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
601Maplebear Inc 70,4252.6M $
602Silicon Laboratories Inc 12,6302.6M $
603Steel Dynamics Inc 14,5992.6M $
604Bloom Energy Corp 19,3522.6M $
605Jefferies Financial Group Inc 63,3672.6M $
606Cincinnati Financial Corp 16,5962.6M $
607Ormat Technologies Inc 23,2932.6M $
608Prosperity Bancshares Inc 38,7212.6M $
609NOV Inc 138,1162.6M $
610ON Semiconductor Corp 41,9042.6M $
611Fidelity National Information Services Inc 55,0832.6M $
612Commerce Bancshares Inc/MO 52,5172.6M $
613Dexcom Inc 41,0532.6M $
614Terex Corp 43,5722.6M $
615Riot Platforms Inc 208,0732.6M $
616NVR Inc 3902.6M $
617Live Nation Entertainment Inc 16,7912.6M $
618Paylocity Holding Corp 23,6992.6M $
619PPG Industries Inc 23,8632.6M $
620UL Solutions Inc 29,6072.5M $
621Brown & Brown Inc 38,7672.5M $
622CMS Energy Corp 32,5852.5M $
623Omnicom Group Inc 33,4772.5M $
624Synchrony Financial 36,9742.5M $
625LEGEND BIOTECH CORP 138,0462.5M $
626MP Materials Corp 51,6182.5M $
627IRhythm Holdings Inc 21,0972.5M $
628Chewy Inc 91,4072.5M $
629Dutch Bros Inc 48,6812.5M $
630Ulta Beauty Inc 4,7172.5M $
631Voya Financial Inc 36,0222.5M $
632AvalonBay Communities, Inc. 15,0602.5M $
633EnerSys 14,1222.5M $
634Timken Co/The 24,2912.4M $
635OrthoPediatrics Corp 153,1232.4M $
636Albertsons Cos Inc 141,8012.4M $
637Regions Financial Corp 92,3292.4M $
638PulteGroup Inc 20,4322.4M $
639Darden Restaurants Inc 12,2442.4M $
640Ares Management Corp 21,9132.4M $
641Planet Fitness Inc 31,8002.4M $
642Labcorp Holdings Inc 8,8432.4M $
643First American Financial Corp 39,0512.4M $
644Middleby Corp/The 17,7582.4M $
645Lear Corp 19,4402.4M $
646Hexcel Corp 29,0762.4M $
647Hanover Insurance Group Inc/The 13,5662.4M $
648Church & Dwight Co Inc 25,1302.3M $
649GATX Corp 13,6812.3M $
650Corebridge Financial Inc 97,8362.3M $
651I3 Verticals Inc 103,9052.3M $
652Lithia Motors Inc 9,2932.3M $
653Williams-Sonoma Inc 12,6962.3M $
654Annexon Inc 416,6982.3M $
655Equifax Inc 12,8092.3M $
656Quest Diagnostics Inc 11,7332.3M $
657Starwood Property Trust Inc 133,4042.3M $
658MSA Safety Inc 13,9672.3M $
659FNB Corp/PA 136,9272.3M $
660Eagle Materials Inc 12,0452.3M $
661Churchill Downs Inc 25,3862.3M $
662Hyatt Hotels Corp 15,8412.3M $
663GXO Logistics Inc 43,8832.3M $
664Portland General Electric Co 43,1082.3M $
665Healthcare Realty Trust Inc 133,6882.3M $
666Insulet Corp 10,7482.3M $
667Valley National Bancorp 183,4462.3M $
668First Solar Inc 11,4112.3M $
669Albemarle Corp 12,5312.2M $
670Constellation Brands Inc 14,9432.2M $
671Cooper Cos Inc/The 31,3312.2M $
672AeroVironment Inc 12,1902.2M $
673Humana Inc 12,8632.2M $
674United Bankshares Inc/WV 53,4792.2M $
675MGIC Investment Corp 84,0662.2M $
676Glacier Bancorp Inc 49,3102.2M $
677TXNM Energy Inc 37,5662.2M $
678Cheniere Energy Inc 7,7112.2M $
679VeriSign Inc 8,7772.2M $
680Celsius Holdings Inc 61,2492.2M $
681Dianthus Therapeutics Inc 25,8752.2M $
682Equity Residential 36,5672.2M $
683Dollar Tree Inc 19,6772.2M $
684CF Industries Holdings Inc 16,5872.2M $
685AAON Inc 25,9332.1M $
686VF Corp 125,9502.1M $
687Southwest Gas Holdings Inc 24,6192.1M $
688Fox Corp 36,3752.1M $
689LPL Financial Holdings Inc 7,0572.1M $
690New Jersey Resources Corp 38,6462.1M $
691Murphy Oil Corp 51,4182.1M $
692Esab Corp 21,8692.1M $
693General Mills, Inc. 56,7742.1M $
694Ionis Pharmaceuticals Inc 28,1262.1M $
695Leidos Holdings Inc 13,5742.1M $
696Gap Inc/The 86,9432.1M $
697CNX Resources Corp 54,5592.1M $
698W R Berkley Corp 31,6922.1M $
699Floor & Decor Holdings Inc 41,2942.1M $
700T Rowe Price Group Inc 23,2512.1M $