C000214145 Holdings — Mutual of America VIP Mid-Cap Value Portfolio

All 82 reported holdings of Mutual of America VIP Mid-Cap Value Portfolio (C000214145) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Ameriprise Financial, Inc.3.08%$125.36K
Crown Holdings, Inc.2.69%$109.67K
Ashland, Inc.2.62%$106.72K
Univar Solutions, Inc.2.55%$103.72K
Crane Holdings Co.2.42%$98.40K
Baker Hughes Co.2.41%$98.15K
Mueller Industries, Inc.2.40%$97.80K
Euronet Worldwide, Inc.2.33%$95.00K
Evergy, Inc.2.22%$90.34K
Dxc Technology Co.2.19%$89.20K
Treehouse Foods, Inc.2.11%$86.13K
American Financial Group, Inc.2.09%$85.17K
Zimmer Biomet Holdings, Inc.1.87%$76.36K
Marriott Vacations World1.84%$75.12K
Agilent Technologies, Inc.1.83%$74.43K
Clean Harbors, Inc.1.74%$70.99K
Public Service Enterprise Gp1.69%$69.01K
Devon Energy Corp.1.65%$67.36K
Jacobs Solutions, Inc.1.63%$66.39K
Builders Firstsource, Inc.1.61%$65.61K
Ameren Corporation1.57%$64.10K
Cheniere Energy, Inc.1.57%$63.83K
Teledyne Technologies, Inc.1.54%$62.63K
Everest Re Group Ltd.1.47%$59.79K
Kbr, Inc.1.45%$59.07K
Packaging Corp. Of America1.36%$55.53K
Capri Holdings Ltd.1.29%$52.73K
Envista Holdings Corp.1.29%$52.37K
Weyerhaeuser Co.1.27%$51.91K
Boston Beer Company, Inc.-A1.19%$48.65K
Ciena Corp.1.19%$48.37K
L3harris Technologies, Inc.1.19%$48.28K
Carlisle Cos, Inc.1.16%$47.25K
Entergy Corp.1.15%$46.76K
Fifth Third Bancorp1.15%$46.70K
Steel Dynamics, Inc.1.14%$46.35K
Taylor Morrison Home Corp.1.05%$42.81K
Aes Corp.1.00%$40.72K
Take-Two Interactive Softwre1.00%$40.68K
Hess Corp.1.00%$40.63K
Gaming And Leisure Propertie1.00%$40.61K
Reinsurance Group Of Am Cl A0.98%$40.09K
Constellation Brands, Inc.-A0.98%$39.98K
Dover Corp.0.98%$39.96K
Hartford Financial Svcs Grp0.98%$39.72K
Welltower, Inc.0.96%$39.00K
Teradyne, Inc.0.94%$38.27K
Alaska Air Group, Inc.0.91%$37.13K
Ptc, Inc.0.90%$36.67K
Centene Corp.0.89%$36.22K
Oshkosh Corp.0.89%$36.18K
Avalonbay Communities, Inc.0.87%$35.63K
Voya Financial, Inc.0.83%$33.87K
Atmos Energy Corp.0.83%$33.82K
Discover Financial Services0.82%$33.51K
Humana, Inc.0.81%$33.01K
Ppl Corp.0.79%$32.32K
Keycorp0.78%$31.85K
Williams Cos, Inc.0.77%$31.35K
Ollie's Bargain Outlet Holdi0.72%$29.49K
Warner Bros Discovery, Inc.0.71%$28.92K
Mplx LP0.70%$28.63K
Newmont Corp.0.69%$28.24K
Burlington Stores, Inc.0.69%$28.09K
Stanley Black & Decker, Inc.0.68%$27.88K
Fmc Corp.0.67%$27.48K
Mks Instruments, Inc.0.66%$27.03K
Apartment Income REIT Co.0.66%$26.96K
Old Dominion Freight Line0.65%$26.59K
Freeport-Mcmoran, Inc.0.64%$25.90K
Viasat, Inc.0.63%$25.65K
Syneos Health, Inc.0.63%$25.50K
Starwood Property Trust, Inc.0.60%$24.55K
Ppg Industries, Inc.0.53%$21.77K
Synchrony Financial0.52%$21.02K
Williams-Sonoma, Inc.0.47%$19.22K
M & T Bank Corp.0.47%$19.13K
Hanesbrands, Inc.0.43%$17.33K
Kilroy Realty Corp.0.27%$10.95K
Brandywine Realty Trust0.26%$10.63K
Alexander's, Inc.0.22%$9.11K
Steven Madden Ltd.0.16%$6.52K

C000214145 overview: performance, fees, allocation and SEC filings