Welcome   Guest   [Login | Register] Sign in with Facebook Sign in with Google Sign in with Yahoo!
logoRelationalStocks.com
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 2020-08-06)
Company (links to holding history) Ticker Value On
2020-06-30
No of Shares % of portfolio
iShares MSCI EAFE ETF    (Equities) EFA 244,470,000 4,016,267 3.45%
Microsoft Corp    (Equities) MSFT 218,638,000 1,074,334 3.08%
Apple Inc    (Equities) AAPL 210,944,000 578,246 2.98%
Amazon.com, Inc.    (Equities) AMZN 156,762,000 56,822 2.21%
iShares Core MSCI EAFE ETF    (Equities) IEFA 118,519,000 2,073,460 1.67%
iShares iBoxx $ Investment Grade    (Equities) LQD 105,084,000 781,292 1.48%
Vanguard FTSE Developed Markets ETF    (Equities) VEA 83,589,000 2,154,910 1.18%
Facebook Inc.    (Equities) FB 73,357,000 323,058 1.03%
iShares MSCI EAFE Growth ETF    (Equities) EFG 59,025,000 710,200 0.83%
iShares MSCI EAFE Value ETF    (Equities) EFV 58,808,000 1,471,299 0.83%
Alphabet Inc.    (Equities) GOOGL 57,749,000 40,724 0.81%
Alphabet Inc.    (Equities) GOOG 56,123,000 39,702 0.79%
Johnson & Johnson    (Equities) JNJ 50,554,000 359,483 0.71%
Berkshire Hathaway, Inc.    (Equities) BRK/B 47,330,000 265,138 0.66%
Visa Inc.    (Equities) V 46,935,000 242,975 0.66%
Procter & Gamble Company    (Equities) PG 42,318,000 353,917 0.59%
Vanguard Intermediate-Term Cor    (Equities) VCIT 41,915,000 440,563 0.59%
JP Morgan Chase & Co    (Equities) JPM 41,352,000 439,633 0.58%
United Healthcare Corp.    (Equities) UNH 40,500,000 137,312 0.57%
Home Depot, Inc.    (Equities) HD 39,827,000 158,985 0.56%
Mastercard Inc    (Equities) MA 35,575,000 120,308 0.50%
iShares Core MSCI Emerging Mar    (Equities) IEMG 35,414,000 743,989 0.50%
Intel Corp    (Equities) INTC 34,556,000 577,577 0.48%
Vanguard FTSE Pacific ETF    (Equities) VPL 34,441,000 541,098 0.48%
NVIDIA Corporation    (Equities) NVDA 32,510,000 85,573 0.45%
Verizon Communications    (Equities) VZ 31,208,000 566,074 0.44%
AT&T Corp.    (Equities) T 30,813,000 1,019,269 0.43%
Disney (Walt) Co    (Equities) DIS 28,426,000 254,921 0.40%
Cisco Systems, Inc.    (Equities) CSCO 28,409,000 609,118 0.40%
Adobe Systems Inc    (Equities) ADBE 28,399,000 65,239 0.40%
Merck & Co Inc/NJ    (Equities) MRK 28,156,000 364,097 0.39%
PayPal Holdings Inc.    (Equities) PYPL 28,025,000 160,848 0.39%
NetFlix Inc    (Equities) NFLX 27,162,000 59,692 0.38%
BankAmerica Corp.    (Equities) BAC 27,057,000 1,139,262 0.38%
Comcast Corp. Cl A    (Equities) CMCSA 26,521,000 680,386 0.37%
PepsiCo Inc/NC    (Equities) PEP 26,471,000 200,147 0.37%
AbbVie Inc.    (Equities) ABBV 25,971,000 264,521 0.36%
Exxon Mobil Corp.    (Equities) XOM 25,877,000 578,638 0.36%
Pfizer Inc    (Equities) PFE 24,758,000 757,119 0.34%
Wal-Mart Stores Inc    (Equities) WMT 24,491,000 204,468 0.34%
Chevron Texaco Corp    (Equities) CVX 23,661,000 265,170 0.33%
Coca-Cola Co.    (Equities) KO 23,587,000 527,899 0.33%
Salesforce.com Inc    (Equities) CRM 22,888,000 122,179 0.32%
Abbott Laboratories    (Equities) ABT 21,937,000 239,930 0.30%
Vanguard FTSE Europe ETF    (Equities) VGK 21,391,000 425,013 0.30%
Lilly (Eli) & Co.    (Equities) LLY 20,491,000 124,806 0.28%
Thermo Fisher Scientific    (Equities) TMO 19,420,000 53,595 0.27%
Bristol-Myers Squibb Co.    (Equities) BMY 19,321,000 328,587 0.27%
Broadcom Inc.    (Equities) 19,104,000 60,529 0.26%
Amgen, Inc.    (Equities) AMGN 18,888,000 80,080 0.26%
McDonalds Corp    (Equities) MCD 18,767,000 101,735 0.26%
Accenture PLC    (Equities) 18,681,000 87,001 0.26%
Costco Companies    (Equities) COST 18,117,000 59,751 0.25%
NextEra Energy Inc.    (Equities) NEE 17,763,000 73,959 0.25%
American Tower Corp    (Equities) AMT 17,102,000 66,147 0.24%
iShares Core MSCI Europe ETF    (Equities) IEUR 16,783,000 392,488 0.23%
Medtronic PLC    (Equities) 16,774,000 182,928 0.23%
Nike, Inc    (Equities) NKE 16,609,000 169,397 0.23%
CitiGroup Inc    (Equities) C 15,972,000 312,561 0.22%
Texas Instruments, Inc.    (Equities) TXN 15,880,000 125,066 0.22%
Oracle Corp    (Equities) ORCL 15,805,000 285,967 0.22%
Union Pacific Corp.    (Equities) UNP 15,796,000 93,428 0.22%
Williams-Sonoma, Inc.    (Equities) WSM 15,361,000 187,303 0.21%
Linde PLC    (Equities) 15,262,000 71,953 0.21%
Danaher Corporation    (Equities) DHR 15,191,000 85,905 0.21%
Easterly Government Property    (Equities) 15,087,000 652,551 0.21%
Qualcomm, Inc.    (Equities) QCOM 15,060,000 165,110 0.21%
Medical Properties Trust    (Equities) MPW 15,047,000 800,354 0.21%
Honeywell International Inc    (Equities) HON 14,991,000 103,678 0.21%
Philip Morris International In    (Equities) PM 14,700,000 209,820 0.20%
Five Below Inc.    (Equities) FIVE 14,674,000 137,257 0.20%
IBM CORP    (Equities) IBM 14,628,000 121,125 0.20%
Gilead Sciences, Inc.    (Equities) GILD 14,626,000 190,100 0.20%
Marriott Vacations Worldwide Co.    (Equities) VAC 14,578,000 177,325 0.20%
Trex Co Inc.    (Equities) TWP 14,036,000 107,913 0.19%
Lowe's Companies, Inc.    (Equities) LOW 13,975,000 103,430 0.19%
Lockheed Martin Corp.    (Equities) LMT 13,556,000 37,149 0.19%
II-VI Inc.    (Equities) IIVI 13,406,000 283,899 0.18%
Boeing Co.    (Equities) BA 13,348,000 72,823 0.18%
Wells Fargo & Co.    (Equities) WFC 13,120,000 512,505 0.18%
LHC Group Inc.    (Equities) LHCG 12,987,000 74,499 0.18%
Teradyne Inc    (Equities) TER 12,938,000 153,096 0.18%
Selective Insurance Group Inc.    (Equities) SIGI 12,849,000 243,637 0.18%
Stock Yards Bancorp Inc.    (Equities) SYBT 12,830,000 319,146 0.18%
Essent Group Ltd.    (Equities) ESNT 12,608,000 347,608 0.17%
Fidelity National Information    (Equities) FIS 12,560,000 93,671 0.17%
CVS/Caremark Corp    (Equities) CVS 12,370,000 190,389 0.17%
Raytheon Technologies Corp.    (Equities) 12,356,000 200,521 0.17%
Minnesota Mining    (Equities) MMM 12,285,000 78,758 0.17%
Mueller Industries Inc    (Equities) MLI 12,167,000 457,743 0.17%
Generac Holdings Inc    (Equities) GNRC 12,051,000 98,835 0.17%
Five9 Inc.    (Equities) FIVN 11,945,000 107,937 0.16%
Cousins Properties Inc    (Equities) 11,824,000 396,368 0.16%
SYNNEX Corp.    (Equities) SNX 11,711,000 97,781 0.16%
Starbucks Corp.    (Equities) SBUX 11,708,000 159,103 0.16%
FactSet Research Systems, Inc.    (Equities) FDS 11,625,000 35,391 0.16%
BlackRock Inc    (Equities) BLK 11,508,000 21,150 0.16%
Miller Industries Inc.    (Equities) MLR 11,411,000 383,303 0.16%
Fair, Isaac and Company, Inc.    (Equities) FIC 11,256,000 26,926 0.15%
Quidel Corp    (Equities) QDEL 11,232,000 50,200 0.15%
Etsy Inc.    (Equities) ETSY 11,215,000 105,571 0.15%
Lumentum Holdings Inc.    (Equities) 11,172,000 137,203 0.15%
Prologis Inc.    (Equities) PLD 11,156,000 119,530 0.15%
Catalent Inc.    (Equities) CTLT 11,111,000 151,586 0.15%
S&P Global Inc.    (Equities) SPGI 10,877,000 33,013 0.15%
Masimo Corp    (Equities) MASI 10,814,000 47,430 0.15%
Newmont Mining Corp.    (Equities) NEM 10,683,000 173,033 0.15%
United Parcel Service    (Equities) UPS 10,636,000 95,666 0.15%
Charter Communications Inc.    (Equities) CHTR 10,596,000 20,775 0.14%
Intuit, Inc.    (Equities) INTU 10,504,000 35,463 0.14%
Emergent Biosolutions Inc.    (Equities) EBS 10,462,000 132,300 0.14%
ServiceNow Inc.    (Equities) NOW 10,450,000 25,798 0.14%
CIGNA Corp    (Equities) 10,359,000 55,206 0.14%
Becton Dickinson & Co.    (Equities) BDX 10,297,000 43,034 0.14%
Thor Industries Inc.    (Equities) THO 10,191,000 95,666 0.14%
Vertex Pharmaceutical    (Equities) VRTX 10,170,000 35,031 0.14%
Pool Corp.    (Equities) POOL 10,018,000 36,850 0.14%
Trimble Navigation Ltd    (Equities) TRMB 9,980,000 231,072 0.14%
Equinix Inc    (Equities) EQIX 9,952,000 14,171 0.14%
Mondelez International Inc.    (Equities) MDLZ 9,911,000 193,833 0.14%
Altria Group Inc    (Equities) MO 9,894,000 252,079 0.13%
Humana, Inc.    (Equities) HUM 9,878,000 25,475 0.13%
Target Corporation    (Equities) TGT 9,869,000 82,288 0.13%
Molina Healthcare Inc.    (Equities) MOH 9,703,000 54,520 0.13%
Monolithic Power Systems Inc    (Equities) MPWR 9,691,000 40,890 0.13%
Morgan Stanley Dean Witter    (Equities) MS 9,644,000 199,661 0.13%
Repligen Corp.    (Equities) RGEN 9,644,000 78,018 0.13%
Cognex Corp    (Equities) CGNX 9,504,000 159,138 0.13%
Brown & Brown Inc.    (Equities) BRO 9,490,000 232,830 0.13%
Crown Castle International Corp.    (Equities) CCI 9,487,000 56,690 0.13%
Caterpillar, Inc.    (Equities) CAT 9,424,000 74,496 0.13%
Bio-Techne Corp.    (Equities) TECH 9,415,000 35,653 0.13%
HealthEquity Inc.    (Equities) HQY 9,385,000 159,964 0.13%
EMCOR Group Inc.    (Equities) EME 9,334,000 141,125 0.13%
iShares Core MSCI Pacific ETF    (Equities) IPAC 9,310,000 176,651 0.13%
Dominion Resources, Inc.    (Equities) D 9,302,000 114,589 0.13%
Zoetis Inc.    (Equities) ZTS 9,265,000 67,610 0.13%
SailPoint Technologies Holding    (Equities) 9,227,000 348,568 0.13%
Axon Enterprise Inc.    (Equities) 9,204,000 93,799 0.13%
Supernus Pharmaceuticals Inc.    (Equities) SUPN 9,080,000 382,296 0.12%
Nordson Corp.    (Equities) NDSN 9,039,000 47,649 0.12%
Intuitive Surgical Inc    (Equities) ISRG 9,030,000 15,847 0.12%
RPM International Inc.    (Equities) RPM 9,000,000 119,903 0.12%
TJX Companies    (Equities) TJX 9,000,000 177,998 0.12%
Primerica Inc.    (Equities) PRI 8,984,000 77,052 0.12%
Silicon Laboratories Inc    (Equities) SLAB 8,968,000 89,442 0.12%
Anthem Inc    (Equities) ANTM 8,921,000 33,921 0.12%
Bloomin' Brands Inc.    (Equities) BLMN 8,910,000 835,857 0.12%
Rapid7 Inc.    (Equities) 8,852,000 173,508 0.12%
Booking Holdings Inc.    (Equities) 8,807,000 5,531 0.12%
BJ's Wholesale Club Holdings Inc.    (Equities) 8,786,000 235,739 0.12%
Automatic Data Processing, Inc    (Equities) ADP 8,757,000 58,816 0.12%
MKS Instruments Inc.    (Equities) MKSI 8,719,000 76,995 0.12%
Camden Properties Trust    (Equities) CPT 8,703,000 95,407 0.12%
Cable One Inc.    (Equities) CABO 8,693,000 4,898 0.12%
Essential Utilities Inc.    (Equities) 8,640,000 204,556 0.12%
PTC Inc.    (Equities) PMTC 8,626,000 110,892 0.12%
Highwoods Properties    (Equities) HIW 8,621,000 230,935 0.12%
American Express    (Equities) AXP 8,572,000 90,045 0.12%
PBF Energy Inc.    (Equities) PBF 8,512,000 831,237 0.12%
Regeneron Pharmaceuticals Inc    (Equities) REGN 8,447,000 13,544 0.11%
Ciena Corp.    (Equities) CIEN 8,446,000 155,946 0.11%
Colgate-Palmolive Co.    (Equities) CL 8,446,000 115,289 0.11%
Micron Technology, Inc.    (Equities) MU 8,430,000 163,630 0.11%
Lam Research Corp.    (Equities) LRCX 8,377,000 25,898 0.11%
Goldman Sachs Group Inc.    (Equities) GS 8,375,000 42,377 0.11%
IDACORP, Inc.    (Equities) IDA 8,344,000 95,503 0.11%
Advanced Micro Devices Inc    (Equities) AMD 8,330,000 158,342 0.11%
IntercontinentalExchange Group    (Equities) ICE 8,314,000 90,761 0.11%
Hill-Rom Holdings Inc    (Equities) HRC 8,240,000 75,060 0.11%
Fiserv, Inc.    (Equities) FISV 8,229,000 84,299 0.11%
Lennox International Inc.    (Equities) LII 8,220,000 35,280 0.11%
General Electric Co.    (Equities) GE 8,143,000 1,192,309 0.11%
Woodward Governor Co    (Equities) WGOV 8,125,000 104,772 0.11%
Progressive Corp. of Ohio    (Equities) PGR 8,119,000 101,345 0.11%
T-Mobile US Inc.    (Equities) TMUS 8,083,000 77,611 0.11%
Lithia Motors Inc    (Equities) LAD 8,066,000 53,304 0.11%
Global Payments Inc    (Equities) GPN 8,051,000 47,463 0.11%
Charles River Laboratories Inc    (Equities) CRL 8,022,000 46,013 0.11%
Duke Energy Corp.    (Equities) DUK 8,012,000 100,285 0.11%
Activision Blizzard Inc    (Equities) ATVI 8,011,000 105,546 0.11%
Maximus Inc.    (Equities) MMS 8,006,000 113,645 0.11%
Valvoline Inc.    (Equities) VVV 7,984,000 413,034 0.11%
CME Group Inc    (Equities) CME 7,979,000 49,087 0.11%
Cabot Microelectronics Corp    (Equities) CCMP 7,964,000 57,073 0.11%
RenaissanceRe Holdings Ltd.    (Equities) RNR 7,927,000 46,349 0.11%
Stryker Corp    (Equities) SYK 7,925,000 43,983 0.11%
CyrusOne Inc.    (Equities) CONE 7,846,000 107,852 0.11%
Simpson Manufacturing Co    (Equities) SSD 7,815,000 92,639 0.11%
Chubb Ltd.    (Equities) ACE 7,802,000 61,617 0.11%
EastGroup Properties Inc    (Equities) EGP 7,789,000 65,667 0.11%
PNM Resources Inc    (Equities) PNM 7,742,000 201,405 0.10%
TreeHouse Foods Inc    (Equities) THS 7,721,000 176,283 0.10%
Black Hills Corp.    (Equities) BKH 7,653,000 135,062 0.10%
Northrop Grumman Corp.    (Equities) NOC 7,511,000 24,430 0.10%
Graco Inc    (Equities) GGG 7,511,000 156,521 0.10%
Royal Gold Inc    (Equities) RGLD 7,485,000 60,207 0.10%
Applied Materials, Inc.    (Equities) AMAT 7,475,000 123,651 0.10%
Southern Company    (Equities) SO 7,470,000 144,061 0.10%
Marsh & McLennan Cos., Inc.    (Equities) MMC 7,466,000 69,539 0.10%
1 2 3 4 5 6 7 8 9 Next >Full Portfolio View
Total Value As 2020-06-30: 7,077,127,000 SEC FILING
* Portfolios do not reflect changes after reporting
LATEST NEWS OR LINKS >Contribute a new link
Investing Just Like
MUTUAL OF AMERICA CAPITAL MANAGEMENT

Matching performance of MUTUAL OF AMERICA CAPITAL MANAGEMENT by investing same stocks.

Get the number of shares each stock for investing:





MAJOR GURUS:
Warren Buffett
John Paulson
George Soros

*Data and information is provided for informational purposes only, and is not intended for trading purposes.*
*By accessing the Relationalstocks.com web site, a user agrees that RelationalStocks.com shall be not liable for any errors or delays in the content.*