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
201Automatic Data Processing Inc 42,8398.7M $
202Core Scientific Inc 581,3288.7M $
203Carlisle Cos Inc 26,0418.7M $
204Cigna Group/The 32,4598.7M $
205US Bancorp 165,3458.6M $
206American Tower Corp 49,7928.6M $
207Synopsys Inc 21,5708.6M $
208Monolithic Power Systems Inc 7,7248.4M $
209Black Hills Corp 121,3488.4M $
210TTM Technologies Inc 85,9958.4M $
211Saia Inc 23,8048.4M $
212Regeneron Pharmaceuticals, Inc. 10,7028.3M $
213O'Reilly Automotive Inc 89,5348.3M $
214Clean Harbors Inc 28,6048.2M $
215Woodward Inc 22,8468.2M $
2163M Co 56,0388.1M $
217CSX Corp 197,8428.1M $
218Stifel Financial Corp 108,9318.1M $
219Cadence Design Systems Inc 28,9488M $
220Kite Realty Group Trust 323,1307.9M $
221Northwestern Energy Group Inc 120,1157.9M $
222HealthEquity Inc 94,7707.9M $
223Stock Yards Bancorp Inc 119,3867.9M $
224Cummins Inc 14,6997.9M $
225Royal Gold Inc 31,0497.9M $
226Mondelez International Inc 136,3917.9M $
227NiSource Inc 168,4797.9M $
228Sherwin-Williams Co/The 24,5177.9M $
229Emerson Electric Co. 59,7937.8M $
230Phillips 66 42,8497.8M $
231US Foods Holding Corp 84,5167.8M $
232Commercial Metals Co 126,6547.8M $
233Vistra Corp 51,7057.8M $
234Burlington Stores Inc 23,8287.8M $
235Ecolab Inc 29,1377.8M $
236United Parcel Service Inc 78,6237.7M $
237Materion Corp 53,3567.7M $
238Marriott International Inc/MD 23,3887.6M $
239Simpson Manufacturing Co Inc 44,5517.6M $
240Motorola Solutions Inc 17,6187.6M $
241Hartford Insurance Group Inc/The 56,4367.6M $
242CBRE Group Inc 56,3077.6M $
243Houlihan Lokey Inc 52,9607.6M $
244Moody's Corp 17,4277.6M $
245ATI Inc 52,0667.6M $
246MasTec Inc 23,5057.6M $
247Comfort Systems USA Inc 5,4777.6M $
248American Electric Power Co Inc 57,5187.5M $
249Digital Realty Trust Inc 41,8157.5M $
250Carpenter Technology Corp 19,0887.5M $
251SPX Technologies Inc 36,6437.3M $
252Twilio Inc 58,1017.3M $
253Allstate Corp/The 35,2027.3M $
254Atmos Energy Corp 39,4677.3M $
255Brixmor Property Group Inc 252,1767.3M $
256Illinois Tool Works Inc 27,9027.3M $
257Warner Bros Discovery Inc 263,5637.2M $
258Illumina Inc 58,5947.2M $
259BWX Technologies Inc 35,0377.2M $
260General Motors Co 96,1347.2M $
261Powell Industries Inc 13,1527.1M $
262German American Bancorp Inc 170,2097.1M $
263Everpure Inc 120,2047.1M $
264Axsome Therapeutics Inc 41,9367.1M $
265Gaming and Leisure Properties Inc 158,8657M $
266Enterprise Financial Services Corp 129,1037M $
267Kinder Morgan, Inc. 208,2017M $
268Ventas Inc 85,2377M $
269TransDigm Group Inc 5,9956.9M $
270Elevance Health Inc 23,5446.9M $
271Air Products and Chemicals Inc 23,6786.9M $
272Nextpower Inc 56,8996.9M $
273Norfolk Southern Corp 23,8936.9M $
274Entegris Inc 58,2506.8M $
275KKR & Co Inc 73,0146.8M $
276Sempra 69,4106.7M $
277Exponent Inc 103,2776.7M $
278Travelers Cos Inc/The 23,0006.7M $
279WisdomTree Inc 459,9896.7M $
280NIKE Inc 126,7106.7M $
281Moog Inc 22,7356.7M $
282Chesapeake Utilities Corp 52,5396.6M $
283H2O America 112,5556.6M $
284Alcoa Corp 99,2416.6M $
285Datadog Inc 55,6666.6M $
286Kratos Defense & Security Solutions, Inc. 91,6436.5M $
287PACCAR Inc 55,8996.5M $
288Simon Property Group Inc 34,5906.5M $
289Concentra Group Holdings Parent Inc 299,0566.4M $
290Innospec Inc 87,4636.4M $
291LeMaitre Vascular Inc 58,3356.4M $
292Ralph Lauren Corp 18,4536.3M $
293CareTrust REIT Inc 172,8896.3M $
294Madrigal Pharmaceuticals Inc 12,0696.3M $
295ITT Inc 32,9576.3M $
296Sabra Health Care REIT Inc 325,6136.3M $
297Monster Beverage Corp 85,6496.2M $
298Guidewire Software Inc 41,3966.2M $
299Truist Financial Corp 134,2886.2M $
300Martin Marietta Materials Inc 10,4216.1M $