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
901Federal Realty Investment Trust 8,349886.7K $
902Primoris Services Corp 6,183884.4K $
903Viavi Solutions Inc 26,480881.3K $
904Argan Inc 1,588864.9K $
905Mosaic Co/The 33,755860.8K $
906FormFactor Inc 8,871860.4K $
907Jackson Financial Inc 8,104856.8K $
908Skyworks Solutions Inc 15,992856.4K $
909FactSet Research Systems Inc 3,945856K $
910Match Group Inc 27,016829.7K $
911RH INC 5,901825.1K $
912Celanese Corp 12,532824.2K $
913Choice Hotels International Inc 7,920819.7K $
914Semtech Corp 10,590814.3K $
915BXP Inc 15,683813.9K $
916Armstrong World Industries Inc 4,936813.5K $
917Sanmina Corp 6,249810.1K $
918SM Energy Co 25,904807.7K $
919Park Hotels & Resorts Inc 76,605806.7K $
920Conagra Brands Inc 50,900800.1K $
921Fox Corp 15,054799.4K $
922EPAM Systems Inc 5,875795.5K $
923A O Smith Corp 11,961788.7K $
924Henry Schein Inc 10,674786.7K $
925Molina Healthcare Inc 5,894785.7K $
926Air Lease Corp 12,052782.7K $
927Molson Coors Beverage Co 18,014775.7K $
928Franklin Resources Inc 32,682771.9K $
929Alexandria Real Estate Equities, Inc. 16,559768.7K $
930Crane NXT Co 18,924768.1K $
931Zurn Elkay Water Solutions Corp 16,989761.8K $
932JBT Marel Corp 5,948760.6K $
933MGM Resorts International 20,371753.9K $
934Lumen Technologies Inc 107,985750.5K $
935Qorvo Inc 9,654747.2K $
936Goodyear Tire & Rubber Co/The 109,696727.3K $
937BellRing Brands Inc 44,942723.1K $
938Viasat Inc 15,545712K $
939Brinker International Inc 4,984711.6K $
940Protagonist Therapeutics Inc 6,725708.8K $
941Sealed Air Corp 16,854708.7K $
942Glaukos Corp 6,573707.6K $
943Pool Corp 3,487705.5K $
944Hormel Foods Corp 31,021702.6K $
945MarketAxess Holdings Inc 4,254701.8K $
946Archrock Inc 20,069698.4K $
947Everus Construction Group Inc 5,837689.1K $
948Lincoln National Corp 19,346686.8K $
949Paycom Software Inc 5,592679.7K $
950Boston Beer Co Inc/The 2,948679.2K $
951Erie Indemnity Co 2,702679K $
952CarMax Inc 16,227674.7K $
953Madison Square Garden Sports Corp 2,057661.1K $
954Flowers Foods Inc 80,928659.6K $
955Magnolia Oil & Gas Corp 20,700653.5K $
956StoneX Group Inc 8,016646.5K $
957BrightSpring Health Services Inc 15,149645.5K $
958Greif Inc 9,486636.2K $
959Balchem Corp 3,706628.1K $
960PTC Therapeutics Inc 9,188626K $
961California Resources Corp 8,992622.4K $
962Plexus Corp 3,065620.8K $
963Pilgrim's Pride Corp 16,386618.7K $
964Caesars Entertainment Inc 23,358617.4K $
965Versant Media Group Inc 16,637615.9K $
966Core Natural Resources Inc 5,864614.1K $
967Lyft Inc 45,560605.9K $
968Teleflex Inc 5,058605K $
969Rithm Capital Corp 63,615603.1K $
970Granite Construction Inc 4,978596.8K $
971Piper Sandler Cos 7,736592.2K $
972Mohawk Industries Inc 5,943585.1K $
973Matson Inc 3,568584.9K $
974Atlantic Union Bankshares Corp 16,225579.9K $
975Ameris Bancorp 7,349573.1K $
976Enphase Energy Inc 14,976566.2K $
977Etsy Inc 11,296564.6K $
978Warrior Met Coal Inc 6,016560.4K $
979Kodiak Gas Services Inc 9,512554.7K $
980Macerich Co/The 29,310554K $
981Axos Financial Inc 6,486551.9K $
982DaVita Inc 3,562547.4K $
983Ralliant Corp 12,910536.9K $
984HA Sustainable Infrastructure Capital Inc 14,608536.8K $
985Laureate Education Inc 15,347534.7K $
986Liberty Energy Inc 18,545534.1K $
987Columbia Sportswear Co 9,706532K $
988Resideo Technologies Inc 15,763531.4K $
989Blackbaud Inc 13,718529.7K $
990Mirion Technologies Inc 27,999520.5K $
991TG Therapeutics Inc 15,560516.9K $
992Badger Meter Inc 3,373513.9K $
993Radian Group Inc 15,505512.9K $
994Boot Barn Holdings Inc 3,481509.5K $
995MYR Group Inc 1,776501.4K $
996Millrose Properties Inc 17,645494.1K $
997Mueller Water Products Inc 17,897492K $
998Clear Secure Inc 10,147491.2K $
999CSW Industrials Inc 1,885491.2K $
1,000AAR Corp 4,467489K $