C000214168 Holdings — Mutual of America VIP Small-Cap Value Portfolio

All 86 reported holdings of Mutual of America VIP Small-Cap Value Portfolio (C000214168) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Mueller Industries, Inc.4.30%$406.27K
Treehouse Foods, Inc.3.19%$302.13K
Championx Corp.2.50%$236.09K
Enpro Industries, Inc.2.39%$226.17K
Miller Industries Inc/tenn2.38%$224.83K
Pdc Energy, Inc.2.24%$211.99K
Tegna, Inc.2.19%$207.20K
Vse Corp.2.01%$190.33K
Taylor Morrison Home Corp.2.00%$189.65K
Ufp Industries, Inc.1.98%$187.39K
Bloomin' Brands, Inc.1.97%$186.40K
Selective Insurance Group1.93%$182.94K
Sonic Automotive, Inc.-Class A1.90%$179.59K
Marriott Vacations World1.78%$168.44K
Supernus Pharmaceuticals, Inc.1.77%$167.42K
Eastern Bankshares, Inc.1.76%$166.56K
Potlatchdeltic Corp.1.66%$156.96K
Banner Corporation1.59%$150.50K
Enterprise Financial Service1.58%$149.69K
Kbr, Inc.1.58%$149.35K
Arcosa, Inc.1.55%$146.54K
Essent Group Ltd.1.53%$144.98K
First Interstate Bancsys-A1.52%$144.04K
Kaiser Aluminum Corp.1.52%$143.89K
Eqt Corp.1.49%$141.07K
Materion Corp.1.42%$133.98K
Hancock Whitney Corp.1.38%$130.86K
Icf International, Inc.1.38%$130.21K
Home Bancshares, Inc.1.37%$129.15K
Black Hills Corp.1.36%$128.60K
Nextgen Healthcare, Inc.1.32%$125.26K
Deluxe Corp.1.27%$120.42K
Stock Yards Bancorp, Inc.1.26%$119.60K
Werner Enterprises, Inc.1.25%$117.77K
Ovintiv, Inc.1.23%$116.75K
Builders Firstsource, Inc.1.22%$115.59K
Ellington Financial, Inc.1.07%$101.68K
Capri Holdings Ltd.1.07%$101.28K
Golden Entertainment, Inc.1.05%$99.77K
Portland General Electric Co.1.02%$96.31K
Brookline Bancorp, Inc.1.01%$95.19K
Avista Corp.1.00%$94.66K
Green Dot Corp.-Class A0.96%$91.00K
Northwestern Corp.0.94%$89.16K
Encore Wire Corp.0.92%$87.48K
Sabra Health Care REIT, Inc.0.92%$87.33K
Umb Financial Corp.0.90%$85.54K
Trico Bancshares0.90%$85.43K
Equity Commonwealth0.88%$83.01K
Crimson Wine Group Ltd.0.87%$82.59K
American Equity Invt Life Hl0.84%$79.04K
Spire, Inc.0.82%$77.50K
Avient Corp.0.80%$76.06K
Echostar Corp.-A0.80%$75.37K
Easterly Government Properti0.79%$75.09K
Lexington Realty Trust REIT0.74%$70.26K
Adeia, Inc.0.70%$66.43K
Zuora, Inc. - Class A0.69%$65.35K
Apartment Invt & Mgmt Co. -A0.66%$62.17K
Steven Madden Ltd.0.65%$61.45K
Cohu, Inc.0.64%$60.92K
Syneos Health, Inc.0.64%$60.45K
Coherent Corp.0.62%$58.49K
Cousins Properties, Inc.0.60%$56.91K
Viasat, Inc.0.59%$56.24K
Orthofix Medical, Inc.0.55%$52.28K
Vericel Corp.0.54%$51.25K
Argo Group International0.54%$51.08K
Stifel Financial Corp.0.54%$50.94K
Moelis & Co. - Class A0.53%$49.93K
Highwoods Properties, Inc.0.52%$48.95K
Maxlinear, Inc.-Class A0.52%$48.73K
Digi International, Inc.0.50%$47.76K
Dime Community Bancshares In0.50%$47.58K
Biocryst Pharmaceuticals, Inc.0.41%$38.70K
Cto Realty Growth, Inc.0.40%$37.58K
Ducommun, Inc.0.39%$36.66K
Bank Of Marin Bancorp/ca0.35%$33.43K
Xperi, Inc.0.35%$32.79K
Emergent Biosolutions, Inc.0.27%$25.82K
Alexander's, Inc.0.25%$23.64K
Nanostring Technologies, Inc.0.24%$22.59K
Hannon Armstrong Sustainable0.24%$22.57K
Stepan Co.0.20%$18.85K
Ttm Technologies0.16%$14.97K
Sequans Communications-ADR0.06%$6.05K

C000214168 overview: performance, fees, allocation and SEC filings