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REED SMITH LLP

9 known aliases resolved via the canonical alias map

Market position · 2024

Plans served11+1 YoYRank #1351 of mapped providers
Assets under administration$11.7B0.0%Market share · rank #821
Fees received$461,267Median $12,987/planSum across Schedule C direct + indirect
Net wins YoY+02 won · 2 lostPlan-level switch detection
Plans served · 5-year trajectory
Market-share plans percent annotated. Bar height is raw plan count.
Customer-base shape
What does a typical REED SMITH LLP plan look like?
Service mix · median fees per plan
Count of plans where REED SMITH LLP ships each service code, and the median compensation they report under it.
ServicePlansMedian feesDistribution
Legal; Direct payment from the planCode 29
9$12,987
Accounting (including auditing)Code 10
1$2,694
Employee (plan)Code 30
1$194,004
Competitor overlap
Percent of REED SMITH LLP's plans that also list each competitor on Schedule C. High numbers = co-living partners; low numbers = direct displacement targets.
Plans won in 2024
Appeared this year; did not appear last year under REED SMITH LLP.
SponsorFromAssets
WEST PENN ALLEGHENY HEALTH SYSTEMPA · 250969492-002
ALIGHT SOLUTIONS LLC$1.2B
CALGON CARBON CORPORATIONPA · 250530110-001
THE BANK OF NEW YORK MELLON$29M
Plans lost in 2024
Appeared last year under REED SMITH LLP; not this year.
SponsorToAssets
THE BANK OF NEW YORK MELLONPA · 135160382-001
LOOP CAPITAL ASSET MANAGEMENT$5.3B
VISTA OUTDOOR INC.MN · 471016855-002
AON CONSULTING$142M
Top plans by assets
Searchable full list lands with the commercial layer.
PlanAssetsParticipantsFeesTenureFlags
BD OF TRUSTEES, CHICAGO & VICINITY LABORERS' DISTR. COUNCIL PENS FUNDIL · 362514514-002
$5.2B30,331$194,00410y-
HIGHMARK HEALTHPA · 453674900-333
$3.1B34,883$78,9516y-
WEST PENN ALLEGHENY HEALTH SYSTEMPA · 250969492-002
$1.2B15,107$10,6251y-
MSA WORLDWIDE, LLCPA · 464914866-001
$575M4,981$10,82810y-
BOARD OF TRUSTEES OF U. A. LOCAL 38 TRUST FUNDSCA · 941285319-001
$555M2,816$24,3031y-
THE KINETIC GROUP, INC.MN · 471016855-001
$529M5,391$89,9093y1
MSA WORLDWIDE, LLCPA · 464914866-002
$415M2,817$12,65210y-
CALGON CARBON CORPORATIONPA · 250530110-001
$29M357$15,2767y-
PENNYRILE RURAL ELECTRIC CORPORATIONKY · 610305525-002
$26M136$2,6948y-
COMPUNETICS, INC. ESOPPA · 251190388-002
$25M619$12,9877y-
Flag exposure
90.9%Market: 89.2%
This provider
Market baseline

Share of this provider's plans tripping any deterministic red flag this year. Lower than market baseline = better risk surface.

Aliases resolved (9)
Raw Schedule C names collapsed into REED SMITH LLP.
  • REED & CO OF MAYFIELD PSC
  • REED D
  • REED ELSEVIER INC.
  • REED SMITH
  • REED SMITH LLC
  • REED SMITH LLP
  • REED SMITH, LLP
  • REEDSMITH LLP
  • S. REED
Book composition by plan size
Bars stack to total plans served; segments use the same asset cutoffs as the /retirement size filter. Up-and-to-the-right on the bigger segments = moving up-market.
Under $5M$5-50M$50-250M$250M-1B$1B+
Compliance posture vs market
Per-flag share for REED SMITH LLP's book against the same flag's overall prevalence across all filings. Negative delta = under-indexed (cleaner book); positive = elevated risk surface.
FlagPlans flaggedProvider %Market %Delta
Recently terminated19.09%7.76%+1.33 pp
Fidelity bond gap00.00%26.94%-26.94 pp
Late contributions00.00%1.71%-1.71 pp
Failed to provide benefit00.00%0.14%-0.14 pp
Corrective distributions19.09%1.76%+7.33 pp
Loss discovered00.00%0.00%-0.00 pp
New-plan formation share
Share of plans filing for the first time each year that landed with REED SMITH LLP. Compare to the incumbent market share (0.0%) - higher = winning new business, lower = coasting on existing relationships.
0.0%-0.0 pp vs incumbent
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