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Mutual of America Capital Management LLC

All holdings · as of Dec 31, 2025

1,362 positions

CompanyClassValueShares% of portfolio
Global Net Lease, Inc.$193.8K22,5340.0%
Sunstone Hotel Investors, Inc.$194.0K21,7050.0%
TripAdvisor, Inc.$194.6K13,3620.0%
FMC CORP$198.0K14,2780.0%
FIRST COMMONWEALTH FINANCIAL CORP /PA$199.3K11,8210.0%
Northwest Bancshares, Inc.$200.4K16,6980.0%
Chemours Co$202.0K17,1320.0%
PAR PACIFIC HOLDINGS, INC.$202.2K5,7480.0%
Perdoceo Education Corp$202.7K6,9100.0%
Yelp Inc$202.9K6,6770.0%
Andersons, Inc.$204.2K3,8400.0%
Vishay Intertechnology Inc$204.5K14,1140.0%
WERNER ENTERPRISES INC$205.2K6,8380.0%
Pediatrix Medical Group Inc$205.8K9,6210.0%
OFG Bancorp$205.9K5,0240.0%
ALAMO GROUP INC$206.8K1,2320.0%
Iridium Communications Inc.$208.1K11,9720.0%
ICHOR HOLDINGS, LTD.$208.4K11,3060.0%
Knowles Corp$208.6K9,7320.0%
DiamondRock Hospitality Co$208.6K23,2820.0%
COMSTOCK RESOURCES INCCRKCommon Stock$209.6K9,0430.0%
Goosehead Insurance Inc$209.7K2,8470.0%
Douglas Emmett Inc$210.3K19,1400.0%
PROGRESS SOFTWARE CORP /MA$210.7K4,9040.0%
KAISER ALUMINUM CORP$210.8K1,8350.0%
Simply Good Foods Co$210.8K10,5000.0%
NETSCOUT SYSTEMS, INC.$212.1K7,8390.0%
EVERTEC, Inc.$212.7K7,3130.0%
Strategic Education Inc$213.0K2,6560.0%
Organon & Co.$213.0K29,7140.0%
LiveRamp Holdings, Inc.$213.7K7,2750.0%
HORACE MANN EDUCATORS CORP /DE$214.7K4,6500.0%
PENN Entertainment, Inc.$215.3K14,6000.0%
PHOTRONICS INC$215.8K6,7440.0%
Adeia Inc.$215.9K12,5160.0%
MINERALS TECHNOLOGIES INC$216.9K3,5580.0%
ARTIVION, INC.$217.3K4,7650.0%
Green Brick Partners, Inc.$218.4K3,4850.0%
Perrigo Company plc$218.9K15,7290.0%
Northwest Natural Holding Co$221.7K4,7440.0%
QuidelOrtho Corp$221.7K7,7640.0%
International Seaways, Inc.$224.7K4,6290.0%
POWER INTEGRATIONS INC$224.8K6,3250.0%
STEWART INFORMATION SERVICES CORP$225.0K3,2030.0%
Armour Residential REIT, Inc.$226.2K12,7890.0%
CoreCivic Inc$228.4K11,9530.0%
ENERPAC TOOL GROUP CORP$231.5K6,0550.0%
Crescent Energy Co$231.8K27,6310.0%
Arcus Biosciences, Inc.$232.5K9,7580.0%
United Natural Foods, Inc.$233.4K6,9320.0%
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