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
1,001MDU Resources Group Inc 23,390484.6K $
1,002ACI Worldwide Inc 11,797483.8K $
1,003Moelis & Co 8,468482.7K $
1,004Brown-Forman Corp 18,180480.7K $
1,005Meritage Homes Corp 7,645472.8K $
1,006Apellis Pharmaceuticals Inc 11,728471.8K $
1,007Champion Homes Inc 6,329470.7K $
1,008OSI Systems Inc 1,772470.5K $
1,009Itron Inc 5,241469.8K $
1,010Life Time Group Holdings Inc 17,412469.1K $
1,011Merit Medical Systems Inc 6,785467.7K $
1,012HubSpot Inc 1,912466.7K $
1,013Campbell's Company/The 20,936466.6K $
1,014Rush Enterprises Inc 6,940458.8K $
1,015Amentum Holdings Inc 17,587458.7K $
1,016Peabody Energy Corp 13,916458.5K $
1,017Concentrix Corp 16,759458.5K $
1,018Covista Inc 3,949455.1K $
1,019Tri Pointe Homes Inc 9,668451.8K $
1,020Ligand Pharmaceuticals Inc 2,252449.6K $
1,021Tanger Inc 13,173447.6K $
1,022Group 1 Automotive Inc 1,350446.4K $
1,023RadNet Inc 7,971445.5K $
1,024Fulton Financial Corp 21,750442.4K $
1,025Outfront Media Inc 16,651441.3K $
1,026Frontdoor Inc 8,253436.3K $
1,027Indivior Pharmaceuticals Inc 14,288435.5K $
1,028PriceSmart Inc 2,889434.8K $
1,029Asbury Automotive Group Inc 2,225434.8K $
1,030United Community Banks Inc/GA 13,801434.6K $
1,031Dana Inc 12,852432.5K $
1,032Corcept Therapeutics Inc 10,714431.9K $
1,033Academy Sports & Outdoors Inc 7,631430.8K $
1,034Cavco Industries Inc 888430.1K $
1,035Patterson-UTI Energy Inc 39,529428.1K $
1,036AZZ Inc 3,417427.6K $
1,037Independent Bank Corp 5,674426.7K $
1,038Victoria's Secret & Co 9,186425.9K $
1,039Stride Inc 4,809424K $
1,040Patrick Industries Inc 3,808423K $
1,041SkyWest Inc 4,590421.5K $
1,042Otter Tail Corp 4,796420.9K $
1,043Sensient Technologies Corp 4,862420.3K $
1,044UniFirst Corp/MA 1,662418.1K $
1,045Helmerich & Payne Inc 11,427411.7K $
1,046Kontoor Brands Inc 5,853411.4K $
1,047Shake Shack Inc 4,607407.6K $
1,048BGC Group Inc 41,562406.5K $
1,049Cal-Maine Foods Inc 5,126405.7K $
1,050Brady Corp 4,994405.7K $
1,051Oceaneering International Inc 11,418405K $
1,052Franklin Electric Co Inc 4,381403.8K $
1,053StepStone Group Inc 8,438402.7K $
1,054Virtu Financial Inc 9,134401.7K $
1,055WSFS Financial Corp 6,112400.1K $
1,056Kadant Inc 1,348394.1K $
1,057Kulicke & Soffa Industries Inc 5,988393.5K $
1,058Renasant Corp 10,830391.3K $
1,059Urban Outfitters Inc 6,158390.1K $
1,060TransMedics Group Inc 3,911388.8K $
1,061Box Inc 16,391387.5K $
1,062Enova International Inc 2,829384.3K $
1,063Cathay General Bancorp 7,690383.4K $
1,064HB Fuller Co 6,215383.3K $
1,065BankUnited Inc 8,484383.1K $
1,066ADT Inc 58,145382K $
1,067Bread Financial Holdings Inc 5,047378K $
1,068Chemours Co/The 17,154377.9K $
1,069Clearway Energy Inc 9,582376.5K $
1,070Korn Ferry 5,973376K $
1,071Crescent Energy Co 27,809375.4K $
1,072Avista Corp 9,312373.8K $
1,073Cactus Inc 7,878373.2K $
1,074Genworth Financial Inc 45,705371.1K $
1,075News Corp 12,995370.5K $
1,076NCR Atleos Corp 8,458368.6K $
1,077Hawkins Inc 2,392367.4K $
1,078M/I Homes Inc 2,992366.4K $
1,079Life360 Inc 8,972366.2K $
1,080ICU Medical Inc 2,825364.8K $
1,081Palomar Holdings Inc 3,033362.4K $
1,082Advance Auto Parts Inc 6,869362.3K $
1,083WillScot Holdings Corp 20,822361.5K $
1,084Sunrun Inc 26,555360.1K $
1,085Diodes Inc 5,250358.4K $
1,086Sphere Entertainment Co 3,048357.8K $
1,087Century Aluminum Co 6,089357.4K $
1,088Victory Capital Holdings Inc 5,433355.8K $
1,089OPENLANE Inc 12,161354.5K $
1,090Community Financial System Inc 6,029353.6K $
1,091Standex International Corp 1,387353.5K $
1,092MARA Holdings Inc 43,279353.2K $
1,093Integer Holdings Corp 4,010352.9K $
1,094Par Pacific Holdings Inc 5,755350.7K $
1,095SolarEdge Technologies Inc 6,844349.4K $
1,096Blackstone Mortgage Trust Inc 18,152347.6K $
1,097First Hawaiian Inc 14,041346K $
1,098LCI Industries 2,769340.5K $
1,099Calix Inc 6,902338.1K $
1,100Bank of Hawaii Corp 4,553338.1K $