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
101Howmet Aerospace Inc 59,83613.8M $
102iShares MSCI South Korea ETF 110,76313.6M $
103Northern Oil & Gas Inc 460,16813.5M $
104Taylor Morrison Home Corp 228,34513.3M $
105Prologis Inc 98,86813.1M $
106NRG Energy Inc 89,17713M $
107Murphy USA Inc 26,37213M $
108Lockheed Martin Corp 21,49613M $
109Crown Holdings Inc 129,31813M $
110Hilton Worldwide Holdings Inc 42,57612.9M $
111American Healthcare REIT Inc 274,51712.9M $
112Parker-Hannifin Corp 14,36712.9M $
113L3Harris Technologies Inc 36,96912.8M $
114Wyndham Hotels & Resorts Inc 156,64512.7M $
115Marathon Petroleum Corp 51,65312.6M $
116Curbline Properties Corp 484,08112.5M $
117McKesson Corp 14,36412.4M $
118Entergy Corp 110,14612.4M $
119Progressive Corp/The 62,34412.4M $
120ServiceNow Inc 117,08912.2M $
121Capital One Financial Corp 66,49312.1M $
122Stryker Corp 36,74012.1M $
123Corning Inc 88,76812.1M $
124Vertex Pharmaceuticals Inc 26,96712M $
125Comcast Corp 417,60612M $
126Ameriprise Financial Inc 26,65911.8M $
127Sandisk Corp/DE 18,59011.8M $
128Altria Group, Inc. 178,22311.8M $
129Ross Stores Inc 54,12911.7M $
130IDEXX Laboratories Inc 20,83311.7M $
131T-Mobile US Inc 55,27411.6M $
132Quaker Chemical Corp 93,22611.6M $
133Arrowhead Pharmaceuticals Inc 184,30411.6M $
134Teledyne Technologies Inc 19,00411.5M $
135AppLovin Corp 28,82111.5M $
136RLI Corp 200,23911.4M $
137Rambus Inc 132,61111.4M $
138Adobe Inc 46,87111.4M $
139Installed Building Products Inc 42,92011.4M $
140CME Group Inc 38,35611.3M $
141Southern Co/The 117,09711.3M $
142Wintrust Financial Corp 80,84611.2M $
143PJT Partners Inc 80,21411.2M $
144Tenet Healthcare Corp 59,37511.2M $
145Baker Hughes Co 182,69111.2M $
146Crowdstrike Holdings Inc 28,12711M $
147UMB Financial Corp 97,26911M $
148Bank of New York Mellon Corp/The 92,25010.9M $
149BioLife Solutions Inc 572,72910.9M $
150Starbucks Corp 121,15910.9M $
151Duke Energy Corp 82,69910.8M $
152Federal Signal Corp 99,64510.8M $
153M&T Bank Corp 50,59910.5M $
154Quanta Services Inc 19,04510.5M $
155ServisFirst Bancshares Inc 142,86210.4M $
156Expand Energy Corp 94,56010.4M $
157Casey's General Stores Inc 14,20410.3M $
158CVS Health Corp 143,66310.3M $
159East West Bancorp Inc 95,97110.2M $
160Equinix Inc 10,45010.2M $
161SOUTHSTATE BANK CORP 109,50010.1M $
162iShares MSCI China ETF 179,56610.1M $
163Boston Scientific Corp 158,1949.9M $
164Performance Food Group Co 115,7859.9M $
165Telephone and Data Systems Inc 235,4659.9M $
166MKS Inc 43,1229.9M $
167Vail Resorts Inc 77,1729.9M $
168FedEx Corp 27,7399.9M $
169Western Digital Corp 36,0569.8M $
170Coca-Cola Consolidated Inc 50,7759.7M $
171Northrop Grumman Corp 14,1639.7M $
172Curtiss-Wright Corp 14,1299.6M $
173Roper Technologies Inc 27,1039.6M $
174Cencora Inc 30,4659.6M $
175UFP Industries Inc 103,1389.5M $
176Intercontinental Exchange Inc 60,4079.5M $
177Vontier Corp 266,1659.4M $
178Take-Two Interactive Software Inc 47,7639.4M $
179Devon Energy Corp 187,2659.4M $
180Corteva Inc 112,2409.4M $
181Colgate-Palmolive Co 109,4449.3M $
182Hancock Whitney Corp 146,6099.3M $
183Valero Energy Corp 37,5549.3M $
184Krystal Biotech Inc 35,8599.3M $
185HCA Healthcare Inc 19,5669.3M $
186Constellation Energy Corp. 33,1399.3M $
187General Dynamics Corp 26,9449.2M $
188EOG Resources Inc 63,4909.2M $
189Blackstone Inc 79,6389.2M $
190Spire Inc 100,5909.1M $
191Waste Management Inc 39,4799.1M $
192Evergy Inc 109,9759M $
193VSE Corp 48,5268.9M $
194Crane Co 52,3128.9M $
195PNC Financial Services Group Inc/The 42,9638.9M $
196Marsh & McLennan Cos Inc 51,4968.9M $
197Graco Inc 105,3908.9M $
198Enpro Inc 35,3348.9M $
199Fifth Third Bancorp 189,3158.8M $
200XPO Inc 44,8938.7M $