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
301Cintas Corp 36,1646.1M $
302Camden Property Trust 62,4196.1M $
303Reliance Inc 20,0376.1M $
304MSCI Inc 11,2576.1M $
305ONEOK Inc 66,9156M $
306Insmed Inc 36,8816M $
307Cytokinetics Inc 90,8796M $
308Realty Income Corp 97,8416M $
309DoorDash Inc 39,7546M $
310API Group Corp 147,0456M $
311AutoZone Inc 1,7626M $
312Somnigroup International Inc 80,4425.9M $
313Arcosa Inc 55,8545.9M $
314Arthur J Gallagher & Co 27,3335.9M $
315IQVIA Holdings Inc 34,6155.9M $
316Target Corp 48,1805.8M $
317Robinhood Markets Inc 84,0685.8M $
318Annaly Capital Management Inc 275,3035.8M $
319Ciena Corp 14,9805.8M $
320MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 25,8985.8M $
321Primerica Inc 22,8585.7M $
322Targa Resources Corp 22,8275.7M $
323Workiva Inc 95,9215.7M $
324WP Carey Inc 83,9825.7M $
325Airbnb Inc 45,0465.7M $
326Fastenal Co 122,1575.7M $
327ExlService Holdings Inc 185,8985.7M $
328Tapestry Inc 40,0145.6M $
329Terreno Realty Corp 91,9105.6M $
330Dominion Energy Inc 90,8095.6M $
331TALEN ENERGY CORP 17,5085.6M $
332Casella Waste Systems Inc 70,4205.6M $
333Addus HomeCare Corp 59,1985.5M $
334BioMarin Pharmaceutical Inc 98,0375.5M $
335Archer-Daniels-Midland Co 75,7905.5M $
336Jones Lang LaSalle Inc 18,0865.5M $
337Apollo Global Management Inc 49,3925.5M $
338Fortinet Inc 67,2245.5M $
339American Financial Group Inc/OH 42,9585.5M $
340Toll Brothers Inc 40,0865.5M $
341Aflac Inc 49,6565.4M $
342Autodesk Inc 22,5465.4M $
343Synaptics Inc 76,3125.3M $
344TransUnion 77,1485.3M $
345Lumentum Holdings Inc 7,5925.3M $
346Exelon Corp 108,7795.3M $
347Zoetis Inc 45,0285.3M $
348Cardinal Health, Inc. 25,1025.3M $
349Agilysys Inc 74,1455.3M $
350Lincoln Electric Holdings Inc 21,0875.3M $
351DT Midstream Inc 38,9635.2M $
352Dell Technologies Inc 31,6065.2M $
353Vericel Corp 161,1665.2M $
354New York Times Co/The 61,9175.2M $
355Keysight Technologies Inc 18,2415.2M $
356Becton Dickinson & Co 32,7385.1M $
357Reinsurance Group of America Inc 25,1825.1M $
358Okta Inc 64,9405.1M $
359WESCO International Inc 18,6425.1M $
360WW Grainger Inc 4,6535.1M $
361Neurocrine Biosciences Inc 38,4615.1M $
362Dick's Sporting Goods Inc 25,4455M $
363Xcel Energy Inc 62,9085M $
364Tarsus Pharmaceuticals Inc 71,1355M $
365Occidental Petroleum Corp 76,4835M $
366Omega Healthcare Investors Inc 113,2695M $
367Edwards Lifesciences Corp 61,9005M $
368Teradyne Inc 16,6554.9M $
369Penumbra Inc 15,0344.9M $
370BJ's Wholesale Club Holdings Inc 50,1444.9M $
371United Rentals Inc 6,7034.9M $
372Electronic Arts Inc 23,9514.9M $
373RPM International Inc 49,0814.9M $
374Watsco Inc 13,3834.9M $
375Hershey Co/The 23,4024.9M $
376Lattice Semiconductor Corp 52,4204.9M $
377Rayonier Inc 235,7374.9M $
378TD SYNNEX Corp 28,7344.8M $
379Five Below Inc 21,1374.8M $
380Carlyle Group Inc/The 99,4454.8M $
381Ford Motor Co 416,7294.8M $
382Hecla Mining Co 256,7984.8M $
383Antero Resources Corp 112,3224.8M $
384Regal Rexnord Corp 25,4464.8M $
385Coherent Corp 19,9394.7M $
386Carvana Co 15,0394.7M $
387Encompass Health Corp 48,7574.7M $
388Carrier Global Corp 83,5914.7M $
389Republic Services Inc 21,4074.7M $
390Qnity Electronics Inc 40,5704.7M $
391Equity LifeStyle Properties Inc 74,2824.6M $
392Ollie's Bargain Outlet Holdings Inc 50,3644.6M $
393Solstice Advanced Materials Inc 60,8354.6M $
394CACI International Inc 8,4644.6M $
395Delta Air Lines Inc 69,1104.6M $
396BlackLine Inc 124,0854.6M $
397Yum! Brands Inc 29,5274.6M $
398Elanco Animal Health Inc 190,4104.6M $
399Public Storage 16,8004.6M $
400TriCo Bancshares 95,6144.5M $