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STOCK TICKER:

MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

MUTUAL OF AMERICA CAPITAL MANAGEMENT LLC INSTITUTION : MUTUAL OF AMERICA CAPITAL MANAGEMENT LLC
MUTUAL OF AMERICA CAPITAL MANAGEMENT LLC Portfolio (reported on 2020-05-11)
Company (links to holding history) Ticker Value On
2020-03-31
No of Shares % of portfolio
iShares MSCI EAFE ETF    (Equities) EFA 213,585,000 3,995,232 3.57%
Microsoft Corp    (Equities) MSFT 191,152,000 1,212,046 3.19%
Apple Inc    (Equities) AAPL 169,160,000 665,224 2.83%
Amazon.com, Inc.    (Equities) AMZN 110,693,000 56,774 1.85%
iShares Core MSCI EAFE ETF    (Equities) IEFA 100,042,000 2,005,250 1.67%
Vanguard FTSE Developed Markets ETF    (Equities) VEA 71,075,000 2,131,820 1.18%
Facebook Inc.    (Equities) FB 54,707,000 327,982 0.91%
iShares MSCI EAFE Growth ETF    (Equities) EFG 49,478,000 695,800 0.82%
Berkshire Hathaway, Inc.    (Equities) BRK/B 48,750,000 266,643 0.81%
Alphabet Inc.    (Equities) GOOGL 47,459,000 40,844 0.79%
Alphabet Inc.    (Equities) GOOG 47,375,000 40,742 0.79%
JP Morgan Chase & Co    (Equities) JPM 47,199,000 524,254 0.78%
Johnson & Johnson    (Equities) JNJ 47,047,000 358,781 0.78%
Visa Inc.    (Equities) V 46,813,000 290,549 0.78%
Procter & Gamble Company    (Equities) PG 45,426,000 412,960 0.76%
iShares MSCI EAFE Value ETF    (Equities) EFV 44,525,000 1,247,549 0.74%
United Healthcare Corp.    (Equities) UNH 42,221,000 169,305 0.70%
Intel Corp    (Equities) INTC 37,790,000 698,266 0.63%
Home Depot, Inc.    (Equities) HD 36,779,000 196,985 0.61%
Merck & Co Inc/NJ    (Equities) MRK 32,736,000 425,477 0.54%
Verizon Communications    (Equities) VZ 30,297,000 563,878 0.50%
Comcast Corp. Cl A    (Equities) CMCSA 30,062,000 874,409 0.50%
BankAmerica Corp.    (Equities) BAC 29,553,000 1,392,038 0.49%
Mastercard Inc    (Equities) MA 29,229,000 121,002 0.48%
PepsiCo Inc/NC    (Equities) PEP 29,203,000 243,155 0.48%
AT&T Corp.    (Equities) T 29,028,000 995,820 0.48%
Disney (Walt) Co    (Equities) DIS 29,005,000 300,257 0.48%
iShares Core MSCI Emerging Mar    (Equities) IEMG 28,261,000 698,314 0.47%
NVIDIA Corporation    (Equities) NVDA 27,467,000 104,200 0.45%
Pfizer Inc    (Equities) PFE 24,621,000 754,330 0.41%
NextEra Energy Inc.    (Equities) NEE 23,646,000 98,270 0.39%
Coca-Cola Co.    (Equities) KO 23,266,000 525,781 0.38%
AbbVie Inc.    (Equities) ABBV 23,072,000 302,822 0.38%
Medtronic PLC    (Equities) 22,754,000 252,321 0.38%
Cisco Systems, Inc.    (Equities) CSCO 22,731,000 578,248 0.38%
NetFlix Inc    (Equities) NFLX 22,436,000 59,749 0.37%
Chevron Texaco Corp    (Equities) CVX 22,232,000 306,822 0.37%
Wal-Mart Stores Inc    (Equities) WMT 21,984,000 193,486 0.36%
Exxon Mobil Corp.    (Equities) XOM 21,898,000 576,715 0.36%
Lilly (Eli) & Co.    (Equities) LLY 21,444,000 154,586 0.35%
Gilead Sciences, Inc.    (Equities) GILD 21,115,000 282,432 0.35%
Adobe Systems Inc    (Equities) ADBE 20,996,000 65,974 0.35%
Bristol-Myers Squibb Co.    (Equities) BMY 20,993,000 376,628 0.35%
Abbott Laboratories    (Equities) ABT 19,016,000 240,982 0.31%
Broadcom Inc.    (Equities) 18,924,000 79,813 0.31%
Easterly Government Property    (Equities) 18,879,000 766,178 0.31%
American Tower Corp    (Equities) AMT 18,814,000 86,402 0.31%
Vanguard FTSE Europe ETF    (Equities) VGK 18,411,000 425,403 0.30%
Salesforce.com Inc    (Equities) CRM 17,408,000 120,905 0.29%
Costco Companies    (Equities) COST 17,181,000 60,255 0.28%
Lockheed Martin Corp.    (Equities) LMT 17,179,000 50,684 0.28%
CitiGroup Inc    (Equities) C 17,085,000 405,629 0.28%
Fidelity National Information    (Equities) FIS 17,046,000 140,138 0.28%
Honeywell International Inc    (Equities) HON 16,977,000 126,894 0.28%
McDonalds Corp    (Equities) MCD 16,976,000 102,666 0.28%
Amgen, Inc.    (Equities) AMGN 16,420,000 80,996 0.27%
Thermo Fisher Scientific    (Equities) TMO 15,503,000 54,664 0.25%
PayPal Holdings Inc.    (Equities) PYPL 15,324,000 160,054 0.25%
Philip Morris International In    (Equities) PM 15,295,000 209,629 0.25%
Wells Fargo & Co.    (Equities) WFC 15,058,000 524,661 0.25%
iShares Core MSCI Europe ETF    (Equities) IEUR 14,573,000 393,013 0.24%
Oracle Corp    (Equities) ORCL 14,271,000 295,284 0.23%
Accenture PLC    (Equities) 14,130,000 86,550 0.23%
Nike, Inc    (Equities) NKE 14,050,000 169,814 0.23%
Medical Properties Trust    (Equities) MPW 13,731,000 794,147 0.22%
IBM CORP    (Equities) IBM 13,389,000 120,701 0.22%
Union Pacific Corp.    (Equities) UNP 13,355,000 94,692 0.22%
Trex Co Inc.    (Equities) TWP 12,937,000 161,430 0.21%
Prologis Inc.    (Equities) PLD 12,759,000 158,755 0.21%
Texas Instruments, Inc.    (Equities) TXN 12,732,000 127,406 0.21%
Linde PLC    (Equities) 12,668,000 73,223 0.21%
Equinix Inc    (Equities) EQIX 12,618,000 20,203 0.21%
CIGNA Corp    (Equities) 12,589,000 71,053 0.21%
Generac Holdings Inc    (Equities) GNRC 12,541,000 134,601 0.20%
Target Corporation    (Equities) TGT 12,455,000 133,967 0.20%
Selective Insurance Group Inc.    (Equities) SIGI 12,271,000 246,897 0.20%
Humana, Inc.    (Equities) HUM 12,268,000 39,067 0.20%
Lumentum Holdings Inc.    (Equities) 12,225,000 165,871 0.20%
Vanguard FTSE Pacific ETF    (Equities) VPL 12,199,000 221,153 0.20%
Newmont Mining Corp.    (Equities) NEM 12,173,000 268,829 0.20%
Danaher Corporation    (Equities) DHR 12,061,000 87,140 0.20%
IntercontinentalExchange Group    (Equities) ICE 11,745,000 145,450 0.19%
Domino's Pizza Inc    (Equities) DPZ 11,702,000 36,111 0.19%
Masimo Corp    (Equities) MASI 11,577,000 65,363 0.19%
Becton Dickinson & Co.    (Equities) BDX 11,373,000 49,497 0.19%
Five9 Inc.    (Equities) FIVN 11,099,000 145,165 0.18%
Mueller Industries Inc    (Equities) MLI 11,033,000 460,847 0.18%
Miller Industries Inc.    (Equities) MLR 10,979,000 388,239 0.18%
Northrop Grumman Corp.    (Equities) NOC 10,966,000 36,246 0.18%
Tyler Technologies Inc.    (Equities) TYL 10,754,000 36,262 0.17%
Boeing Co.    (Equities) BA 10,743,000 72,033 0.17%
Minnesota Mining    (Equities) MMM 10,711,000 78,461 0.17%
Morgan Stanley Dean Witter    (Equities) MS 10,681,000 314,155 0.17%
Starbucks Corp.    (Equities) SBUX 10,583,000 160,976 0.17%
Qualcomm, Inc.    (Equities) QCOM 10,526,000 155,591 0.17%
CVS/Caremark Corp    (Equities) CVS 10,523,000 177,364 0.17%
West Pharmaceutical Services I    (Equities) WST 10,484,000 68,861 0.17%
Five Below Inc.    (Equities) FIVE 10,359,000 147,187 0.17%
Teledyne Technologies Inc    (Equities) TDY 10,314,000 34,695 0.17%
United Tech Corp    (Equities) UTX 10,310,000 109,296 0.17%
Repligen Corp.    (Equities) RGEN 10,269,000 106,375 0.17%
Marriott Vacations Worldwide Co.    (Equities) VAC 10,136,000 182,373 0.16%
Mondelez International Inc.    (Equities) MDLZ 9,839,000 196,460 0.16%
Altria Group Inc    (Equities) MO 9,733,000 251,704 0.16%
Lam Research Corp.    (Equities) LRCX 9,668,000 40,282 0.16%
TJX Companies    (Equities) TJX 9,631,000 201,440 0.16%
General Electric Co.    (Equities) GE 9,454,000 1,190,706 0.15%
Charter Communications Inc.    (Equities) CHTR 9,325,000 21,373 0.15%
Stock Yards Bancorp Inc.    (Equities) SYBT 9,306,000 321,690 0.15%
FactSet Research Systems, Inc.    (Equities) FDS 9,205,000 35,312 0.15%
HP Inc.    (Equities) HPQ 9,077,000 522,892 0.15%
Constellation Brands Inc.    (Equities) STZ 9,000,000 62,779 0.15%
Lowe's Companies, Inc.    (Equities) LOW 8,990,000 104,470 0.15%
United Parcel Service    (Equities) UPS 8,934,000 95,636 0.14%
Cousins Properties Inc    (Equities) 8,927,000 304,979 0.14%
HCA Holdings Inc.    (Equities) HCA 8,883,000 98,868 0.14%
Caterpillar, Inc.    (Equities) CAT 8,751,000 75,410 0.14%
Black Hills Corp.    (Equities) BKH 8,669,000 135,383 0.14%
Motorola Solutions Inc.    (Equities) MSI 8,583,000 64,575 0.14%
HealthEquity Inc.    (Equities) HQY 8,545,000 168,911 0.14%
CME Group Inc    (Equities) CME 8,449,000 48,862 0.14%
Teradyne Inc    (Equities) TER 8,443,000 155,858 0.14%
II-VI Inc.    (Equities) IIVI 8,424,000 295,596 0.14%
IDACORP, Inc.    (Equities) IDA 8,384,000 95,501 0.14%
Royal Gold Inc    (Equities) RGLD 8,374,000 95,475 0.14%
Brown & Brown Inc.    (Equities) BRO 8,349,000 230,499 0.13%
Vertex Pharmaceutical    (Equities) VRTX 8,343,000 35,063 0.13%
Fair, Isaac and Company, Inc.    (Equities) FIC 8,292,000 26,948 0.13%
Molina Healthcare Inc.    (Equities) MOH 8,260,000 59,119 0.13%
Emergent Biosolutions Inc.    (Equities) EBS 8,222,000 142,093 0.13%
L3Harris Technologies Inc.    (Equities) 8,207,000 45,563 0.13%
iShares Core MSCI Pacific ETF    (Equities) IPAC 8,197,000 176,811 0.13%
Highwoods Properties    (Equities) HIW 8,189,000 231,208 0.13%
Crown Castle International Corp.    (Equities) CCI 8,183,000 56,668 0.13%
Essential Utilities Inc.    (Equities) 8,176,000 200,891 0.13%
Intuit, Inc.    (Equities) INTU 8,162,000 35,486 0.13%
S&P Global Inc.    (Equities) SPGI 8,162,000 33,309 0.13%
Cypress Semiconductor Corp.    (Equities) CY 8,133,000 348,738 0.13%
Dominion Resources, Inc.    (Equities) D 8,098,000 112,172 0.13%
Eaton Corp PLC    (Equities) 8,075,000 103,945 0.13%
Fiserv, Inc.    (Equities) FISV 8,067,000 84,921 0.13%
Automatic Data Processing, Inc    (Equities) ADP 8,062,000 58,984 0.13%
Duke Energy Corp.    (Equities) DUK 8,035,000 99,344 0.13%
Allergan plc    (Equities) 7,926,000 44,756 0.13%
Zoetis Inc.    (Equities) ZTS 7,923,000 67,320 0.13%
Sempra Energy    (Equities) SRE 7,850,000 69,473 0.13%
Anthem Inc    (Equities) ANTM 7,844,000 34,549 0.13%
American Express    (Equities) AXP 7,830,000 91,460 0.13%
Terreno Realty Corp.    (Equities) TRNO 7,812,000 150,956 0.13%
Intuitive Surgical Inc    (Equities) ISRG 7,800,000 15,750 0.13%
PNM Resources Inc    (Equities) PNM 7,785,000 204,862 0.13%
Biogen Idec Inc    (Equities) BIIB 7,784,000 24,604 0.13%
Colgate-Palmolive Co.    (Equities) CL 7,764,000 116,997 0.12%
Southern Company    (Equities) SO 7,739,000 142,952 0.12%
EMCOR Group Inc.    (Equities) EME 7,726,000 125,998 0.12%
Cable One Inc.    (Equities) CABO 7,686,000 4,675 0.12%
Booking Holdings Inc.    (Equities) 7,676,000 5,706 0.12%
Teladoc Health Inc.    (Equities) 7,669,000 49,476 0.12%
Hill-Rom Holdings Inc    (Equities) HRC 7,641,000 75,955 0.12%
Graco Inc    (Equities) GGG 7,561,000 155,169 0.12%
Ross Stores, Inc.    (Equities) ROST 7,498,000 86,218 0.12%
Camden Properties Trust    (Equities) CPT 7,488,000 94,501 0.12%
Advanced Micro Devices Inc    (Equities) AMD 7,483,000 164,531 0.12%
Catalent Inc.    (Equities) CTLT 7,474,000 143,872 0.12%
Progressive Corp. of Ohio    (Equities) PGR 7,451,000 100,902 0.12%
Allegheny Corp.    (Equities) Y 7,400,000 13,397 0.12%
Trimble Navigation Ltd    (Equities) TRMB 7,384,000 231,976 0.12%
ServiceNow Inc.    (Equities) NOW 7,365,000 25,698 0.12%
Williams-Sonoma, Inc.    (Equities) WSM 7,350,000 172,867 0.12%
Pool Corp.    (Equities) POOL 7,325,000 37,227 0.12%
Stryker Corp    (Equities) SYK 7,306,000 43,884 0.12%
Spire Inc.    (Equities) 7,299,000 97,998 0.12%
LHC Group Inc.    (Equities) LHCG 7,282,000 51,938 0.12%
SYNNEX Corp.    (Equities) SNX 7,220,000 98,768 0.12%
Axon Enterprise Inc.    (Equities) 7,212,000 101,913 0.12%
JBG SMITH Properties    (Equities) 7,200,000 226,200 0.12%
RPM International Inc.    (Equities) RPM 7,183,000 120,730 0.12%
Mercury Systems Inc.    (Equities) MRCY 7,171,000 100,519 0.12%
Primerica Inc.    (Equities) PRI 7,160,000 80,921 0.11%
Carlisle Companies, Inc    (Equities) CSL 7,139,000 56,986 0.11%
BlackRock Inc    (Equities) BLK 7,073,000 16,076 0.11%
BIO-RAD LABORATORIES INC    (Equities) BIO 7,045,000 20,096 0.11%
Kilroy Realty Corp.    (Equities) KRC 7,016,000 110,139 0.11%
Chemed Corp.    (Equities) CHE 6,915,000 15,963 0.11%
Chubb Ltd.    (Equities) ACE 6,901,000 61,786 0.11%
ConocoPhillips    (Equities) COP 6,892,000 223,780 0.11%
Maximus Inc.    (Equities) MMS 6,865,000 117,949 0.11%
Best Buy Co., Inc.    (Equities) BBY 6,849,000 120,163 0.11%
Northwestern Corp    (Equities) NWE 6,821,000 113,999 0.11%
PTC Inc.    (Equities) PMTC 6,764,000 110,509 0.11%
Global Payments Inc    (Equities) GPN 6,763,000 46,892 0.11%
Haemonetics Corp.    (Equities) HAE 6,749,000 67,723 0.11%
Bio-Techne Corp.    (Equities) TECH 6,723,000 35,456 0.11%
Goldman Sachs Group Inc.    (Equities) GS 6,715,000 43,439 0.11%
Cognex Corp    (Equities) CGNX 6,712,000 158,972 0.11%
US Bancorp    (Equities) USB 6,675,000 193,754 0.11%
Service Corp. International    (Equities) SCI 6,650,000 170,045 0.11%
Science Applications International    (Equities) SAIC 6,649,000 89,097 0.11%
Rapid7 Inc.    (Equities) 6,612,000 152,603 0.11%
Silicon Laboratories Inc    (Equities) SLAB 6,604,000 77,317 0.11%
1 2 3 4 5 6 7 8 9 Next >Full Portfolio View
Total Value As 2020-03-31: 5,975,101,000 SEC FILING
* Portfolios do not reflect changes after reporting
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MAJOR GURUS:
Warren Buffett
John Paulson
George Soros

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