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Institutional Investment Manager
MUTUAL OF AMERICA CAPITAL MANAGEMENT LLC
MUTUAL OF AMERICA CAPITAL MANAGEMENT LLC (CIK: 0000922127), located at 320 Park Avenue, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q3)
Portfolio Summary: 1,218 holdings with a total value of $4,980,317,000.
#
Name
Shares
Value ($)
%
Options
Notes
1151 LOGMEIN INC 115,577 10,447,000 0.21%
1152 Allergan Plc 45,838 10,557,000 0.21%
1153 BRISTOL MYERS SQUIBB CO 196,777 10,610,000 0.21%
1154 STARBUCKS CORP 196,762 10,653,000 0.21%
1155 BOEING CO 83,791 11,039,000 0.22%
1156 CVS HEALTH CORP 124,221 11,054,000 0.22%
1157 ISHARES TR 89,620 11,132,000 0.22%
1158 HIGHWOODS PPTYS INC 216,229 11,270,000 0.23%
1159 MCDONALDS CORP 98,923 11,412,000 0.23%
1160 MASTERCARD INCORPORATED 112,761 11,476,000 0.23%
1161 PROOFPOINT INC 161,759 12,108,000 0.24%
1162 SUPERNUS PHARMACEUTICALS INC 492,274 12,174,000 0.24%
1163 ORBITAL ATK INC 161,270 12,294,000 0.25%
1164 3M CO 70,287 12,387,000 0.25%
1165 SELECT COMFORT CORP 580,593 12,541,000 0.25%
1166 WAL-MART STORES INC 178,083 12,843,000 0.26%
1167 CAVIUM INC 228,670 13,309,000 0.27%
1168 VANGUARD INTL EQUITY INDEX F 220,480 13,357,000 0.27%
1169 QUALCOMM INC 198,059 13,567,000 0.27%
1170 MUELLER INDS INC COM 427,230 13,851,000 0.28%
1171 ABBVIE INC 219,924 13,871,000 0.28%
1172 Medtronic PLC 160,728 13,887,000 0.28%
1173 GILEAD SCIENCES INC 178,314 14,108,000 0.28%
1174 SVB FINANCIAL GROUP 127,775 14,124,000 0.28%
1175 ALTRIA GROUP INC 224,230 14,178,000 0.28%
1176 ASTRONICS CORP 315,756 14,225,000 0.29%
1177 SCHLUMBERGER LTD 187,842 14,772,000 0.30%
1178 CITIGROUPINC 337,159 15,924,000 0.32%
1179 DISNEY WALT CO 172,186 15,989,000 0.32%
1180 AZZ INC 245,075 15,996,000 0.32%
1181 INTERNATIONAL BUSINESS MACHS 102,000 16,203,000 0.33%
1182 ORACLE CORP 413,365 16,237,000 0.33%
1183 ISHARES CORE MSCI EUROPE ETF 393,284 16,270,000 0.33%
1184 AMGEN INC 102,474 17,094,000 0.34%
1185 CST BRANDS INC 360,142 17,319,000 0.35%
1186 PHILIP MORRIS INTL INC 178,811 17,384,000 0.35%
1187 UNITEDHEALTH GROUP INC 127,946 17,912,000 0.36%
1188 VISA INC 221,189 18,292,000 0.37%
1189 HOME DEPOT INC 143,476 18,462,000 0.37%
1190 COMCAST CORP NEW 279,197 18,522,000 0.37%
1191 BANK AMER CORP 1,184,498 18,537,000 0.37%
1192 COCA COLA CO 456,071 19,301,000 0.39%
1193 PEPSICO INC 189,729 20,637,000 0.41%
1194 VANGUARD INTL EQUITY INDEX F 424,630 20,692,000 0.42%
1195 CISCO SYS INC 672,214 21,323,000 0.43%
1196 MERCK & CO INC 354,349 22,115,000 0.44%
1197 WELLS FARGO & CO NEW 528,817 23,416,000 0.47%
1198 INTEL CORP 631,315 23,832,000 0.48%
1199 CHEVRON CORP NEW 245,694 25,287,000 0.51%
1200 ALPHABET INC 34,557 26,861,000 0.54%
Page 24 of 25

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000950123-16-020993, filed 2016.11.01).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.