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MUTUAL OF AMERICA CAPITAL MANAGEMENT LLC

Q2 2026 13F filing

Updated 30 days ago

1,451 disclosed positions worth $10.3B

Portfolio value
$10.3B
Total holdings
1,451
New positions
0
Closed positions
0
Increased
0
Decreased
0
Turnover
Filed
2026-08-11

Full holdings

Every line item disclosed in Q2 2026

N

NVIDIA CORPORATION

Value
$524.7M
Shares
2.62M
% Port
5.11%
A

APPLE INC

Value
$459.3M
Shares
1.59M
% Port
4.47%
M

MICROSOFT CORP

Value
$301.4M
Shares
807.9K
% Port
2.93%
A

AMAZON COM INC

Value
$245.9M
Shares
1.03M
% Port
2.39%
G

ALPHABET INC

Value
$232.4M
Shares
650.4K
% Port
2.26%
A

BROADCOM INC

Value
$198M
Shares
524.2K
% Port
1.93%
G

ALPHABET INC

Value
$172.7M
Shares
488.9K
% Port
1.68%
B
8.BLK

ISHARES TR

Value
$149.2M
Shares
1.37M
% Port
1.45%
M
9.MU

MICRON TECHNOLOGY INC

Value
$138.9M
Shares
120.3K
% Port
1.35%
M
10.META

META PLATFORMS INC

Value
$128.4M
Shares
228.0K
% Port
1.25%
T
11.TSLA

TESLA INC

Value
$123.3M
Shares
293.1K
% Port
1.20%
L
12.LLY

ELI LILLY & CO

Value
$102.9M
Shares
85.8K
% Port
1.00%
J

JPMORGAN CHASE & CO

Value
$99.2M
Shares
303.2K
% Port
0.97%
A
14.AMD

ADVANCED MICRO DEVICES INC

Value
$98.3M
Shares
169.3K
% Port
0.96%
B

BERKSHIRE HATHAWAY INC DEL

Value
$94.5M
Shares
188.9K
% Port
0.92%
J
16.JNJ

JOHNSON & JOHNSON

Value
$69.6M
Shares
274.1K
% Port
0.68%
I
17.INTC

INTEL CORP

Value
$67.5M
Shares
483.5K
% Port
0.66%
V
18.V

VISA INC

Value
$64.9M
Shares
189.1K
% Port
0.63%
A
19.AMAT

APPLIED MATLS INC

Value
$61.6M
Shares
85.2K
% Port
0.60%
X
20.XOM

EXXON MOBIL CORP

Value
$58.4M
Shares
427.2K
% Port
0.57%
C
21.CAT

CATERPILLAR INC

Value
$57.5M
Shares
54.0K
% Port
0.56%
L
22.LRCX

LAM RESEARCH CORP

Value
$53.1M
Shares
122.5K
% Port
0.52%
W
23.WMT

WALMART INC

Value
$52.7M
Shares
465.6K
% Port
0.51%
A
24.ABBV

ABBVIE INC

Value
$50.7M
Shares
201.4K
% Port
0.49%
C
25.CSCO

CISCO SYS INC

Value
$47.8M
Shares
407.0K
% Port
0.47%
M
26.MA

MASTERCARD INCORPORATED

Value
$47M
Shares
91.5K
% Port
0.46%
G
27.GE

GE AEROSPACE

Value
$44M
Shares
117.8K
% Port
0.43%
C
28.COST

COSTCO WHOLESALE CORPORATION

Value
$43.5M
Shares
46.5K
% Port
0.42%
K
29.KLAC

KLA CORP

Value
$42.3M
Shares
140.3K
% Port
0.41%
S
30.SNDK

SANDISK CORP

Value
$39.4M
Shares
17.3K
% Port
0.38%
U
31.UNH

UNITEDHEALTH GROUP INC

Value
$38.8M
Shares
93.4K
% Port
0.38%
B

---

Value
$38.4M
Shares
673.9K
% Port
0.37%
A
33.APH

AMPHENOL CORP

Value
$38M
Shares
215.6K
% Port
0.37%
H
34.HD

HOME DEPOT INC

Value
$37.2M
Shares
105.4K
% Port
0.36%
G
35.GEV

GE VERNOVA INC

Value
$36.5M
Shares
31.1K
% Port
0.36%
P
36.PG

PROCTER & GAMBLE CO

Value
$35.2M
Shares
240.1K
% Port
0.34%
G

GOLDMAN SACHS GROUP INC

Value
$34.2M
Shares
33.9K
% Port
0.33%
P
38.PANW

PALO ALTO NETWORKS INC

Value
$34M
Shares
99.6K
% Port
0.33%
P
39.PM

PHILIP MORRIS INTL INC

Value
$33.6M
Shares
186.0K
% Port
0.33%
C
40.CVX

CHEVRON CORPORATION

Value
$33M
Shares
199.0K
% Port
0.32%
M
41.MRK

MERCK & CO INC

Value
$32.6M
Shares
254.1K
% Port
0.32%
K
42.KO

COCA COLA CO

Value
$32.4M
Shares
398.6K
% Port
0.32%
E
43.ETHA

ISHARES INC

Value
$31.3M
Shares
378.3K
% Port
0.31%
N
44.NFLX

NETFLIX INC.

Value
$31.1M
Shares
435.1K
% Port
0.30%
M

MORGAN STANLEY

Value
$30.5M
Shares
145.7K
% Port
0.30%
O
46.ONTO

ONTO INNOVATION INC

Value
$30.3M
Shares
80.2K
% Port
0.30%
A
47.AIT

APPLIED INDL TECHNOLOGIES IN

Value
$30.3M
Shares
89.7K
% Port
0.30%
V
48.VGES

VANGUARD INTL EQUITY INDEX F

Value
$30.3M
Shares
507.7K
% Port
0.29%
E
49.ETHA

ISHARES INC

Value
$29.6M
Shares
289.2K
% Port
0.29%
C
50.C-PR

CITIGROUP INC

Value
$29.5M
Shares
211.0K
% Port
0.29%