Titelia

Holdings of MUTUAL OF AMERICA CAPITAL MANAGEMENT LLC

1288 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 27.4 % of the equity sleeve

Sector breakdown

  • Technology 24.1 %
  • Financials 7.9 %
  • Communication 7.6 %
  • Industrials 7.5 %
  • Consumer discretionary 7.4 %
  • Health care 7.2 %
  • Consumer staples 3.3 %
  • Energy 2.9 %
  • Utilities 2.2 %
  • Materials 1.4 %
  • Real estate 1.2 %
  • Funds 0.3 %
  • Unattributed 27.1 %

Titelia classification, company by company. The unattributed share stays visible.

Currency breakdown

  • USD 100.0 %

The quoted currency of each line, as declared.

Country breakdown

  • US 100.0 %
  • KY 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US1,2878.4B $99.97 %
2KY12.5M $0.03 %

Positions

RankCompanySharesValueWeight
1,101Cinemark Holdings Inc 11,809336.8K $
1,102First Interstate BancSystem Inc 10,066336.2K $
1,103Seacoast Banking Corp of Florida 11,084335.7K $
1,104American States Water Co 4,430335K $
1,105Iridium Communications Inc 12,011333.2K $
1,106Dorman Products Inc 3,183332.2K $
1,107First Financial Bancorp 11,841330.1K $
1,108Freshpet Inc 5,586329.4K $
1,109Catalyst Pharmaceuticals Inc 13,222327.4K $
1,110Axcelis Technologies Inc 3,513327K $
1,111NMI Holdings Inc 8,701326.4K $
1,112Griffon Corp 4,478325.5K $
1,113Power Integrations Inc 6,352325.2K $
1,114MGE Energy Inc 4,182323.2K $
1,115Ultra Clean Holdings Inc 5,194323K $
1,116RingCentral Inc 8,677322.7K $
1,117Simmons First National Corp 16,567322.2K $
1,118Boise Cascade Co 4,239321.5K $
1,119Prestige Consumer Healthcare Inc 5,415320.9K $
1,120ACADIA Pharmaceuticals Inc 14,327318.9K $
1,121Western Union Co/The 36,374317.5K $
1,122Waystar Holding Corp 13,137316.7K $
1,123Cargurus Inc 9,297316.6K $
1,124Provident Financial Services Inc 14,948316.3K $
1,125Impinj Inc 3,079316.2K $
1,126Kennametal Inc 8,720315.1K $
1,127WD-40 Co 1,543314.7K $
1,128United Natural Foods Inc 6,973314.2K $
1,129LXP Industrial Trust 6,761312.8K $
1,130California Water Service Group 6,820309.2K $
1,131Hayward Holdings Inc 22,832305.5K $
1,132American Eagle Outfitters Inc 18,041301.3K $
1,133Adeia Inc 12,532301.1K $
1,134SL Green Realty Corp 8,143300.8K $
1,135Park National Corp 1,840300.7K $
1,136IAC Inc 7,460298.6K $
1,137Paramount Skydance Corp. 33,050298.1K $
1,138Four Corners Property Trust Inc 12,559297K $
1,139Phinia Inc 4,339297K $
1,140Red Rock Resorts Inc 5,555296.4K $
1,141Trinity Industries Inc 9,176295.3K $
1,142Acushnet Holdings Corp 3,155294.9K $
1,143Artisan Partners Asset Management Inc 8,064293.4K $
1,144Ingevity Corp 4,116293.2K $
1,145Hawaiian Electric Industries Inc 19,755293.2K $
1,146Atlassian Corp 4,283292.3K $
1,147Veracyte Inc 9,046291.4K $
1,148Apple Hospitality REIT Inc 25,179289.8K $
1,149Robert Half Inc 11,374288.9K $
1,150Urban Edge Properties 14,414288K $
1,151Beacon Financial Corp 9,592287.8K $
1,152Cheesecake Factory Inc/The 5,248287.3K $
1,153Acadia Realty Trust 14,996286.7K $
1,154St Joe Co/The 4,560286.4K $
1,155Coty Inc 141,640284.7K $
1,156Trustmark Corp 6,753284.6K $
1,157CVB Financial Corp 14,582282.7K $
1,158Steven Madden Ltd 8,315282K $
1,159Andersons Inc/The 3,845276K $
1,160RXO Inc 18,790274.7K $
1,161Teradata Corp 10,666273.4K $
1,162Photronics Inc 6,759273.1K $
1,163WaFd Inc 8,682272.6K $
1,164Privia Health Group Inc 13,232272.2K $
1,165Banc of California Inc 15,363270.1K $
1,166Highwoods Properties Inc 12,581269.4K $
1,167Mercury General Corp 3,043268.2K $
1,168First Bancorp/Southern Pines NC 4,745267.4K $
1,169HNI Corp 7,937265K $
1,170GEO Group Inc/The 15,647263K $
1,171Medical Properties Trust Inc 56,445261.3K $
1,172Verra Mobility Corp 18,261261K $
1,173Sarepta Therapeutics Inc 11,992260.9K $
1,174Bancorp Inc/The 4,847260.4K $
1,175ABM Industries Inc 6,706258.3K $
1,176Perdoceo Education Corp 6,919257.5K $
1,177NBT Bancorp Inc 5,987254.9K $
1,178Vishay Intertechnology Inc 14,132254.4K $
1,179Alpha Metallurgical Resources Inc 1,236253.7K $
1,180DNOW Inc 21,247253.1K $
1,181Northwest Natural Holding Co 4,750252.8K $
1,182Minerals Technologies Inc 3,563252.7K $
1,183Customers Bancorp Inc 3,639252.6K $
1,184Kinetik Holdings Inc 5,202251.8K $
1,185ArcBest Corp 2,558251.6K $
1,186Hub Group Inc 6,933249.9K $
1,187NetScout Systems Inc 7,852249.6K $
1,188Knowles Corp 9,718249.6K $
1,189Cleanspark Inc 29,268249.2K $
1,190iShares Core S&P Mid-Cap ETF 3,673248K $
1,191CSG Systems International Inc 3,091247.1K $
1,192Acadia Healthcare Co Inc 10,558247K $
1,193Alarm.com Holdings Inc 5,708246.5K $
1,194Chefs' Warehouse Inc/The 4,144246.4K $
1,195FMC Corp 14,296246.2K $
1,196ADMA Biologics Inc 27,237245.4K $
1,197DXC Technology Co 19,427244.2K $
1,198Amneal Pharmaceuticals Inc 19,427241.5K $
1,199Vita Coco Co Inc/The 5,018240.4K $
1,200SPS Commerce Inc 4,315240.2K $