1,193,763 |
2019 | Plan NameIVY ACCUMULATIVE CL A SEPARATE ACCOUNT Plan #085 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,568,284 / $1,127,962 | 2019 | IVY ACCUMULATIVE CL A SEPARATE ACCOUNT - Plan #085 | 0 / 0 | $1,568,284 / $1,127,962 |
2019 | Plan NameTRADEMARK TACTICAL RISK 2050 R SEPARATE ACCOUNT Plan #262 Participants BOY/EOY0 / 0 Assets BOY/EOY$910,946 / $1,106,714 | 2019 | TRADEMARK TACTICAL RISK 2050 R SEPARATE ACCOUNT - Plan #262 | 0 / 0 | $910,946 / $1,106,714 |
2019 | Plan NameIVY GLOBAL GROWTH CL A SEPARATE ACCOUNT Plan #090 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,318,837 / $1,091,021 | 2019 | IVY GLOBAL GROWTH CL A SEPARATE ACCOUNT - Plan #090 | 0 / 0 | $3,318,837 / $1,091,021 |
2019 | Plan NameDELAWARE VALUE A SEPARATE ACCOUNT Plan #708 Participants BOY/EOY0 / 0 Assets BOY/EOY$8,817 / $1,085,944 | 2019 | DELAWARE VALUE A SEPARATE ACCOUNT - Plan #708 | 0 / 0 | $8,817 / $1,085,944 |
2019 | Plan NameIVY SMALL CAP VALUE CL Y SEPARATE ACCOUNT Plan #068 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,255,363 / $1,079,524 | 2019 | IVY SMALL CAP VALUE CL Y SEPARATE ACCOUNT - Plan #068 | 0 / 0 | $3,255,363 / $1,079,524 |
2019 | Plan NameRETIREMENT ADV MOD CONSERV SEPARATE ACCOUNT Plan #312 Participants BOY/EOY0 / 0 Assets BOY/EOY$846,693 / $1,068,860 | 2019 | RETIREMENT ADV MOD CONSERV SEPARATE ACCOUNT - Plan #312 | 0 / 0 | $846,693 / $1,068,860 |
2019 | Plan NameAMERICAN CENTURY ONE CHOICE 2050 I SEPARATE ACCOUNT Plan #538 Participants BOY/EOY0 / 0 Assets BOY/EOY$389,298 / $1,050,263 | 2019 | AMERICAN CENTURY ONE CHOICE 2050 I SEPARATE ACCOUNT - Plan #538 | 0 / 0 | $389,298 / $1,050,263 |
2019 | Plan NameLORD ABBETT TOTAL RETURN R6 SEPARATE ACCOUNT Plan #590 Participants BOY/EOY0 / 0 Assets BOY/EOY$34,657 / $1,041,437 | 2019 | LORD ABBETT TOTAL RETURN R6 SEPARATE ACCOUNT - Plan #590 | 0 / 0 | $34,657 / $1,041,437 |
2019 | Plan NameJANUS HENDERSON FLEXIBLE BOND SEPARATE ACCOUNT Plan #689 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,147,153 / $1,026,111 | 2019 | JANUS HENDERSON FLEXIBLE BOND SEPARATE ACCOUNT - Plan #689 | 0 / 0 | $1,147,153 / $1,026,111 |
2019 | Plan NameTRADEMARK TACTICAL RISK 2040 R SEPARATE ACCOUNT Plan #261 Participants BOY/EOY0 / 0 Assets BOY/EOY$922,677 / $1,025,047 | 2019 | TRADEMARK TACTICAL RISK 2040 R SEPARATE ACCOUNT - Plan #261 | 0 / 0 | $922,677 / $1,025,047 |
2019 | Plan NameAMERICAN CENTURY ONE CHOICE 2020 I SEPARATE ACCOUN Plan #532 Participants BOY/EOY0 / 0 Assets BOY/EOY$365,980 / $1,001,989 | 2019 | AMERICAN CENTURY ONE CHOICE 2020 I SEPARATE ACCOUN - Plan #532 | 0 / 0 | $365,980 / $1,001,989 |
2019 | Plan NameAMER BEACON SMALL CP VAL Y SEPARATE ACCOUNT Plan #303 Participants BOY/EOY0 / 0 Assets BOY/EOY$538,638 / $1,000,585 | 2019 | AMER BEACON SMALL CP VAL Y SEPARATE ACCOUNT - Plan #303 | 0 / 0 | $538,638 / $1,000,585 |
2019 | Plan NameVANGUARD STRATEGIC EQUITY INV SEPARATE ACCOUNT Plan #547 Participants BOY/EOY0 / 0 Assets BOY/EOY$804,130 / $976,617 | 2019 | VANGUARD STRATEGIC EQUITY INV SEPARATE ACCOUNT - Plan #547 | 0 / 0 | $804,130 / $976,617 |
2019 | Plan NameTIAA-CREF LARGE-CAP GROWTH I SEPARATE ACCOUNT Plan #650 Participants BOY/EOY0 / 0 Assets BOY/EOY$406,709 / $965,252 | 2019 | TIAA-CREF LARGE-CAP GROWTH I SEPARATE ACCOUNT - Plan #650 | 0 / 0 | $406,709 / $965,252 |
2019 | Plan NameLORD ABBETT HIGH YIELD R6 SEPARATE ACCOUNT Plan #552 Participants BOY/EOY0 / 0 Assets BOY/EOY$589,696 / $956,197 | 2019 | LORD ABBETT HIGH YIELD R6 SEPARATE ACCOUNT - Plan #552 | 0 / 0 | $589,696 / $956,197 |
2019 | Plan NameAMERICAN CENTURY ONE CHOICE 2035 I SEPARATE ACCOUN Plan #535 Participants BOY/EOY0 / 0 Assets BOY/EOY$739,856 / $936,936 | 2019 | AMERICAN CENTURY ONE CHOICE 2035 I SEPARATE ACCOUN - Plan #535 | 0 / 0 | $739,856 / $936,936 |
2019 | Plan NameVANGUARD LONG-TERM TRSY INDEX ADMIRAL SEPARATE ACC Plan #643 Participants BOY/EOY0 / 0 Assets BOY/EOY$482,061 / $922,026 | 2019 | VANGUARD LONG-TERM TRSY INDEX ADMIRAL SEPARATE ACC - Plan #643 | 0 / 0 | $482,061 / $922,026 |
2019 | Plan NameDODGE & COX INTL STOCK FUND SEPARATE ACCOUNT Plan #161 Participants BOY/EOY0 / 0 Assets BOY/EOY$856,806 / $907,158 | 2019 | DODGE & COX INTL STOCK FUND SEPARATE ACCOUNT - Plan #161 | 0 / 0 | $856,806 / $907,158 |
2019 | Plan NameCLEARBRIDGE MID CAP A SEPARATE ACCOUNT Plan #735 Participants BOY/EOY0 / 0 Assets BOY/EOY$690,193 / $896,220 | 2019 | CLEARBRIDGE MID CAP A SEPARATE ACCOUNT - Plan #735 | 0 / 0 | $690,193 / $896,220 |
2019 | Plan NameAB LARGE CAP GROWTH ADV SEPARATE ACCOUNT Plan #824 Participants BOY/EOY0 / 0 Assets BOY/EOY$111,248 / $887,552 | 2019 | AB LARGE CAP GROWTH ADV SEPARATE ACCOUNT - Plan #824 | 0 / 0 | $111,248 / $887,552 |
2019 | Plan NameWELLS FARGO TARGET 2010 A SEPARATE ACCOUNT Plan #556 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,223 / $886,957 | 2019 | WELLS FARGO TARGET 2010 A SEPARATE ACCOUNT - Plan #556 | 0 / 0 | $3,223 / $886,957 |
2019 | Plan NameISHARES MSCI EAFE INTL INDEX INSTL SEPARATE ACCOUNT Plan #867 Participants BOY/EOY0 / 0 Assets BOY/EOY$327,986 / $883,164 | 2019 | ISHARES MSCI EAFE INTL INDEX INSTL SEPARATE ACCOUNT - Plan #867 | 0 / 0 | $327,986 / $883,164 |
2019 | Plan NameJHANCOCK INTL GROWTH R6 SEPARATE ACCOUNT Plan #587 Participants BOY/EOY0 / 0 Assets BOY/EOY$655,259 / $880,097 | 2019 | JHANCOCK INTL GROWTH R6 SEPARATE ACCOUNT - Plan #587 | 0 / 0 | $655,259 / $880,097 |
2019 | Plan NameLONGLEAF PARTNERS SMALL-CAP SEPARATE ACCOUNT Plan #502 Participants BOY/EOY0 / 0 Assets BOY/EOY$749,717 / $878,960 | 2019 | LONGLEAF PARTNERS SMALL-CAP SEPARATE ACCOUNT - Plan #502 | 0 / 0 | $749,717 / $878,960 |
2019 | Plan NameVGD INFORMATION TECH IDX ADM SEPARATE ACCOUNT Plan #612 Participants BOY/EOY0 / 0 Assets BOY/EOY$834,012 / $876,596 | 2019 | VGD INFORMATION TECH IDX ADM SEPARATE ACCOUNT - Plan #612 | 0 / 0 | $834,012 / $876,596 |
2019 | Plan NameGOLDMAN SACHS SMALL CAP GR INSGHTS R SEPARATE ACCO Plan #720 Participants BOY/EOY0 / 0 Assets BOY/EOY$52,349 / $870,257 | 2019 | GOLDMAN SACHS SMALL CAP GR INSGHTS R SEPARATE ACCO - Plan #720 | 0 / 0 | $52,349 / $870,257 |
2019 | Plan NameIVY INTL COR EQ Y SEPARATE ACCOUNT Plan #482 Participants BOY/EOY0 / 0 Assets BOY/EOY$254,652 / $856,725 | 2019 | IVY INTL COR EQ Y SEPARATE ACCOUNT - Plan #482 | 0 / 0 | $254,652 / $856,725 |
2019 | Plan NameVANGUARD ST INV-GR ADM SEPARATE ACCOUNT Plan #257 Participants BOY/EOY0 / 0 Assets BOY/EOY$83,760 / $845,475 | 2019 | VANGUARD ST INV-GR ADM SEPARATE ACCOUNT - Plan #257 | 0 / 0 | $83,760 / $845,475 |
2019 | Plan NameMFS INTERNATIONAL INTRINSIC VAL R3 SEPARATE ACCOUNT Plan #335 Participants BOY/EOY0 / 0 Assets BOY/EOY$537,747 / $836,499 | 2019 | MFS INTERNATIONAL INTRINSIC VAL R3 SEPARATE ACCOUNT - Plan #335 | 0 / 0 | $537,747 / $836,499 |
2019 | Plan NamePIMCO TOTAL RETURN A SEPARATE ACCOUNT Plan #425 Participants BOY/EOY0 / 0 Assets BOY/EOY$793,826 / $835,549 | 2019 | PIMCO TOTAL RETURN A SEPARATE ACCOUNT - Plan #425 | 0 / 0 | $793,826 / $835,549 |
2019 | Plan NameAMERICAN FUNDS INVMT CO OF AMER R6 SEPARATE ACCOUN Plan #671 Participants BOY/EOY0 / 0 Assets BOY/EOY$776,319 / $823,214 | 2019 | AMERICAN FUNDS INVMT CO OF AMER R6 SEPARATE ACCOUN - Plan #671 | 0 / 0 | $776,319 / $823,214 |
2019 | Plan NameVICTORY INTEGRITY SMALL-CAP VALUE Y SEPARATE ACCOU Plan #736 Participants BOY/EOY0 / 0 Assets BOY/EOY$298,311 / $818,145 | 2019 | VICTORY INTEGRITY SMALL-CAP VALUE Y SEPARATE ACCOU - Plan #736 | 0 / 0 | $298,311 / $818,145 |
2019 | Plan NameFLEXPATH INDEX+ MOD 2045 R1 SEPARATE ACCOUNT Plan #847 Participants BOY/EOY0 / 0 Assets BOY/EOY$558,105 / $816,583 | 2019 | FLEXPATH INDEX+ MOD 2045 R1 SEPARATE ACCOUNT - Plan #847 | 0 / 0 | $558,105 / $816,583 |
2019 | Plan NameIVY BALANCED FUND CL Y SEPARATE ACCOUNT Plan #010 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,203,023 / $800,771 | 2019 | IVY BALANCED FUND CL Y SEPARATE ACCOUNT - Plan #010 | 0 / 0 | $2,203,023 / $800,771 |
2019 | Plan NameAMER CENTURY EMERG MKTS R6 SEPARATE ACCOUNT Plan #826 Participants BOY/EOY0 / 0 Assets BOY/EOY$449,270 / $796,483 | 2019 | AMER CENTURY EMERG MKTS R6 SEPARATE ACCOUNT - Plan #826 | 0 / 0 | $449,270 / $796,483 |
2019 | Plan NameJHANCOCK INV GRD BOND R6 SEPARATE ACCOUNT Plan #568 Participants BOY/EOY0 / 0 Assets BOY/EOY$854,400 / $793,190 | 2019 | JHANCOCK INV GRD BOND R6 SEPARATE ACCOUNT - Plan #568 | 0 / 0 | $854,400 / $793,190 |
2019 | Plan NameJANUS VENTURE I SEPARATE ACCOUNT Plan #542 Participants BOY/EOY0 / 0 Assets BOY/EOY$21,214 / $786,345 | 2019 | JANUS VENTURE I SEPARATE ACCOUNT - Plan #542 | 0 / 0 | $21,214 / $786,345 |
2019 | Plan NameJPMORGAN US EQUITY A SEPARATE ACCOUNT Plan #514 Participants BOY/EOY0 / 0 Assets BOY/EOY$478,118 / $783,129 | 2019 | JPMORGAN US EQUITY A SEPARATE ACCOUNT - Plan #514 | 0 / 0 | $478,118 / $783,129 |
2019 | Plan NameMFS TECHNOLOGY R3 SEPARATE ACCOUNT Plan #610 Participants BOY/EOY0 / 0 Assets BOY/EOY$510,527 / $777,176 | 2019 | MFS TECHNOLOGY R3 SEPARATE ACCOUNT - Plan #610 | 0 / 0 | $510,527 / $777,176 |
2019 | Plan NameIVY SECURIAN CORE BOND CL Y SEPARATE ACCOUNT Plan #172 Participants BOY/EOY0 / 0 Assets BOY/EOY$724,879 / $752,534 | 2019 | IVY SECURIAN CORE BOND CL Y SEPARATE ACCOUNT - Plan #172 | 0 / 0 | $724,879 / $752,534 |
2019 | Plan NameSCHWAB INDEXED RET TR FD 2060 I SEPARATE ACCOUNT Plan #864 Participants BOY/EOY0 / 0 Assets BOY/EOY$128,030 / $748,652 | 2019 | SCHWAB INDEXED RET TR FD 2060 I SEPARATE ACCOUNT - Plan #864 | 0 / 0 | $128,030 / $748,652 |
2019 | Plan NameFLEXPATH INDEX+ AGGR 2035 I1 SEPARATE ACCOUNT Plan #702 Participants BOY/EOY0 / 0 Assets BOY/EOY$190,316 / $731,764 | 2019 | FLEXPATH INDEX+ AGGR 2035 I1 SEPARATE ACCOUNT - Plan #702 | 0 / 0 | $190,316 / $731,764 |
2019 | Plan NameJPMORGAN SMARTRET 2040 A SEPARATE ACCOUNT Plan #663 Participants BOY/EOY0 / 0 Assets BOY/EOY$285,092 / $722,536 | 2019 | JPMORGAN SMARTRET 2040 A SEPARATE ACCOUNT - Plan #663 | 0 / 0 | $285,092 / $722,536 |
2019 | Plan NamePIMCO REAL RETURN INSTL SEPARATE ACCOUNT Plan #508 Participants BOY/EOY0 / 0 Assets BOY/EOY$513,318 / $716,216 | 2019 | PIMCO REAL RETURN INSTL SEPARATE ACCOUNT - Plan #508 | 0 / 0 | $513,318 / $716,216 |
2019 | Plan NameIVY GOVERNMENT MONEY MARKET CL A SEPARATE ACCOUNT Plan #071 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,507,725 / $702,643 | 2019 | IVY GOVERNMENT MONEY MARKET CL A SEPARATE ACCOUNT - Plan #071 | 0 / 0 | $1,507,725 / $702,643 |
2019 | Plan NameVOYA GLOBAL REAL ESTATE I SEPARATE ACCOUNT Plan #308 Participants BOY/EOY0 / 0 Assets BOY/EOY$120,544 / $687,768 | 2019 | VOYA GLOBAL REAL ESTATE I SEPARATE ACCOUNT - Plan #308 | 0 / 0 | $120,544 / $687,768 |
2019 | Plan NameTR PRICE PERSL STRAT GR SEPARATE ACCOUNT Plan #443 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,672 / $683,058 | 2019 | TR PRICE PERSL STRAT GR SEPARATE ACCOUNT - Plan #443 | 0 / 0 | $3,672 / $683,058 |
2019 | Plan NameIVY EMERGING MARKETS EQUITY CL Y SEPARATE ACCOUNT Plan #069 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,429,649 / $677,162 | 2019 | IVY EMERGING MARKETS EQUITY CL Y SEPARATE ACCOUNT - Plan #069 | 0 / 0 | $2,429,649 / $677,162 |
2019 | Plan NameLOOMIS SAYLES GROWTH A SEPARATE ACCOUNT Plan #442 Participants BOY/EOY0 / 0 Assets BOY/EOY$412,062 / $674,619 | 2019 | LOOMIS SAYLES GROWTH A SEPARATE ACCOUNT - Plan #442 | 0 / 0 | $412,062 / $674,619 |
2019 | Plan NameTRADEMARK TACTICAL RISK RETIREMENT R SEPARATE ACCOUNT Plan #258 Participants BOY/EOY0 / 0 Assets BOY/EOY$697,007 / $661,203 | 2019 | TRADEMARK TACTICAL RISK RETIREMENT R SEPARATE ACCOUNT - Plan #258 | 0 / 0 | $697,007 / $661,203 |
2019 | Plan NameFIDELITY CONTRAFUND SEPARATE ACCOUNT Plan #484 Participants BOY/EOY0 / 0 Assets BOY/EOY$487,989 / $660,552 | 2019 | FIDELITY CONTRAFUND SEPARATE ACCOUNT - Plan #484 | 0 / 0 | $487,989 / $660,552 |
2019 | Plan NamePIMCO INTL BOND (USD-H) I SEPARATE ACCOUNT Plan #865 Participants BOY/EOY0 / 0 Assets BOY/EOY$281,306 / $657,676 | 2019 | PIMCO INTL BOND (USD-H) I SEPARATE ACCOUNT - Plan #865 | 0 / 0 | $281,306 / $657,676 |
2019 | Plan NameIVY INTL CORE EQUITY FUND CL Y SEPARATE ACCOUNT Plan #228 Participants BOY/EOY0 / 0 Assets BOY/EOY$759,501 / $650,898 | 2019 | IVY INTL CORE EQUITY FUND CL Y SEPARATE ACCOUNT - Plan #228 | 0 / 0 | $759,501 / $650,898 |
2019 | Plan NameAM BEACON INTL EQ ADV SEPARATE ACCOUNT Plan #562 Participants BOY/EOY0 / 0 Assets BOY/EOY$421,492 / $650,783 | 2019 | AM BEACON INTL EQ ADV SEPARATE ACCOUNT - Plan #562 | 0 / 0 | $421,492 / $650,783 |
2019 | Plan NameJPMORGAN SMARTRET 2050 A SEPARATE ACCOUNT Plan #664 Participants BOY/EOY0 / 0 Assets BOY/EOY$282,882 / $650,524 | 2019 | JPMORGAN SMARTRET 2050 A SEPARATE ACCOUNT - Plan #664 | 0 / 0 | $282,882 / $650,524 |
2019 | Plan NameFIDELITY ADVISOR HEALTH CARE I SEPARATE ACCOUNT Plan #463 Participants BOY/EOY0 / 0 Assets BOY/EOY$406,626 / $642,047 | 2019 | FIDELITY ADVISOR HEALTH CARE I SEPARATE ACCOUNT - Plan #463 | 0 / 0 | $406,626 / $642,047 |
2019 | Plan NameDFA EMERGING MKTS CORE EQ I SEPARATE ACCOUNT Plan #660 Participants BOY/EOY0 / 0 Assets BOY/EOY$485,022 / $638,529 | 2019 | DFA EMERGING MKTS CORE EQ I SEPARATE ACCOUNT - Plan #660 | 0 / 0 | $485,022 / $638,529 |
2019 | Plan NameT. ROWE PRICE QM US SMALL-CAP GR EQ INV SEPARATE ACCOUNT Plan #868 Participants BOY/EOY0 / 0 Assets BOY/EOY$344,818 / $638,092 | 2019 | T. ROWE PRICE QM US SMALL-CAP GR EQ INV SEPARATE ACCOUNT - Plan #868 | 0 / 0 | $344,818 / $638,092 |
2019 | Plan NameFEDERATED MID-CAP INDEX INSTL SEPARATE ACCOUNT Plan #654 Participants BOY/EOY0 / 0 Assets BOY/EOY$21,497 / $616,509 | 2019 | FEDERATED MID-CAP INDEX INSTL SEPARATE ACCOUNT - Plan #654 | 0 / 0 | $21,497 / $616,509 |
2019 | Plan NameINVESCO STABLE VAL TRUST III SEPARATE ACCOUNT Plan #265 Participants BOY/EOY0 / 0 Assets BOY/EOY$677,747 / $613,497 | 2019 | INVESCO STABLE VAL TRUST III SEPARATE ACCOUNT - Plan #265 | 0 / 0 | $677,747 / $613,497 |
2019 | Plan NameDWS RREEF RE SECURITIES S SEPARATE ACCOUNT Plan #359 Participants BOY/EOY0 / 0 Assets BOY/EOY$302,646 / $611,004 | 2019 | DWS RREEF RE SECURITIES S SEPARATE ACCOUNT - Plan #359 | 0 / 0 | $302,646 / $611,004 |
2019 | Plan NamePRINCIPAL GLBL RE SEC INSTL SEPARATE ACCOUNT Plan #651 Participants BOY/EOY0 / 0 Assets BOY/EOY$221,724 / $594,494 | 2019 | PRINCIPAL GLBL RE SEC INSTL SEPARATE ACCOUNT - Plan #651 | 0 / 0 | $221,724 / $594,494 |
2019 | Plan NameJPMORGAN US RESEARCH ENHANCED SEPARATE ACCOUNT Plan #343 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,113,839 / $584,673 | 2019 | JPMORGAN US RESEARCH ENHANCED SEPARATE ACCOUNT - Plan #343 | 0 / 0 | $1,113,839 / $584,673 |
2019 | Plan NameTOUCHSTONE INTERNATIONAL EQ Y SEPARATE ACCOUNT Plan #713 Participants BOY/EOY0 / 0 Assets BOY/EOY$423,293 / $562,158 | 2019 | TOUCHSTONE INTERNATIONAL EQ Y SEPARATE ACCOUNT - Plan #713 | 0 / 0 | $423,293 / $562,158 |
2019 | Plan NameHARBOR MID CAP VALUE INSTL SEPARATE ACCOUNT Plan #551 Participants BOY/EOY0 / 0 Assets BOY/EOY$760,887 / $555,149 | 2019 | HARBOR MID CAP VALUE INSTL SEPARATE ACCOUNT - Plan #551 | 0 / 0 | $760,887 / $555,149 |
2019 | Plan NameINVESCO EQUALLY-WTD S&P 500 Y SEPARATE ACCOUNT Plan #490 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,253,907 / $550,535 | 2019 | INVESCO EQUALLY-WTD S&P 500 Y SEPARATE ACCOUNT - Plan #490 | 0 / 0 | $2,253,907 / $550,535 |
2019 | Plan NameJPMORGAN SMARTRET BLEND 2055 R5 SEPARATE ACCOUNT Plan #578 Participants BOY/EOY0 / 0 Assets BOY/EOY$229,716 / $550,467 | 2019 | JPMORGAN SMARTRET BLEND 2055 R5 SEPARATE ACCOUNT - Plan #578 | 0 / 0 | $229,716 / $550,467 |
2019 | Plan NameNEUBERGER BERMAN CORE BOND INST SEPARATE ACCOUNT Plan #440 Participants BOY/EOY0 / 0 Assets BOY/EOY$474,643 / $550,400 | 2019 | NEUBERGER BERMAN CORE BOND INST SEPARATE ACCOUNT - Plan #440 | 0 / 0 | $474,643 / $550,400 |
2019 | Plan NameISHARES RUSSELL 2000 SM-CAP IDX SEPARATE ACCOUNT Plan #521 Participants BOY/EOY0 / 0 Assets BOY/EOY$347,948 / $534,738 | 2019 | ISHARES RUSSELL 2000 SM-CAP IDX SEPARATE ACCOUNT - Plan #521 | 0 / 0 | $347,948 / $534,738 |
2019 | Plan NameTEMPLETON GLBL TOTAL RETURN A SEPARATE ACCOUNT Plan #368 Participants BOY/EOY0 / 0 Assets BOY/EOY$643,186 / $533,579 | 2019 | TEMPLETON GLBL TOTAL RETURN A SEPARATE ACCOUNT - Plan #368 | 0 / 0 | $643,186 / $533,579 |
2019 | Plan NameFLEXPATH INDEX+ MOD 2055 R1 SEPARATE ACCOUNT Plan #848 Participants BOY/EOY0 / 0 Assets BOY/EOY$298,513 / $529,221 | 2019 | FLEXPATH INDEX+ MOD 2055 R1 SEPARATE ACCOUNT - Plan #848 | 0 / 0 | $298,513 / $529,221 |
2019 | Plan NameIVY NATURAL RES CL Y SEPARATE ACCOUNT Plan #103 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,340,906 / $514,869 | 2019 | IVY NATURAL RES CL Y SEPARATE ACCOUNT - Plan #103 | 0 / 0 | $1,340,906 / $514,869 |
2019 | Plan NameDFA GLOBAL EQUITY I SEPARATE ACCOUNT Plan #633 Participants BOY/EOY0 / 0 Assets BOY/EOY$125,164 / $503,167 | 2019 | DFA GLOBAL EQUITY I SEPARATE ACCOUNT - Plan #633 | 0 / 0 | $125,164 / $503,167 |
2019 | Plan NamePRINCIPAL LARGECAP GROWTH I INSTL SEPARATE ACCOUNT Plan #344 Participants BOY/EOY0 / 0 Assets BOY/EOY$362,677 / $502,467 | 2019 | PRINCIPAL LARGECAP GROWTH I INSTL SEPARATE ACCOUNT - Plan #344 | 0 / 0 | $362,677 / $502,467 |
2019 | Plan NameINVESCO GOLD & PRECIOUS METALS Y SEPARATE ACCOUNT Plan #357 Participants BOY/EOY0 / 0 Assets BOY/EOY$354,013 / $497,065 | 2019 | INVESCO GOLD & PRECIOUS METALS Y SEPARATE ACCOUNT - Plan #357 | 0 / 0 | $354,013 / $497,065 |
2019 | Plan NameBLACKROCK EAFE EQUITY INDEX FD R6 SEPARATE ACCOUNT Plan #688 Participants BOY/EOY0 / 0 Assets BOY/EOY$584,816 / $485,734 | 2019 | BLACKROCK EAFE EQUITY INDEX FD R6 SEPARATE ACCOUNT - Plan #688 | 0 / 0 | $584,816 / $485,734 |
2019 | Plan NameVANGUARD MID CAP GROWTH INV SEPARATE ACCOUNT Plan #503 Participants BOY/EOY0 / 0 Assets BOY/EOY$426,185 / $480,510 | 2019 | VANGUARD MID CAP GROWTH INV SEPARATE ACCOUNT - Plan #503 | 0 / 0 | $426,185 / $480,510 |
2019 | Plan NameMAIRS & POWER GROWTH INV SEPARATE ACCOUNT Plan #387 Participants BOY/EOY0 / 0 Assets BOY/EOY$379,025 / $479,558 | 2019 | MAIRS & POWER GROWTH INV SEPARATE ACCOUNT - Plan #387 | 0 / 0 | $379,025 / $479,558 |
2019 | Plan NameTR PRICE PERSL STRAT BAL SEPARATE ACCOUNT Plan #444 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,679 / $478,263 | 2019 | TR PRICE PERSL STRAT BAL SEPARATE ACCOUNT - Plan #444 | 0 / 0 | $3,679 / $478,263 |
2019 | Plan NameBNY MELLON INTL CORE EQUITY I SEPARATE ACCOUNT Plan #760 Participants BOY/EOY0 / 0 Assets BOY/EOY$372,789 / $467,670 | 2019 | BNY MELLON INTL CORE EQUITY I SEPARATE ACCOUNT - Plan #760 | 0 / 0 | $372,789 / $467,670 |
2019 | Plan NameLORD ABBETT BOND DEBENTURE R6 SEPARATE ACCOUNT Plan #358 Participants BOY/EOY0 / 0 Assets BOY/EOY$54,876 / $463,736 | 2019 | LORD ABBETT BOND DEBENTURE R6 SEPARATE ACCOUNT - Plan #358 | 0 / 0 | $54,876 / $463,736 |
2019 | Plan NameBLACKROCK LIFEPATH INDEX 2060 INSTL SEPARATE ACCOUNT Plan #828 Participants BOY/EOY0 / 0 Assets BOY/EOY$165,794 / $459,710 | 2019 | BLACKROCK LIFEPATH INDEX 2060 INSTL SEPARATE ACCOUNT - Plan #828 | 0 / 0 | $165,794 / $459,710 |
2019 | Plan NameAMER FUNDS 2060 TRGT DATE RET R6 SEPARATE ACCOUNT Plan #705 Participants BOY/EOY0 / 0 Assets BOY/EOY$177,169 / $452,937 | 2019 | AMER FUNDS 2060 TRGT DATE RET R6 SEPARATE ACCOUNT - Plan #705 | 0 / 0 | $177,169 / $452,937 |
2019 | Plan NameGOLDMAN SACHS GLBL INC INV SEPARATE ACCOUNT Plan #856 Participants BOY/EOY0 / 0 Assets BOY/EOY$384,120 / $447,182 | 2019 | GOLDMAN SACHS GLBL INC INV SEPARATE ACCOUNT - Plan #856 | 0 / 0 | $384,120 / $447,182 |
2019 | Plan NameJPMORGAN SMARTRET 2030 A SEPARATE ACCOUNT Plan #662 Participants BOY/EOY0 / 0 Assets BOY/EOY$167,301 / $432,363 | 2019 | JPMORGAN SMARTRET 2030 A SEPARATE ACCOUNT - Plan #662 | 0 / 0 | $167,301 / $432,363 |
2019 | Plan NameHARTFORD BALANCED INCOME R4 SEPARATE ACCOUNT Plan #399 Participants BOY/EOY0 / 0 Assets BOY/EOY$0 / $422,946 | 2019 | HARTFORD BALANCED INCOME R4 SEPARATE ACCOUNT - Plan #399 | 0 / 0 | $0 / $422,946 |
2019 | Plan NameFIDELITY VIP REAL ESTATE IC SEPARATE ACCOUNT Plan #237 Participants BOY/EOY0 / 0 Assets BOY/EOY$727,033 / $419,766 | 2019 | FIDELITY VIP REAL ESTATE IC SEPARATE ACCOUNT - Plan #237 | 0 / 0 | $727,033 / $419,766 |
2019 | Plan NameIVY GLOBAL BOND CL A SEPARATE ACCOUNT Plan #047 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,320,524 / $415,143 | 2019 | IVY GLOBAL BOND CL A SEPARATE ACCOUNT - Plan #047 | 0 / 0 | $1,320,524 / $415,143 |
2019 | Plan NameFIDELITY ADVISOR MATERIALS I SEPARATE ACCOUNT Plan #457 Participants BOY/EOY0 / 0 Assets BOY/EOY$397,398 / $413,559 | 2019 | FIDELITY ADVISOR MATERIALS I SEPARATE ACCOUNT - Plan #457 | 0 / 0 | $397,398 / $413,559 |
2019 | Plan NameAM BEACON MID VALUE INV SEPARATE ACCOUNT Plan #384 Participants BOY/EOY0 / 0 Assets BOY/EOY$664,289 / $412,110 | 2019 | AM BEACON MID VALUE INV SEPARATE ACCOUNT - Plan #384 | 0 / 0 | $664,289 / $412,110 |
2019 | Plan NameVANGUARD HEALTH CARE ADM SEPARATE ACCOUNT Plan #637 Participants BOY/EOY0 / 0 Assets BOY/EOY$399,487 / $410,754 | 2019 | VANGUARD HEALTH CARE ADM SEPARATE ACCOUNT - Plan #637 | 0 / 0 | $399,487 / $410,754 |
2019 | Plan NameVANGUARD SELECTED VALUE INV SEPARATE ACCOUNT Plan #294 Participants BOY/EOY0 / 0 Assets BOY/EOY$236,148 / $409,701 | 2019 | VANGUARD SELECTED VALUE INV SEPARATE ACCOUNT - Plan #294 | 0 / 0 | $236,148 / $409,701 |
2019 | Plan NameCOLMB GLBL TECH GR ADV SEPARATE ACCOUNT Plan #620 Participants BOY/EOY0 / 0 Assets BOY/EOY$321,033 / $399,740 | 2019 | COLMB GLBL TECH GR ADV SEPARATE ACCOUNT - Plan #620 | 0 / 0 | $321,033 / $399,740 |
2019 | Plan NameIVY CORPORATE BOND CL A SEPARATE ACCOUNT Plan #049 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,752,757 / $397,385 | 2019 | IVY CORPORATE BOND CL A SEPARATE ACCOUNT - Plan #049 | 0 / 0 | $1,752,757 / $397,385 |
2019 | Plan NameAMER FUNDS INC FUND OF AMER R6 SEPARATE ACCOUNT Plan #285 Participants BOY/EOY0 / 0 Assets BOY/EOY$393,058 / $389,534 | 2019 | AMER FUNDS INC FUND OF AMER R6 SEPARATE ACCOUNT - Plan #285 | 0 / 0 | $393,058 / $389,534 |
2019 | Plan NameFEDERATED CAP PRESERVATION R6 SEPARATE ACCOUNT Plan #549 Participants BOY/EOY0 / 0 Assets BOY/EOY$504,340 / $383,791 | 2019 | FEDERATED CAP PRESERVATION R6 SEPARATE ACCOUNT - Plan #549 | 0 / 0 | $504,340 / $383,791 |
2019 | Plan NameVAN ECK GLBL HARD ASSETS A SEPARATE ACCOUNT Plan #715 Participants BOY/EOY0 / 0 Assets BOY/EOY$322,344 / $381,208 | 2019 | VAN ECK GLBL HARD ASSETS A SEPARATE ACCOUNT - Plan #715 | 0 / 0 | $322,344 / $381,208 |
2019 | Plan NameCARILLON EAGLE SMALL CAP GROWTH A SEPARATE ACCOUNT Plan #659 Participants BOY/EOY0 / 0 Assets BOY/EOY$105,973 / $380,793 | 2019 | CARILLON EAGLE SMALL CAP GROWTH A SEPARATE ACCOUNT - Plan #659 | 0 / 0 | $105,973 / $380,793 |
2019 | Plan NamePUTNAM INCOME Y SEPARATE ACCOUNT Plan #487 Participants BOY/EOY0 / 0 Assets BOY/EOY$538,136 / $379,625 | 2019 | PUTNAM INCOME Y SEPARATE ACCOUNT - Plan #487 | 0 / 0 | $538,136 / $379,625 |
2019 | Plan NameFLEXPATH INDEX+ MOD 2055 I1 SEPARATE ACCOUNT Plan #694 Participants BOY/EOY0 / 0 Assets BOY/EOY$198,363 / $373,501 | 2019 | FLEXPATH INDEX+ MOD 2055 I1 SEPARATE ACCOUNT - Plan #694 | 0 / 0 | $198,363 / $373,501 |
2019 | Plan NameAMERICAN FUNDS 2010 TARGET DATE RET R6 SEPARATE AC Plan #381 Participants BOY/EOY0 / 0 Assets BOY/EOY$91,316 / $369,438 | 2019 | AMERICAN FUNDS 2010 TARGET DATE RET R6 SEPARATE AC - Plan #381 | 0 / 0 | $91,316 / $369,438 |
2019 | Plan NamePIMCO CMDTPLUS STRATEGY I SEPARATE ACCOUNT Plan #607 Participants BOY/EOY0 / 0 Assets BOY/EOY$400,730 / $365,343 | 2019 | PIMCO CMDTPLUS STRATEGY I SEPARATE ACCOUNT - Plan #607 | 0 / 0 | $400,730 / $365,343 |
2019 | Plan NameVANGUARD FINANCIALS INDEX ADMIRAL SEPARATE ACCOUNT Plan #644 Participants BOY/EOY0 / 0 Assets BOY/EOY$14,368 / $360,158 | 2019 | VANGUARD FINANCIALS INDEX ADMIRAL SEPARATE ACCOUNT - Plan #644 | 0 / 0 | $14,368 / $360,158 |
2019 | Plan NameMFS MODERATE ALLOCATION R3 SEPARATE ACCOUNT Plan #403 Participants BOY/EOY0 / 0 Assets BOY/EOY$276,471 / $341,100 | 2019 | MFS MODERATE ALLOCATION R3 SEPARATE ACCOUNT - Plan #403 | 0 / 0 | $276,471 / $341,100 |
2019 | Plan NameVANGUARD BALANCED INDEX ADM SEPARATE ACCOUNT Plan #416 Participants BOY/EOY0 / 0 Assets BOY/EOY$264,819 / $336,143 | 2019 | VANGUARD BALANCED INDEX ADM SEPARATE ACCOUNT - Plan #416 | 0 / 0 | $264,819 / $336,143 |
2019 | Plan NameSUNAM FOC DIV STRAT A SEPARATE ACCOUNT Plan #493 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,096,703 / $333,883 | 2019 | SUNAM FOC DIV STRAT A SEPARATE ACCOUNT - Plan #493 | 0 / 0 | $1,096,703 / $333,883 |
2019 | Plan NameWELLS FARGO DISCOVERY A SEPARATE ACCOUNT Plan #385 Participants BOY/EOY0 / 0 Assets BOY/EOY$235,076 / $330,982 | 2019 | WELLS FARGO DISCOVERY A SEPARATE ACCOUNT - Plan #385 | 0 / 0 | $235,076 / $330,982 |
2019 | Plan NameJPMORGAN SMARTRET 2020 A SEPARATE ACCOUNT Plan #661 Participants BOY/EOY0 / 0 Assets BOY/EOY$261,516 / $323,242 | 2019 | JPMORGAN SMARTRET 2020 A SEPARATE ACCOUNT - Plan #661 | 0 / 0 | $261,516 / $323,242 |
2019 | Plan NameAMER FUNDS INFL LINKED BOND R6 SEPARATE ACCOUNT Plan #724 Participants BOY/EOY0 / 0 Assets BOY/EOY$364,961 / $322,917 | 2019 | AMER FUNDS INFL LINKED BOND R6 SEPARATE ACCOUNT - Plan #724 | 0 / 0 | $364,961 / $322,917 |
2019 | Plan NameAMER BEACON BDGWY LARGE CAP VALUE A SEPARATE ACCOU Plan #759 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,383,540 / $314,285 | 2019 | AMER BEACON BDGWY LARGE CAP VALUE A SEPARATE ACCOU - Plan #759 | 0 / 0 | $2,383,540 / $314,285 |
2019 | Plan NameTEMPLETON FOREIGN ADV SEPARATE ACCOUNT Plan #417 Participants BOY/EOY0 / 0 Assets BOY/EOY$610,485 / $309,681 | 2019 | TEMPLETON FOREIGN ADV SEPARATE ACCOUNT - Plan #417 | 0 / 0 | $610,485 / $309,681 |
2019 | Plan NameAMER CENTURY INFL-ADJ BOND R5 SEPARATE ACCOUNT Plan #712 Participants BOY/EOY0 / 0 Assets BOY/EOY$309,985 / $307,196 | 2019 | AMER CENTURY INFL-ADJ BOND R5 SEPARATE ACCOUNT - Plan #712 | 0 / 0 | $309,985 / $307,196 |
2019 | Plan NameTHORNBURG INV INC BUILD R5 SEPARATE ACCOUNT Plan #511 Participants BOY/EOY0 / 0 Assets BOY/EOY$232,352 / $306,406 | 2019 | THORNBURG INV INC BUILD R5 SEPARATE ACCOUNT - Plan #511 | 0 / 0 | $232,352 / $306,406 |
2019 | Plan NameGOLDMAN SACHS GOVMT INC A SEPARATE ACCOUNT Plan #506 Participants BOY/EOY0 / 0 Assets BOY/EOY$40,523 / $299,174 | 2019 | GOLDMAN SACHS GOVMT INC A SEPARATE ACCOUNT - Plan #506 | 0 / 0 | $40,523 / $299,174 |
2019 | Plan NameAMG YACKTMAN SERVICE SEPARATE ACCOUNT Plan #483 Participants BOY/EOY0 / 0 Assets BOY/EOY$239,959 / $294,634 | 2019 | AMG YACKTMAN SERVICE SEPARATE ACCOUNT - Plan #483 | 0 / 0 | $239,959 / $294,634 |
2019 | Plan NameAMER CENTURY ONE CHOICE 2060 I SEPARATE ACCOUNT Plan #728 Participants BOY/EOY0 / 0 Assets BOY/EOY$76,547 / $291,943 | 2019 | AMER CENTURY ONE CHOICE 2060 I SEPARATE ACCOUNT - Plan #728 | 0 / 0 | $76,547 / $291,943 |
2019 | Plan NameBNY MELLON MIDCAP VAL I SEPARATE ACCOUNT Plan #339 Participants BOY/EOY0 / 0 Assets BOY/EOY$224,259 / $291,792 | 2019 | BNY MELLON MIDCAP VAL I SEPARATE ACCOUNT - Plan #339 | 0 / 0 | $224,259 / $291,792 |
2019 | Plan NameNEUBERGER BERMAN GENESIS INSTL SEPARATE ACCOUNT Plan #597 Participants BOY/EOY0 / 0 Assets BOY/EOY$194,831 / $285,266 | 2019 | NEUBERGER BERMAN GENESIS INSTL SEPARATE ACCOUNT - Plan #597 | 0 / 0 | $194,831 / $285,266 |
2019 | Plan NameSCHWAB INDEXED RET TR FD 2010 I SEPARATE ACCOUNT Plan #314 Participants BOY/EOY0 / 0 Assets BOY/EOY$16,111 / $285,116 | 2019 | SCHWAB INDEXED RET TR FD 2010 I SEPARATE ACCOUNT - Plan #314 | 0 / 0 | $16,111 / $285,116 |
2019 | Plan NameAMERICAN CENTURY ONE CHOICE 2025 I SEPARATE ACCOUNT Plan #533 Participants BOY/EOY0 / 0 Assets BOY/EOY$364,836 / $282,753 | 2019 | AMERICAN CENTURY ONE CHOICE 2025 I SEPARATE ACCOUNT - Plan #533 | 0 / 0 | $364,836 / $282,753 |
2019 | Plan NameVAN ECK EMERGING MARKETS Y SEPARATE ACCOUNT Plan #500 Participants BOY/EOY0 / 0 Assets BOY/EOY$158,275 / $266,614 | 2019 | VAN ECK EMERGING MARKETS Y SEPARATE ACCOUNT - Plan #500 | 0 / 0 | $158,275 / $266,614 |
2019 | Plan NameBLACKROCK GLOBAL ALLOCATION INSTL SEPARATE ACCOUNT Plan #189 Participants BOY/EOY0 / 0 Assets BOY/EOY$6,656,504 / $264,577 | 2019 | BLACKROCK GLOBAL ALLOCATION INSTL SEPARATE ACCOUNT - Plan #189 | 0 / 0 | $6,656,504 / $264,577 |
2019 | Plan NameAMERICAN CENTURY ONE CHOICE 2045 I SEPARATE ACCOUN Plan #537 Participants BOY/EOY0 / 0 Assets BOY/EOY$10,225 / $259,058 | 2019 | AMERICAN CENTURY ONE CHOICE 2045 I SEPARATE ACCOUN - Plan #537 | 0 / 0 | $10,225 / $259,058 |
2019 | Plan NameFIDELITY ADVISOR GROWTH OPPS I SEPARATE ACCOUNT Plan #290 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,383 / $256,215 | 2019 | FIDELITY ADVISOR GROWTH OPPS I SEPARATE ACCOUNT - Plan #290 | 0 / 0 | $5,383 / $256,215 |
2019 | Plan NamePGIM JENNISON SMALL COMPANY R SEPARATE ACCOUNT Plan #734 Participants BOY/EOY0 / 0 Assets BOY/EOY$152,541 / $252,341 | 2019 | PGIM JENNISON SMALL COMPANY R SEPARATE ACCOUNT - Plan #734 | 0 / 0 | $152,541 / $252,341 |
2019 | Plan NameJPMORGAN SMALL CAP VALUE A SEPARATE ACCOUNT Plan #297 Participants BOY/EOY0 / 0 Assets BOY/EOY$909,085 / $248,873 | 2019 | JPMORGAN SMALL CAP VALUE A SEPARATE ACCOUNT - Plan #297 | 0 / 0 | $909,085 / $248,873 |
2019 | Plan NamePRINCIPAL SMCAP VAL II INSTL SEPARATE ACCOUNT Plan #733 Participants BOY/EOY0 / 0 Assets BOY/EOY$172,228 / $247,176 | 2019 | PRINCIPAL SMCAP VAL II INSTL SEPARATE ACCOUNT - Plan #733 | 0 / 0 | $172,228 / $247,176 |
2019 | Plan NameAMERICAN CENTURY ONE CHOICE IN RET I SEPARATE ACCOUNT Plan #540 Participants BOY/EOY0 / 0 Assets BOY/EOY$427,702 / $241,694 | 2019 | AMERICAN CENTURY ONE CHOICE IN RET I SEPARATE ACCOUNT - Plan #540 | 0 / 0 | $427,702 / $241,694 |
2019 | Plan NameMFS INTERNATIONAL NEW DISCOVERY R3 SEPARATE ACCOUNT Plan #346 Participants BOY/EOY0 / 0 Assets BOY/EOY$153,377 / $232,463 | 2019 | MFS INTERNATIONAL NEW DISCOVERY R3 SEPARATE ACCOUNT - Plan #346 | 0 / 0 | $153,377 / $232,463 |
2019 | Plan NameFIDELITY ADVISOR OVERSEAS I SEPARATE ACCOUNT Plan #526 Participants BOY/EOY0 / 0 Assets BOY/EOY$450,382 / $232,216 | 2019 | FIDELITY ADVISOR OVERSEAS I SEPARATE ACCOUNT - Plan #526 | 0 / 0 | $450,382 / $232,216 |
2019 | Plan NameVANGUARD HIGH YIELD CORP ADM SEPARATE ACCOUNT Plan #626 Participants BOY/EOY0 / 0 Assets BOY/EOY$134,294 / $231,864 | 2019 | VANGUARD HIGH YIELD CORP ADM SEPARATE ACCOUNT - Plan #626 | 0 / 0 | $134,294 / $231,864 |
2019 | Plan NamePIMCO LOW DURATION A SEPARATE ACCOUNT Plan #458 Participants BOY/EOY0 / 0 Assets BOY/EOY$200,649 / $231,828 | 2019 | PIMCO LOW DURATION A SEPARATE ACCOUNT - Plan #458 | 0 / 0 | $200,649 / $231,828 |
2019 | Plan NameRETIREMENT ADVOCATE CONSERV SEPARATE ACCOUNT Plan #310 Participants BOY/EOY0 / 0 Assets BOY/EOY$236,122 / $219,423 | 2019 | RETIREMENT ADVOCATE CONSERV SEPARATE ACCOUNT - Plan #310 | 0 / 0 | $236,122 / $219,423 |
2019 | Plan NameHARTFORD DIVIDEND & GROWTH Y SEPARATE ACCOUNT Plan #366 Participants BOY/EOY0 / 0 Assets BOY/EOY$165,533 / $217,572 | 2019 | HARTFORD DIVIDEND & GROWTH Y SEPARATE ACCOUNT - Plan #366 | 0 / 0 | $165,533 / $217,572 |
2019 | Plan NameIVY HIGH INCOME CL Y SEPARATE ACCOUNT Plan #300 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,722,226 / $211,014 | 2019 | IVY HIGH INCOME CL Y SEPARATE ACCOUNT - Plan #300 | 0 / 0 | $1,722,226 / $211,014 |
2019 | Plan NameFIDELITY ADVISOR GOVT INC I SEPARATE ACCOUNT Plan #299 Participants BOY/EOY0 / 0 Assets BOY/EOY$328,353 / $203,188 | 2019 | FIDELITY ADVISOR GOVT INC I SEPARATE ACCOUNT - Plan #299 | 0 / 0 | $328,353 / $203,188 |
2019 | Plan NameVANGUARD ENERGY ADM SEPARATE ACCOUNT Plan #515 Participants BOY/EOY0 / 0 Assets BOY/EOY$190,483 / $201,539 | 2019 | VANGUARD ENERGY ADM SEPARATE ACCOUNT - Plan #515 | 0 / 0 | $190,483 / $201,539 |
2019 | Plan NameFEDERATED INST HI YLD BOND INST SEPARATE ACCOUNT Plan #355 Participants BOY/EOY0 / 0 Assets BOY/EOY$149,057 / $198,001 | 2019 | FEDERATED INST HI YLD BOND INST SEPARATE ACCOUNT - Plan #355 | 0 / 0 | $149,057 / $198,001 |
2019 | Plan NameMFS TOTAL RETURN R3 SEPARATE ACCOUNT Plan #375 Participants BOY/EOY0 / 0 Assets BOY/EOY$114,734 / $195,099 | 2019 | MFS TOTAL RETURN R3 SEPARATE ACCOUNT - Plan #375 | 0 / 0 | $114,734 / $195,099 |
2019 | Plan NameDELAWARE SMALL CAP CORE I SEPARATE ACCOUNT Plan #629 Participants BOY/EOY0 / 0 Assets BOY/EOY$101,728 / $192,581 | 2019 | DELAWARE SMALL CAP CORE I SEPARATE ACCOUNT - Plan #629 | 0 / 0 | $101,728 / $192,581 |
2019 | Plan NameHARDING LOEVNER EMG MKTS ADVSR SEPARATE ACCOUNT Plan #474 Participants BOY/EOY0 / 0 Assets BOY/EOY$160,467 / $188,437 | 2019 | HARDING LOEVNER EMG MKTS ADVSR SEPARATE ACCOUNT - Plan #474 | 0 / 0 | $160,467 / $188,437 |
2019 | Plan NameFIDELITY ADVISOR TECHNOLOGY I SEPARATE ACCOUNT Plan #525 Participants BOY/EOY0 / 0 Assets BOY/EOY$417,099 / $184,887 | 2019 | FIDELITY ADVISOR TECHNOLOGY I SEPARATE ACCOUNT - Plan #525 | 0 / 0 | $417,099 / $184,887 |
2019 | Plan NameFRANKLIN INCOME R SEPARATE ACCOUNT Plan #510 Participants BOY/EOY0 / 0 Assets BOY/EOY$92,191 / $181,439 | 2019 | FRANKLIN INCOME R SEPARATE ACCOUNT - Plan #510 | 0 / 0 | $92,191 / $181,439 |
2019 | Plan NameIVY PZENA INTL VALUE CL Y SEPARATE ACCOUNT Plan #070 Participants BOY/EOY0 / 0 Assets BOY/EOY$784,710 / $172,080 | 2019 | IVY PZENA INTL VALUE CL Y SEPARATE ACCOUNT - Plan #070 | 0 / 0 | $784,710 / $172,080 |
2019 | Plan NameNORTHERN SMALL CAP VALUE SEPARATE ACCOUNT Plan #623 Participants BOY/EOY0 / 0 Assets BOY/EOY$76,321 / $169,307 | 2019 | NORTHERN SMALL CAP VALUE SEPARATE ACCOUNT - Plan #623 | 0 / 0 | $76,321 / $169,307 |
2019 | Plan NameFIDELITY ADVISOR BIOTECH I SEPARATE ACCOUNT Plan #478 Participants BOY/EOY0 / 0 Assets BOY/EOY$118,730 / $167,789 | 2019 | FIDELITY ADVISOR BIOTECH I SEPARATE ACCOUNT - Plan #478 | 0 / 0 | $118,730 / $167,789 |
2019 | Plan NameMASSMUTUAL SEL SM CAP GROWTH EQ R5 SEPARATE ACCOUN Plan #550 Participants BOY/EOY0 / 0 Assets BOY/EOY$115,315 / $165,819 | 2019 | MASSMUTUAL SEL SM CAP GROWTH EQ R5 SEPARATE ACCOUN - Plan #550 | 0 / 0 | $115,315 / $165,819 |
2019 | Plan NameOPPENHEIMER GLOBAL ALLOC Y SEPARATE ACCOUNT Plan #584 Participants BOY/EOY0 / 0 Assets BOY/EOY$115,668 / $158,987 | 2019 | OPPENHEIMER GLOBAL ALLOC Y SEPARATE ACCOUNT - Plan #584 | 0 / 0 | $115,668 / $158,987 |
2019 | Plan NameIVY ENERGY FUND CL Y SEPARATE ACCOUNT Plan #227 Participants BOY/EOY0 / 0 Assets BOY/EOY$240,092 / $156,066 | 2019 | IVY ENERGY FUND CL Y SEPARATE ACCOUNT - Plan #227 | 0 / 0 | $240,092 / $156,066 |
2019 | Plan NameAZZAD WISE CAPITAL SEPARATE ACCOUNT Plan #427 Participants BOY/EOY0 / 0 Assets BOY/EOY$107,669 / $155,794 | 2019 | AZZAD WISE CAPITAL SEPARATE ACCOUNT - Plan #427 | 0 / 0 | $107,669 / $155,794 |
2019 | Plan NamePRINCIPAL DIVERSIFIED REAL ASSET INSTL SEPARATE ACCOUNT Plan #580 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,076 / $152,029 | 2019 | PRINCIPAL DIVERSIFIED REAL ASSET INSTL SEPARATE ACCOUNT - Plan #580 | 0 / 0 | $3,076 / $152,029 |
2019 | Plan NameMFS GLOBAL EQUITY R3 SEPARATE ACCOUNT Plan #372 Participants BOY/EOY0 / 0 Assets BOY/EOY$97,695 / $150,928 | 2019 | MFS GLOBAL EQUITY R3 SEPARATE ACCOUNT - Plan #372 | 0 / 0 | $97,695 / $150,928 |
2019 | Plan NameVANGUARD GNMA ADM SEPARATE ACCOUNT Plan #632 Participants BOY/EOY0 / 0 Assets BOY/EOY$62,507 / $148,578 | 2019 | VANGUARD GNMA ADM SEPARATE ACCOUNT - Plan #632 | 0 / 0 | $62,507 / $148,578 |
2019 | Plan NameAMERICAN CENTURY ONE CHOICE 2055 I SEPARATE ACCOUN Plan #539 Participants BOY/EOY0 / 0 Assets BOY/EOY$62,403 / $146,785 | 2019 | AMERICAN CENTURY ONE CHOICE 2055 I SEPARATE ACCOUN - Plan #539 | 0 / 0 | $62,403 / $146,785 |
2019 | Plan NameBLACKROCK HLTH SCNS OPPS INSTL SEPARATE ACCOUNT Plan #831 Participants BOY/EOY0 / 0 Assets BOY/EOY$18,823 / $144,092 | 2019 | BLACKROCK HLTH SCNS OPPS INSTL SEPARATE ACCOUNT - Plan #831 | 0 / 0 | $18,823 / $144,092 |
2019 | Plan NameVANGUARD ENERGY INDEX ADM SEPARATE ACCOUNT Plan #473 Participants BOY/EOY0 / 0 Assets BOY/EOY$118,834 / $143,037 | 2019 | VANGUARD ENERGY INDEX ADM SEPARATE ACCOUNT - Plan #473 | 0 / 0 | $118,834 / $143,037 |
2019 | Plan NameVANGUARD INTRM-TERM TRS IDX ADM SEPARATE ACCOUNT Plan #565 Participants BOY/EOY0 / 0 Assets BOY/EOY$135,244 / $141,071 | 2019 | VANGUARD INTRM-TERM TRS IDX ADM SEPARATE ACCOUNT - Plan #565 | 0 / 0 | $135,244 / $141,071 |
2019 | Plan NameAMERICAN FUNDS MONEY MARKET R6 SEPARATE ACCOUNT Plan #379 Participants BOY/EOY0 / 0 Assets BOY/EOY$156,966 / $140,913 | 2019 | AMERICAN FUNDS MONEY MARKET R6 SEPARATE ACCOUNT - Plan #379 | 0 / 0 | $156,966 / $140,913 |
2019 | Plan NameWELLS FARGO TARGET TODAY A SEPARATE ACCOUNT Plan #555 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,205 / $138,935 | 2019 | WELLS FARGO TARGET TODAY A SEPARATE ACCOUNT - Plan #555 | 0 / 0 | $3,205 / $138,935 |
2019 | Plan NameJPMORGAN SMARTRET INC A SEPARATE ACCOUNT Plan #395 Participants BOY/EOY0 / 0 Assets BOY/EOY$98,238 / $138,410 | 2019 | JPMORGAN SMARTRET INC A SEPARATE ACCOUNT - Plan #395 | 0 / 0 | $98,238 / $138,410 |
2019 | Plan NameAMERICAN FUNDS CAP INC BLDR R6 SEPARATE ACCOUNT Plan #413 Participants BOY/EOY0 / 0 Assets BOY/EOY$254,494 / $135,805 | 2019 | AMERICAN FUNDS CAP INC BLDR R6 SEPARATE ACCOUNT - Plan #413 | 0 / 0 | $254,494 / $135,805 |
2019 | Plan NameNUVEEN DIVIDEND VALUE I SEPARATE ACCOUNT Plan #244 Participants BOY/EOY0 / 0 Assets BOY/EOY$103,106 / $134,144 | 2019 | NUVEEN DIVIDEND VALUE I SEPARATE ACCOUNT - Plan #244 | 0 / 0 | $103,106 / $134,144 |
2019 | Plan NameVANGUARD INTL VALUE FUND SEPARATE ACCOUNT Plan #727 Participants BOY/EOY0 / 0 Assets BOY/EOY$93,484 / $133,531 | 2019 | VANGUARD INTL VALUE FUND SEPARATE ACCOUNT - Plan #727 | 0 / 0 | $93,484 / $133,531 |
2019 | Plan NameOAKMARK INTL SMALL CAP INSTL SEPARATE ACCOUNT Plan #306 Participants BOY/EOY0 / 0 Assets BOY/EOY$70,652 / $132,375 | 2019 | OAKMARK INTL SMALL CAP INSTL SEPARATE ACCOUNT - Plan #306 | 0 / 0 | $70,652 / $132,375 |
2019 | Plan NameCOLUMBIA MID CAP VALUE ADVISOR SEPARATE ACCOUNT Plan #513 Participants BOY/EOY0 / 0 Assets BOY/EOY$132,711 / $131,548 | 2019 | COLUMBIA MID CAP VALUE ADVISOR SEPARATE ACCOUNT - Plan #513 | 0 / 0 | $132,711 / $131,548 |
2019 | Plan NameFLEXPATH INDEX+ AGGR 2055 I1 SEPARATE ACCOUNT Plan #704 Participants BOY/EOY0 / 0 Assets BOY/EOY$100,402 / $131,496 | 2019 | FLEXPATH INDEX+ AGGR 2055 I1 SEPARATE ACCOUNT - Plan #704 | 0 / 0 | $100,402 / $131,496 |
2019 | Plan NameGOLDMAN SACHS SM/MD CGRO INV SEPARATE ACCOUNT Plan #422 Participants BOY/EOY0 / 0 Assets BOY/EOY$89,898 / $129,024 | 2019 | GOLDMAN SACHS SM/MD CGRO INV SEPARATE ACCOUNT - Plan #422 | 0 / 0 | $89,898 / $129,024 |
2019 | Plan NameAMANA GROWTH INSTITUTIONAL SEPARATE ACCOUNT Plan #428 Participants BOY/EOY0 / 0 Assets BOY/EOY$51,294 / $128,952 | 2019 | AMANA GROWTH INSTITUTIONAL SEPARATE ACCOUNT - Plan #428 | 0 / 0 | $51,294 / $128,952 |
2019 | Plan NameALGER SPECTRA A SEPARATE ACCOUNT Plan #488 Participants BOY/EOY0 / 0 Assets BOY/EOY$75,287 / $125,667 | 2019 | ALGER SPECTRA A SEPARATE ACCOUNT - Plan #488 | 0 / 0 | $75,287 / $125,667 |
2019 | Plan NameFRANKLIN SMALL CAP GROWTH R6 SEPARATE ACCOUNT Plan #340 Participants BOY/EOY0 / 0 Assets BOY/EOY$147,855 / $123,900 | 2019 | FRANKLIN SMALL CAP GROWTH R6 SEPARATE ACCOUNT - Plan #340 | 0 / 0 | $147,855 / $123,900 |
2019 | Plan NameFEDERATED HIGH YIELD SERVICE SEPARATE ACCOUNT Plan #823 Participants BOY/EOY0 / 0 Assets BOY/EOY$60,548 / $123,482 | 2019 | FEDERATED HIGH YIELD SERVICE SEPARATE ACCOUNT - Plan #823 | 0 / 0 | $60,548 / $123,482 |
2019 | Plan NameEVENTIDE HLTHCRE & LIFE SCNS I SEPARATE ACCOUNT Plan #472 Participants BOY/EOY0 / 0 Assets BOY/EOY$82,001 / $120,461 | 2019 | EVENTIDE HLTHCRE & LIFE SCNS I SEPARATE ACCOUNT - Plan #472 | 0 / 0 | $82,001 / $120,461 |
2019 | Plan NameFLEXPATH INDEX+ AGGR 2045 I1 SEPARATE ACCOUNT Plan #703 Participants BOY/EOY0 / 0 Assets BOY/EOY$0 / $120,061 | 2019 | FLEXPATH INDEX+ AGGR 2045 I1 SEPARATE ACCOUNT - Plan #703 | 0 / 0 | $0 / $120,061 |
2019 | Plan NameHARDING LOEVNER INTL EQ I SEPARATE ACCOUNT Plan #505 Participants BOY/EOY0 / 0 Assets BOY/EOY$414,510 / $117,261 | 2019 | HARDING LOEVNER INTL EQ I SEPARATE ACCOUNT - Plan #505 | 0 / 0 | $414,510 / $117,261 |
2019 | Plan NamePGIM JENNISON UTILITY Z SEPARATE ACCOUNT Plan #415 Participants BOY/EOY0 / 0 Assets BOY/EOY$59,244 / $106,337 | 2019 | PGIM JENNISON UTILITY Z SEPARATE ACCOUNT - Plan #415 | 0 / 0 | $59,244 / $106,337 |
2019 | Plan NameWILLIAM BLAIR EMG MKTS LDRS N SEPARATE ACCOUNT Plan #495 Participants BOY/EOY0 / 0 Assets BOY/EOY$74,603 / $105,140 | 2019 | WILLIAM BLAIR EMG MKTS LDRS N SEPARATE ACCOUNT - Plan #495 | 0 / 0 | $74,603 / $105,140 |
2019 | Plan NameDFA U.S. SOCIAL CORE EQUITY 2 SEPARATE ACCOUNT Plan #461 Participants BOY/EOY0 / 0 Assets BOY/EOY$87,545 / $104,789 | 2019 | DFA U.S. SOCIAL CORE EQUITY 2 SEPARATE ACCOUNT - Plan #461 | 0 / 0 | $87,545 / $104,789 |
2019 | Plan NamePRINCIPAL GLOBAL DIV INC A SEPARATE ACCOUNT Plan #398 Participants BOY/EOY0 / 0 Assets BOY/EOY$81,457 / $99,318 | 2019 | PRINCIPAL GLOBAL DIV INC A SEPARATE ACCOUNT - Plan #398 | 0 / 0 | $81,457 / $99,318 |
2019 | Plan NameCARILLON SCOUT MID CAP A SEPARATE ACCOUNT Plan #222 Participants BOY/EOY0 / 0 Assets BOY/EOY$59,871 / $98,619 | 2019 | CARILLON SCOUT MID CAP A SEPARATE ACCOUNT - Plan #222 | 0 / 0 | $59,871 / $98,619 |
2019 | Plan NameLAZARD INTERNATIONAL EQUITY OPEN SEPARATE ACCOUNT Plan #830 Participants BOY/EOY0 / 0 Assets BOY/EOY$66,073 / $93,361 | 2019 | LAZARD INTERNATIONAL EQUITY OPEN SEPARATE ACCOUNT - Plan #830 | 0 / 0 | $66,073 / $93,361 |
2019 | Plan NameTCW CORE FIXED INCOME N SEPARATE ACCOUNT Plan #253 Participants BOY/EOY0 / 0 Assets BOY/EOY$65,866 / $90,040 | 2019 | TCW CORE FIXED INCOME N SEPARATE ACCOUNT - Plan #253 | 0 / 0 | $65,866 / $90,040 |
2019 | Plan NameFIRST EAGLE GLOBAL A SEPARATE ACCOUNT Plan #400 Participants BOY/EOY0 / 0 Assets BOY/EOY$67,404 / $88,911 | 2019 | FIRST EAGLE GLOBAL A SEPARATE ACCOUNT - Plan #400 | 0 / 0 | $67,404 / $88,911 |
2019 | Plan NameFROST TOTAL RETURN BOND INV SEPARATE ACCOUNT Plan #486 Participants BOY/EOY0 / 0 Assets BOY/EOY$149,195 / $88,757 | 2019 | FROST TOTAL RETURN BOND INV SEPARATE ACCOUNT - Plan #486 | 0 / 0 | $149,195 / $88,757 |
2019 | Plan NameAMERICAN FUNDS NEW ECONOMY R6 SEPARATE ACCOUNT Plan #409 Participants BOY/EOY0 / 0 Assets BOY/EOY$64,639 / $87,681 | 2019 | AMERICAN FUNDS NEW ECONOMY R6 SEPARATE ACCOUNT - Plan #409 | 0 / 0 | $64,639 / $87,681 |
2019 | Plan NameAMANA INCOME INSTITUTIONAL SEPARATE ACCOUNT Plan #429 Participants BOY/EOY0 / 0 Assets BOY/EOY$50,225 / $84,264 | 2019 | AMANA INCOME INSTITUTIONAL SEPARATE ACCOUNT - Plan #429 | 0 / 0 | $50,225 / $84,264 |
2019 | Plan NameFLEXPATH INDEX+ AGGR 2045 R1 SEPARATE ACCOUNT Plan #843 Participants BOY/EOY0 / 0 Assets BOY/EOY$59,162 / $83,589 | 2019 | FLEXPATH INDEX+ AGGR 2045 R1 SEPARATE ACCOUNT - Plan #843 | 0 / 0 | $59,162 / $83,589 |
2019 | Plan NameFLEXPATH INDEX+ CONSERV 2025 R1 SEPARATE ACCOUNT Plan #851 Participants BOY/EOY0 / 0 Assets BOY/EOY$298,305 / $80,713 | 2019 | FLEXPATH INDEX+ CONSERV 2025 R1 SEPARATE ACCOUNT - Plan #851 | 0 / 0 | $298,305 / $80,713 |
2019 | Plan NameTIAA-CREF INFL LINKED BOND RETAIL SEPARATE ACCOUNT Plan #752 Participants BOY/EOY0 / 0 Assets BOY/EOY$58,559 / $80,364 | 2019 | TIAA-CREF INFL LINKED BOND RETAIL SEPARATE ACCOUNT - Plan #752 | 0 / 0 | $58,559 / $80,364 |
2019 | Plan NameAZZAD ETHICAL SEPARATE ACCOUNT Plan #430 Participants BOY/EOY0 / 0 Assets BOY/EOY$46,398 / $74,663 | 2019 | AZZAD ETHICAL SEPARATE ACCOUNT - Plan #430 | 0 / 0 | $46,398 / $74,663 |
2019 | Plan NameFLEXPATH INDEX+ MOD RET R1 SEPARATE ACCOUNT Plan #849 Participants BOY/EOY0 / 0 Assets BOY/EOY$50,330 / $74,642 | 2019 | FLEXPATH INDEX+ MOD RET R1 SEPARATE ACCOUNT - Plan #849 | 0 / 0 | $50,330 / $74,642 |
2019 | Plan NameMFS UTILITIES R3 SEPARATE ACCOUNT Plan #348 Participants BOY/EOY0 / 0 Assets BOY/EOY$77,785 / $72,564 | 2019 | MFS UTILITIES R3 SEPARATE ACCOUNT - Plan #348 | 0 / 0 | $77,785 / $72,564 |
2019 | Plan NameAMERICAN FUNDS BAL PORTFOLIO R6 SEPARATE ACCOUNT Plan #412 Participants BOY/EOY0 / 0 Assets BOY/EOY$29,711 / $72,342 | 2019 | AMERICAN FUNDS BAL PORTFOLIO R6 SEPARATE ACCOUNT - Plan #412 | 0 / 0 | $29,711 / $72,342 |
2019 | Plan NameVANGUARD INTL EXPLORER INV SEPARATE ACCOUNT Plan #414 Participants BOY/EOY0 / 0 Assets BOY/EOY$42,873 / $70,217 | 2019 | VANGUARD INTL EXPLORER INV SEPARATE ACCOUNT - Plan #414 | 0 / 0 | $42,873 / $70,217 |
2019 | Plan NameVANGUARD SHRT TERM TRSY IDX ADM SEPARATE ACCOUNT Plan #566 Participants BOY/EOY0 / 0 Assets BOY/EOY$68,652 / $69,904 | 2019 | VANGUARD SHRT TERM TRSY IDX ADM SEPARATE ACCOUNT - Plan #566 | 0 / 0 | $68,652 / $69,904 |
2019 | Plan NameDRYFUS/STANDISH GLOBAL FIX INC I SEPARATE ACCOUNT Plan #636 Participants BOY/EOY0 / 0 Assets BOY/EOY$93,098 / $69,612 | 2019 | DRYFUS/STANDISH GLOBAL FIX INC I SEPARATE ACCOUNT - Plan #636 | 0 / 0 | $93,098 / $69,612 |
2019 | Plan NameMORGAN STANLEY INST GLBL RE I SEPARATE ACCOUNT Plan #716 Participants BOY/EOY0 / 0 Assets BOY/EOY$45,991 / $68,809 | 2019 | MORGAN STANLEY INST GLBL RE I SEPARATE ACCOUNT - Plan #716 | 0 / 0 | $45,991 / $68,809 |
2019 | Plan NameT. ROWE PRICE GLOBAL TECH SEPARATE ACCOUNT Plan #563 Participants BOY/EOY0 / 0 Assets BOY/EOY$119,628 / $68,249 | 2019 | T. ROWE PRICE GLOBAL TECH SEPARATE ACCOUNT - Plan #563 | 0 / 0 | $119,628 / $68,249 |
2019 | Plan NameNUVEEN REAL ESTATE SECURITIES A SEPARATE ACCOUNT Plan #287 Participants BOY/EOY0 / 0 Assets BOY/EOY$51,483 / $67,961 | 2019 | NUVEEN REAL ESTATE SECURITIES A SEPARATE ACCOUNT - Plan #287 | 0 / 0 | $51,483 / $67,961 |
2019 | Plan NameBRANDES EMERG MKTS VALUE R6 SEPARATE ACCOUNT Plan #862 Participants BOY/EOY0 / 0 Assets BOY/EOY$51,253 / $64,983 | 2019 | BRANDES EMERG MKTS VALUE R6 SEPARATE ACCOUNT - Plan #862 | 0 / 0 | $51,253 / $64,983 |
2019 | Plan NameVANGUARD LIFESTRATEGY INC INV SEPARATE ACCOUNT Plan #432 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,642 / $64,853 | 2019 | VANGUARD LIFESTRATEGY INC INV SEPARATE ACCOUNT - Plan #432 | 0 / 0 | $4,642 / $64,853 |
2019 | Plan NameCOLUMBIA SELIGMAN COMMS & INFO ADV SEPARATE ACCOUNT Plan #839 Participants BOY/EOY0 / 0 Assets BOY/EOY$40,894 / $62,687 | 2019 | COLUMBIA SELIGMAN COMMS & INFO ADV SEPARATE ACCOUNT - Plan #839 | 0 / 0 | $40,894 / $62,687 |
2019 | Plan NameAMANA DEVELOPING WLD INST SEPARATE ACCOUNT Plan #431 Participants BOY/EOY0 / 0 Assets BOY/EOY$37,207 / $62,505 | 2019 | AMANA DEVELOPING WLD INST SEPARATE ACCOUNT - Plan #431 | 0 / 0 | $37,207 / $62,505 |
2019 | Plan NameDEUTSCHE GLOBAL INFRASTR A SEPARATE ACCOUNT Plan #360 Participants BOY/EOY0 / 0 Assets BOY/EOY$45,977 / $61,383 | 2019 | DEUTSCHE GLOBAL INFRASTR A SEPARATE ACCOUNT - Plan #360 | 0 / 0 | $45,977 / $61,383 |
2019 | Plan NamePIONEER FLEXIBLE OPP Y SEPARATE ACCOUNT Plan #485 Participants BOY/EOY0 / 0 Assets BOY/EOY$76,619 / $58,114 | 2019 | PIONEER FLEXIBLE OPP Y SEPARATE ACCOUNT - Plan #485 | 0 / 0 | $76,619 / $58,114 |
2019 | Plan NameAB HIGH INCOME ADV SEPARATE ACCOUNT Plan #336 Participants BOY/EOY0 / 0 Assets BOY/EOY$8,617 / $58,000 | 2019 | AB HIGH INCOME ADV SEPARATE ACCOUNT - Plan #336 | 0 / 0 | $8,617 / $58,000 |
2019 | Plan NameDFA INTL SMALL CAP VAL I SEPARATE ACCOUNT Plan #665 Participants BOY/EOY0 / 0 Assets BOY/EOY$116,053 / $57,632 | 2019 | DFA INTL SMALL CAP VAL I SEPARATE ACCOUNT - Plan #665 | 0 / 0 | $116,053 / $57,632 |
2019 | Plan NamePARAMETRIC EMERG MKT INV SEPARATE ACCOUNT Plan #243 Participants BOY/EOY0 / 0 Assets BOY/EOY$39,027 / $57,211 | 2019 | PARAMETRIC EMERG MKT INV SEPARATE ACCOUNT - Plan #243 | 0 / 0 | $39,027 / $57,211 |
2019 | Plan NameNATIXIS AEW GLBL FOCUSED RE Y SEPARATE ACCOUNT Plan #374 Participants BOY/EOY0 / 0 Assets BOY/EOY$52,043 / $56,212 | 2019 | NATIXIS AEW GLBL FOCUSED RE Y SEPARATE ACCOUNT - Plan #374 | 0 / 0 | $52,043 / $56,212 |
2019 | Plan NameTRANSAMERICA FLEXIBLE INCOME A SEPARATE ACCOUNT Plan #545 Participants BOY/EOY0 / 0 Assets BOY/EOY$815,985 / $54,025 | 2019 | TRANSAMERICA FLEXIBLE INCOME A SEPARATE ACCOUNT - Plan #545 | 0 / 0 | $815,985 / $54,025 |
2019 | Plan NameDEUTSCHE ENH CMDTY STRAT A SEPARATE ACCOUNT Plan #476 Participants BOY/EOY0 / 0 Assets BOY/EOY$39,915 / $50,009 | 2019 | DEUTSCHE ENH CMDTY STRAT A SEPARATE ACCOUNT - Plan #476 | 0 / 0 | $39,915 / $50,009 |
2019 | Plan NameAMER CENTURY HERITAGE R6 SEPARATE ACCOUNT Plan #331 Participants BOY/EOY0 / 0 Assets BOY/EOY$0 / $49,776 | 2019 | AMER CENTURY HERITAGE R6 SEPARATE ACCOUNT - Plan #331 | 0 / 0 | $0 / $49,776 |
2019 | Plan NameDFA LARGE CAP INTERNATIONAL I SEPERATE ACCOUNT Plan #628 Participants BOY/EOY0 / 0 Assets BOY/EOY$38,565 / $47,978 | 2019 | DFA LARGE CAP INTERNATIONAL I SEPERATE ACCOUNT - Plan #628 | 0 / 0 | $38,565 / $47,978 |
2019 | Plan NameHARTFORD SMALL CAP GROWTH R4 SEPARATE ACCOUNT Plan #364 Participants BOY/EOY0 / 0 Assets BOY/EOY$69,241 / $47,457 | 2019 | HARTFORD SMALL CAP GROWTH R4 SEPARATE ACCOUNT - Plan #364 | 0 / 0 | $69,241 / $47,457 |
2019 | Plan NameWESTERN ASSET INFL INDEX PL BOND A SEPARATE ACCOUNT Plan #255 Participants BOY/EOY0 / 0 Assets BOY/EOY$39,788 / $47,454 | 2019 | WESTERN ASSET INFL INDEX PL BOND A SEPARATE ACCOUNT - Plan #255 | 0 / 0 | $39,788 / $47,454 |
2019 | Plan NamePIMCO ALL ASSET INSTL SEPARATE ACCOUNT Plan #541 Participants BOY/EOY0 / 0 Assets BOY/EOY$33,521 / $46,323 | 2019 | PIMCO ALL ASSET INSTL SEPARATE ACCOUNT - Plan #541 | 0 / 0 | $33,521 / $46,323 |
2019 | Plan NameINVESCO ENERGY R5 SEPARATE ACCOUNT Plan #373 Participants BOY/EOY0 / 0 Assets BOY/EOY$30,900 / $45,876 | 2019 | INVESCO ENERGY R5 SEPARATE ACCOUNT - Plan #373 | 0 / 0 | $30,900 / $45,876 |
2019 | Plan NameAB RELATIVE VALUE R SEPARATE ACCOUNT Plan #753 Participants BOY/EOY0 / 0 Assets BOY/EOY$58,019 / $43,163 | 2019 | AB RELATIVE VALUE R SEPARATE ACCOUNT - Plan #753 | 0 / 0 | $58,019 / $43,163 |
2019 | Plan NameVOYA MIDCAP OPP FUND CLASS I SEPARATE ACCOUNT Plan #246 Participants BOY/EOY0 / 0 Assets BOY/EOY$33,714 / $41,391 | 2019 | VOYA MIDCAP OPP FUND CLASS I SEPARATE ACCOUNT - Plan #246 | 0 / 0 | $33,714 / $41,391 |
2019 | Plan NameCARILLON EAGLE GRW & INCOME A SEPARATE ACCOUNT Plan #596 Participants BOY/EOY0 / 0 Assets BOY/EOY$43,525 / $39,923 | 2019 | CARILLON EAGLE GRW & INCOME A SEPARATE ACCOUNT - Plan #596 | 0 / 0 | $43,525 / $39,923 |
2019 | Plan NameEVENTIDE GILEAD I SEPARATE ACCOUNT Plan #471 Participants BOY/EOY0 / 0 Assets BOY/EOY$27,254 / $39,153 | 2019 | EVENTIDE GILEAD I SEPARATE ACCOUNT - Plan #471 | 0 / 0 | $27,254 / $39,153 |
2019 | Plan NameGOLDMAN SACHS LARGE CAP GR INSGHTS R6 SEPARATE ACCOUNT Plan #863 Participants BOY/EOY0 / 0 Assets BOY/EOY$27,570 / $38,371 | 2019 | GOLDMAN SACHS LARGE CAP GR INSGHTS R6 SEPARATE ACCOUNT - Plan #863 | 0 / 0 | $27,570 / $38,371 |
2019 | Plan NameINVESCO OPPHMR DISC MID CAP GROWTH VI SEPARATE ACCOUNT Plan #592 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,726 / $37,939 | 2019 | INVESCO OPPHMR DISC MID CAP GROWTH VI SEPARATE ACCOUNT - Plan #592 | 0 / 0 | $3,726 / $37,939 |
2019 | Plan NameMFS CONSERVATIVE ALLOCATION R3 SEPARATE ACCOUNT Plan #402 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,279 / $36,702 | 2019 | MFS CONSERVATIVE ALLOCATION R3 SEPARATE ACCOUNT - Plan #402 | 0 / 0 | $4,279 / $36,702 |
2019 | Plan NameOAKMARK EQUITY AND INCOME INSTL SEPARATE ACCOUNT Plan #371 Participants BOY/EOY0 / 0 Assets BOY/EOY$180,944 / $35,617 | 2019 | OAKMARK EQUITY AND INCOME INSTL SEPARATE ACCOUNT - Plan #371 | 0 / 0 | $180,944 / $35,617 |
2019 | Plan NameAB DISCOVERY GROWTH A SEPARATE ACCOUNT Plan #338 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,979 / $31,374 | 2019 | AB DISCOVERY GROWTH A SEPARATE ACCOUNT - Plan #338 | 0 / 0 | $3,979 / $31,374 |
2019 | Plan NamePGIM QMA MID-CAP VALUE Z SEPARATE ACCOUNT Plan #352 Participants BOY/EOY0 / 0 Assets BOY/EOY$30,104 / $30,889 | 2019 | PGIM QMA MID-CAP VALUE Z SEPARATE ACCOUNT - Plan #352 | 0 / 0 | $30,104 / $30,889 |
2019 | Plan NameVANGUARD MATERIALS INDEX ADM SEPARATE ACCOUNT Plan #477 Participants BOY/EOY0 / 0 Assets BOY/EOY$35,428 / $26,881 | 2019 | VANGUARD MATERIALS INDEX ADM SEPARATE ACCOUNT - Plan #477 | 0 / 0 | $35,428 / $26,881 |
2019 | Plan NameFIDELITY ADVISOR MID VAL I SEPARATE ACCOUNT Plan #498 Participants BOY/EOY0 / 0 Assets BOY/EOY$32,169 / $24,439 | 2019 | FIDELITY ADVISOR MID VAL I SEPARATE ACCOUNT - Plan #498 | 0 / 0 | $32,169 / $24,439 |
2019 | Plan NameTOUCHSTONE SMALL COMPANY R6 SEPARATE ACCOUNT Plan #825 Participants BOY/EOY0 / 0 Assets BOY/EOY$26,091 / $22,939 | 2019 | TOUCHSTONE SMALL COMPANY R6 SEPARATE ACCOUNT - Plan #825 | 0 / 0 | $26,091 / $22,939 |
2019 | Plan NameALLIANZGI GLOBAL NATURAL RES A SEPARATE ACCOUNT Plan #652 Participants BOY/EOY0 / 0 Assets BOY/EOY$16,150 / $21,541 | 2019 | ALLIANZGI GLOBAL NATURAL RES A SEPARATE ACCOUNT - Plan #652 | 0 / 0 | $16,150 / $21,541 |
2019 | Plan NamePGIM JENNISON NATURAL RESOUR Z SEPARATE ACCOUNT Plan #464 Participants BOY/EOY0 / 0 Assets BOY/EOY$34,823 / $20,119 | 2019 | PGIM JENNISON NATURAL RESOUR Z SEPARATE ACCOUNT - Plan #464 | 0 / 0 | $34,823 / $20,119 |
2019 | Plan NameFLEXPATH INDEX+ CONSERV 2035 I1 SEPARATE ACCOUNT Plan #697 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,742 / $19,147 | 2019 | FLEXPATH INDEX+ CONSERV 2035 I1 SEPARATE ACCOUNT - Plan #697 | 0 / 0 | $1,742 / $19,147 |
2019 | Plan NameDFA SHORT-TERM GOVT I SEPARATE ACCOUNT Plan #751 Participants BOY/EOY0 / 0 Assets BOY/EOY$16,723 / $18,181 | 2019 | DFA SHORT-TERM GOVT I SEPARATE ACCOUNT - Plan #751 | 0 / 0 | $16,723 / $18,181 |
2019 | Plan NameWEITZ PARTNERS III OPP INSTL SEPARATE ACCOUNT Plan #256 Participants BOY/EOY0 / 0 Assets BOY/EOY$11,802 / $17,682 | 2019 | WEITZ PARTNERS III OPP INSTL SEPARATE ACCOUNT - Plan #256 | 0 / 0 | $11,802 / $17,682 |
2019 | Plan NameSSI US GOV MMKT ADM SEPARATE ACCOUNT Plan #426 Participants BOY/EOY0 / 0 Assets BOY/EOY$521,362 / $17,633 | 2019 | SSI US GOV MMKT ADM SEPARATE ACCOUNT - Plan #426 | 0 / 0 | $521,362 / $17,633 |
2019 | Plan NamePIMCO CMDTY REAL RET STRAT I SEPARATE ACCOUNT Plan #376 Participants BOY/EOY0 / 0 Assets BOY/EOY$8,071 / $17,404 | 2019 | PIMCO CMDTY REAL RET STRAT I SEPARATE ACCOUNT - Plan #376 | 0 / 0 | $8,071 / $17,404 |
2019 | Plan NameFEDERATED FLTNG RT STRAT INC INSTL SEPERATE ACCOUN Plan #640 Participants BOY/EOY0 / 0 Assets BOY/EOY$662,076 / $16,255 | 2019 | FEDERATED FLTNG RT STRAT INC INSTL SEPERATE ACCOUN - Plan #640 | 0 / 0 | $662,076 / $16,255 |
2019 | Plan NameFLEXPATH INDEX+ AGGR 2035 R1 SEPARATE ACCOUNT Plan #842 Participants BOY/EOY0 / 0 Assets BOY/EOY$0 / $15,679 | 2019 | FLEXPATH INDEX+ AGGR 2035 R1 SEPARATE ACCOUNT - Plan #842 | 0 / 0 | $0 / $15,679 |
2019 | Plan NamePRIMECAP ODYSSEY STOCK SEPARATE ACCOUNT Plan #492 Participants BOY/EOY0 / 0 Assets BOY/EOY$11,822 / $15,640 | 2019 | PRIMECAP ODYSSEY STOCK SEPARATE ACCOUNT - Plan #492 | 0 / 0 | $11,822 / $15,640 |
2019 | Plan NameHOTCHKIS & WILEY VALUE OPPS A SEPARATE ACCOUNT Plan #489 Participants BOY/EOY0 / 0 Assets BOY/EOY$9,496 / $15,597 | 2019 | HOTCHKIS & WILEY VALUE OPPS A SEPARATE ACCOUNT - Plan #489 | 0 / 0 | $9,496 / $15,597 |
2019 | Plan NameFLEXPATH INDEX+ CONSERV 2045 R1 SEPARATE ACCOUNT Plan #853 Participants BOY/EOY0 / 0 Assets BOY/EOY$0 / $15,551 | 2019 | FLEXPATH INDEX+ CONSERV 2045 R1 SEPARATE ACCOUNT - Plan #853 | 0 / 0 | $0 / $15,551 |
2019 | Plan NameFIDELITY ADVISOR BALANCED T SEPARATE ACCOUNT Plan #543 Participants BOY/EOY0 / 0 Assets BOY/EOY$9,853 / $15,160 | 2019 | FIDELITY ADVISOR BALANCED T SEPARATE ACCOUNT - Plan #543 | 0 / 0 | $9,853 / $15,160 |
2019 | Plan NameAMG MANAGERS FAIRPOINTE MID CAP I SEPARATE ACCOUNT Plan #165 Participants BOY/EOY0 / 0 Assets BOY/EOY$24,246,972 / $14,350 | 2019 | AMG MANAGERS FAIRPOINTE MID CAP I SEPARATE ACCOUNT - Plan #165 | 0 / 0 | $24,246,972 / $14,350 |
2019 | Plan NameAMERICAN CENTURY GLOBAL BOND R6 SEPARATE ACCOUNT Plan #641 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,157 / $13,611 | 2019 | AMERICAN CENTURY GLOBAL BOND R6 SEPARATE ACCOUNT - Plan #641 | 0 / 0 | $3,157 / $13,611 |
2019 | Plan NameOPPENHEIMER GLOBAL FOCUS Y SEPARATE ACCOUNT Plan #516 Participants BOY/EOY0 / 0 Assets BOY/EOY$25,347 / $12,870 | 2019 | OPPENHEIMER GLOBAL FOCUS Y SEPARATE ACCOUNT - Plan #516 | 0 / 0 | $25,347 / $12,870 |
2019 | Plan NameFLEXPATH INDEX+ CONSERV 2025 I1 SEPARATE ACCOUNT Plan #696 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,718 / $11,471 | 2019 | FLEXPATH INDEX+ CONSERV 2025 I1 SEPARATE ACCOUNT - Plan #696 | 0 / 0 | $5,718 / $11,471 |
2019 | Plan NameDELAWARE EMG MKTS INSTL SEPARATE ACCOUNT Plan #438 Participants BOY/EOY0 / 0 Assets BOY/EOY$6,972 / $10,141 | 2019 | DELAWARE EMG MKTS INSTL SEPARATE ACCOUNT - Plan #438 | 0 / 0 | $6,972 / $10,141 |
2019 | Plan NameFLEXPATH INDEX+ CONSERV 2045 I1 SEPARATE ACCOUNT Plan #698 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,282 / $10,010 | 2019 | FLEXPATH INDEX+ CONSERV 2045 I1 SEPARATE ACCOUNT - Plan #698 | 0 / 0 | $1,282 / $10,010 |
2019 | Plan NameMFS AGSV GROWTH ALLOC R3 SEPARATE ACCOUNT Plan #404 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,346 / $8,794 | 2019 | MFS AGSV GROWTH ALLOC R3 SEPARATE ACCOUNT - Plan #404 | 0 / 0 | $5,346 / $8,794 |
2019 | Plan NameT. ROWE PRICE REAL ESTATE SEPARATE ACCOUNT Plan #601 Participants BOY/EOY0 / 0 Assets BOY/EOY$135,406 / $8,615 | 2019 | T. ROWE PRICE REAL ESTATE SEPARATE ACCOUNT - Plan #601 | 0 / 0 | $135,406 / $8,615 |
2019 | Plan NameIVY ASSET STRATEGY FUND CL Y SEPARATE ACCOUNT Plan #669 Participants BOY/EOY0 / 0 Assets BOY/EOY$407,197 / $8,287 | 2019 | IVY ASSET STRATEGY FUND CL Y SEPARATE ACCOUNT - Plan #669 | 0 / 0 | $407,197 / $8,287 |
2019 | Plan NameFLEXPATH INDEX+ AGGR RET I1 SEPARATE ACCOUNT Plan #700 Participants BOY/EOY0 / 0 Assets BOY/EOY$0 / $8,052 | 2019 | FLEXPATH INDEX+ AGGR RET I1 SEPARATE ACCOUNT - Plan #700 | 0 / 0 | $0 / $8,052 |
2019 | Plan NameINVESCO SMALL CAP EQUITY R5 SEPARATE ACCOUNT Plan #150 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,080 / $7,873 | 2019 | INVESCO SMALL CAP EQUITY R5 SEPARATE ACCOUNT - Plan #150 | 0 / 0 | $4,080 / $7,873 |
2019 | Plan NameFLEXPATH INDEX+ CONSERV 2035 R1 SEPARATE ACCOUNT Plan #852 Participants BOY/EOY0 / 0 Assets BOY/EOY$6,167 / $7,378 | 2019 | FLEXPATH INDEX+ CONSERV 2035 R1 SEPARATE ACCOUNT - Plan #852 | 0 / 0 | $6,167 / $7,378 |
2019 | Plan NameFIDELITY ADVISOR DIVERS INTL I SEPARATE ACCOUNT Plan #581 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,389,933 / $7,039 | 2019 | FIDELITY ADVISOR DIVERS INTL I SEPARATE ACCOUNT - Plan #581 | 0 / 0 | $1,389,933 / $7,039 |
2019 | Plan NameAMERICAN FUNDS GROWTH PORTFOLIO R6 SEPARATE ACCOUNT Plan #411 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,491 / $6,606 | 2019 | AMERICAN FUNDS GROWTH PORTFOLIO R6 SEPARATE ACCOUNT - Plan #411 | 0 / 0 | $4,491 / $6,606 |
2019 | Plan NameDFA ONE-YEAR FIXED INCOME INS SEPARATE ACCOUNT Plan #169 Participants BOY/EOY0 / 0 Assets BOY/EOY$0 / $5,781 | 2019 | DFA ONE-YEAR FIXED INCOME INS SEPARATE ACCOUNT - Plan #169 | 0 / 0 | $0 / $5,781 |
2019 | Plan NameFLEXPATH INDEX+ AGGR 2055 R1 SEPARATE ACCOUNT Plan #844 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,927 / $5,178 | 2019 | FLEXPATH INDEX+ AGGR 2055 R1 SEPARATE ACCOUNT - Plan #844 | 0 / 0 | $3,927 / $5,178 |
2019 | Plan NameAMERICAN FUNDS SMALL CAP WLD R6 SEPARATE ACCOUNT Plan #377 Participants BOY/EOY0 / 0 Assets BOY/EOY$71,661 / $4,978 | 2019 | AMERICAN FUNDS SMALL CAP WLD R6 SEPARATE ACCOUNT - Plan #377 | 0 / 0 | $71,661 / $4,978 |
2019 | Plan NameIVY MANAGED INTL OPP FUND CL Y SEPARATE ACCOUNT Plan #229 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,020 / $4,876 | 2019 | IVY MANAGED INTL OPP FUND CL Y SEPARATE ACCOUNT - Plan #229 | 0 / 0 | $4,020 / $4,876 |
2019 | Plan NameGOLDMAN SACHS GROWTH OPPS A SEPARATE ACCOUNT Plan #721 Participants BOY/EOY0 / 0 Assets BOY/EOY$437,978 / $4,837 | 2019 | GOLDMAN SACHS GROWTH OPPS A SEPARATE ACCOUNT - Plan #721 | 0 / 0 | $437,978 / $4,837 |
2019 | Plan NameVICTORY RS SELECT GROWTH FUND SEPARATE ACCOUNT Plan #298 Participants BOY/EOY0 / 0 Assets BOY/EOY$141,291 / $4,810 | 2019 | VICTORY RS SELECT GROWTH FUND SEPARATE ACCOUNT - Plan #298 | 0 / 0 | $141,291 / $4,810 |
2019 | Plan NameVANGUARD GLOBAL EQUITY INV SEPARATE ACCOUNT Plan #600 Participants BOY/EOY0 / 0 Assets BOY/EOY$193,889 / $4,683 | 2019 | VANGUARD GLOBAL EQUITY INV SEPARATE ACCOUNT - Plan #600 | 0 / 0 | $193,889 / $4,683 |
2019 | Plan NameAMER FUNDS INC PORT R6 SEPARATE ACCOUNT Plan #329 Participants BOY/EOY0 / 0 Assets BOY/EOY$14,556 / $4,682 | 2019 | AMER FUNDS INC PORT R6 SEPARATE ACCOUNT - Plan #329 | 0 / 0 | $14,556 / $4,682 |
2019 | Plan NameMFS BLENDED RESRCH COR EQ R3 SEPARATE ACCOUNT Plan #591 Participants BOY/EOY0 / 0 Assets BOY/EOY$56,918 / $4,635 | 2019 | MFS BLENDED RESRCH COR EQ R3 SEPARATE ACCOUNT - Plan #591 | 0 / 0 | $56,918 / $4,635 |
2019 | Plan NameT. ROWE PRICE TARGET 2060 SEPARATE ACCOUNT Plan #687 Participants BOY/EOY0 / 0 Assets BOY/EOY$93,375 / $4,561 | 2019 | T. ROWE PRICE TARGET 2060 SEPARATE ACCOUNT - Plan #687 | 0 / 0 | $93,375 / $4,561 |
2019 | Plan NameT. ROWE PRICE TARGET 2055 SEPARATE ACCOUNT Plan #686 Participants BOY/EOY0 / 0 Assets BOY/EOY$11,168 / $4,544 | 2019 | T. ROWE PRICE TARGET 2055 SEPARATE ACCOUNT - Plan #686 | 0 / 0 | $11,168 / $4,544 |
2019 | Plan NameCLEARBRIDGE LARGE CAP VALUE A SEPARATE ACCOUNT Plan #518 Participants BOY/EOY0 / 0 Assets BOY/EOY$800,828 / $4,465 | 2019 | CLEARBRIDGE LARGE CAP VALUE A SEPARATE ACCOUNT - Plan #518 | 0 / 0 | $800,828 / $4,465 |
2019 | Plan NameT. ROWE PRICE TARGET 2045 SEPARATE ACCOUNT Plan #685 Participants BOY/EOY0 / 0 Assets BOY/EOY$62,473 / $4,424 | 2019 | T. ROWE PRICE TARGET 2045 SEPARATE ACCOUNT - Plan #685 | 0 / 0 | $62,473 / $4,424 |
2019 | Plan NameT. ROWE PRICE TARGET 2040 SEPARATE ACCOUNT Plan #684 Participants BOY/EOY0 / 0 Assets BOY/EOY$19,931 / $4,349 | 2019 | T. ROWE PRICE TARGET 2040 SEPARATE ACCOUNT - Plan #684 | 0 / 0 | $19,931 / $4,349 |
2019 | Plan NameARTISAN GLOBAL VALUE INVESTOR SEPARATE ACCOUNT Plan #594 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,955 / $4,274 | 2019 | ARTISAN GLOBAL VALUE INVESTOR SEPARATE ACCOUNT - Plan #594 | 0 / 0 | $3,955 / $4,274 |
2019 | Plan NameAMERICAN FUNDS AM HIGH-INC R6 SEPARATE ACCOUNT Plan #407 Participants BOY/EOY0 / 0 Assets BOY/EOY$98,504 / $4,266 | 2019 | AMERICAN FUNDS AM HIGH-INC R6 SEPARATE ACCOUNT - Plan #407 | 0 / 0 | $98,504 / $4,266 |
2019 | Plan NameT. ROWE PRICE TARGET 2035 SEPARATE ACCOUNT Plan #683 Participants BOY/EOY0 / 0 Assets BOY/EOY$15,013 / $4,253 | 2019 | T. ROWE PRICE TARGET 2035 SEPARATE ACCOUNT - Plan #683 | 0 / 0 | $15,013 / $4,253 |
2019 | Plan NameALLIANZGI GLOBAL SMALL-CAP A SEPARATE ACCOUNT Plan #345 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,413 / $4,206 | 2019 | ALLIANZGI GLOBAL SMALL-CAP A SEPARATE ACCOUNT - Plan #345 | 0 / 0 | $3,413 / $4,206 |
2019 | Plan NameFRANKLIN MANAGED INCOME R SEPARATE ACCOUNT Plan #522 Participants BOY/EOY0 / 0 Assets BOY/EOY$124,149 / $4,202 | 2019 | FRANKLIN MANAGED INCOME R SEPARATE ACCOUNT - Plan #522 | 0 / 0 | $124,149 / $4,202 |
2019 | Plan NameGOLDMAN SACHS MID CAP VALUE R6 SEPARATE ACCOUNT Plan #714 Participants BOY/EOY0 / 0 Assets BOY/EOY$21,500 / $4,165 | 2019 | GOLDMAN SACHS MID CAP VALUE R6 SEPARATE ACCOUNT - Plan #714 | 0 / 0 | $21,500 / $4,165 |
2019 | Plan NameT. ROWE PRICE TARGET 2030 SEPARATE ACCOUNT Plan #682 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,459 / $4,139 | 2019 | T. ROWE PRICE TARGET 2030 SEPARATE ACCOUNT - Plan #682 | 0 / 0 | $3,459 / $4,139 |
2019 | Plan NameAMERICAN FUNDS BOND FUND OF AM R6 SEPARATE ACCOUNT Plan #378 Participants BOY/EOY0 / 0 Assets BOY/EOY$16,640 / $4,082 | 2019 | AMERICAN FUNDS BOND FUND OF AM R6 SEPARATE ACCOUNT - Plan #378 | 0 / 0 | $16,640 / $4,082 |
2019 | Plan NameMFS EMERGING MARKETS DEBT R3 SEPARATE ACCOUNT Plan #325 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,493 / $3,991 | 2019 | MFS EMERGING MARKETS DEBT R3 SEPARATE ACCOUNT - Plan #325 | 0 / 0 | $3,493 / $3,991 |
2019 | Plan NameFEDERATED EQUITY INCOME R SEPARATE ACCOUNT Plan #509 Participants BOY/EOY0 / 0 Assets BOY/EOY$961,817 / $3,928 | 2019 | FEDERATED EQUITY INCOME R SEPARATE ACCOUNT - Plan #509 | 0 / 0 | $961,817 / $3,928 |
2019 | Plan NamePRINCIPAL MIDCAP VALUE III INS SEPARATE ACCOUNT Plan #460 Participants BOY/EOY0 / 0 Assets BOY/EOY$24,291 / $3,878 | 2019 | PRINCIPAL MIDCAP VALUE III INS SEPARATE ACCOUNT - Plan #460 | 0 / 0 | $24,291 / $3,878 |
2019 | Plan NameT. ROWE PRICE TARGET 2015 SEPARATE ACCOUNT Plan #679 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,303 / $3,814 | 2019 | T. ROWE PRICE TARGET 2015 SEPARATE ACCOUNT - Plan #679 | 0 / 0 | $3,303 / $3,814 |
2019 | Plan NameT. ROWE PRICE TARGET 2010 SEPARATE ACCOUNT Plan #678 Participants BOY/EOY0 / 0 Assets BOY/EOY$15,531 / $3,768 | 2019 | T. ROWE PRICE TARGET 2010 SEPARATE ACCOUNT - Plan #678 | 0 / 0 | $15,531 / $3,768 |
2019 | Plan NameCALAMOS EVOLVING WORLD GRWTH A SEPARATE ACCOUNT Plan #523 Participants BOY/EOY0 / 0 Assets BOY/EOY$18,249 / $3,735 | 2019 | CALAMOS EVOLVING WORLD GRWTH A SEPARATE ACCOUNT - Plan #523 | 0 / 0 | $18,249 / $3,735 |
2019 | Plan NameT. ROWE PRICE INTL VALUE EQ I SEPARATE ACCOUNT Plan #554 Participants BOY/EOY0 / 0 Assets BOY/EOY$16,794 / $3,704 | 2019 | T. ROWE PRICE INTL VALUE EQ I SEPARATE ACCOUNT - Plan #554 | 0 / 0 | $16,794 / $3,704 |
2019 | Plan NameAB GLOBAL BOND Z SEPARATE ACCOUNT Plan #778 Participants BOY/EOY0 / 0 Assets BOY/EOY$28,157 / $3,558 | 2019 | AB GLOBAL BOND Z SEPARATE ACCOUNT - Plan #778 | 0 / 0 | $28,157 / $3,558 |
2019 | Plan NameFIDELITY GNMA FUND SEPARATE ACCOUNT Plan #245 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,339 / $3,534 | 2019 | FIDELITY GNMA FUND SEPARATE ACCOUNT - Plan #245 | 0 / 0 | $3,339 / $3,534 |
2019 | Plan NameHARBOR INTERNATIONAL INSTL SEPARATE ACCOUNT Plan #512 Participants BOY/EOY0 / 0 Assets BOY/EOY$472,882 / $3,323 | 2019 | HARBOR INTERNATIONAL INSTL SEPARATE ACCOUNT - Plan #512 | 0 / 0 | $472,882 / $3,323 |
2019 | Plan NameTOCQUEVILLE GOLD SEPARATE ACCOUNT Plan #754 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,375 / $3,225 | 2019 | TOCQUEVILLE GOLD SEPARATE ACCOUNT - Plan #754 | 0 / 0 | $2,375 / $3,225 |
2019 | Plan NameAMER FUNDS INTERM BOND FUND OF AMER R6 SEPARATE ACCOUNT Plan #866 Participants BOY/EOY0 / 0 Assets BOY/EOY$12,269 / $3,217 | 2019 | AMER FUNDS INTERM BOND FUND OF AMER R6 SEPARATE ACCOUNT - Plan #866 | 0 / 0 | $12,269 / $3,217 |
2019 | Plan NameNEUBERGER BERMAN ABS RET MULTI-MGR A SEPARATE ACCOUNT Plan #367 Participants BOY/EOY0 / 0 Assets BOY/EOY$2,948 / $3,150 | 2019 | NEUBERGER BERMAN ABS RET MULTI-MGR A SEPARATE ACCOUNT - Plan #367 | 0 / 0 | $2,948 / $3,150 |
2019 | Plan NameFLEXPATH INDEX+ CONSERV 2055 I1 SEPARATE ACCOUNT Plan #699 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,256 / $2,709 | 2019 | FLEXPATH INDEX+ CONSERV 2055 I1 SEPARATE ACCOUNT - Plan #699 | 0 / 0 | $1,256 / $2,709 |
2019 | Plan NamePGIM QMA SMALL-CAP VALUE Q SEPARATE ACCOUNT Plan #386 Participants BOY/EOY0 / 0 Assets BOY/EOY$83,202 / $2,022 | 2019 | PGIM QMA SMALL-CAP VALUE Q SEPARATE ACCOUNT - Plan #386 | 0 / 0 | $83,202 / $2,022 |
2019 | Plan NameFLEXPATH INDEX+ CONSRV RET I1 SEPARATE ACCOUNT Plan #695 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,377 / $1,701 | 2019 | FLEXPATH INDEX+ CONSRV RET I1 SEPARATE ACCOUNT - Plan #695 | 0 / 0 | $1,377 / $1,701 |
2019 | Plan NameFLEXPATH INDEX+ CONSERV 2055 R1 SEPARATE ACCOUNT Plan #854 Participants BOY/EOY0 / 0 Assets BOY/EOY$421 / $1,128 | 2019 | FLEXPATH INDEX+ CONSERV 2055 R1 SEPARATE ACCOUNT - Plan #854 | 0 / 0 | $421 / $1,128 |
2019 | Plan NameFLEXPATH INDEX+ AGGR 2025 I1 SEPARATE ACCOUNT Plan #701 Participants BOY/EOY0 / 0 Assets BOY/EOY$729 / $714 | 2019 | FLEXPATH INDEX+ AGGR 2025 I1 SEPARATE ACCOUNT - Plan #701 | 0 / 0 | $729 / $714 |
2019 | Plan NameFLEXPATH INDEX+ CONSERV RET R1 SEPARATE ACCOUNT Plan #850 Participants BOY/EOY0 / 0 Assets BOY/EOY$0 / $103 | 2019 | FLEXPATH INDEX+ CONSERV RET R1 SEPARATE ACCOUNT - Plan #850 | 0 / 0 | $0 / $103 |
2019 | Plan NameFLEXPATH INDEX+ AGGR 2025 R1 SEPARATE ACCOUNT Plan #841 Participants BOY/EOY0 / 0 Assets BOY/EOY$0 / $42 | 2019 | FLEXPATH INDEX+ AGGR 2025 R1 SEPARATE ACCOUNT - Plan #841 | 0 / 0 | $0 / $42 |
2019 | Plan NameFLEXPATH INDEX+ AGGR RET R1 SEPARATE ACCOUNT Plan #840 Participants BOY/EOY0 / 0 Assets BOY/EOY$0 / $42 | 2019 | FLEXPATH INDEX+ AGGR RET R1 SEPARATE ACCOUNT - Plan #840 | 0 / 0 | $0 / $42 |
2019 | Plan NameDEUTSCHE SMALL CAP GROWTH S SEPARATE ACCOUNT Plan #838 Participants BOY/EOY0 / 0 Assets BOY/EOY$157,427 / $0 | 2019 | DEUTSCHE SMALL CAP GROWTH S SEPARATE ACCOUNT - Plan #838 | 0 / 0 | $157,427 / $0 |
2019 | Plan NameJANUS CONTRARIAN I SEPARATE ACCOUNT Plan #291 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,415 / $0 | 2019 | JANUS CONTRARIAN I SEPARATE ACCOUNT - Plan #291 | 0 / 0 | $3,415 / $0 |
2019 | Plan NameAB UNCONSTRAINED BOND R SEPARATE ACCOUNT Plan #433 Participants BOY/EOY0 / 0 Assets BOY/EOY$224,138 / $0 | 2019 | AB UNCONSTRAINED BOND R SEPARATE ACCOUNT - Plan #433 | 0 / 0 | $224,138 / $0 |
2019 | Plan NameNUVEEN STRATEGIC INCOME A SEPARATE ACCOUNT Plan #617 Participants BOY/EOY0 / 0 Assets BOY/EOY$22,076 / $0 | 2019 | NUVEEN STRATEGIC INCOME A SEPARATE ACCOUNT - Plan #617 | 0 / 0 | $22,076 / $0 |
2019 | Plan NameBLACKROCK LIFEPATH INDEX 2020 INSTL SEPARATE ACCOU Plan #761 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,003,310 / $0 | 2019 | BLACKROCK LIFEPATH INDEX 2020 INSTL SEPARATE ACCOU - Plan #761 | 0 / 0 | $3,003,310 / $0 |
2019 | Plan NameDEL WEALTH BUILD INSTITUT SEPARATE ACCOUNT Plan #755 Participants BOY/EOY0 / 0 Assets BOY/EOY$44,180 / $0 | 2019 | DEL WEALTH BUILD INSTITUT SEPARATE ACCOUNT - Plan #755 | 0 / 0 | $44,180 / $0 |
2019 | Plan NamePIONEER GLBL MULTISECTOR INC Y SEPARATE ACCOUNT Plan #618 Participants BOY/EOY0 / 0 Assets BOY/EOY$5,485 / $0 | 2019 | PIONEER GLBL MULTISECTOR INC Y SEPARATE ACCOUNT - Plan #618 | 0 / 0 | $5,485 / $0 |
2019 | Plan NamePUTNAM INTERNATIONAL EQUITY Y SEPARATE ACCOUNT Plan #606 Participants BOY/EOY0 / 0 Assets BOY/EOY$4,002,675 / $0 | 2019 | PUTNAM INTERNATIONAL EQUITY Y SEPARATE ACCOUNT - Plan #606 | 0 / 0 | $4,002,675 / $0 |
2019 | Plan NameGOLDMAN SACHS LARGE CAP VAL INV SEPARATE ACCOUNT Plan #147 Participants BOY/EOY0 / 0 Assets BOY/EOY$16,758 / $0 | 2019 | GOLDMAN SACHS LARGE CAP VAL INV SEPARATE ACCOUNT - Plan #147 | 0 / 0 | $16,758 / $0 |
2019 | Plan NameFRANKLIN BIOTECH DISCOVERY R6 SEPARATE ACCOUNT Plan #347 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,665 / $0 | 2019 | FRANKLIN BIOTECH DISCOVERY R6 SEPARATE ACCOUNT - Plan #347 | 0 / 0 | $3,665 / $0 |
2019 | Plan NameSAGE TARGET DATE 2025 R1 SEPARATE ACCOUNT Plan #673 Participants BOY/EOY0 / 0 Assets BOY/EOY$250,743 / $0 | 2019 | SAGE TARGET DATE 2025 R1 SEPARATE ACCOUNT - Plan #673 | 0 / 0 | $250,743 / $0 |
2019 | Plan NameINVESCO AMERICAN VALUE Y SEPARATE ACCOUNT Plan #341 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,343 / $0 | 2019 | INVESCO AMERICAN VALUE Y SEPARATE ACCOUNT - Plan #341 | 0 / 0 | $3,343 / $0 |
2019 | Plan NameOPPENHEIMER EQUITY INCOME Y SEPARATE ACCOUNT Plan #295 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,688 / $0 | 2019 | OPPENHEIMER EQUITY INCOME Y SEPARATE ACCOUNT - Plan #295 | 0 / 0 | $3,688 / $0 |
2019 | Plan NameMAINSTAY EPOCH INTL CHOICE I SEPARATE ACCOUNT Plan #774 Participants BOY/EOY0 / 0 Assets BOY/EOY$763,362 / $0 | 2019 | MAINSTAY EPOCH INTL CHOICE I SEPARATE ACCOUNT - Plan #774 | 0 / 0 | $763,362 / $0 |
2019 | Plan NameVANGUARD TOTAL INTL STK IND I SEPARATE ACCOUNT Plan #264 Participants BOY/EOY0 / 0 Assets BOY/EOY$9,052,268 / $0 | 2019 | VANGUARD TOTAL INTL STK IND I SEPARATE ACCOUNT - Plan #264 | 0 / 0 | $9,052,268 / $0 |
2019 | Plan NameOAK RIDGE SMALL CAP GROWTH A SEPARATE ACCOUNT Plan #305 Participants BOY/EOY0 / 0 Assets BOY/EOY$3,481 / $0 | 2019 | OAK RIDGE SMALL CAP GROWTH A SEPARATE ACCOUNT - Plan #305 | 0 / 0 | $3,481 / $0 |
2019 | Plan NameGABELLI SMALL CAP GROWTH AAA SEPARATE ACCOUNT Plan #332 Participants BOY/EOY0 / 0 Assets BOY/EOY$1,662,528 / $0 | 2019 | GABELLI SMALL CAP GROWTH AAA SEPARATE ACCOUNT - Plan #332 | 0 / 0 | $1,662,528 / $0 |
Loan Date | Approved | Forgiven | Lender | Jobs | ||
---|---|---|---|---|---|---|
08/05/2020 | Approved$4,561 Forgiven$4,605 LenderFundbox, Inc. Jobs1 | 08/05/2020 | $4,561 | $4,605 | Fundbox, Inc. | 1 |
Securian Financial Group, Inc.
Registered in Ohio
|
Saint Paul, MN Upper Arlington, OH (1 more) | View Report | |
Cri Securities, LLC
Registered in Arizona
|
Minneapolis, MN Phoenix, AZ (1 more) | View Report | |
Securian Financial Group, Inc.
Registered in Oregon
|
Saint Paul, MN | View Report | |
Securian Financial Group, Inc.
Registered in Virginia
|
Richmond, VA Saint Paul, MN | View Report | |
Securian Financial Group, Inc.
Registered in Florida
|
Saint Paul, MN | View Report | |
Securian Financial Group, Inc.
Registered in Tennessee
|
Nashville, TN Saint Paul, MN | View Report | |
Securian Financial Services, Inc.
Registered in Virginia
|
Saint Paul, MN | View Report | |
Securian Financial Services, Inc.
Registered in Florida
|
Saint Paul, MN | View Report | |
Securian Financial Services, Inc.
Registered in North Dakota
|
Bismarck, ND Saint Paul, MN | View Report | |
Securian Financial Services, Inc.
Registered in Wyoming
|
Cheyenne, WY Saint Paul, MN | View Report | |
Mcm Funding 1997-1, Inc.
Registered in Ohio
|
Cincinnati, OH Saint Paul, MN | View Report | |
Cri Securities, LLC
Registered in Missouri
|
Jefferson City, MO Saint Paul, MN | View Report | |
Worthmark Financial Services, LLC
Registered in Oklahoma
|
Oklahoma City, OK Saint Paul, MN | View Report | |
Worthmark Financial Services, LLC
Registered in Ohio
|
Cleveland, OH Saint Paul, MN | View Report | |
Worthmark Financial Services, LLC
Registered in Kansas
|
Saint Paul, MN Topeka, KS | View Report | |
Ochs, Inc.
Registered in Missouri
|
Saint Paul, MN | View Report | |
Securian Casualty Company
Registered in Arkansas
|
Saint Paul, MN | View Report | |
Securian Financial Services, Inc.
Registered in Alaska
|
Saint Paul, MN | View Report | |
Securian Financial Services, Inc.
Registered in Texas
|
Saint Paul, MN | View Report | |
Advantus Capital Management, Inc.
Registered in Florida
|
Saint Paul, MN | View Report | |
American Modern Life Insurance Company
Registered in Florida
|
Saint Paul, MN | View Report | |
Dataplan Securities, Inc.
Registered in Florida
|
Hudson, OH Saint Paul, MN | View Report | |
Marketview Properties III, LLC
Registered in Florida
|
Saint Paul, MN | View Report | |
Securian Financial Network, Inc.
Registered in Virginia
|
Glen Allen, VA Saint Paul, MN | View Report | |
Securian Financial Network, Inc.
Registered in Oregon
|
Saint Paul, MN | View Report | |
Securian Financial Network, Inc.
Registered in Tennessee
|
Nashville, TN Saint Paul, MN | View Report | |
Juran & Moody, Inc.
Registered in North Dakota
|
Bismarck, ND Saint Paul, MN | View Report | |
Securian Financial Network, Inc.
Registered in Idaho
|
Minnetonka, MN Saint Paul, MN | View Report | |
Securian Financial Network, Inc.
Registered in New Mexico
|
Saint Paul, MN Santa Fe, NM | View Report | |
Mimlic Imperial Corporation
Registered in California
|
Saint Paul, MN Paul, MN (1 more) | View Report | |
New West Agency, Inc.
Registered in California
|
New York, NY Saint Paul, MN (2 more) | View Report | |
Securian Financial Network, Inc.
Registered in California
|
Saint Paul, MN | View Report | |
Mimlic Insurance Agency of Texas, Inc.
Registered in Texas
|
Kingwood, TX Saint Paul, MN | View Report | |
American Modern Life Insurance Company
Registered in Colorado
|
Saint Paul, MN | View Report | |
Cri Securities, LLC
Registered in Colorado
|
Saint Paul, MN Littleton, CO | View Report | |
Cri Securities, LLC
Registered in Washington
|
Saint Paul, MN | View Report | |
Securian Financial Network, Inc.
Registered in Alabama
|
Montgomery, AL Saint Paul, MN | View Report | |
Securian Financial Network, Inc.
Registered in Oklahoma
|
Oklahoma City, OK Saint Paul, MN | View Report |
Securian Financial Group, Inc.
Registered in California
|
Saint Paul, MN Paul, MN (1 more) | View Report | |
Securian Life Insurance Company
Registered in Missouri
|
Jefferson City, MO Saint Paul, MN | View Report |
Southern Pioneer Life Insurance Company
Registered in Missouri
|
Saint Paul, MN Trumann, AR | View Report |
Securian Financial Group, Inc.
Registered in Michigan
|
Lansing, MI East Lansing, MI (1 more) | View Report | |
Securian Life Insurance Company
Registered in West Virginia
|
Charleston, WV Saint Paul, MN | View Report | |
Securian Casualty Company
Registered in Florida
|
Macon, GA Saint Paul, MN | View Report | |
Securian Casualty Company
Registered in California
|
Saint Paul, MN Paul, MN | View Report | |
Securian Financial Group, Inc.
Registered in Massachusetts
|
Saint Paul, MN | View Report | |
Securian Financial Services, Inc.
Registered in Arizona
|
Phoenix, AZ Saint Paul, MN | View Report | |
Securian Financial Services, Inc.
Registered in Massachusetts
|
North Branch, MN Saint Paul, MN | View Report | |
Securian Financial Services, Inc.
Registered in Connecticut
|
Hartford, CT Saint Paul, MN | View Report | |
Securian Life Insurance Company
Registered in Florida
|
Saint Paul, MN | View Report | |
Securian Casualty Company
Registered in Georgia
|
Saint Paul, MN | View Report | |
Securian Financial Group, Inc.
Registered in North Carolina
|
North Saint Paul, MN Raleigh, NC (1 more) | View Report | |
Securian Financial Services, Inc.
Registered in North Carolina
|
Raleigh, NC Saint Paul, MN | View Report | |
Securian Casualty Company
Registered in Missouri
|
Saint Paul, MN Stpaul, MN | View Report | |
Securian Financial Group, Inc.
Registered in Missouri
|
Saint Paul, MN | View Report | |
Securian Financial Services, Inc.
Registered in Mississippi
|
Saint Paul, MN | View Report | |
Securian Financial Services, Inc.
Registered in New Hampshire
|
Concord, NH Saint Paul, MN | View Report |
Ochs, Inc.
Registered in Texas
|
Saint Paul, MN | View Report |
The following government agencies have contributed data:
Missouri Secretary of State U.S. Department of Labor U.S. Small Business Administration