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N N N AMEREN CORPORATION XRZQ5S7HYJFPHJ78L959 AMEREN CORPORATION 0.00000000 023608102 30450.00000000 NS USD 2437522.50000000 0.077675192032 Long EC CORP US N 1 N N N CHURCH & DWIGHT CO INC POOXSI30AWAQGYJZC921 CHURCH & DWIGHT CO INC 0.00000000 171340102 30551.00000000 NS USD 2298657.24000000 0.073250048988 Long EC CORP US N 1 N N N PNC FINANCIAL SERVICES GROUP CFGNEKW0P8842LEUIA51 PNC FINANCIAL SERVICES GROUP 0.00000000 693475105 55072.00000000 NS USD 7718891.52000000 0.245973680693 Long EC CORP US N 1 N N N INTUIT INC VI90HBPH7XSFMB9E4M29 INTUIT INC 0.00000000 461202103 32229.00000000 NS USD 8570980.26000000 0.273126725027 Long EC CORP US N 1 N N N COSTCO WHOLESALE CORP 29DX7H14B9S6O3FD6V18 COSTCO WHOLESALE CORP 0.00000000 22160K105 54379.00000000 NS USD 15667133.69000000 0.499255952704 Long EC CORP US N 1 N N N CONAGRA BRANDS INC 54930035UDEIH090K650 CONAGRA BRANDS INC 0.00000000 205887102 60148.00000000 NS USD 1845340.64000000 0.058804457631 Long EC CORP US N 1 N N N VENTAS INC ORQTRC074CWLT3DKHT41 VENTAS INC 0.00000000 92276F100 46057.00000000 NS USD 3363542.71000000 0.107184169955 Long RE CORP US N 1 N N N GENERAL ELECTRIC CO 3C7474T6CDKPR9K6YT90 GENERAL ELECTRIC CO 0.00000000 369604103 1078576.00000000 NS USD 9642469.44000000 0.307271282797 Long EC CORP US N 1 N N N LOEWS CORP R8V1FN4M5ITGZOG7BS19 LOEWS CORP 0.00000000 540424108 32168.00000000 NS USD 1656008.64000000 0.052771118674 Long EC CORP US N 1 N N N HESS CORP UASVRYNXNK17ULIGK870 HESS CORP 0.00000000 42809H107 31953.00000000 NS USD 1932517.44000000 0.061582472883 Long EC CORP US N 1 N N N MOTOROLA SOLUTIONS INC 6S552MUG6KGJVEBSEC55 MOTOROLA SOLUTIONS INC 0.00000000 620076307 20496.00000000 NS USD 3492723.36000000 0.111300698847 Long EC CORP US N 1 N N N CENTURYLINK INC 8M3THTGWLTYZVE6BBY25 CENTURYLINK INC 0.00000000 156700106 121337.00000000 NS USD 1514285.76000000 0.048254913421 Long EC CORP US N 1 N N N AUTODESK INC FRKKVKAIQEF3FCSTPG55 AUTODESK INC 0.00000000 052769106 27239.00000000 NS USD 4023200.30000000 0.128205116420 Long EC CORP US N 1 N N N L3HARRIS TECHNOLOGIES INC 549300UTE50ZMDBG8A20 L3HARRIS TECHNOLOGIES INC 0.00000000 502431109 27591.00000000 NS USD 5756586.24000000 0.183441975057 Long EC CORP US N 1 N N N AFLAC INC 549300N0B7DOGLXWPP39 AFLAC INC 0.00000000 001055102 91704.00000000 NS USD 4797953.28000000 0.152893744525 Long EC CORP US N 1 N N N HILTON WORLDWIDE HLDGS 549300HVGPK36ICB0B89 HILTON WORLDWIDE HLDGS 0.00000000 43300A203 35513.00000000 NS USD 3306615.43000000 0.105370099559 Long EC CORP US N 1 N N N DOLLAR GENERAL CORP OPX52SQVOZI8IVSWYU66 DOLLAR GENERAL CORP 0.00000000 256677105 31802.00000000 NS USD 5054609.88000000 0.161072479569 Long EC CORP US N 1 N N N WYNN RESORTS LTD 254900CEKKWIHTEAB172 WYNN RESORTS LTD 0.00000000 983134107 12007.00000000 NS USD 1305401.04000000 0.041598498664 Long EC CORP US N 1 N N N PROCTER & GAMBLE CO/THE 2572IBTT8CCZW6AU4141 PROCTER & GAMBLE CO/THE 0.00000000 742718109 309106.00000000 NS USD 38446604.28000000 1.225156842845 Long EC CORP US N 1 N N N FORTINET INC 549300O0QJWDBAS0QX03 FORTINET INC 0.00000000 34959E109 17631.00000000 NS USD 1353355.56000000 0.043126639041 Long EC CORP US N 1 N N N ZIMMER BIOMET HOLDINGS INC 2P2YLDVPES3BXQ1FRB91 ZIMMER BIOMET HOLDINGS INC 0.00000000 98956P102 25384.00000000 NS USD 3484461.68000000 0.111037428423 Long EC CORP US N 1 N N N SOUTHERN CO/THE 549300FC3G3YU2FBZD92 SOUTHERN CO/THE 0.00000000 842587107 129214.00000000 NS USD 7981548.78000000 0.254343635476 Long EC CORP US N 1 N N N CONSTELLATION BRANDS INC-A 5493005GKEG8QCVY7037 CONSTELLATION BRANDS INC-A 0.00000000 21036P108 20673.00000000 NS USD 4285099.44000000 0.136550912609 Long EC CORP US N 1 N N N HEWLETT PACKARD ENTERPRIS 549300BX44RGX6ANDV88 HEWLETT PACKARD ENTERPRIS 0.00000000 42824C109 161499.00000000 NS USD 2449939.83000000 0.078070888274 Long EC CORP US N 1 N N N ALTRIA GROUP INC XSGZFLO9YTNO9VCQV219 ALTRIA GROUP INC 0.00000000 02209S103 230251.00000000 NS USD 9417265.90000000 0.300094845158 Long EC CORP US N 1 N N N THERMO FISHER SCIENTIFIC INC HCHV7422L5HDJZCRFL38 THERMO FISHER SCIENTIFIC INC 0.00000000 883556102 49662.00000000 NS USD 14465050.74000000 0.460949834922 Long EC CORP US N 1 N N N WALMART INC Y87794H0US1R65VBXU25 WALMART INC 0.00000000 931142103 175995.00000000 NS USD 20887086.60000000 0.665597327886 Long EC CORP US N 1 N N N CAMPBELL SOUP CO 5493007JDSMX8Z5Z1902 CAMPBELL SOUP CO 0.00000000 134429109 20871.00000000 NS USD 979267.32000000 0.031205774360 Long EC CORP US N 1 N N N IDEXX LABORATORIES INC OGMTXK0LUU1HKV2P0J84 IDEXX LABORATORIES INC 0.00000000 45168D104 10675.00000000 NS USD 2902852.75000000 0.092503615781 Long EC CORP US N 1 N N N CF INDUSTRIES HOLDINGS INC 529900CG8YAQFZ2JMV97 CF INDUSTRIES HOLDINGS INC 0.00000000 125269100 26995.00000000 NS USD 1328154.00000000 0.042323554756 Long EC CORP US N 1 N N N PVH CORP 123WALMHY1GZXG2YDL90 PVH CORP 0.00000000 693656100 9152.00000000 NS USD 807480.96000000 0.025731552685 Long EC CORP US N 1 N N N KELLOGG CO LONOZNOJYIBXOHXWDB86 KELLOGG CO 0.00000000 487836108 30830.00000000 NS USD 1983910.50000000 0.063220187326 Long EC CORP US N 1 N N N EATON CORP PLC 549300VDIGTMXUNT7H71 EATON CORP PLC 0.00000000 G29183103 51936.00000000 NS USD 4318478.40000000 0.137614581613 Long EC CORP IE N 1 N N N WW GRAINGER INC 549300TWZSP6O1IH2V34 WW GRAINGER INC 0.00000000 384802104 5480.00000000 NS USD 1628382.00000000 0.051890755696 Long EC CORP US N 1 N N N PULTE GROUP INC N/A PULTE GROUP INC 0.00000000 745867101 31987.00000000 NS USD 1169124.85000000 0.037255860093 Long EC CORP US N 1 N N N SKYWORKS SOLUTIONS INC 549300WZ3ORQ2BVKBD96 SKYWORKS SOLUTIONS INC 0.00000000 83088M102 21175.00000000 NS USD 1678118.75000000 0.053475689418 Long EC CORP US N 1 N N N CABOT OIL & GAS CORP FCNMH6O7VWU7LHXMK351 CABOT OIL & GAS CORP 0.00000000 127097103 51526.00000000 NS USD 905311.82000000 0.028849075021 Long EC CORP US N 1 N N N PERRIGO COMPANY PLC 549300IFOQS6R1QLY196 PERRIGO COMPANY PLC 0.00000000 G97822103 16777.00000000 NS USD 937666.53000000 0.029880104811 Long EC CORP IE N 1 N N N EQUITY RESIDENTIAL 5493008RACSH5EP3PI59 EQUITY RESIDENTIAL 0.00000000 29476L107 43128.00000000 NS USD 3720221.28000000 0.118550250235 Long RE CORP US N 1 N N N CENTERPOINT ENERGY INC 21TPXMRRHFKOBHDC8J74 CENTERPOINT ENERGY INC 0.00000000 15189T107 62162.00000000 NS USD 1876049.16000000 0.059783029188 Long EC CORP US N 1 N N N PRINCIPAL FINANCIAL GROUP CUMYEZJOAF02RYZ1JJ85 PRINCIPAL FINANCIAL GROUP 0.00000000 74251V102 32058.00000000 NS USD 1831794.12000000 0.058372778112 Long EC CORP US N 1 N N N HENRY SCHEIN INC VGO3WGL8H45T73F4RR92 HENRY SCHEIN INC 0.00000000 806407102 18353.00000000 NS USD 1165415.50000000 0.037137656272 Long EC CORP US N 1 N N N BIOGEN INC W8J5WZB5IY3K0NDQT671 BIOGEN INC 0.00000000 09062X103 22801.00000000 NS USD 5308528.82000000 0.169163975104 Long EC CORP US N 1 N N N CME GROUP INC LCZ7XYGSLJUHFXXNXD88 CME GROUP INC 0.00000000 12572Q105 44329.00000000 NS USD 9368490.86000000 0.298540557721 Long EC CORP US N 1 N N N MOHAWK INDUSTRIES INC 549300JI1115MG3Q6322 MOHAWK INDUSTRIES INC 0.00000000 608190104 7433.00000000 NS USD 922212.31000000 0.029387633662 Long EC CORP US N 1 N N N FISERV INC GI7UBEJLXYLGR2C7GV83 FISERV INC 0.00000000 337738108 70723.00000000 NS USD 7326195.57000000 0.233459854327 Long EC CORP US N 1 N N N 3M CO LUZQVYP4VS22CLWDAR65 3M CO 0.00000000 88579Y101 70871.00000000 NS USD 11651192.40000000 0.371282155173 Long EC CORP US N 1 N N N 2019-10-30 Mutual of America Investment Corp Christopher M. Miseo Christopher M. Miseo Senior Vice President and Chief Accounting Officer XXXX NPORT-EX 2 MOAInvCorpSOI2_wkxtz1tb.htm PORTFOLIO OF INVESTMENTS IN SECURITIES HTML

MUTUAL OF AMERICA INVESTMENT CORPORATION - EQUITY INDEX FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

     Shares      Value  

INDEXED ASSETS:

     

COMMON STOCKS:

     

COMMUNICATION SERVICES (10.1%)

     

Activision Blizzard, Inc.

     94,963        5,025,442  

Alphabet, Inc. Cl A*

     37,165        45,383,668  

Alphabet, Inc. Cl C*

     37,481        45,689,339  

AT&T, Inc.

     903,529        34,189,537  

CBS Corp. Cl B

     40,407        1,631,231  

CenturyLink, Inc.

     121,337        1,514,286  

Charter Communications, Inc. Cl A*

     20,035        8,256,824  

Comcast Corp. Cl A

     561,855        25,328,423  

Discovery, Inc. Cl A*

     19,610        522,214  

Discovery, Inc. Cl C*

     43,029        1,059,374  

DISH Network Corp. Cl A*

     29,864        1,017,467  

Electronic Arts, Inc.*

     36,386        3,559,278  

Facebook, Inc. Cl A*

     298,933        53,233,989  

Fox Corp. Cl A

     43,810        1,381,548  

Fox Corp. Cl B

     20,046        632,251  

Interpublic Group of Cos., Inc.

     47,914        1,033,026  

Netflix, Inc.*

     54,345        14,543,809  

News Corp. Cl A

     47,771        664,972  

News Corp. Cl B

     14,937        213,525  

Omnicom Group, Inc.

     26,908        2,106,896  

Take-Two Interactive Software, Inc.*

     14,025        1,757,893  

T-Mobile US, Inc.*

     39,274        3,093,613  

TripAdvisor, Inc.*

     13,048        504,697  

Twitter, Inc.*

     96,116        3,959,979  

Verizon Communications, Inc.

     511,639        30,882,530  

Viacom, Inc. Cl B

     43,755        1,051,433  

Walt Disney Co.

     223,152        29,081,169  
     

 

 

 
        317,318,413  
     

 

 

 

CONSUMER DISCRETIONARY (9.8%)

     

Advance Auto Parts, Inc.

     8,838        1,461,805  

Amazon.com, Inc.*

     51,275        89,008,785  

Aptiv PLC

     31,715        2,772,525  

AutoZone, Inc.*

     3,034        3,290,737  

Best Buy Co., Inc.

     28,667        1,977,736  

Booking Hldgs., Inc.*

     5,261        10,325,291  

BorgWarner, Inc.

     25,500        935,340  

Capri Hldgs. Ltd.*

     18,689        619,727  

CarMax, Inc.*

     20,459        1,800,392  

Carnival Corp.

     49,523        2,164,650  

Chipotle Mexican Grill, Inc. Cl A*

     3,162        2,657,566  

Darden Restaurants, Inc.

     15,230        1,800,491  

Dollar General Corp.

     31,802        5,054,610  

Dollar Tree, Inc.*

     29,174        3,330,504  

DR Horton, Inc.

     41,625        2,194,054  

eBay, Inc.

     97,758        3,810,607  

Expedia Group, Inc.

     17,297        2,324,890  

Ford Motor Co.

     483,333        4,427,330  

Gap, Inc.

     26,362        457,644  

Garmin Ltd.

     17,948        1,520,016  

General Motors Co.

     155,391        5,824,055  

Genuine Parts Co.

     18,069        1,799,492  

H&R Block, Inc.

     24,792        585,587  

Hanesbrands, Inc.

     44,560        682,659  

Harley-Davidson, Inc.

     19,414        698,322  


MUTUAL OF AMERICA INVESTMENT CORPORATION - EQUITY INDEX FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Hasbro, Inc.

     14,525        1,723,972  

Hilton Worldwide Hldgs., Inc.

     35,513        3,306,615  

Home Depot, Inc.

     135,582        31,457,736  

Kohl’s Corp.

     19,610        973,833  

L Brands, Inc.

     28,660        561,450  

Leggett & Platt, Inc.

     16,295        667,117  

Lennar Corp. Cl A

     35,195        1,965,641  

LKQ Corp.*

     38,003        1,195,194  

Lowe’s Cos., Inc.

     95,648        10,517,454  

Macy’s, Inc.

     38,058        591,421  

Marriott International, Inc. Cl A

     33,864        4,211,666  

McDonald’s Corp.

     94,108        20,205,929  

MGM Resorts International

     64,548        1,789,270  

Mohawk Industries, Inc.*

     7,433        922,212  

Newell Brands, Inc.

     47,177        883,153  

NIKE, Inc. Cl B

     155,142        14,570,937  

Nordstrom, Inc.

     13,140        442,424  

Norwegian Cruise Line Hldgs. Ltd.*

     26,665        1,380,447  

NVR, Inc.*

     427        1,587,308  

O’Reilly Automotive, Inc.*

     9,459        3,769,506  

PulteGroup, Inc.

     31,987        1,169,125  

PVH Corp.

     9,152        807,481  

Ralph Lauren Corp. Cl A

     6,384        609,480  

Ross Stores, Inc.

     45,139        4,958,519  

Royal Caribbean Cruises Ltd.

     21,228        2,299,629  

Starbucks Corp.

     148,497        13,130,105  

Tapestry, Inc.

     35,504        924,879  

Target Corp.

     63,297        6,767,082  

Tiffany & Co.

     13,425        1,243,558  

TJX Cos., Inc.

     149,423        8,328,838  

Tractor Supply Co.

     14,733        1,332,453  

Ulta Beauty, Inc.*

     7,280        1,824,732  

Under Armour, Inc. Cl A*

     23,265        463,904  

Under Armour, Inc. Cl C*

     24,064        436,280  

VF Corp.

     40,347        3,590,480  

Whirlpool Corp.

     7,868        1,245,977  

Wynn Resorts Ltd.

     12,007        1,305,401  

Yum! Brands, Inc.

     37,728        4,279,487  
     

 

 

 
        308,965,510  
     

 

 

 

CONSUMER STAPLES (7.4%)

     

Altria Group, Inc.

     230,251        9,417,266  

Archer-Daniels-Midland Co.

     69,005        2,834,035  

Brown-Forman Corp. Cl B

     22,556        1,416,066  

Campbell Soup Co.

     20,871        979,267  

Church & Dwight Co., Inc.

     30,551        2,298,657  

Clorox Co.

     15,554        2,362,186  

Coca-Cola Co.

     476,127        25,920,354  

Colgate-Palmolive Co.

     106,020        7,793,530  

Conagra Brands, Inc.

     60,148        1,845,341  

Constellation Brands, Inc. Cl A

     20,673        4,285,099  

Costco Wholesale Corp.

     54,379        15,667,134  

Coty, Inc. Cl A

     36,511        383,731  

Estee Lauder Cos., Inc. Cl A

     27,397        5,450,633  

General Mills, Inc.

     74,565        4,110,023  

Hershey Co.

     18,414        2,853,986  

Hormel Foods Corp.

     34,387        1,503,744  

JM Smucker Co.

     14,079        1,548,972  

Kellogg Co.

     30,830        1,983,910  

Kimberly-Clark Corp.

     42,565        6,046,358  


MUTUAL OF AMERICA INVESTMENT CORPORATION - EQUITY INDEX FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Kraft Heinz Co.

     76,607        2,140,017  

Kroger Co.

     98,683        2,544,048  

Lamb Weston Hldgs., Inc.

     17,970        1,306,778  

McCormick & Co., Inc.

     15,196        2,375,135  

Molson Coors Brewing Co. Cl B

     23,231        1,335,783  

Mondelez International, Inc. Cl A

     178,054        9,849,947  

Monster Beverage Corp.*

     47,863        2,778,926  

PepsiCo, Inc.

     172,944        23,710,622  

Philip Morris International, Inc.

     192,637        14,626,927  

Procter & Gamble Co.

     309,106        38,446,605  

Sysco Corp.

     63,426        5,036,024  

Tyson Foods, Inc. Cl A

     36,495        3,143,679  

Walgreens Boots Alliance, Inc.

     93,893        5,193,222  

Walmart, Inc.

     175,995        20,887,086  
     

 

 

 
        232,075,091  
     

 

 

 

ENERGY (4.4%)

     

Apache Corp.

     46,282        1,184,819  

Baker Hughes, a GE Co. Cl A

     80,259        1,862,009  

Cabot Oil & Gas Corp.

     51,526        905,312  

Chevron Corp.

     234,827        27,850,482  

Cimarex Energy Co.

     12,551        601,695  

Concho Resources, Inc.

     24,845        1,686,976  

ConocoPhillips

     137,252        7,820,619  

Devon Energy Corp.

     49,874        1,199,969  

Diamondback Energy, Inc.

     20,209        1,816,991  

EOG Resources, Inc.

     71,721        5,323,133  

Exxon Mobil Corp.

     522,781        36,913,566  

Halliburton Co.

     108,210        2,039,758  

Helmerich & Payne, Inc.

     13,453        539,062  

Hess Corp.

     31,953        1,932,517  

HollyFrontier Corp.

     18,785        1,007,627  

Kinder Morgan, Inc.

     240,985        4,966,701  

Marathon Oil Corp.

     99,181        1,216,951  

Marathon Petroleum Corp.

     81,506        4,951,490  

National Oilwell Varco, Inc.

     47,599        1,009,099  

Noble Energy, Inc.

     59,181        1,329,205  

Occidental Petroleum Corp.

     110,543        4,915,847  

ONEOK, Inc.

     51,094        3,765,117  

Phillips 66

     55,493        5,682,483  

Pioneer Natural Resources Co.

     20,682        2,601,175  

Schlumberger Ltd.

     171,071        5,845,496  

TechnipFMC PLC

     51,697        1,247,965  

Valero Energy Corp.

     51,318        4,374,346  

Williams Cos., Inc.

     149,636        3,600,242  
     

 

 

 
        138,190,652  
     

 

 

 

FINANCIALS (12.6%)

     

Affiliated Managers Group, Inc.

     6,240        520,104  

Aflac, Inc.

     91,704        4,797,953  

Allstate Corp.

     40,800        4,434,144  

American Express Co.

     84,203        9,959,531  

American International Group, Inc.

     107,783        6,003,513  

Ameriprise Financial, Inc.

     16,209        2,384,344  

Aon PLC

     29,176        5,647,598  

Arthur J. Gallagher & Co.

     23,028        2,062,618  

Assurant, Inc.

     7,569        952,332  

Bank of America Corp.

     1,036,527        30,235,493  

Bank of New York Mellon Corp.

     106,227        4,802,523  

BB&T Corp.

     94,832        5,061,184  

Berkshire Hathaway, Inc. Cl B*

     242,702        50,486,870  


MUTUAL OF AMERICA INVESTMENT CORPORATION - EQUITY INDEX FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

BlackRock, Inc. Cl A

     14,528        6,474,258  

Capital One Financial Corp.

     58,141        5,289,668  

Cboe Global Markets, Inc.

     13,813        1,587,252  

Charles Schwab Corp.

     143,872        6,018,166  

Chubb Ltd.

     56,390        9,103,602  

Cincinnati Financial Corp.

     18,816        2,195,263  

Citigroup, Inc.

     279,264        19,291,557  

Citizens Financial Group, Inc.

     55,347        1,957,623  

CME Group, Inc. Cl A

     44,329        9,368,491  

Comerica, Inc.

     18,464        1,218,439  

Discover Financial Svcs.

     39,293        3,186,270  

E*TRADE Financial Corp.

     29,706        1,297,855  

Everest Re Group Ltd.

     5,045        1,342,424  

Fifth Third Bancorp

     90,479        2,477,315  

First Republic Bank

     20,864        2,017,549  

Franklin Resources, Inc.

     34,948        1,008,599  

Globe Life, Inc.

     12,432        1,190,488  

Goldman Sachs Group, Inc.

     40,104        8,310,752  

Hartford Financial Svcs. Group, Inc.

     44,787        2,714,540  

Huntington Bancshares, Inc.

     128,608        1,835,236  

Intercontinental Exchange, Inc.

     69,459        6,408,982  

Invesco Ltd.

     47,536        805,260  

JPMorgan Chase & Co.

     395,592        46,557,223  

KeyCorp

     124,251        2,216,638  

Lincoln National Corp.

     24,749        1,492,860  

Loews Corp.

     32,168        1,656,009  

M&T Bank Corp.

     16,525        2,610,454  

MarketAxess Hldgs., Inc.

     4,679        1,532,373  

Marsh & McLennan Cos., Inc.

     62,694        6,272,535  

MetLife, Inc.

     98,518        4,646,109  

Moody’s Corp.

     20,163        4,129,987  

Morgan Stanley

     155,676        6,642,695  

MSCI, Inc. Cl A

     10,514        2,289,424  

Nasdaq, Inc.

     14,301        1,420,804  

Northern Trust Corp.

     26,589        2,481,285  

People’s United Financial, Inc.

     49,429        772,823  

PNC Financial Svcs. Group, Inc.

     55,072        7,718,892  

Principal Financial Group, Inc.

     32,058        1,831,794  

Progressive Corp.

     72,229        5,579,690  

Prudential Financial, Inc.

     49,681        4,468,806  

Raymond James Financial, Inc.

     15,277        1,259,741  

Regions Financial Corp.

     123,670        1,956,459  

S&P Global, Inc.

     30,492        7,469,930  

State Street Corp.

     46,170        2,732,802  

SunTrust Banks, Inc.

     54,998        3,783,862  

SVB Financial Group*

     6,375        1,332,056  

Synchrony Financial

     75,415        2,570,897  

T. Rowe Price Group, Inc.

     29,127        3,327,760  

Travelers Cos., Inc.

     32,263        4,797,185  

U.S. Bancorp

     177,614        9,829,159  

Unum Group

     25,766        765,765  

Wells Fargo & Co.

     496,273        25,032,010  

Willis Towers Watson PLC

     15,962        3,080,187  

Zions Bancorporation

     21,912        975,522  
     

 

 

 
        395,681,532  
     

 

 

 

HEALTH CARE (13.3%)

     

Abbott Laboratories

     218,850        18,311,179  

AbbVie, Inc.

     182,432        13,813,751  

ABIOMED, Inc.*

     5,619        999,564  


MUTUAL OF AMERICA INVESTMENT CORPORATION - EQUITY INDEX FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Agilent Technologies, Inc.

     38,308        2,935,542  

Alexion Pharmaceuticals, Inc.*

     27,785        2,721,263  

Align Technology, Inc.*

     8,976        1,623,938  

Allergan PLC

     40,519        6,818,943  

AmerisourceBergen Corp. Cl A

     18,808        1,548,463  

Amgen, Inc.

     74,155        14,349,734  

Anthem, Inc.

     31,688        7,608,289  

Baxter International, Inc.

     63,395        5,545,161  

Becton Dickinson & Co.

     33,368        8,440,769  

Biogen, Inc.*

     22,801        5,308,529  

Boston Scientific Corp.*

     172,364        7,013,491  

Bristol-Myers Squibb Co.

     202,686        10,278,207  

Cardinal Health, Inc.

     36,815        1,737,300  

Celgene Corp.*

     87,698        8,708,411  

Centene Corp.*

     51,253        2,217,205  

Cerner Corp.

     39,460        2,689,988  

Cigna Corp.

     46,703        7,089,048  

Cooper Cos., Inc.

     6,137        1,822,689  

CVS Health Corp.

     160,873        10,146,260  

Danaher Corp.

     79,058        11,418,347  

DaVita, Inc.*

     12,035        686,837  

DENTSPLY SIRONA, Inc.

     27,740        1,478,819  

Edwards Lifesciences Corp.*

     25,782        5,669,720  

Eli Lilly & Co.

     105,099        11,753,221  

Gilead Sciences, Inc.

     156,736        9,933,928  

HCA Healthcare, Inc.

     32,956        3,968,562  

Henry Schein, Inc.*

     18,353        1,165,415  

Hologic, Inc.*

     33,063        1,669,351  

Humana, Inc.

     16,724        4,275,825  

IDEXX Laboratories, Inc.*

     10,675        2,902,853  

Illumina, Inc.*

     18,158        5,524,027  

Incyte Corp.*

     22,086        1,639,444  

Intuitive Surgical, Inc.*

     14,244        7,690,763  

IQVIA Hldgs., Inc.*

     22,575        3,372,253  

Johnson & Johnson

     326,424        42,232,737  

Laboratory Corp. of America Hldgs.*

     12,109        2,034,312  

McKesson Corp.

     22,907        3,130,471  

Medtronic PLC

     166,226        18,055,468  

Merck & Co., Inc.

     316,810        26,669,066  

Mettler-Toledo International, Inc.*

     3,050        2,148,420  

Mylan NV*

     63,660        1,259,195  

Nektar Therapeutics Cl A*

     21,672        394,755  

PerkinElmer, Inc.

     13,745        1,170,662  

Perrigo Co. PLC

     16,777        937,667  

Pfizer, Inc.

     683,603        24,561,856  

Quest Diagnostics, Inc.

     16,681        1,785,367  

Regeneron Pharmaceuticals, Inc.*

     9,973        2,766,510  

ResMed, Inc.

     17,794        2,404,147  

Stryker Corp.

     39,679        8,582,568  

Teleflex, Inc.

     5,729        1,946,428  

Thermo Fisher Scientific, Inc.

     49,662        14,465,051  

UnitedHealth Group, Inc.

     117,210        25,472,077  

Universal Health Svcs., Inc. Cl B

     10,062        1,496,723  

Varian Medical Systems, Inc.*

     11,270        1,342,144  

Vertex Pharmaceuticals, Inc.*

     31,900        5,404,498  

Waters Corp.*

     8,267        1,845,442  

WellCare Health Plans, Inc.*

     6,226        1,613,592  

Zimmer Biomet Hldgs., Inc.

     25,384        3,484,462  

Zoetis, Inc. Cl A

     59,111        7,364,639  
     

 

 

 
        417,445,346  
     

 

 

 


MUTUAL OF AMERICA INVESTMENT CORPORATION - EQUITY INDEX FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

INDUSTRIALS (9.1%)

     

3M Co.

     70,871        11,651,192  

Alaska Air Group, Inc.

     15,259        990,462  

Allegion PLC

     11,566        1,198,816  

American Airlines Group, Inc.

     49,113        1,324,578  

AMETEK, Inc.

     28,269        2,595,660  

AO Smith Corp.

     17,152        818,322  

Arconic, Inc.

     48,092        1,250,392  

Boeing Co.

     66,061        25,134,229  

Caterpillar, Inc.

     69,582        8,788,902  

CH Robinson Worldwide, Inc.

     16,740        1,419,217  

Cintas Corp.

     10,260        2,750,706  

Copart, Inc.*

     24,918        2,001,663  

CSX Corp.

     99,019        6,859,046  

Cummins, Inc.

     19,479        3,168,649  

Deere & Co.

     38,960        6,571,773  

Delta Air Lines, Inc.

     71,626        4,125,657  

Dover Corp.

     18,025        1,794,569  

Eaton Corp. PLC

     51,936        4,318,478  

Emerson Electric Co.

     76,166        5,092,459  

Equifax, Inc.

     14,988        2,108,362  

Expeditors International of Washington, Inc.

     21,155        1,571,605  

Fastenal Co.

     71,046        2,321,073  

FedEx Corp.

     29,675        4,319,790  

Flowserve Corp.

     16,187        756,095  

Fortive Corp.

     36,581        2,507,993  

Fortune Brands Home & Security, Inc.

     17,297        946,146  

General Dynamics Corp.

     28,974        5,294,419  

General Electric Co.

     1,078,576        9,642,470  

Honeywell International, Inc.

     88,975        15,054,570  

Huntington Ingalls Industries, Inc.

     5,127        1,085,847  

IDEX Corp.

     9,381        1,537,358  

IHS Markit Ltd.*

     51,696        3,457,428  

Illinois Tool Works, Inc.

     36,465        5,706,408  

Ingersoll-Rand PLC

     29,912        3,685,457  

Jacobs Engineering Group, Inc.

     16,758        1,533,357  

JB Hunt Transport Svcs., Inc.

     10,580        1,170,677  

Johnson Controls International PLC

     98,560        4,325,798  

Kansas City Southern

     12,477        1,659,566  

L-3 Harris Technologies, Inc.

     27,591        5,756,586  

Lockheed Martin Corp.

     30,764        11,999,806  

Masco Corp.

     35,797        1,492,019  

Nielsen Hldgs. PLC

     44,062        936,317  

Norfolk Southern Corp.

     32,571        5,851,706  

Northrop Grumman Corp.

     19,508        7,311,403  

PACCAR, Inc.

     42,784        2,995,308  

Parker-Hannifin Corp.

     15,890        2,869,893  

Pentair PLC

     20,792        785,938  

Quanta Svcs., Inc.

     17,546        663,239  

Raytheon Co.

     34,502        6,768,948  

Republic Svcs., Inc. Cl A

     26,161        2,264,234  

Robert Half International, Inc.

     14,501        807,126  

Rockwell Automation, Inc.

     14,494        2,388,611  

Rollins, Inc.

     17,443        594,283  

Roper Technologies, Inc.

     12,868        4,588,729  

Snap-on, Inc.

     6,817        1,067,133  

Southwest Airlines Co.

     59,927        3,236,657  

Stanley Black & Decker, Inc.

     18,799        2,714,764  


MUTUAL OF AMERICA INVESTMENT CORPORATION - EQUITY INDEX FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Textron, Inc.

     28,521        1,396,388  

TransDigm Group, Inc.

     6,151        3,202,641  

Union Pacific Corp.

     87,225        14,128,705  

United Airlines Hldgs., Inc.*

     27,427        2,424,821  

United Parcel Svc., Inc. Cl B

     86,402        10,352,688  

United Rentals, Inc.*

     9,569        1,192,680  

United Technologies Corp.

     100,617        13,736,233  

Verisk Analytics, Inc. Cl A

     20,261        3,204,075  

Wabtec Corp.

     22,464        1,614,263  

Waste Management, Inc.

     48,296        5,554,040  

WW Grainger, Inc.

     5,480        1,628,382  

Xylem, Inc.

     22,273        1,773,376  
     

 

 

 
        285,840,181  
     

 

 

 

INFORMATION TECHNOLOGY (21.4%)

     

Accenture PLC Cl A

     78,863        15,169,298  

Adobe, Inc.*

     60,076        16,595,995  

Advanced Micro Devices, Inc.*

     134,856        3,909,475  

Akamai Technologies, Inc.*

     20,451        1,868,812  

Alliance Data Systems Corp.

     5,068        649,363  

Amphenol Corp. Cl A

     36,825        3,553,612  

Analog Devices, Inc.

     45,706        5,106,731  

ANSYS, Inc.*

     10,426        2,307,900  

Apple, Inc.

     527,030        118,038,909  

Applied Materials, Inc.

     114,604        5,718,740  

Arista Networks, Inc.*

     6,737        1,609,604  

Autodesk, Inc.*

     27,239        4,023,200  

Automatic Data Processing, Inc.

     53,765        8,678,746  

Broadcom, Inc.

     49,289        13,607,214  

Broadridge Financial Solutions, Inc.

     14,149        1,760,560  

Cadence Design Systems, Inc.*

     34,802        2,299,716  

CDW Corp.

     17,956        2,212,898  

Cisco Systems, Inc.

     525,825        25,981,013  

Citrix Systems, Inc.

     15,160        1,463,243  

Cognizant Technology Solutions Corp. Cl A

     68,365        4,120,017  

Corning, Inc.

     96,709        2,758,141  

DXC Technology Co.

     32,409        956,065  

F5 Networks, Inc.*

     7,424        1,042,478  

Fidelity National Information Svcs., Inc.

     75,939        10,081,662  

Fiserv, Inc.*

     70,723        7,326,196  

FleetCor Technologies, Inc.*

     10,729        3,076,863  

FLIR Systems, Inc.

     16,759        881,356  

Fortinet, Inc.*

     17,631        1,353,356  

Gartner, Inc.*

     11,151        1,594,481  

Global Payments, Inc.

     37,302        5,931,018  

Hewlett Packard Enterprise Co.

     161,499        2,449,940  

HP, Inc.

     183,772        3,476,966  

Intel Corp.

     548,215        28,249,519  

International Business Machines Corp.

     109,645        15,944,576  

Intuit, Inc.

     32,229        8,570,980  

IPG Photonics Corp.*

     4,427        600,301  

Jack Henry & Associates, Inc.

     9,552        1,394,305  

Juniper Networks, Inc.

     42,836        1,060,191  

Keysight Technologies, Inc.*

     23,265        2,262,521  

KLA Corp.

     19,854        3,165,720  

Lam Research Corp.

     17,975        4,154,202  

Leidos Hldgs., Inc.

     16,754        1,438,834  

Mastercard, Inc. Cl A

     110,630        30,043,789  

Maxim Integrated Products, Inc.

     33,595        1,945,487  

Microchip Technology, Inc.

     29,515        2,742,239  


MUTUAL OF AMERICA INVESTMENT CORPORATION - EQUITY INDEX FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Micron Technology, Inc.*

     137,048        5,872,507  

Microsoft Corp.

     946,923        131,650,705  

Motorola Solutions, Inc.

     20,496        3,492,724  

NetApp, Inc.

     29,495        1,548,782  

NVIDIA Corp.

     75,501        13,142,459  

Oracle Corp.

     271,678        14,950,440  

Paychex, Inc.

     39,571        3,275,292  

PayPal Hldgs., Inc.*

     145,798        15,103,215  

Qorvo, Inc.*

     14,559        1,079,404  

QUALCOMM, Inc.

     150,864        11,507,906  

Salesforce.com, Inc.*

     108,561        16,114,795  

Seagate Technology PLC

     29,374        1,580,028  

Skyworks Solutions, Inc.

     21,175        1,678,119  

Symantec Corp.

     70,352        1,662,418  

Synopsys, Inc.*

     18,621        2,555,732  

TE Connectivity Ltd.

     41,617        3,877,872  

Texas Instruments, Inc.

     115,642        14,945,572  

VeriSign, Inc.*

     12,927        2,438,420  

Visa, Inc. Cl A

     213,926        36,797,411  

Western Digital Corp.

     36,782        2,193,679  

Western Union Co.

     52,407        1,214,270  

Xerox Hldgs. Corp.

     23,674        708,089  

Xilinx, Inc.

     31,199        2,991,984  
     

 

 

 
        671,558,055  
     

 

 

 

MATERIALS (2.7%)

     

Air Products & Chemicals, Inc.

     27,312        6,059,440  

Albemarle Corp.

     13,140        913,493  

Amcor PLC

     201,300        1,962,675  

Avery Dennison Corp.

     10,412        1,182,491  

Ball Corp.

     41,165        2,997,224  

Celanese Corp. Cl A

     15,345        1,876,540  

CF Industries Hldgs., Inc.

     26,995        1,328,154  

Corteva, Inc.

     92,885        2,600,780  

Dow, Inc.

     91,988        4,383,228  

DuPont de Nemours, Inc.

     92,414        6,590,043  

Eastman Chemical Co.

     16,939        1,250,606  

Ecolab, Inc.

     31,068        6,152,707  

FMC Corp.

     16,196        1,420,065  

Freeport-McMoRan, Inc.

     180,129        1,723,835  

International Flavors & Fragrances, Inc.

     13,167        1,615,459  

International Paper Co.

     48,546        2,030,194  

Linde PLC

     67,120        13,002,486  

LyondellBasell Industries NV Cl A

     31,986        2,861,788  

Martin Marietta Materials, Inc.

     7,739        2,121,260  

Mosaic Co.

     43,845        898,823  

Newmont Goldcorp Corp.

     101,252        3,839,476  

Nucor Corp.

     37,495        1,908,870  

Packaging Corp. of America

     11,706        1,242,007  

PPG Industries, Inc.

     29,247        3,466,062  

Sealed Air Corp.

     19,158        795,248  

Sherwin-Williams Co.

     10,192        5,604,275  

Vulcan Materials Co.

     16,415        2,482,604  

WestRock Co.

     31,719        1,156,157  
     

 

 

 
        83,465,990  
     

 

 

 

REAL ESTATE (3.1%)

     

Alexandria Real Estate Equities, Inc.

     14,016        2,159,025  

American Tower Corp.

     54,922        12,144,902  

Apartment Investment & Management Co. Cl A

     18,390        958,855  

AvalonBay Communities, Inc.

     17,274        3,719,610  


MUTUAL OF AMERICA INVESTMENT CORPORATION - EQUITY INDEX FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Boston Properties, Inc.

     17,752        2,301,724  

CBRE Group, Inc. Cl A*

     41,691        2,210,040  

Crown Castle International Corp.

     51,610        7,174,306  

Digital Realty Trust, Inc.

     25,775        3,345,853  

Duke Realty Corp.

     44,722        1,519,206  

Equinix, Inc.

     10,524        6,070,243  

Equity Residential

     43,128        3,720,221  

Essex Property Trust, Inc.

     8,124        2,653,705  

Extra Space Storage, Inc.

     15,908        1,858,373  

Federal Realty Investment Trust

     8,602        1,171,076  

HCP, Inc.

     60,705        2,162,919  

Host Hotels & Resorts, Inc.

     90,146        1,558,624  

Iron Mountain, Inc.

     35,474        1,149,003  

Kimco Realty Corp.

     52,091        1,087,660  

Macerich Co.

     13,539        427,697  

Mid-America Apartment Communities, Inc.

     14,079        1,830,411  

Prologis, Inc.

     78,044        6,650,910  

Public Storage

     18,587        4,558,833  

Realty Income Corp.

     39,309        3,014,214  

Regency Centers Corp.

     20,677        1,436,845  

SBA Communications Corp. Cl A

     14,044        3,386,711  

Simon Property Group, Inc.

     37,921        5,902,404  

SL Green Realty Corp.

     10,143        829,190  

UDR, Inc.

     36,158        1,752,940  

Ventas, Inc.

     46,057        3,363,543  

Vornado Realty Trust

     19,562        1,245,513  

Welltower, Inc.

     50,048        4,536,851  

Weyerhaeuser Co.

     92,022        2,549,009  
     

 

 

 
        98,450,416  
     

 

 

 

UTILITIES (3.5%)

     

AES Corp.

     82,037        1,340,485  

Alliant Energy Corp.

     29,410        1,586,081  

Ameren Corp.

     30,450        2,437,523  

American Electric Power Co., Inc.

     61,145        5,728,675  

American Water Works Co., Inc.

     22,327        2,773,683  

Atmos Energy Corp.

     14,630        1,666,211  

CenterPoint Energy, Inc.

     62,162        1,876,049  

CMS Energy Corp.

     35,110        2,245,285  

Consolidated Edison, Inc.

     41,098        3,882,528  

Dominion Energy, Inc.

     101,681        8,240,228  

DTE Energy Co.

     22,678        3,015,267  

Duke Energy Corp.

     90,088        8,635,836  

Edison International

     44,206        3,334,017  

Entergy Corp.

     24,606        2,887,760  

Evergy, Inc.

     29,146        1,939,958  

Eversource Energy

     40,035        3,421,791  

Exelon Corp.

     120,152        5,804,543  

FirstEnergy Corp.

     66,943        3,228,661  

NextEra Energy, Inc.

     60,439        14,081,683  

NiSource, Inc.

     46,174        1,381,526  

NRG Energy, Inc.

     31,294        1,239,242  

Pinnacle West Capital Corp.

     13,905        1,349,758  

PPL Corp.

     89,341        2,813,348  

Public Svc. Enterprise Group, Inc.

     62,535        3,882,173  

Sempra Energy

     33,974        5,014,902  

Southern Co.

     129,214        7,981,549  

WEC Energy Group, Inc.

     39,043        3,712,989  

Xcel Energy, Inc.

     64,854        4,208,376  
     

 

 

 
        109,710,127  
     

 

 

 

TOTAL INDEXED ASSETS - COMMON STOCKS
(Cost: $1,719,259,676) 97.4%

        3,058,701,313  
     

 

 

 


MUTUAL OF AMERICA INVESTMENT CORPORATION - EQUITY INDEX FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

     Rating**      Rate(%)      Maturity      Face Amount      Value  

SHORT-TERM DEBT SECURITIES:

              

U.S. GOVERNMENT (1.8%)

              

U.S. Treasury Bill

     A-1+        1.87        11/19/19        17,600,000        17,555,431  

U.S. Treasury Bill

     A-1+        1.93        11/05/19        4,400,000        4,391,752  

U.S. Treasury Bill

     A-1+        1.93        12/12/19        17,750,000        17,686,928  

U.S. Treasury Bill (1)

     A-1+        2.04        10/17/19        15,000,000        14,986,448  
              

 

 

 
                 54,620,559  
              

 

 

 

U.S. GOVERNMENT AGENCIES (0.2%)

              

FHLB

     A-1+        1.50        10/01/19        7,100,000        7,100,000  
              

 

 

 

COMMERCIAL PAPER (0.5%)

              

Chevron Corp.†

     A-1+        1.93        10/17/19        10,000,000        9,991,422  

United Parcel Svc., Inc.†

     A-1          1.75        10/01/19        5,000,000        5,000,000  
              

 

 

 
                 14,991,422  
              

 

 

 

TOTAL SHORT-TERM DEBT SECURITIES
(Cost: $76,706,999) 2.5%

                 76,711,981  
              

 

 

 
            Rate(%)      Maturity      Face Amount      Value  

TEMPORARY CASH INVESTMENT (0.0%) (2)

              

Citibank, New York Time Deposit

        1.15        10/01/19        40,409        40,409  
              

 

 

 

TOTAL TEMPORARY CASH INVESTMENT
(Cost: $40,409) 0.0% (2)

                 40,409  
              

 

 

 

TOTAL INVESTMENTS
(Cost: $1,796,007,084) 99.9%

                 3,135,453,703  
              

 

 

 

OTHER NET ASSETS 0.1%

                 3,657,960  
              

 

 

 

NET ASSETS 100.0%

               $ 3,139,111,663  
              

 

 

 

 

 

The disclosures regarding Fair Value and Security Valuation included in the Notes to Portfolios of Investments in Securities

are an integral part of these portfolio schedules.


MUTUAL OF AMERICA INVESTMENT CORPORATION - ALL AMERICA FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

     Shares      Value  

INDEXED ASSETS:

     

COMMON STOCKS:

     

COMMUNICATION SERVICES (5.5%)

     

Activision Blizzard, Inc.

     4,889        258,726  

Alphabet, Inc. Cl A*

     1,913        2,336,041  

Alphabet, Inc. Cl C*

     1,930        2,352,670  

AT&T, Inc.

     46,518        1,760,241  

CBS Corp. Cl B

     2,081        84,010  

CenturyLink, Inc.

     6,247        77,963  

Charter Communications, Inc. Cl A*

     1,032        425,308  

Comcast Corp. Cl A

     28,927        1,304,029  

Discovery, Inc. Cl A*

     1,009        26,870  

Discovery, Inc. Cl C*

     2,216        54,558  

DISH Network Corp. Cl A*

     1,537        52,365  

Electronic Arts, Inc.*

     1,874        183,315  

Facebook, Inc. Cl A*

     15,390        2,740,651  

Fox Corp. Cl A

     2,255        71,112  

Fox Corp. Cl B

     1,032        32,549  

Interpublic Group of Cos., Inc.

     2,466        53,167  

Netflix, Inc.*

     2,797        748,533  

News Corp. Cl A

     2,459        34,229  

News Corp. Cl B

     770        11,007  

Omnicom Group, Inc.

     1,386        108,524  

Take-Two Interactive Software, Inc.*

     722        90,495  

T-Mobile US, Inc.*

     2,022        159,273  

TripAdvisor, Inc.*

     671        25,954  

Twitter, Inc.*

     4,948        203,858  

Verizon Communications, Inc.

     26,341        1,589,943  

Viacom, Inc. Cl B

     2,252        54,116  

Walt Disney Co.

     11,489        1,497,246  
     

 

 

 
        16,336,753  
     

 

 

 

CONSUMER DISCRETIONARY (5.4%)

     

Advance Auto Parts, Inc.

     456        75,422  

Amazon.com, Inc.*

     2,639        4,581,067  

Aptiv PLC

     1,633        142,757  

AutoZone, Inc.*

     156        169,201  

Best Buy Co., Inc.

     1,475        101,760  

Booking Hldgs., Inc.*

     271        531,867  

BorgWarner, Inc.

     1,313        48,161  

Capri Hldgs. Ltd.*

     962        31,900  

CarMax, Inc.*

     1,054        92,752  

Carnival Corp.

     2,549        111,417  

Chipotle Mexican Grill, Inc. Cl A*

     162        136,156  

Darden Restaurants, Inc.

     784        92,685  

Dollar General Corp.

     1,638        260,344  

Dollar Tree, Inc.*

     1,502        171,468  

DR Horton, Inc.

     2,144        113,010  

eBay, Inc.

     5,034        196,225  

Expedia Group, Inc.

     890        119,625  

Ford Motor Co.

     24,884        227,937  

Gap, Inc.

     1,357        23,558  

Garmin Ltd.

     924        78,253  

General Motors Co.

     8,001        299,878  

Genuine Parts Co.

     930        92,619  

H&R Block, Inc.

     1,277        30,163  

Hanesbrands, Inc.

     2,295        35,159  

Harley-Davidson, Inc.

     1,000        35,970  

Hasbro, Inc.

     747        88,661  

Hilton Worldwide Hldgs., Inc.

     1,829        170,298  

Home Depot, Inc.

     6,981        1,619,732  

Kohl’s Corp.

     1,010        50,157  

L Brands, Inc.

     1,475        28,895  


MUTUAL OF AMERICA INVESTMENT CORPORATION - ALL AMERICA FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Leggett & Platt, Inc.

     838        34,308  

Lennar Corp. Cl A

     1,811        101,144  

LKQ Corp.*

     1,957        61,547  

Lowe’s Cos., Inc.

     4,925        541,553  

Macy’s, Inc.

     1,960        30,458  

Marriott International, Inc. Cl A

     1,744        216,901  

McDonald’s Corp.

     4,846        1,040,485  

MGM Resorts International

     3,323        92,114  

Mohawk Industries, Inc.*

     383        47,519  

Newell Brands, Inc.

     2,429        45,471  

NIKE, Inc. Cl B

     7,987        750,139  

Nordstrom, Inc.

     676        22,761  

Norwegian Cruise Line Hldgs. Ltd.*

     1,372        71,028  

NVR, Inc.*

     22        81,782  

O’Reilly Automotive, Inc.*

     487        194,074  

PulteGroup, Inc.

     1,646        60,161  

PVH Corp.

     472        41,645  

Ralph Lauren Corp. Cl A

     329        31,410  

Ross Stores, Inc.

     2,324        255,292  

Royal Caribbean Cruises Ltd.

     1,092        118,296  

Starbucks Corp.

     7,646        676,059  

Tapestry, Inc.

     1,828        47,619  

Target Corp.

     3,258        348,313  

Tiffany & Co.

     691        64,007  

TJX Cos., Inc.

     7,694        428,864  

Tractor Supply Co.

     759        68,644  

Ulta Beauty, Inc.*

     374        93,743  

Under Armour, Inc. Cl A*

     1,197        23,868  

Under Armour, Inc. Cl C*

     1,238        22,445  

VF Corp.

     2,077        184,832  

Whirlpool Corp.

     405        64,136  

Wynn Resorts Ltd.

     618        67,189  

Yum! Brands, Inc.

     1,942        220,281  
     

 

 

 
        15,905,185  
     

 

 

 

CONSUMER STAPLES (4.0%)

     

Altria Group, Inc.

     11,855        484,869  

Archer-Daniels-Midland Co.

     3,553        145,922  

Brown-Forman Corp. Cl B

     1,161        72,888  

Campbell Soup Co.

     1,075        50,439  

Church & Dwight Co., Inc.

     1,572        118,277  

Clorox Co.

     801        121,648  

Coca-Cola Co.

     24,513        1,334,488  

Colgate-Palmolive Co.

     5,458        401,218  

Conagra Brands, Inc.

     3,096        94,985  

Constellation Brands, Inc. Cl A

     1,064        220,546  

Costco Wholesale Corp.

     2,799        806,420  

Coty, Inc. Cl A

     1,880        19,759  

Estee Lauder Cos., Inc. Cl A

     1,410        280,519  

General Mills, Inc.

     3,839        211,606  

Hershey Co.

     948        146,931  

Hormel Foods Corp.

     1,770        77,402  

JM Smucker Co.

     724        79,654  

Kellogg Co.

     1,587        102,123  

Kimberly-Clark Corp.

     2,191        311,231  

Kraft Heinz Co.

     3,945        110,204  

Kroger Co.

     5,081        130,988  

Lamb Weston Hldgs., Inc.

     926        67,339  

McCormick & Co., Inc.

     782        122,227  

Molson Coors Brewing Co. Cl B

     1,196        68,770  

Mondelez International, Inc. Cl A

     9,167        507,118  

Monster Beverage Corp.*

     2,465        143,118  

PepsiCo, Inc.

     8,904        1,220,738  

Philip Morris International, Inc.

     9,917        752,998  


MUTUAL OF AMERICA INVESTMENT CORPORATION - ALL AMERICA FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Procter & Gamble Co.

     15,915        1,979,508  

Sysco Corp.

     3,265        259,241  

Tyson Foods, Inc. Cl A

     1,878        161,771  

Walgreens Boots Alliance, Inc.

     4,835        267,424  

Walmart, Inc.

     9,061        1,075,359  
     

 

 

 
        11,947,728  
     

 

 

 

ENERGY (2.4%)

     

Apache Corp.

     2,383        61,005  

Baker Hughes, a GE Co. Cl A

     4,131        95,839  

Cabot Oil & Gas Corp.

     2,653        46,613  

Chevron Corp.

     12,091        1,433,993  

Cimarex Energy Co.

     646        30,969  

Concho Resources, Inc.

     1,279        86,844  

ConocoPhillips

     7,067        402,678  

Devon Energy Corp.

     2,568        61,786  

Diamondback Energy, Inc.

     1,040        93,506  

EOG Resources, Inc.

     3,693        274,094  

Exxon Mobil Corp.

     26,915        1,900,468  

Halliburton Co.

     5,571        105,013  

Helmerich & Payne, Inc.

     693        27,769  

Hess Corp.

     1,645        99,490  

HollyFrontier Corp.

     968        51,924  

Kinder Morgan, Inc.

     12,407        255,708  

Marathon Oil Corp.

     5,107        62,663  

Marathon Petroleum Corp.

     4,197        254,968  

National Oilwell Varco, Inc.

     2,451        51,961  

Noble Energy, Inc.

     3,046        68,413  

Occidental Petroleum Corp.

     5,692        253,123  

ONEOK, Inc.

     2,630        193,805  

Phillips 66

     2,857        292,557  

Pioneer Natural Resources Co.

     1,065        133,945  

Schlumberger Ltd.

     8,807        300,935  

TechnipFMC PLC

     2,662        64,261  

Valero Energy Corp.

     2,643        225,289  

Williams Cos., Inc.

     7,704        185,358  
     

 

 

 
        7,114,977  
     

 

 

 

FINANCIALS (6.9%)

     

Affiliated Managers Group, Inc.

     322        26,839  

Aflac, Inc.

     4,722        247,055  

Allstate Corp.

     2,101        228,337  

American Express Co.

     4,336        512,862  

American International Group, Inc.

     5,549        309,079  

Ameriprise Financial, Inc.

     835        122,828  

Aon PLC

     1,503        290,936  

Arthur J. Gallagher & Co.

     1,185        106,141  

Assurant, Inc.

     390        49,070  

Bank of America Corp.

     53,366        1,556,686  

Bank of New York Mellon Corp.

     5,470        247,299  

BB&T Corp.

     4,882        260,552  

Berkshire Hathaway, Inc. Cl B*

     12,495        2,599,209  

BlackRock, Inc. Cl A

     748        333,339  

Capital One Financial Corp.

     2,993        272,303  

Cboe Global Markets, Inc.

     711        81,701  

Charles Schwab Corp.

     7,408        309,877  

Chubb Ltd.

     2,904        468,822  

Cincinnati Financial Corp.

     968        112,937  

Citigroup, Inc.

     14,378        993,232  

Citizens Financial Group, Inc.

     2,850        100,805  

CME Group, Inc. Cl A

     2,282        482,278  

Comerica, Inc.

     951        62,757  

Discover Financial Svcs.

     2,023        164,045  

E*TRADE Financial Corp.

     1,530        66,846  

Everest Re Group Ltd.

     259        68,917  


MUTUAL OF AMERICA INVESTMENT CORPORATION - ALL AMERICA FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Fifth Third Bancorp

     4,658        127,536  

First Republic Bank

     1,074        103,856  

Franklin Resources, Inc.

     1,800        51,948  

Globe Life, Inc.

     641        61,382  

Goldman Sachs Group, Inc.

     2,065        427,930  

Hartford Financial Svcs. Group, Inc.

     2,305        139,706  

Huntington Bancshares, Inc.

     6,622        94,496  

Intercontinental Exchange, Inc.

     3,577        330,050  

Invesco Ltd.

     2,448        41,469  

JPMorgan Chase & Co.

     20,368        2,397,110  

KeyCorp

     6,398        114,140  

Lincoln National Corp.

     1,275        76,908  

Loews Corp.

     1,657        85,302  

M&T Bank Corp.

     851        134,433  

MarketAxess Hldgs., Inc.

     240        78,600  

Marsh & McLennan Cos., Inc.

     3,228        322,961  

MetLife, Inc.

     5,073        239,243  

Moody’s Corp.

     1,039        212,818  

Morgan Stanley

     8,015        342,000  

MSCI, Inc. Cl A

     541        117,803  

Nasdaq, Inc.

     736        73,121  

Northern Trust Corp.

     1,369        127,755  

People’s United Financial, Inc.

     2,544        39,775  

PNC Financial Svcs. Group, Inc.

     2,836        397,494  

Principal Financial Group, Inc.

     1,650        94,281  

Progressive Corp.

     3,718        287,216  

Prudential Financial, Inc.

     2,558        230,092  

Raymond James Financial, Inc.

     787        64,896  

Regions Financial Corp.

     6,368        100,742  

S&P Global, Inc.

     1,569        384,373  

State Street Corp.

     2,377        140,695  

SunTrust Banks, Inc.

     2,831        194,773  

SVB Financial Group*

     329        68,745  

Synchrony Financial

     3,883        132,372  

T. Rowe Price Group, Inc.

     1,500        171,375  

Travelers Cos., Inc.

     1,661        246,974  

U.S. Bancorp

     9,145        506,084  

Unum Group

     1,327        39,438  

Wells Fargo & Co.

     25,551        1,288,792  

Willis Towers Watson PLC

     821        158,428  

Zions Bancorporation

     1,129        50,263  
     

 

 

 
        20,372,127  
     

 

 

 

HEALTH CARE (7.3%)

     

Abbott Laboratories

     11,267        942,710  

AbbVie, Inc.

     9,393        711,238  

ABIOMED, Inc.*

     289        51,410  

Agilent Technologies, Inc.

     1,973        151,191  

Alexion Pharmaceuticals, Inc.*

     1,430        140,054  

Align Technology, Inc.*

     462        83,585  

Allergan PLC

     2,086        351,053  

AmerisourceBergen Corp. Cl A

     969        79,778  

Amgen, Inc.

     3,818        738,821  

Anthem, Inc.

     1,631        391,603  

Baxter International, Inc.

     3,263        285,415  

Becton Dickinson & Co.

     1,717        434,332  

Biogen, Inc.*

     1,174        273,331  

Boston Scientific Corp.*

     8,874        361,083  

Bristol-Myers Squibb Co.

     10,435        529,159  

Cardinal Health, Inc.

     1,895        89,425  

Celgene Corp.*

     4,515        448,339  

Centene Corp.*

     2,638        114,120  

Cerner Corp.

     2,032        138,521  

Cigna Corp.

     2,405        365,055  


MUTUAL OF AMERICA INVESTMENT CORPORATION - ALL AMERICA FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Cooper Cos., Inc.

     315        93,555  

CVS Health Corp.

     8,282        522,346  

Danaher Corp.

     4,070        587,830  

DaVita, Inc.*

     620        35,383  

DENTSPLY SIRONA, Inc.

     1,429        76,180  

Edwards Lifesciences Corp.*

     1,327        291,821  

Eli Lilly & Co.

     5,411        605,112  

Gilead Sciences, Inc.

     8,070        511,477  

HCA Healthcare, Inc.

     1,696        204,232  

Henry Schein, Inc.*

     945        60,008  

Hologic, Inc.*

     1,703        85,984  

Humana, Inc.

     861        220,132  

IDEXX Laboratories, Inc.*

     549        149,289  

Illumina, Inc.*

     934        284,141  

Incyte Corp.*

     1,137        84,400  

Intuitive Surgical, Inc.*

     734        396,309  

IQVIA Hldgs., Inc.*

     1,162        173,580  

Johnson & Johnson

     16,806        2,174,360  

Laboratory Corp. of America Hldgs.*

     624        104,832  

McKesson Corp.

     1,180        161,259  

Medtronic PLC

     8,558        929,570  

Merck & Co., Inc.

     16,311        1,373,060  

Mettler-Toledo International, Inc.*

     157        110,591  

Mylan NV*

     3,277        64,819  

Nektar Therapeutics Cl A*

     1,115        20,310  

PerkinElmer, Inc.

     707        60,215  

Perrigo Co. PLC

     863        48,233  

Pfizer, Inc.

     35,196        1,264,592  

Quest Diagnostics, Inc.

     858        91,832  

Regeneron Pharmaceuticals, Inc.*

     513        142,306  

ResMed, Inc.

     916        123,761  

Stryker Corp.

     2,042        441,685  

Teleflex, Inc.

     294        99,886  

Thermo Fisher Scientific, Inc.

     2,556        744,486  

UnitedHealth Group, Inc.

     6,035        1,311,526  

Universal Health Svcs., Inc. Cl B

     519        77,201  

Varian Medical Systems, Inc.*

     580        69,072  

Vertex Pharmaceuticals, Inc.*

     1,642        278,188  

Waters Corp.*

     426        95,096  

WellCare Health Plans, Inc.*

     320        82,934  

Zimmer Biomet Hldgs., Inc.

     1,306        179,275  

Zoetis, Inc. Cl A

     3,043        379,128  
     

 

 

 
        21,490,219  
     

 

 

 

INDUSTRIALS (5.0%)

     

3M Co.

     3,649        599,896  

Alaska Air Group, Inc.

     785        50,954  

Allegion PLC

     596        61,775  

American Airlines Group, Inc.

     2,528        68,180  

AMETEK, Inc.

     1,455        133,598  

AO Smith Corp.

     884        42,176  

Arconic, Inc.

     2,477        64,402  

Boeing Co.

     3,401        1,293,979  

Caterpillar, Inc.

     3,583        452,569  

CH Robinson Worldwide, Inc.

     862        73,080  

Cintas Corp.

     529        141,825  

Copart, Inc.*

     1,282        102,983  

CSX Corp.

     5,098        353,139  

Cummins, Inc.

     1,002        162,995  

Deere & Co.

     2,006        338,372  

Delta Air Lines, Inc.

     3,688        212,429  

Dover Corp.

     928        92,392  

Eaton Corp. PLC

     2,674        222,343  

Emerson Electric Co.

     3,921        262,158  


MUTUAL OF AMERICA INVESTMENT CORPORATION - ALL AMERICA FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Equifax, Inc.

     771        108,456  

Expeditors International of Washington, Inc.

     1,090        80,976  

Fastenal Co.

     3,657        119,474  

FedEx Corp.

     1,527        222,286  

Flowserve Corp.

     834        38,956  

Fortive Corp.

     1,883        129,099  

Fortune Brands Home & Security, Inc.

     890        48,683  

General Dynamics Corp.

     1,492        272,633  

General Electric Co.

     55,530        496,438  

Honeywell International, Inc.

     4,581        775,105  

Huntington Ingalls Industries, Inc.

     264        55,913  

IDEX Corp.

     483        79,154  

IHS Markit Ltd.*

     2,661        177,968  

Illinois Tool Works, Inc.

     1,878        293,888  

Ingersoll-Rand PLC

     1,540        189,743  

Jacobs Engineering Group, Inc.

     862        78,873  

JB Hunt Transport Svcs., Inc.

     545        60,304  

Johnson Controls International PLC

     5,074        222,698  

Kansas City Southern

     642        85,392  

L-3 Harris Technologies, Inc.

     1,420        296,269  

Lockheed Martin Corp.

     1,583        617,465  

Masco Corp.

     1,843        76,816  

Nielsen Hldgs. PLC

     2,268        48,195  

Norfolk Southern Corp.

     1,677        301,290  

Northrop Grumman Corp.

     1,005        376,664  

PACCAR, Inc.

     2,203        154,232  

Parker-Hannifin Corp.

     818        147,739  

Pentair PLC

     1,070        40,446  

Quanta Svcs., Inc.

     903        34,133  

Raytheon Co.

     1,776        348,433  

Republic Svcs., Inc. Cl A

     1,347        116,583  

Robert Half International, Inc.

     747        41,578  

Rockwell Automation, Inc.

     747        123,106  

Rollins, Inc.

     899        30,629  

Roper Technologies, Inc.

     662        236,069  

Snap-on, Inc.

     351        54,946  

Southwest Airlines Co.

     3,086        166,675  

Stanley Black & Decker, Inc.

     967        139,644  

Textron, Inc.

     1,469        71,922  

TransDigm Group, Inc.

     316        164,532  

Union Pacific Corp.

     4,490        727,290  

United Airlines Hldgs., Inc.*

     1,412        124,835  

United Parcel Svc., Inc. Cl B

     4,448        532,959  

United Rentals, Inc.*

     493        61,448  

United Technologies Corp.

     5,180        707,174  

Verisk Analytics, Inc. Cl A

     1,043        164,940  

Wabtec Corp.

     1,157        83,142  

Waste Management, Inc.

     2,486        285,890  

WW Grainger, Inc.

     283        84,093  

Xylem, Inc.

     1,146        91,245  
     

 

 

 
        14,715,666  
     

 

 

 

INFORMATION TECHNOLOGY (11.7%)

     

Accenture PLC Cl A

     4,060        780,941  

Adobe, Inc.*

     3,094        854,718  

Advanced Micro Devices, Inc.*

     6,943        201,277  

Akamai Technologies, Inc.*

     1,052        96,132  

Alliance Data Systems Corp.

     260        33,314  

Amphenol Corp. Cl A

     1,896        182,964  

Analog Devices, Inc.

     2,353        262,901  

ANSYS, Inc.*

     536        118,649  

Apple, Inc.

     27,135        6,077,426  

Applied Materials, Inc.

     5,901        294,460  

Arista Networks, Inc.*

     346        82,666  


MUTUAL OF AMERICA INVESTMENT CORPORATION - ALL AMERICA FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Autodesk, Inc.*

     1,402        207,075  

Automatic Data Processing, Inc.

     2,768        446,811  

Broadcom, Inc.

     2,537        700,390  

Broadridge Financial Solutions, Inc.

     729        90,709  

Cadence Design Systems, Inc.*

     1,791        118,349  

CDW Corp.

     924        113,874  

Cisco Systems, Inc.

     27,073        1,337,677  

Citrix Systems, Inc.

     781        75,382  

Cognizant Technology Solutions Corp. Cl A

     3,520        212,133  

Corning, Inc.

     4,980        142,030  

DXC Technology Co.

     1,669        49,235  

F5 Networks, Inc.*

     382        53,640  

Fidelity National Information Svcs., Inc.

     3,909        518,959  

Fiserv, Inc.*

     3,641        377,171  

FleetCor Technologies, Inc.*

     552        158,303  

FLIR Systems, Inc.

     862        45,332  

Fortinet, Inc.*

     908        69,698  

Gartner, Inc.*

     574        82,076  

Global Payments, Inc.

     1,920        305,280  

Hewlett Packard Enterprise Co.

     8,315        126,139  

HP, Inc.

     9,462        179,021  

Intel Corp.

     28,225        1,454,434  

International Business Machines Corp.

     5,645        820,896  

Intuit, Inc.

     1,659        441,194  

IPG Photonics Corp.*

     227        30,781  

Jack Henry & Associates, Inc.

     491        71,671  

Juniper Networks, Inc.

     2,205        54,574  

Keysight Technologies, Inc.*

     1,197        116,408  

KLA Corp.

     1,023        163,117  

Lam Research Corp.

     926        214,008  

Leidos Hldgs., Inc.

     863        74,114  

Mastercard, Inc. Cl A

     5,696        1,546,863  

Maxim Integrated Products, Inc.

     1,730        100,184  

Microchip Technology, Inc.

     1,519        141,130  

Micron Technology, Inc.*

     7,055        302,307  

Microsoft Corp.

     48,752        6,777,992  

Motorola Solutions, Inc.

     1,055        179,783  

NetApp, Inc.

     1,519        79,763  

NVIDIA Corp.

     3,887        676,610  

Oracle Corp.

     13,988        769,760  

Paychex, Inc.

     2,037        168,602  

PayPal Hldgs., Inc.*

     7,506        777,547  

Qorvo, Inc.*

     750        55,605  

QUALCOMM, Inc.

     7,767        592,467  

Salesforce.com, Inc.*

     5,589        829,631  

Seagate Technology PLC

     1,513        81,384  

Skyworks Solutions, Inc.

     1,091        86,462  

Symantec Corp.

     3,623        85,611  

Synopsys, Inc.*

     958        131,486  

TE Connectivity Ltd.

     2,143        199,685  

Texas Instruments, Inc.

     5,954        769,495  

VeriSign, Inc.*

     665        125,439  

Visa, Inc. Cl A

     11,014        1,894,518  

Western Digital Corp.

     1,893        112,898  

Western Union Co.

     2,699        62,536  

Xerox Hldgs. Corp.

     1,219        36,460  

Xilinx, Inc.

     1,607        154,111  
     

 

 

 
        34,574,258  
     

 

 

 

MATERIALS (1.5%)

     

Air Products & Chemicals, Inc.

     1,406        311,935  

Albemarle Corp.

     676        46,995  

Amcor PLC

     10,363        101,039  

Avery Dennison Corp.

     537        60,987  


MUTUAL OF AMERICA INVESTMENT CORPORATION - ALL AMERICA FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Ball Corp.

     2,120        154,357  

Celanese Corp. Cl A

     791        96,731  

CF Industries Hldgs., Inc.

     1,390        68,388  

Corteva, Inc.

     4,782        133,896  

Dow, Inc.

     4,736        225,671  

DuPont de Nemours, Inc.

     4,758        339,293  

Eastman Chemical Co.

     873        64,454  

Ecolab, Inc.

     1,600        316,864  

FMC Corp.

     834        73,125  

Freeport-McMoRan, Inc.

     9,273        88,743  

International Flavors & Fragrances, Inc.

     677        83,061  

International Paper Co.

     2,500        104,550  

Linde PLC

     3,456        669,496  

LyondellBasell Industries NV Cl A

     1,647        147,357  

Martin Marietta Materials, Inc.

     398        109,092  

Mosaic Co.

     2,258        46,289  

Newmont Goldcorp Corp.

     5,212        197,639  

Nucor Corp.

     1,931        98,307  

Packaging Corp. of America

     602        63,872  

PPG Industries, Inc.

     1,505        178,358  

Sealed Air Corp.

     987        40,971  

Sherwin-Williams Co.

     524        288,132  

Vulcan Materials Co.

     845        127,798  

WestRock Co.

     1,633        59,523  
     

 

 

 
        4,296,923  
     

 

 

 

REAL ESTATE (1.7%)

     

Alexandria Real Estate Equities, Inc.

     721        111,063  

American Tower Corp.

     2,827        625,134  

Apartment Investment & Management Co. Cl A

     946        49,325  

AvalonBay Communities, Inc.

     889        191,428  

Boston Properties, Inc.

     914        118,509  

CBRE Group, Inc. Cl A*

     2,146        113,760  

Crown Castle International Corp.

     2,657        369,350  

Digital Realty Trust, Inc.

     1,327        172,258  

Duke Realty Corp.

     2,302        78,199  

Equinix, Inc.

     541        312,049  

Equity Residential

     2,221        191,584  

Essex Property Trust, Inc.

     418        136,540  

Extra Space Storage, Inc.

     819        95,676  

Federal Realty Investment Trust

     443        60,310  

HCP, Inc.

     3,125        111,344  

Host Hotels & Resorts, Inc.

     4,642        80,260  

Iron Mountain, Inc.

     1,826        59,144  

Kimco Realty Corp.

     2,681        55,979  

Macerich Co.

     697        22,018  

Mid-America Apartment Communities, Inc.

     724        94,127  

Prologis, Inc.

     4,018        342,414  

Public Storage

     956        234,478  

Realty Income Corp.

     2,023        155,124  

Regency Centers Corp.

     1,064        73,937  

SBA Communications Corp. Cl A

     723        174,351  

Simon Property Group, Inc.

     1,953        303,985  

SL Green Realty Corp.

     523        42,755  

UDR, Inc.

     1,861        90,221  

Ventas, Inc.

     2,371        173,154  

Vornado Realty Trust

     1,008        64,179  

Welltower, Inc.

     2,576        233,514  

Weyerhaeuser Co.

     4,737        131,215  
     

 

 

 
        5,067,384  
     

 

 

 

UTILITIES (1.9%)

     

AES Corp.

     4,223        69,004  

Alliant Energy Corp.

     1,514        81,650  

Ameren Corp.

     1,567        125,438  


MUTUAL OF AMERICA INVESTMENT CORPORATION - ALL AMERICA FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

American Electric Power Co., Inc.

     3,148        294,936  

American Water Works Co., Inc.

     1,149        142,740  

Atmos Energy Corp.

     753        85,759  

CenterPoint Energy, Inc.

     3,200        96,576  

CMS Energy Corp.

     1,807        115,558  

Consolidated Edison, Inc.

     2,115        199,804  

Dominion Energy, Inc.

     5,235        424,244  

DTE Energy Co.

     1,167        155,164  

Duke Energy Corp.

     4,638        444,599  

Edison International

     2,275        171,580  

Entergy Corp.

     1,266        148,578  

Evergy, Inc.

     1,501        99,906  

Eversource Energy

     2,061        176,154  

Exelon Corp.

     6,186        298,846  

FirstEnergy Corp.

     3,446        166,201  

NextEra Energy, Inc.

     3,111        724,832  

NiSource, Inc.

     2,377        71,120  

NRG Energy, Inc.

     1,611        63,795  

Pinnacle West Capital Corp.

     715        69,405  

PPL Corp.

     4,599        144,822  

Public Svc. Enterprise Group, Inc.

     3,219        199,836  

Sempra Energy

     1,749        258,170  

Southern Co.

     6,652        410,894  

WEC Energy Group, Inc.

     2,010        191,151  

Xcel Energy, Inc.

     3,339        216,668  
     

 

 

 
        5,647,430  
     

 

 

 

TOTAL INDEXED ASSETS - COMMON STOCKS
(Cost: $91,158,540) 53.3%

        157,468,650  
     

 

 

 

 

     Rating**      Rate(%)      Maturity      Face Amount      Value  

INDEXED ASSETS:

              

SHORT-TERM DEBT SECURITIES:

              

U.S. GOVERNMENT (0.0%) (2)

              

U.S. Treasury Bill (1)

     A-1+        1.93        12/12/2019        5,000        4,982  
              

 

 

 

TOTAL INDEXED ASSETS - SHORT TERM-DEBT (0.0%) (2)
(Cost: $4,981) 0.0% (2)

 

              4,982  
              

 

 

 

TOTAL INDEXED ASSETS
(Cost: $91,163,521) 53.3%

                 157,473,632  
              

 

 

 
                          Shares      Value  

ACTIVE ASSETS:

              

COMMON STOCKS:

              

COMMUNICATION SERVICES (1.2%)

 

     

CBS Corp. Cl B

              4,445        179,445  

Cogent Communications Hldgs., Inc.

              2,570        141,607  

Discovery, Inc. Cl A*

              4,734        126,066  

Discovery, Inc. Cl C*

              27,486        676,704  

Gray Television, Inc.*

              8,489        138,540  

Lions Gate Entertainment Corp. Cl A*

              2,486        22,996  

MSG Networks, Inc. Cl A*

              9,587        155,501  

Nexstar Media Group, Inc. Cl A

              2,760        282,376  

ORBCOMM, Inc.*

              31,434        149,626  

Shenandoah Telecommunications Co.

              7,955        252,730  

Take-Two Interactive Software, Inc.*

              2,233        279,885  

TEGNA, Inc.

              24,604        382,100  

World Wrestling Entertainment, Inc. Cl A

              1,659        118,038  

Zayo Group Hldgs., Inc.*

              4,484        152,008  

Zynga, Inc. Cl A*

              67,690        393,956  
              

 

 

 
                 3,451,578  
              

 

 

 


MUTUAL OF AMERICA INVESTMENT CORPORATION - ALL AMERICA FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

CONSUMER DISCRETIONARY (4.1%)

     

AutoZone, Inc.*

     906        982,666  

Bloomin’ Brands, Inc.

     46,888        887,590  

BorgWarner, Inc.

     8,356        306,498  

Bright Horizons Family Solutions, Inc.*

     1,968        300,120  

Caleres, Inc.

     10,223        239,320  

Capri Hldgs. Ltd.*

     6,443        213,650  

Chegg, Inc.*

     3,712        111,174  

Dave & Buster’s Entertainment, Inc.

     13,636        531,122  

Etsy, Inc.*

     4,072        230,068  

Expedia Group, Inc.

     1,151        154,706  

Five Below, Inc.*

     6,278        791,656  

Foot Locker, Inc.

     3,100        133,796  

Fox Factory Hldg. Corp.*

     1,700        105,808  

Grand Canyon Education, Inc.*

     2,944        289,101  

Haverty Furniture Cos., Inc.

     21,471        435,217  

Hilton Grand Vacations, Inc.*

     3,587        114,784  

Lithia Motors, Inc. Cl A

     7,493        991,924  

Marriott International, Inc. Cl A

     2,882        358,435  

Marriott Vacations Worldwide Corp.

     9,655        1,000,356  

NVR, Inc.*

     107        397,756  

Playa Hotels & Resorts NV*

     26,102        204,379  

Qurate Retail, Inc. Cl A*

     4,533        46,758  

Ralph Lauren Corp. Cl A

     5,335        509,332  

Red Rock Resorts, Inc. Cl A

     20,098        408,090  

Skyline Champion Corp.*

     5,621        169,136  

Sonic Automotive, Inc. Cl A

     8,184        257,059  

Sonos, Inc.*

     8,505        114,052  

Steven Madden Ltd.

     14,598        522,462  

Taylor Morrison Home Corp. Cl A*

     6,543        169,725  

Thor Industries, Inc.

     5,613        317,920  

Tractor Supply Co.

     6,451        583,428  

Unifi, Inc.*

     1,771        38,820  

ZAGG, Inc.*

     37,349        234,178  
     

 

 

 
        12,151,086  
     

 

 

 

CONSUMER STAPLES (1.4%)

     

Church & Dwight Co., Inc.

     9,665        727,195  

Constellation Brands, Inc. Cl A

     7,119        1,475,625  

Crimson Wine Group Ltd.*

     43,911        331,528  

Freshpet, Inc.*

     3,993        198,732  

Ingredion, Inc.

     1,271        103,892  

JM Smucker Co.

     3,154        347,004  

Tyson Foods, Inc. Cl A

     1,711        147,385  

Vector Group Ltd.

     55,784        664,387  

WD-40 Co.

     1,178        216,210  
     

 

 

 
        4,211,958  
     

 

 

 

ENERGY (1.4%)

     

Abraxas Petroleum Corp.*

     8,050        4,085  

Baker Hughes, a GE Co. Cl A

     4,789        111,105  

Callon Petroleum Co.*

     42,847        185,956  

Cheniere Energy, Inc.*

     2,658        167,613  

Continental Resources, Inc.*

     9,419        290,011  

CrossAmerica Partners LP*

     10,137        172,937  

Devon Energy Corp.

     14,326        344,684  

Hess Corp.

     2,097        126,826  

Kosmos Energy Ltd.

     100,836        629,217  

Matrix Svc. Co.*

     6,579        112,764  

MPLX LP

     4,417        123,720  

Noble Energy, Inc.

     6,939        155,850  

PBF Energy, Inc. Cl A

     32,436        881,936  

PDC Energy, Inc.*

     6,225        172,744  

ProPetro Hldg. Corp.*

     14,414        131,023  

Williams Cos., Inc.

     27,200        654,432  
     

 

 

 
        4,264,903  
     

 

 

 


MUTUAL OF AMERICA INVESTMENT CORPORATION - ALL AMERICA FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

FINANCIALS (7.9%)

     

Allegiance Bancshares, Inc.*

     7,265        233,134  

American Equity Investment Life Hldg. Co.

     13,739        332,484  

American Financial Group, Inc.

     3,362        362,592  

Ameriprise Financial, Inc.

     4,635        681,809  

Argo Group International Hldgs. Ltd.

     4,493        315,588  

Associated Banc-Corp.

     13,046        264,182  

BancFirst Corp.

     9,280        514,298  

Bank of Marin Bancorp

     6,872        285,119  

BankUnited, Inc.

     6,280        211,134  

Banner Corp.

     8,056        452,506  

Blackstone Mortgage Trust, Inc. Cl A

     9,935        356,170  

Brookline Bancorp, Inc.

     30,925        455,525  

Brown & Brown, Inc.

     10,450        376,827  

Bryn Mawr Bank Corp.

     8,813        321,763  

Cadence BanCorporation Cl A

     14,540        255,032  

Cboe Global Markets, Inc.

     3,128        359,438  

CenterState Bank Corp.

     2,686        64,424  

Citizens Financial Group, Inc.

     2,478        87,647  

Columbia Banking System, Inc.

     4,589        169,334  

Dime Community Bancshares, Inc.

     13,838        296,272  

Discover Financial Svcs.

     6,505        527,491  

East West Bancorp, Inc.

     6,593        292,004  

Ellington Financial, Inc.

     27,128        490,203  

Enterprise Financial Svcs. Corp.

     9,901        403,466  

Essent Group Ltd.

     11,140        531,044  

Everest Re Group Ltd.

     1,919        510,627  

Fifth Third Bancorp

     21,684        593,708  

First Interstate BancSystem, Inc. Cl A

     12,178        490,043  

First Merchants Corp.

     6,706        252,380  

First Republic Bank

     3,514        339,804  

Flushing Financial Corp.

     10,683        215,850  

Great Southern Bancorp, Inc.

     3,861        219,884  

Hartford Financial Svcs. Group, Inc.

     13,334        808,174  

Heritage Commerce Corp.

     15,668        184,177  

Heritage Financial Corp.

     8,854        238,704  

IBERIABANK Corp.

     4,884        368,937  

Investors Bancorp, Inc.

     14,136        160,585  

iShares Micro-Cap ETF

     3,662        322,805  

iShares Russell 2000 Growth ETF

     427        82,296  

iShares Russell Mid-Cap ETF

     2,302        128,797  

iShares Russell Mid-Cap Value ETF

     5,460        489,762  

KeyCorp

     45,197        806,314  

Lincoln National Corp.

     4,290        258,773  

Marlin Business Svcs. Corp.

     14,708        370,495  

Moelis & Co. Cl A

     8,285        272,162  

Northfield Bancorp, Inc.

     22,805        366,248  

Peoples Bancorp, Inc.

     5,979        190,192  

Primerica, Inc.

     2,288        291,102  

Principal Financial Group, Inc.

     4,617        263,815  

Progressive Corp.

     11,228        867,361  

Raymond James Financial, Inc.

     4,479        369,338  

Reinsurance Group of America, Inc. Cl A

     4,321        690,841  

Selective Insurance Group, Inc.

     10,288        773,555  

Starwood Property Trust, Inc.

     36,873        893,063  

Sterling Bancorp

     7,194        144,312  

Stifel Financial Corp.

     4,734        271,637  

Stock Yards Bancorp, Inc.

     18,176        666,877  

SVB Financial Group*

     734        153,369  

Synchrony Financial

     2,729        93,032  

TriCo Bancshares

     6,035        219,070  

TriState Capital Hldgs., Inc.*

     8,524        179,345  

UMB Financial Corp.

     4,212        272,011  


MUTUAL OF AMERICA INVESTMENT CORPORATION - ALL AMERICA FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

United Financial Bancorp, Inc.

     5,841        79,613  

Voya Financial, Inc.

     7,132        388,266  

Wintrust Financial Corp.

     1,464        94,618  

Zions Bancorporation

     5,760        256,435  
     

 

 

 
        23,277,863  
     

 

 

 

HEALTH CARE (5.2%)

     

ABIOMED, Inc.*

     1,223        217,560  

Acadia Healthcare Co., Inc.*

     7,829        243,325  

ACADIA Pharmaceuticals, Inc.*

     5,998        215,868  

Acceleron Pharma, Inc.*

     3,235        127,815  

Agilent Technologies, Inc.

     8,138        623,614  

Alder Biopharmaceuticals, Inc.*

     6,072        114,518  

Alnylam Pharmaceuticals, Inc.*

     1,220        98,112  

Amicus Therapeutics, Inc.*

     11,339        90,939  

AxoGen, Inc.*

     4,806        59,979  

Blueprint Medicines Corp.*

     2,408        176,916  

Boston Scientific Corp.*

     4,330        176,188  

Cambrex Corp.*

     3,444        204,918  

CareDx, Inc.*

     3,571        80,740  

Centene Corp.*

     9,018        390,119  

Chemed Corp.

     870        363,286  

CRISPR Therapeutics AG*

     2,159        88,497  

Emergent BioSolutions, Inc.*

     10,388        543,084  

Encompass Health Corp.

     2,670        168,958  

Exact Sciences Corp.*

     2,135        192,940  

FibroGen, Inc.*

     2,010        74,330  

Global Blood Therapeutics, Inc.*

     1,870        90,732  

Globus Medical, Inc. Cl A*

     4,174        213,375  

Haemonetics Corp.*

     1,188        149,854  

HealthEquity, Inc.*

     5,139        293,668  

Hill-Rom Hldgs., Inc.

     4,364        459,224  

Horizon Therapeutics PLC*

     18,401        501,058  

Humana, Inc.

     843        215,530  

ICU Medical, Inc.*

     1,828        291,749  

Incyte Corp.*

     1,810        134,356  

Insmed, Inc.*

     4,575        80,703  

Insulet Corp.*

     1,146        189,010  

Intersect ENT, Inc.*

     4,472        76,069  

Invitae Corp.*

     5,278        101,707  

iRhythm Technologies, Inc.*

     2,832        209,880  

Karyopharm Therapeutics, Inc.*

     12,361        118,913  

LHC Group, Inc.*

     2,617        297,187  

Madrigal Pharmaceuticals, Inc.*

     1,236        106,568  

Masimo Corp.*

     1,901        282,850  

Medicines Co.*

     4,878        243,900  

Mettler-Toledo International, Inc.*

     485        341,634  

Natera, Inc.*

     2,527        82,886  

Neogen Corp.*

     2,783        189,550  

NeoGenomics, Inc.*

     7,783        148,811  

Neurocrine Biosciences, Inc.*

     2,321        209,145  

Novocure Ltd.*

     2,748        205,495  

Omnicell, Inc.*

     3,636        262,774  

Pacific Biosciences of California, Inc.*

     11,797        60,873  

Penumbra, Inc.*

     1,585        213,167  

Quidel Corp.*

     1,787        109,632  

Repligen Corp.*

     3,566        273,477  

Sage Therapeutics, Inc.*

     1,534        215,205  

SeaSpine Hldgs. Corp.*

     6,145        75,030  

Sientra, Inc.*

     34,856        225,867  

Simulations Plus, Inc.

     2,065        71,656  

STAAR Surgical Co.*

     3,140        80,949  

Supernus Pharmaceuticals, Inc.*

     21,879        601,234  

Tabula Rasa HealthCare, Inc.*

     3,374        185,368  


MUTUAL OF AMERICA INVESTMENT CORPORATION - ALL AMERICA FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Tactile Systems Technology, Inc.*

     3,719        157,388  

Tandem Diabetes Care, Inc.*

     3,864        227,899  

Teladoc Health, Inc.*

     3,304        223,747  

Ultragenyx Pharmaceutical, Inc.*

     2,022        86,501  

US Physical Therapy, Inc.

     1,768        230,812  

Veeva Systems, Inc. Cl A*

     2,885        440,511  

Vericel Corp.*

     20,891        316,290  

Waters Corp.*

     760        169,655  

Wright Medical Group NV*

     16,878        348,193  

Xencor, Inc.*

     5,012        169,055  

Zimmer Biomet Hldgs., Inc.

     4,731        649,423  

Zoetis, Inc. Cl A

     1,930        240,459  

Zogenix, Inc.*

     2,844        113,874  
     

 

 

 
        15,234,599  
     

 

 

 

INDUSTRIALS (6.5%)

     

AAR Corp.

     5,795        238,812  

Alaska Air Group, Inc.

     9,074        588,994  

BG Staffing, Inc.

     4,411        84,294  

Brink’s Co.

     12,340        1,023,602  

Builders FirstSource, Inc.*

     6,928        142,544  

Carlisle Cos., Inc.

     4,066        591,766  

CH Robinson Worldwide, Inc.

     2,330        197,538  

Daseke, Inc.*

     17,123        42,808  

Dover Corp.

     3,676        365,982  

Echo Global Logistics, Inc.*

     10,341        234,224  

EMCOR Group, Inc.

     4,784        411,998  

Encore Wire Corp.

     8,833        497,121  

EnerSys

     1,964        129,506  

Exponent, Inc.

     4,393        307,071  

Fortive Corp.

     2,210        151,518  

Generac Hldgs., Inc.*

     4,168        326,521  

Gorman-Rupp Co.

     9,495        330,331  

HD Supply Hldgs., Inc.*

     5,005        196,071  

Heidrick & Struggles International, Inc.

     5,979        163,227  

Hillenbrand, Inc.

     6,304        194,668  

Hubbell, Inc. Cl B

     1,940        254,916  

IAA, Inc.*

     13,466        561,936  

John Bean Technologies Corp.

     1,913        190,210  

Kirby Corp.*

     4,617        379,333  

Knight-Swift Transportation Hldgs., Inc. Cl A

     6,258        227,165  

Knoll, Inc.

     5,871        148,830  

Kratos Defense & Security Solutions, Inc.*

     25,632        476,627  

L-3 Harris Technologies, Inc.

     8,269        1,725,243  

Lennox International, Inc.

     2,094        508,779  

Lincoln Electric Hldgs., Inc.

     3,242        281,276  

Miller Industries, Inc.

     20,576        685,180  

Mueller Industries, Inc.

     37,784        1,083,644  

Old Dominion Freight Line, Inc.

     6,109        1,038,346  

Oshkosh Corp.

     2,889        218,986  

Quad/Graphics, Inc.

     33,014        346,977  

Rockwell Automation, Inc.

     2,874        473,635  

Roper Technologies, Inc.

     789        281,358  

Simpson Manufacturing Co., Inc.

     4,783        331,797  

Spirit Airlines, Inc.*

     13,390        486,057  

Stanley Black & Decker, Inc.

     2,715        392,074  

Stericycle, Inc.*

     2,720        138,530  

Teledyne Technologies, Inc.*

     2,325        748,627  

Trex Co., Inc.*

     6,233        566,767  

United Rentals, Inc.*

     2,330        290,411  

Universal Forest Products, Inc.

     7,478        298,223  

US Ecology, Inc.

     2,982        190,669  

VSE Corp.

     11,882        405,057  

Willdan Group, Inc.*

     5,715        200,482  
     

 

 

 
        19,149,731  
     

 

 

 


MUTUAL OF AMERICA INVESTMENT CORPORATION - ALL AMERICA FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

INFORMATION TECHNOLOGY (6.6%)

     

Akoustis Technologies, Inc.*

     18,169        140,810  

Altair Engineering, Inc. Cl A*

     5,515        190,929  

Amphenol Corp. Cl A

     4,815        464,648  

Analog Devices, Inc.

     4,175        466,472  

Anixter International, Inc.*

     2,977        205,770  

Cabot Microelectronics Corp.

     1,221        172,417  

Cardtronics PLC Cl A*

     10,155        307,087  

Ciena Corp.*

     2,890        113,375  

Cohu, Inc.

     16,443        222,063  

Cornerstone OnDemand, Inc.*

     2,924        160,294  

Cypress Semiconductor Corp.

     23,748        554,278  

DXC Technology Co.

     6,856        202,252  

EchoStar Corp. Cl A*

     1,340        53,091  

EPAM Systems, Inc.*

     3,125        569,750  

Euronet Worldwide, Inc.*

     3,000        438,900  

Everspin Technologies, Inc.*

     17,786        109,028  

Fidelity National Information Svcs., Inc.

     8,029        1,065,931  

Five9, Inc.*

     10,304        553,737  

Global Payments, Inc.

     4,796        762,564  

Globant S.A.*

     3,202        293,239  

Guidewire Software, Inc.*

     2,767        291,586  

II-VI, Inc.*

     9,429        331,995  

Itron, Inc.*

     2,329        172,253  

KEMET Corp.

     9,475        172,256  

KLA Corp.

     1,976        315,074  

Lattice Semiconductor Corp.*

     7,091        129,659  

LivePerson, Inc.*

     6,972        248,900  

LogMeIn, Inc.

     7,616        540,431  

Lumentum Hldgs., Inc.*

     5,263        281,886  

ManTech International Corp. Cl A

     3,070        219,229  

MaxLinear, Inc. Cl A*

     8,266        184,993  

Microchip Technology, Inc.

     2,422        225,028  

MKS Instruments, Inc.

     5,341        492,867  

Monolithic Power Systems, Inc.

     1,465        227,998  

Motorola Solutions, Inc.

     1,385        236,017  

New Relic, Inc.*

     2,792        171,568  

Nokia Oyj

     18,980        96,039  

Novanta, Inc.*

     2,410        196,945  

Palo Alto Networks, Inc.*

     963        196,288  

Perficient, Inc.*

     15,632        603,083  

Perspecta, Inc.

     10,832        282,932  

Plexus Corp.*

     2,647        165,464  

Proofpoint, Inc.*

     5,264        679,320  

PTC, Inc.*

     6,730        458,851  

Pure Storage, Inc. Cl A*

     20,981        355,418  

Q2 Hldgs., Inc.*

     3,151        248,519  

Qorvo, Inc.*

     1,733        128,485  

Rapid7, Inc.*

     8,922        404,970  

RealPage, Inc.*

     4,300        270,298  

Richardson Electronics Ltd.*

     41,267        239,349  

SailPoint Technologies Hldg., Inc.*

     5,265        98,403  

Science Applications International Corp.

     2,523        220,384  

Semtech Corp.*

     2,576        125,219  

Sequans Communications S.A.*

     67,510        58,599  

ServiceNow, Inc.*

     1,323        335,844  

Silicon Laboratories, Inc.*

     2,208        245,861  

Splunk, Inc.*

     3,394        400,017  

Square, Inc. Cl A*

     2,945        182,443  

SYNNEX Corp.

     5,242        591,822  

Synopsys, Inc.*

     2,284        313,478  

ViaSat, Inc.*

     1,360        102,435  


MUTUAL OF AMERICA INVESTMENT CORPORATION - ALL AMERICA FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Western Digital Corp.

     1,850        110,334  

Xilinx, Inc.

     2,308        221,337  

Xperi Corp.

     14,668        303,334  

Xura, Inc.*

     11,415        285,375 †† 

Zendesk, Inc.*

     4,730        344,722  
     

 

 

 
        19,553,943  
     

 

 

 

MATERIALS (2.3%)

     

Ashland Global Hldgs., Inc.

     4,267        328,772  

Berry Global Group, Inc.*

     6,334        248,736  

Boise Cascade Co.

     6,905        225,034  

Cleveland-Cliffs, Inc.

     33,176        239,531  

Compass Minerals International, Inc.

     1,580        89,254  

Crown Hldgs., Inc.*

     14,469        955,823  

Ferroglobe Representation & Warranty Insurance Trust*

     6,080        0 †† 

FMC Corp.

     1,955        171,415  

Freeport-McMoRan, Inc.

     23,358        223,536  

Ingevity Corp.*

     3,185        270,215  

Innospec, Inc.

     1,890        168,475  

International Flavors & Fragrances, Inc.

     990        121,463  

International Paper Co.

     4,465        186,726  

Mosaic Co.

     1,976        40,508  

Newmont Goldcorp Corp.

     14,160        536,947  

Nucor Corp.

     2,592        131,959  

Olin Corp.

     35,821        670,569  

Packaging Corp. of America

     8,454        896,971  

PolyOne Corp.

     7,668        250,360  

Royal Gold, Inc.

     1,966        242,231  

Steel Dynamics, Inc.

     13,593        405,071  

Vulcan Materials Co.

     3,436        519,660  
     

 

 

 
        6,923,256  
     

 

 

 

REAL ESTATE (4.7%)

     

Alexander’s, Inc.

     739        257,475  

American Campus Communities, Inc.

     3,937        189,291  

Americold Realty Trust

     17,415        645,574  

Apartment Investment & Management Co. Cl A

     5,106        266,227  

AvalonBay Communities, Inc.

     1,382        297,586  

Brandywine Realty Trust

     63,357        959,859  

Camden Property Trust

     3,212        356,564  

CareTrust REIT, Inc.

     7,417        174,337  

Chatham Lodging Trust

     9,070        164,620  

Consolidated-Tomoka Land Co.

     2,039        133,758  

Cousins Properties, Inc.

     9,585        360,300  

Duke Realty Corp.

     31,281        1,062,616  

Easterly Government Properties, Inc.

     41,152        876,538  

Equity LifeStyle Properties, Inc.

     1,103        147,361  

Essex Property Trust, Inc.

     818        267,199  

GEO Group, Inc.

     26,519        459,839  

Hannon Armstrong Sustainable Infrastructure Capital, Inc.

     3,196        93,163  

Highwoods Properties, Inc.

     7,545        339,072  

Host Hotels & Resorts, Inc.

     27,197        470,236  

Industrial Logistics Properties Trust

     12,389        263,266  

JBG SMITH Properties

     6,650        260,746  

Kilroy Realty Corp.

     9,276        722,508  

Liberty Property Trust

     3,160        162,203  

Macerich Co.

     2,486        78,533  

Medical Properties Trust, Inc.

     21,317        416,961  

Park Hotels & Resorts, Inc.

     7,100        177,287  

Prologis, Inc.

     1,664        141,806  

QTS Realty Trust, Inc. Cl A

     4,403        226,358  

Redfin Corp.*

     7,140        120,238  

Regency Centers Corp.

     1,153        80,122  

RLJ Lodging Trust

     9,922        168,575  

Sabra Health Care REIT, Inc.

     15,025        344,974  


MUTUAL OF AMERICA INVESTMENT CORPORATION - ALL AMERICA FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

SBA Communications Corp. Cl A

     2,793        673,532  

Spirit Realty Capital, Inc.

     7,775        372,112  

Summit Hotel Properties, Inc.

     6,354        73,706  

Sun Communities, Inc.

     3,290        488,400  

Terreno Realty Corp.

     18,136        926,568  

Urstadt Biddle Properties, Inc. Cl A

     3,958        93,805  

Vornado Realty Trust

     2,097        133,516  

Welltower, Inc.

     3,685        334,046  

Weyerhaeuser Co.

     4,102        113,625  
     

 

 

 
        13,894,502  
     

 

 

 

UTILITIES (3.3%)

     

AES Corp.

     11,487        187,697  

Ameren Corp.

     4,915        393,446  

Avista Corp.

     8,023        388,634  

Black Hills Corp.

     4,398        337,459  

Chesapeake Utilities Corp.

     2,633        250,978  

Consolidated Edison, Inc.

     3,811        360,025  

Edison International

     7,076        533,672  

Entergy Corp.

     3,035        356,187  

Evergy, Inc.

     11,835        787,738  

Eversource Energy

     2,856        244,102  

FirstEnergy Corp.

     13,498        651,009  

IDACORP, Inc.

     3,536        398,401  

NiSource, Inc.

     23,823        712,785  

Northwest Natural Hldg. Co.

     3,373        240,630  

NorthWestern Corp.

     4,799        360,165  

PNM Resources, Inc.

     7,454        388,204  

Portland General Electric Co.

     7,197        405,695  

PPL Corp.

     7,697        242,378  

Public Svc. Enterprise Group, Inc.

     6,994        434,187  

Sempra Energy

     5,863        865,438  

Spire, Inc.

     2,869        250,292  

Suburban Propane Partners LP

     10,748        253,975  

UGI Corp.

     12,087        607,613  
     

 

 

 
        9,650,710  
     

 

 

 

TOTAL ACTIVE ASSETS - COMMON STOCKS
(Cost: $113,809,623) 44.6%

        131,764,129  
     

 

 

 

 

     Rating**      Rate(%)      Maturity      Face Amount      Value  

ACTIVE ASSETS:

              

SHORT-TERM DEBT SECURITIES:

              

U.S. GOVERNMENT AGENCIES (1.5%)

              

FHLB

     A-1+        1.50        10/01/2019        4,300,000        4,300,000  
              

 

 

 

TOTAL ACTIVE ASSETS - SHORT-TERM DEBT SECURITIES
(Cost: $4,300,000) 1.5%

 

              4,300,000  
              

 

 

 

TOTAL ACTIVE ASSETS
(Cost: $118,109,623) 46.1%

                 136,064,129  
              

 

 

 
            Rate(%)      Maturity      Face Amount      Value  

TEMPORARY CASH INVESTMENT (0.5%)

              

Citibank, New York Time Deposit

        1.15        10/01/19        83,694        83,694  

JP Morgan Chase, New York Time Deposit

        1.15        10/01/19        1,341,278        1,341,278  
              

 

 

 
                 1,424,972  
              

 

 

 

TOTAL TEMPORARY CASH INVESTMENT
(Cost: $1,424,972) 0.5%

                 1,424,972  
              

 

 

 

TOTAL INVESTMENTS
(Cost: $210,698,116) 99.9%

                 294,962,733  
              

 

 

 

OTHER NET ASSETS 0.1%

                 253,079  
              

 

 

 

NET ASSETS 100.0%

               $ 295,215,812  
              

 

 

 

 

 

The disclosures regarding Fair Value and Security Valuation included in the Notes to Portfolios of Investments in Securities

are an integral part of these portfolio schedules.


MUTUAL OF AMERICA INVESTMENT CORPORATION - SMALL CAP VALUE FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

     Shares      Value  

COMMON STOCKS:

     

COMMUNICATION SERVICES (1.8%)

     

MSG Networks, Inc. Cl A*

     59,831        970,459  

ORBCOMM, Inc.*

     450,982        2,146,674  

TEGNA, Inc.

     364,426        5,659,536  
     

 

 

 
        8,776,669  
     

 

 

 

CONSUMER DISCRETIONARY (7.8%)

     

Bloomin’ Brands, Inc.

     274,755        5,201,112  

Caleres, Inc.

     151,432        3,545,023  

Capri Hldgs. Ltd.*

     39,204        1,300,004  

Haverty Furniture Cos., Inc.

     161,738        3,278,429  

Hilton Grand Vacations, Inc.*

     30,773        984,736  

Lithia Motors, Inc. Cl A

     25,967        3,437,512  

Marriott Vacations Worldwide Corp.

     72,172        7,477,741  

Playa Hotels & Resorts NV*

     386,301        3,024,737  

Sonic Automotive, Inc. Cl A

     121,062        3,802,557  

Taylor Morrison Home Corp. Cl A*

     49,672        1,288,492  

Unifi, Inc.*

     26,928        590,262  

ZAGG, Inc.*

     552,838        3,466,294  
     

 

 

 
        37,396,899  
     

 

 

 

CONSUMER STAPLES (1.8%)

     

Crimson Wine Group Ltd.*

     592,228        4,471,321  

Vector Group Ltd.

     378,613        4,509,281  
     

 

 

 
        8,980,602  
     

 

 

 

ENERGY (4.0%)

     

Abraxas Petroleum Corp.*

     123,043        62,444  

Callon Petroleum Co.*

     639,474        2,775,317  

CrossAmerica Partners LP*

     141,026        2,405,904  

Matrix Svc. Co.*

     93,893        1,609,326  

PBF Energy, Inc. Cl A

     299,769        8,150,719  

PDC Energy, Inc.*

     88,935        2,467,946  

ProPetro Hldg. Corp.*

     204,445        1,858,405  
     

 

 

 
        19,330,061  
     

 

 

 

FINANCIALS (31.4%)

     

American Equity Investment Life Hldg. Co.

     209,543        5,070,941  

Argo Group International Hldgs. Ltd.

     66,864        4,696,527  

BancFirst Corp.

     137,579        7,624,628  

Bank of Marin Bancorp

     102,483        4,252,020  

Banner Corp.

     111,026        6,236,330  

Blackstone Mortgage Trust, Inc. Cl A

     142,903        5,123,073  

Brookline Bancorp, Inc.

     467,577        6,887,409  

Bryn Mawr Bank Corp.

     131,148        4,788,214  

Cadence Bancorporation Cl A

     214,936        3,769,977  

CenterState Bank Corp.

     40,029        960,096  

Columbia Banking System, Inc.

     64,859        2,393,297  

Dime Community Bancshares, Inc.

     189,077        4,048,139  

Ellington Financial, Inc.

     382,906        6,919,111  

Enterprise Financial Svcs. Corp.

     136,602        5,566,532  

Essent Group Ltd.

     99,865        4,760,564  

First Interstate BancSystem, Inc. Cl A

     180,052        7,245,292  

Flushing Financial Corp.

     155,678        3,145,474  

Great Southern Bancorp, Inc.

     57,840        3,293,988  

Heritage Commerce Corp.

     234,064        2,751,422  

IBERIABANK Corp.

     70,227        5,304,948  

Investors Bancorp, Inc.

     202,184        2,296,810  

iShares Russell 2000 Value ETF

     40,750        4,865,958  

Marlin Business Svcs. Corp.

     218,547        5,505,199  

Northfield Bancorp, Inc.

     322,561        5,180,330  

Peoples Bancorp, Inc.

     88,450        2,813,595  

Selective Insurance Group, Inc.

     131,565        9,892,372  

Sterling Bancorp

     101,722        2,040,543  

Stifel Financial Corp.

     68,097        3,907,406  

Stock Yards Bancorp, Inc.

     262,626        9,635,748  

TriCo Bancshares

     89,753        3,258,034  

UMB Financial Corp.

     63,033        4,070,671  

United Financial Bancorp, Inc.

     84,267        1,148,559  

Wintrust Financial Corp.

     20,944        1,353,611  
     

 

 

 
        150,806,818  
     

 

 

 


MUTUAL OF AMERICA INVESTMENT CORPORATION - SMALL CAP VALUE FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

HEALTH CARE (4.0%)

     

Acadia Healthcare Co., Inc.*

     116,913        3,633,656  

Emergent BioSolutions, Inc.*

     32,549        1,701,662  

Pacific Biosciences of California, Inc.*

     172,027        887,659  

SeaSpine Hldgs. Corp.*

     93,787        1,145,139  

Sientra, Inc.*

     211,317        1,369,334  

Supernus Pharmaceuticals, Inc.*

     186,829        5,134,061  

Vericel Corp.*

     175,869        2,662,656  

Wright Medical Group NV*

     134,782        2,780,553  
     

 

 

 
        19,314,720  
     

 

 

 

INDUSTRIALS (12.7%)

     

AAR Corp.

     86,423        3,561,492  

Builders FirstSource, Inc.*

     96,961        1,994,973  

Daseke, Inc.*

     255,354        638,385  

EMCOR Group, Inc.

     11,507        990,983  

Encore Wire Corp.

     128,668        7,241,435  

Hillenbrand, Inc.

     94,238        2,910,070  

Kratos Defense & Security Solutions, Inc.*

     155,635        2,894,033  

Miller Industries, Inc.

     305,039        10,157,799  

Mueller Industries, Inc.

     408,927        11,728,026  

Quad/Graphics, Inc.

     492,754        5,178,844  

Spirit Airlines, Inc.*

     97,803        3,550,249  

Universal Forest Products, Inc.

     105,021        4,188,237  

VSE Corp.

     170,285        5,805,016  
     

 

 

 
        60,839,542  
     

 

 

 

INFORMATION TECHNOLOGY (9.2%)

     

Anixter International, Inc.*

     42,018        2,904,284  

Cardtronics PLC Cl A*

     63,730        1,927,195  

Cohu, Inc.

     101,722        1,373,755  

EchoStar Corp. Cl A*

     20,127        797,432  

Everspin Technologies, Inc.*

     122,444        750,582  

II-VI, Inc.*

     48,658        1,713,248  

KEMET Corp.

     136,859        2,488,097  

Lumentum Hldgs., Inc.*

     34,971        1,873,047  

ManTech International Corp. Cl A

     44,195        3,155,965  

MKS Instruments, Inc.

     17,813        1,643,784  

Perficient, Inc.*

     86,931        3,353,798  

Perspecta, Inc.

     101,626        2,654,471  

Plexus Corp.*

     37,483        2,343,062  

Richardson Electronics Ltd.*

     604,858        3,508,177  

Sequans Communications S.A. ADR*

     923,354        801,471  

SYNNEX Corp.

     56,093        6,332,900  

ViaSat, Inc.*

     14,773        1,112,702  

Xperi Corp.

     115,510        2,388,747  

Xura, Inc.*

     128,245        3,206,125 †† 
     

 

 

 
        44,328,842  
     

 

 

 

MATERIALS (3.4%)

     

Berry Global Group, Inc.*

     51,600        2,026,332  

Boise Cascade Co.

     99,861        3,254,470  

Cleveland-Cliffs, Inc.

     495,109        3,574,687  

Olin Corp.

     192,659        3,606,576  

PolyOne Corp.

     111,574        3,642,891  

Lyondell Basell Industries—contingent value rights*

     448        0 †† 
     

 

 

 
        16,104,956  
     

 

 

 

REAL ESTATE (11.9%)

     

Alexander’s, Inc.

     6,312        2,199,164  

Chatham Lodging Trust

     130,384        2,366,470  

Consolidated-Tomoka Land Co.

     30,390        1,993,584  

Cousins Properties, Inc.

     137,737        5,177,534  

Easterly Government Properties, Inc.

     272,040        5,794,452  

GEO Group, Inc.

     273,082        4,735,242  

Hannon Armstrong Sustainable Infrastructure Capital, Inc.

     48,863        1,424,356  

Highwoods Properties, Inc.

     108,971        4,897,157  

Industrial Logistics Properties Trust

     189,034        4,016,972  

JBG SMITH Properties

     95,020        3,725,734  

Medical Properties Trust, Inc.

     312,346        6,109,488  

Park Hotels & Resorts, Inc.

     105,173        2,626,170  


MUTUAL OF AMERICA INVESTMENT CORPORATION - SMALL CAP VALUE FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

RLJ Lodging Trust

     142,627        2,423,233  

Sabra Health Care REIT, Inc.

     215,986        4,959,038  

Spirit Realty Capital, Inc.

     45,411        2,173,370  

Summit Hotel Properties, Inc.

     95,132        1,103,531  

Urstadt Biddle Properties, Inc. Cl A

     57,628        1,365,784  
     

 

 

 
        57,091,279  
     

 

 

 

UTILITIES (8.3%)

 

Avista Corp.

     115,274        5,583,873  

Black Hills Corp.

     63,225        4,851,254  

IDACORP, Inc.

     50,486        5,688,258  

Northwest Natural Hldg. Co.

     48,079        3,429,956  

NorthWestern Corp.

     68,889        5,170,120  

PNM Resources, Inc.

     105,541        5,496,575  

Portland General Electric Co.

     102,799        5,794,780  

Spire, Inc.

     41,346        3,607,025  
     

 

 

 
        39,621,841  
     

 

 

 

TOTAL COMMON STOCKS
(Cost: $421,902,883) 96.3%

        462,592,229  
     

 

 

 

 

     Rating**      Rate(%)      Maturity      Face Amount      Value  

SHORT-TERM DEBT SECURITIES:

              

U.S. GOVERNMENT (2.1%)

 

     

U.S. Treasury Bill

     A-1+        2.04        10/17/19        10,000,000        9,990,965  
              

 

 

 
              

U.S. GOVERNMENT AGENCIES (1.8%)

 

     

FHLB

     A-1+        1.50        10/01/19        8,500,000        8,500,000  
              

 

 

 
              

COMMERCIAL PAPER (1.0%)

 

     

United Parcel Svc., Inc.†

     A-1        1.75        10/01/19        5,000,000        5,000,000  
              

 

 

 

TOTAL SHORT-TERM DEBT SECURITIES
(Cost: $23,490,965) 4.9%

 

        23,490,965  
        

 

 

 

TOTAL INVESTMENTS
(Cost: $445,393,848) 101.2%

 

        486,083,194  
     

 

 

 

OTHER NET ASSETS -1.2%

 

        (5,633,921
     

 

 

 

NET ASSETS 100.0%

 

      $ 480,449,273  
     

 

 

 

 

 

The disclosures regarding Fair Value and Security Valuation included in the Notes to Portfolios of Investments in Securities

are an integral part of these portfolio schedules.


MUTUAL OF AMERICA INVESTMENT CORPORATION - SMALL CAP GROWTH FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

     Shares      Value  

COMMON STOCKS:

     

COMMUNICATION SERVICES (3.4%)

     

Cogent Communications Hldgs., Inc.

     42,979        2,368,143  

Gray Television, Inc.*

     141,648        2,311,695  

Nexstar Media Group, Inc. Cl A

     46,345        4,741,557  

Shenandoah Telecommunications Co.

     133,320        4,235,576  

World Wrestling Entertainment, Inc. Cl A

     27,661        1,968,080  

Zynga, Inc. Cl A*

     453,474        2,639,219  
     

 

 

 
        18,264,270  
     

 

 

 

CONSUMER DISCRETIONARY (12.0%)

     

Bloomin’ Brands, Inc.

     481,255        9,110,157  

Chegg, Inc.*

     61,929        1,854,773  

Dave & Buster’s Entertainment, Inc.

     95,614        3,724,166  

Etsy, Inc.*

     67,926        3,837,819  

Five Below, Inc.*

     60,686        7,652,505  

Fox Factory Hldg. Corp.*

     28,305        1,761,703  

Grand Canyon Education, Inc.*

     23,184        2,276,669  

Haverty Furniture Cos., Inc.

     176,647        3,580,634  

Lithia Motors, Inc. Cl A

     42,302        5,599,939  

Marriott Vacations Worldwide Corp.

     29,298        3,035,566  

Red Rock Resorts, Inc. Cl A

     339,069        6,884,796  

Skyline Champion Corp.*

     94,025        2,829,212  

Sonos, Inc.*

     141,033        1,891,253  

Steven Madden Ltd.

     246,411        8,819,050  

Thor Industries, Inc.

     41,593        2,355,827  
     

 

 

 
        65,214,069  
     

 

 

 

CONSUMER STAPLES (1.9%)

     

Freshpet, Inc.*

     66,624        3,315,877  

Vector Group Ltd.

     255,538        3,043,458  

WD-40 Co.

     20,047        3,679,426  
     

 

 

 
        10,038,761  
     

 

 

 

ENERGY (0.9%)

     

Kosmos Energy Ltd.

     765,202        4,774,860  
     

 

 

 
     

FINANCIALS (7.0%)

     

Allegiance Bancshares, Inc.*

     91,531        2,937,230  

Essent Group Ltd.

     73,808        3,518,427  

First Merchants Corp.

     111,607        4,200,329  

Heritage Financial Corp.

     147,310        3,971,478  

iShares Micro-Cap ETF

     61,286        5,402,361  

Moelis & Co. Cl A

     139,328        4,576,925  

Primerica, Inc.

     38,587        4,909,424  

Selective Insurance Group, Inc.

     27,662        2,079,906  

Starwood Property Trust, Inc.

     146,143        3,539,583  

TriState Capital Hldgs., Inc.*

     141,824        2,983,977  
     

 

 

 
        38,119,640  
     

 

 

 

HEALTH CARE (25.0%)

     

ACADIA Pharmaceuticals, Inc.*

     100,600        3,620,594  

Acceleron Pharma, Inc.*

     54,804        2,165,306  

Alder Biopharmaceuticals, Inc.*

     102,015        1,924,003  

Amicus Therapeutics, Inc.*

     194,501        1,559,898  

AxoGen, Inc.*

     80,743        1,007,673  

Blueprint Medicines Corp.*

     40,671        2,988,098  

Cambrex Corp.*

     57,854        3,442,313  

CareDx, Inc.*

     59,405        1,343,147  

CRISPR Therapeutics AG*

     36,010        1,476,050  

Emergent BioSolutions, Inc.*

     136,866        7,155,355  

FibroGen, Inc.*

     34,207        1,264,975  

Global Blood Therapeutics, Inc.*

     31,536        1,530,127  

Globus Medical, Inc. Cl A*

     70,153        3,586,221  

Haemonetics Corp.*

     19,140        2,414,319  

HealthEquity, Inc.*

     85,393        4,879,783  


MUTUAL OF AMERICA INVESTMENT CORPORATION - SMALL CAP GROWTH FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Horizon Therapeutics PLC*

     185,456        5,049,967  

ICU Medical, Inc.*

     11,571        1,846,732  

Insmed, Inc.*

     77,163        1,361,155  

Insulet Corp.*

     19,041        3,140,432  

Intersect ENT, Inc.*

     77,219        1,313,495  

Invitae Corp.*

     87,820        1,692,292  

iRhythm Technologies, Inc.*

     48,372        3,584,849  

Karyopharm Therapeutics, Inc.*

     207,784        1,998,882  

LHC Group, Inc.*

     43,669        4,959,052  

Madrigal Pharmaceuticals, Inc.*

     20,626        1,778,374  

Masimo Corp.*

     18,278        2,719,584  

Medicines Co.*

     82,363        4,118,150  

Natera, Inc.*

     41,233        1,352,442  

Neogen Corp.*

     47,418        3,229,640  

NeoGenomics, Inc.*

     130,211        2,489,634  

Neurocrine Biosciences, Inc.*

     22,803        2,054,778  

Novocure Ltd.*

     46,128        3,449,452  

Omnicell, Inc.*

     61,021        4,409,988  

Quidel Corp.*

     29,820        1,829,457  

Repligen Corp.*

     59,261        4,544,726  

Sage Therapeutics, Inc.*

     10,930        1,533,370  

Sientra, Inc.*

     340,945        2,209,324  

Simulations Plus, Inc.

     33,831        1,173,936  

STAAR Surgical Co.*

     52,406        1,351,027  

Supernus Pharmaceuticals, Inc.*

     153,195        4,209,798  

Tabula Rasa HealthCare, Inc.*

     56,919        3,127,130  

Tactile Systems Technology, Inc.*

     62,548        2,647,031  

Tandem Diabetes Care, Inc.*

     64,292        3,791,942  

Teladoc Health, Inc.*

     55,177        3,736,586  

Ultragenyx Pharmaceutical, Inc.*

     34,244        1,464,958  

US Physical Therapy, Inc.

     29,626        3,867,674  

Vericel Corp.*

     145,008        2,195,421  

Wright Medical Group NV*

     129,139        2,664,137  

Xencor, Inc.*

     88,200        2,974,986  

Zogenix, Inc.*

     46,442        1,859,538  
     

 

 

 
        136,087,801  
     

 

 

 

INDUSTRIALS (16.9%)

     

BG Staffing, Inc.

     74,284        1,419,567  

Brink’s Co.

     109,929        9,118,610  

Echo Global Logistics, Inc.*

     173,244        3,923,977  

EMCOR Group, Inc.

     66,563        5,732,406  

EnerSys

     32,921        2,170,811  

Exponent, Inc.

     73,011        5,103,469  

Generac Hldgs., Inc.*

     69,087        5,412,276  

Gorman-Rupp Co.

     159,539        5,550,362  

Heidrick & Struggles International, Inc.

     100,270        2,737,371  

IAA, Inc.*

     94,815        3,956,630  

John Bean Technologies Corp.

     32,321        3,213,677  

Knight-Swift Transportation Hldgs., Inc. Cl A

     104,903        3,807,979  

Knoll, Inc.

     97,989        2,484,021  

Kratos Defense & Security Solutions, Inc.*

     240,320        4,468,750  

Simpson Manufacturing Co., Inc.

     80,473        5,582,412  

Spirit Airlines, Inc.*

     113,144        4,107,127  

Teledyne Technologies, Inc.*

     23,269        7,492,385  

Trex Co., Inc.*

     104,593        9,510,642  

US Ecology, Inc.

     48,700        3,113,878  

Willdan Group, Inc.*

     95,835        3,361,892  
     

 

 

 
        92,268,242  
     

 

 

 

INFORMATION TECHNOLOGY (19.9%)

     

Akoustis Technologies, Inc.*

     303,199        2,349,792  

Altair Engineering, Inc. Cl A*

     92,514        3,202,835  

Cabot Microelectronics Corp.

     19,832        2,800,477  

Cardtronics PLC Cl A*

     95,810        2,897,294  


MUTUAL OF AMERICA INVESTMENT CORPORATION - SMALL CAP GROWTH FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Cohu, Inc.

     160,709        2,170,375  

Cornerstone OnDemand, Inc.*

     49,554        2,716,550  

Cypress Semiconductor Corp.

     186,190        4,345,675  

EPAM Systems, Inc.*

     23,303        4,248,603  

Everspin Technologies, Inc.*

     157,343        964,513  

Five9, Inc.*

     171,447        9,213,562  

Globant S.A.*

     54,339        4,976,366  

II-VI, Inc.*

     102,074        3,594,026  

Itron, Inc.*

     39,175        2,897,383  

Lattice Semiconductor Corp.*

     116,377        2,127,953  

LivePerson, Inc.*

     116,207        4,148,590  

LogMeIn, Inc.

     30,425        2,158,958  

Lumentum Hldgs., Inc.*

     48,360        2,590,162  

MaxLinear, Inc. Cl A*

     137,950        3,087,321  

New Relic, Inc.*

     46,588        2,862,833  

Novanta, Inc.*

     38,595        3,153,983  

Perficient, Inc.*

     161,350        6,224,883  

Proofpoint, Inc.*

     29,149        3,761,678  

Pure Storage, Inc. Cl A*

     146,926        2,488,926  

Q2 Hldgs., Inc.*

     52,621        4,150,218  

Rapid7, Inc.*

     148,885        6,757,890  

SailPoint Technologies Hldg., Inc.*

     88,863        1,660,849  

Science Applications International Corp.

     42,393        3,703,028  

Semtech Corp.*

     42,240        2,053,286  

Silicon Laboratories, Inc.*

     36,000        4,008,600  

SYNNEX Corp.

     19,746        2,229,323  

Xperi Corp.

     114,679        2,371,562  

Zendesk, Inc.*

     33,990        2,477,191  
     

 

 

 
        108,394,685  
     

 

 

 

MATERIALS (2.7%)

 

Berry Global Group, Inc.*

     45,544        1,788,515  

Compass Minerals International, Inc.

     25,960        1,466,481  

Ferroglobe Representation & Warranty Insurance Trust*

     72,345        0 †† 

Ingevity Corp.*

     53,162        4,510,266  

Innospec, Inc.

     33,557        2,991,272  

Royal Gold, Inc.

     32,579        4,014,060  
     

 

 

 
        14,770,594  
     

 

 

 

REAL ESTATE (5.2%)

 

Americold Realty Trust

     137,595        5,100,647  

CareTrust REIT, Inc.

     123,389        2,900,259  

Easterly Government Properties, Inc.

     367,348        7,824,512  

QTS Realty Trust, Inc. Cl A

     73,864        3,797,348  

Redfin Corp.*

     116,871        1,968,108  

Terreno Realty Corp.

     135,310        6,912,988  
     

 

 

 
        28,503,862  
     

 

 

 

UTILITIES (1.6%)

 

Chesapeake Utilities Corp.

     44,741        4,264,712  

Suburban Propane Partners LP

     181,301        4,284,143  
     

 

 

 
        8,548,855  
     

 

 

 

TOTAL COMMON STOCKS
(Cost: $471,768,463) 96.5%

        524,985,639  
     

 

 

 

 

     Rating**      Rate(%)      Maturity      Face Amount      Value  

SHORT-TERM DEBT SECURITIES:

              

U.S. GOVERNMENT AGENCIES (3.3%)

 

     

FHLB

     A-1+        1.50        10/01/19        17,800,000        17,800,000  
              

 

 

 

TOTAL SHORT-TERM DEBT SECURITIES
(Cost: $17,800,000) 3.3%

 

        17,800,000  
        

 

 

 


MUTUAL OF AMERICA INVESTMENT CORPORATION - SMALL CAP GROWTH FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

     Rate(%)      Maturity      Face Amount      Value  

TEMPORARY CASH INVESTMENT (0.0%) (2)

           

JP Morgan Chase, New York Time Deposit

     1.15        10/01/19        25,185        25,185  
           

 

 

 

TOTAL TEMPORARY CASH INVESTMENT
(Cost: $25,185) 0.0% (2)

              25,185  
           

 

 

 

TOTAL INVESTMENTS
(Cost: $489,593,648) 99.8%

              542,810,824  
           

 

 

 

OTHER NET ASSETS 0.2%

              1,101,173  
           

 

 

 

NET ASSETS 100.0%

            $ 543,911,997  
           

 

 

 

 

 

The disclosures regarding Fair Value and Security Valuation included in the Notes to Portfolios of Investments in Securities

are an integral part of these portfolio schedules.

 


MUTUAL OF AMERICA INVESTMENT CORPORATION - SMALL CAP EQUITY INDEX FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

     Shares      Value  

INDEXED ASSETS:

     

COMMON STOCKS:

     

COMMUNICATION SERVICES (1.9%)

     

ATN International, Inc.

     402        23,465  

Care.com, Inc.*

     1,040        10,868  

Cincinnati Bell, Inc.*

     1,858        9,420  

Cogent Communications Hldgs., Inc.

     1,541        84,909  

Consolidated Communications Hldgs., Inc.

     2,692        12,814  

EW Scripps Co. Cl A

     2,003        26,600  

Frontier Communications Corp.*

     3,844        3,333  

Gannett Co., Inc.

     4,238        45,516  

Iridium Communications, Inc.*

     3,563        75,820  

Marcus Corp.

     854        31,607  

New Media Investment Group, Inc.

     2,225        19,602  

QuinStreet, Inc.*

     1,703        21,441  

Scholastic Corp.

     1,131        42,707  

Spok Hldgs., Inc.

     665        7,940  

TechTarget, Inc.*

     851        19,169  

Vonage Hldgs. Corp.*

     8,544        96,547  
     

 

 

 
        531,758  
     

 

 

 

CONSUMER DISCRETIONARY (13.6%)

     

Abercrombie & Fitch Co. Cl A

     2,344        36,566  

American Axle & Manufacturing Hldgs., Inc.*

     4,166        34,244  

American Public Education, Inc.*

     598        13,359  

Asbury Automotive Group, Inc.*

     716        73,268  

Barnes & Noble Education, Inc.*

     1,429        4,458  

Big Lots, Inc.

     1,435        35,157  

BJ’s Restaurants, Inc.

     765        29,713  

Bloomin’ Brands, Inc.

     3,230        61,144  

Boot Barn Hldgs., Inc.*

     1,061        37,029  

Buckle, Inc.

     1,061        21,857  

Caleres, Inc.

     1,562        36,566  

Callaway Golf Co.

     3,489        67,722  

Career Education Corp.*

     2,615        41,552  

Cato Corp. Cl A

     811        14,282  

Cavco Industries, Inc.*

     319        61,277  

Century Communities, Inc.*

     974        29,834  

Chico’s FAS, Inc.

     4,357        17,559  

Children’s Place, Inc.

     577        44,423  

Chuy’s Hldgs., Inc.*

     623        15,425  

Conn’s, Inc.*

     707        17,576  

Cooper Tire & Rubber Co.

     1,855        48,453  

Cooper-Standard Hldgs., Inc.*

     628        25,673  

Core-Mark Hldg. Co, Inc.

     1,703        54,692  

Crocs, Inc.*

     2,346        65,125  

Dave & Buster’s Entertainment, Inc.

     1,141        44,442  

Designer Brands, Inc. Cl A

     2,053        35,147  

Dine Brands Global, Inc.

     638        48,399  

Dorman Products, Inc.*

     1,085        86,301  

El Pollo Loco Hldgs., Inc.*

     770        8,439  

Ethan Allen Interiors, Inc.

     909        17,362  

Express, Inc.*

     2,439        8,390  

Fiesta Restaurant Group, Inc.*

     800        8,336  

Fossil Group, Inc.*

     1,695        21,204  

Fox Factory Hldg. Corp.*

     1,427        88,816  

GameStop Corp. Cl A

     3,353        18,509  

Garrett Motion, Inc.*

     2,761        27,500  

Genesco, Inc.*

     526        21,050  

Gentherm, Inc.*

     1,225        50,329  

G-III Apparel Group Ltd.*

     1,580        40,717  

Group 1 Automotive, Inc.

     644        59,448  

Guess?, Inc.

     1,588        29,426  


MUTUAL OF AMERICA INVESTMENT CORPORATION - SMALL CAP EQUITY INDEX FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Haverty Furniture Cos., Inc.

     671        13,601  

Hibbett Sports, Inc.*

     663        15,183  

Installed Building Products, Inc.*

     788        45,184  

iRobot Corp.*

     1,037        63,952  

JC Penney Co., Inc.*

     11,046        9,819  

Kontoor Brands, Inc.

     1,735        60,898  

La-Z-Boy, Inc.

     1,736        58,312  

LCI Industries

     925        84,961  

LGI Homes, Inc.*

     741        61,740  

Liquidity Svcs., Inc.*

     992        7,341  

Lithia Motors, Inc. Cl A

     833        110,273  

Lumber Liquidators Hldgs., Inc.*

     1,063        10,492  

M/I Homes, Inc.*

     1,024        38,554  

MarineMax, Inc.*

     799        12,369  

MDC Hldgs., Inc.

     1,836        79,131  

Meritage Homes Corp.*

     1,337        94,058  

Michaels Cos., Inc.*

     3,039        29,752  

Monarch Casino & Resort, Inc.*

     443        18,469  

Monro, Inc.

     1,239        97,893  

Motorcar Parts of America, Inc.*

     697        11,779  

Movado Group, Inc.

     607        15,090  

Office Depot, Inc.

     19,953        35,018  

Oxford Industries, Inc.

     632        45,314  

PetMed Express, Inc.

     745        13,425  

Red Robin Gourmet Burgers, Inc.*

     483        16,064  

Regis Corp.*

     912        18,441  

Rent-A-Center, Inc.

     1,816        46,835  

RH*

     592        101,131  

Ruth’s Hospitality Group, Inc.

     1,033        21,089  

Shake Shack, Inc. Cl A*

     1,135        111,275  

Shoe Carnival, Inc.

     345        11,181  

Shutterstock, Inc.*

     705        25,465  

Signet Jewelers Ltd.

     1,932        32,380  

Sleep Number Corp.*

     1,091        45,080  

Sonic Automotive, Inc. Cl A

     893        28,049  

Stamps.com, Inc.*

     605        45,042  

Standard Motor Products, Inc.

     743        36,073  

Steven Madden Ltd.

     2,881        103,111  

Strategic Education, Inc.

     825        112,101  

Sturm Ruger & Co., Inc.

     615        25,682  

Tailored Brands, Inc.

     1,874        8,246  

Tile Shop Hldgs., Inc.

     1,332        4,249  

TopBuild Corp.*

     1,272        122,659  

Tupperware Brands Corp.

     1,801        28,582  

Unifi, Inc.*

     543        11,903  

Universal Electronics, Inc.*

     515        26,213  

Vera Bradley, Inc.*

     876        8,848  

Vista Outdoor, Inc.*

     2,161        13,377  

Vitamin Shoppe, Inc.*

     565        3,684  

William Lyon Homes Cl A*

     1,231        25,063  

Wingstop, Inc.

     1,103        96,270  

Winnebago Industries, Inc.

     1,169        44,831  

Wolverine World Wide, Inc.

     3,163        89,386  

Zumiez, Inc.*

     759        24,041  
     

 

 

 
        3,819,728  
     

 

 

 

CONSUMER STAPLES (4.1%)

     

Andersons, Inc.

     1,216        27,275  

Avon Products, Inc.*

     16,475        72,490  

B&G Foods, Inc.

     2,415        45,668  

Calavo Growers, Inc.

     607        57,774  

Cal-Maine Foods, Inc.

     1,122        44,829  

Central Garden & Pet Co.*

     384        11,224  

Central Garden & Pet Co. Cl A*

     1,536        42,586  

Chefs’ Warehouse, Inc.*

     937        37,780  

Coca-Cola Consolidated, Inc.

     174        52,873  

Darling Ingredients, Inc.*

     6,100        116,693  

Dean Foods Co.

     3,399        3,943  

Fresh Del Monte Produce, Inc.

     1,127        38,442  


MUTUAL OF AMERICA INVESTMENT CORPORATION - SMALL CAP EQUITY INDEX FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Inter Parfums, Inc.

     651        45,551  

J&J Snack Foods Corp.

     553        106,176  

John B Sanfilippo & Son, Inc.

     327        31,588  

Medifast, Inc.

     437        45,286  

MGP Ingredients, Inc.

     494        24,542  

National Beverage Corp.

     431        19,119  

PriceSmart, Inc.

     826        58,729  

Seneca Foods Corp. Cl A*

     255        7,951  

SpartanNash Co.

     1,353        16,006  

United Natural Foods, Inc.*

     2,281        26,277  

Universal Corp.

     938        51,412  

USANA Health Sciences, Inc.*

     480        32,827  

Vector Group Ltd.

     4,291        51,106  

WD-40 Co.

     512        93,972  
     

 

 

 
        1,162,119  
     

 

 

 

ENERGY (3.7%)

     

Archrock, Inc.

     4,739        47,248  

Bonanza Creek Energy, Inc.*

     691        15,472  

C&J Energy Svcs., Inc.*

     2,462        26,417  

Callon Petroleum Co.*

     8,463        36,729  

Carrizo Oil & Gas, Inc.*

     3,448        29,601  

CONSOL Energy, Inc.*

     1,002        15,661  

Denbury Resources, Inc.*

     17,574        20,913  

Diamond Offshore Drilling, Inc.*

     2,398        13,333  

DMC Global, Inc.

     539        23,705  

Dril-Quip, Inc.*

     1,350        67,743  

Era Group, Inc.*

     734        7,751  

Exterran Corp.*

     1,108        14,470  

Geospace Technologies Corp.*

     499        7,670  

Green Plains, Inc.

     1,330        14,091  

Gulf Island Fabrication, Inc.*

     470        2,515  

Gulfport Energy Corp.*

     5,412        14,667  

Helix Energy Solutions Group, Inc.*

     5,309        42,791  

HighPoint Resources Corp.*

     3,992        6,347  

Jagged Peak Energy, Inc.*

     2,198        15,957  

KLX Energy Svcs. Hldgs., Inc.*

     793        6,855  

Laredo Petroleum, Inc.*

     6,667        16,067  

Matrix Svc. Co.*

     1,009        17,294  

McDermott International, Inc.*

     7,871        15,899  

Nabors Industries Ltd.

     12,242        22,893  

Newpark Resources, Inc.*

     3,332        25,390  

Noble Corp. PLC*

     9,231        11,723  

Oil States International, Inc.*

     2,217        29,486  

Par Pacific Hldgs., Inc.*

     1,360        31,090  

PDC Energy, Inc.*

     2,199        61,022  

Penn Virginia Corp.*

     493        14,332  

ProPetro Hldg. Corp.*

     3,090        28,088  

QEP Resources, Inc.

     8,874        32,834  

Range Resources Corp.

     7,793        29,769  

Renewable Energy Group, Inc.*

     1,438        21,577  

REX American Resources Corp.*

     208        15,877  

Ring Energy, Inc.*

     2,186        3,585  

RPC, Inc.

     1,923        10,788  

SEACOR Hldgs., Inc.*

     641        30,172  

SM Energy Co.

     3,937        38,150  

SRC Energy, Inc.*

     9,074        42,285  

TETRA Technologies, Inc.*

     4,562        9,170  

Unit Corp.*

     1,977        6,682  

US Silica Hldgs., Inc.

     2,722        26,022  

Valaris PLC Cl A

     7,323        35,224  

Whiting Petroleum Corp.*

     3,364        27,013  
     

 

 

 
        1,032,368  
     

 

 

 

FINANCIALS (19.5%)

     

Ambac Financial Group, Inc.*

     1,695        33,137  

American Equity Investment Life Hldg. Co.

     3,367        81,482  

Ameris Bancorp

     2,404        96,737  

AMERISAFE, Inc.

     718        47,467  

Apollo Commercial Real Estate Finance, Inc.

     5,303        101,659  


MUTUAL OF AMERICA INVESTMENT CORPORATION - SMALL CAP EQUITY INDEX FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

ARMOUR Residential REIT, Inc.

     2,197        36,800  

Axos Financial, Inc.*

     1,971        54,498  

Banc of California, Inc.

     1,661        23,487  

Banner Corp.

     1,281        71,954  

Berkshire Hills Bancorp, Inc.

     1,624        47,567  

Blucora, Inc.*

     1,802        38,995  

Boston Private Financial Hldg., Inc.

     3,099        36,119  

Brookline Bancorp, Inc.

     2,958        43,571  

Cadence Bancorporation Cl A

     4,738        83,104  

Capstead Mortgage Corp.

     3,559        26,159  

Central Pacific Financial Corp.

     1,057        30,019  

City Hldg. Co.

     606        46,207  

Columbia Banking System, Inc.

     2,700        99,630  

Community Bank System, Inc.

     1,910        117,828  

Customers Bancorp, Inc.*

     1,070        22,192  

CVB Financial Corp.

     4,929        102,868  

Dime Community Bancshares, Inc.

     1,147        24,557  

Donnelley Financial Solutions, Inc.*

     1,156        14,242  

Eagle Bancorp, Inc.

     1,268        56,578  

eHealth, Inc.*

     762        50,894  

Employers Hldgs., Inc.

     1,187        51,730  

Encore Capital Group, Inc.*

     1,018        33,925  

Enova International, Inc.*

     1,261        26,166  

EZCORP, Inc. Cl A*

     1,926        12,432  

First BanCorp.

     7,988        79,720  

First Commonwealth Financial Corp.

     3,655        48,538  

First Financial Bancorp

     3,643        89,162  

First Midwest Bancorp, Inc.

     4,089        79,654  

Flagstar Bancorp, Inc.

     1,048        39,143  

Franklin Financial Network, Inc.

     493        14,894  

Glacier Bancorp, Inc.

     3,175        128,461  

Granite Point Mortgage Trust, Inc.

     2,033        38,098  

Great Western Bancorp, Inc.

     2,103        69,399  

Greenhill & Co., Inc.

     588        7,715  

Hanmi Financial Corp.

     1,145        21,503  

HCI Group, Inc.

     244        10,258  

Heritage Financial Corp.

     1,368        36,881  

HomeStreet, Inc.*

     903        24,670  

Hope Bancorp, Inc.

     4,677        67,068  

Horace Mann Educators Corp.

     1,531        70,931  

Independent Bank Corp.

     1,273        95,029  

INTL. FCStone, Inc.*

     600        24,636  

Invesco Mortgage Capital, Inc.

     5,290        80,990  

iShares Core S&P Small-Cap ETF

     9,037        703,440  

James River Group Hldgs. Ltd.

     1,126        57,696  

LegacyTexas Financial Group, Inc.

     1,809        78,746  

Meta Financial Group, Inc.

     1,286        41,936  

National Bank Hldgs. Corp. Cl A

     1,151        39,353  

NBT Bancorp, Inc.

     1,626        59,495  

New York Mortgage Trust, Inc.

     9,704        59,097  

NMI Hldgs., Inc. Cl A*

     2,476        65,020  

Northfield Bancorp, Inc.

     1,612        25,889  

Northwest Bancshares, Inc.

     3,720        60,971  

OFG Bancorp

     1,893        41,457  

Old National Bancorp.

     6,372        109,630  

Opus Bank

     804        17,503  

Oritani Financial Corp.

     1,419        25,109  

Pacific Premier Bancorp, Inc.

     2,245        70,022  

PennyMac Mortgage Investment Trust

     3,258        72,425  

Piper Jaffray Cos.

     526        39,702  

PRA Group, Inc.*

     1,682        56,835  

Preferred Bank

     514        26,923  

ProAssurance Corp.

     2,001        80,580  

Provident Financial Svcs., Inc.

     2,251        55,217  

Redwood Trust, Inc.

     4,154        68,167  

RLI Corp.

     1,480        137,507  

S&T Bancorp, Inc.

     1,276        46,612  

Safety Insurance Group, Inc.

     543        55,022  


MUTUAL OF AMERICA INVESTMENT CORPORATION - SMALL CAP EQUITY INDEX FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Seacoast Banking Corp. of Florida*

     1,892        47,887  

ServisFirst Bancshares, Inc.

     1,704        56,488  

Simmons First National Corp. Cl A

     3,569        88,868  

Southside Bancshares, Inc.

     1,177        40,147  

Stewart Information Svcs. Corp.

     884        34,290  

Third Point Reinsurance Ltd.*

     2,961        29,581  

Tompkins Financial Corp.

     461        37,401  

Triumph Bancorp, Inc.*

     895        28,542  

TrustCo Bank Corp.

     3,593        29,283  

United Community Banks, Inc.

     2,923        82,867  

United Fire Group, Inc.

     795        37,349  

United Insurance Hldgs. Corp.

     774        10,828  

Universal Insurance Hldgs., Inc.

     1,166        34,968  

Veritex Hldgs., Inc.

     1,797        43,604  

Virtus Investment Partners, Inc.

     242        26,758  

Waddell & Reed Financial, Inc. Cl A

     2,706        46,489  

Walker & Dunlop, Inc.

     1,064        59,510  

Westamerica Bancorporation

     1,000        62,180  

WisdomTree Investments, Inc.

     4,382        22,896  

World Acceptance Corp.*

     235        29,965  
     

 

 

 
        5,483,009  
     

 

 

 

HEALTH CARE (11.8%)

     

Acorda Therapeutics, Inc.*

     1,748        5,017  

Addus HomeCare Corp.*

     486        38,530  

Akorn, Inc.*

     3,414        12,973  

AMAG Pharmaceuticals, Inc.*

     1,246        14,391  

AMN Healthcare Svcs., Inc.*

     1,730        99,579  

Amphastar Pharmaceuticals, Inc.*

     1,279        25,363  

AngioDynamics, Inc.*

     1,385        25,512  

ANI Pharmaceuticals, Inc.*

     344        25,071  

Anika Therapeutics, Inc.*

     512        28,104  

Arrowhead Pharmaceuticals, Inc.*

     3,523        99,278  

Assertio Therapeutics, Inc.*

     2,414        3,090  

BioTelemetry, Inc.*

     1,256        51,157  

Cambrex Corp.*

     1,251        74,435  

Cardiovascular Systems, Inc.*

     1,307        62,108  

Community Health Systems, Inc.*

     4,426        15,933  

Computer Programs & Systems, Inc.

     462        10,446  

CONMED Corp.

     1,049        100,861  

Corcept Therapeutics, Inc.*

     3,786        53,515  

CorVel Corp.*

     338        25,586  

Cross Country Healthcare, Inc.*

     1,369        14,101  

CryoLife, Inc.*

     1,382        37,521  

Cutera, Inc.*

     522        15,258  

Cytokinetics, Inc.*

     2,180        24,808  

Diplomat Pharmacy, Inc.*

     2,141        10,491  

Eagle Pharmaceuticals, Inc.*

     373        21,101  

Emergent BioSolutions, Inc.*

     1,632        85,321  

Enanta Pharmaceuticals, Inc.*

     595        35,748  

Endo International PLC*

     7,481        24,014  

Ensign Group, Inc.

     1,870        88,694  

Genomic Health, Inc.*

     802        54,392  

HealthStream, Inc.*

     949        24,570  

Heska Corp.*

     260        18,426  

HMS Hldgs. Corp.*

     3,233        111,425  

Innoviva, Inc.*

     2,472        26,055  

Inogen, Inc.*

     680        32,579  

Integer Hldgs. Corp.*

     1,211        91,503  

Invacare Corp.

     1,269        9,518  

Lannett Co, Inc.*

     1,245        13,944  

Lantheus Hldgs., Inc.*

     1,454        36,445  

LeMaitre Vascular, Inc.

     601        20,542  

LHC Group, Inc.*

     1,100        124,916  

Luminex Corp.

     1,562        32,255  

Magellan Health, Inc.*

     813        50,487  

Medicines Co.*

     2,706        135,300  

Medpace Hldgs., Inc.*

     1,007        84,628  

Meridian Bioscience, Inc.

     1,581        15,004  


MUTUAL OF AMERICA INVESTMENT CORPORATION - SMALL CAP EQUITY INDEX FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Merit Medical Systems, Inc.*

     2,059        62,717  

Mesa Laboratories, Inc.

     149        35,428  

Momenta Pharmaceuticals, Inc.*

     3,640        47,174  

Myriad Genetics, Inc.*

     2,778        79,534  

Natus Medical, Inc.*

     1,268        40,373  

Neogen Corp.*

     1,946        132,542  

NeoGenomics, Inc.*

     3,847        73,555  

NextGen Healthcare, Inc.*

     1,787        28,002  

Omnicell, Inc.*

     1,541        111,368  

OraSure Technologies, Inc.*

     2,298        17,166  

Orthofix Medical, Inc.*

     707        37,485  

Owens & Minor, Inc.

     2,311        13,427  

Pacira BioSciences, Inc.*

     1,537        58,514  

Phibro Animal Health Corp. Cl A

     749        15,976  

Progenics Pharmaceuticals, Inc.*

     3,191        16,131  

Providence Svc. Corp.*

     428        25,449  

REGENXBIO, Inc.*

     1,154        41,082  

Select Medical Hldgs. Corp.*

     4,026        66,711  

Spectrum Pharmaceuticals, Inc.*

     4,135        34,300  

Supernus Pharmaceuticals, Inc.*

     1,938        53,256  

Surmodics, Inc.*

     501        22,916  

Tabula Rasa HealthCare, Inc.*

     732        40,216  

Tactile Systems Technology, Inc.*

     704        29,793  

Tivity Health, Inc.*

     1,600        26,608  

US Physical Therapy, Inc.

     476        62,142  

Vanda Pharmaceuticals, Inc.*

     1,965        26,095  

Varex Imaging Corp.*

     1,425        40,670  

Xencor, Inc.*

     1,791        60,410  
     

 

 

 
        3,309,035  
     

 

 

 

INDUSTRIALS (17.9%)

     

AAON, Inc.

     1,510        69,369  

AAR Corp.

     1,217        50,152  

ABM Industries, Inc.

     2,441        88,657  

Actuant Corp. Cl A

     2,021        44,341  

Aegion Corp. Cl A*

     1,144        24,459  

Aerojet Rocketdyne Hldgs., Inc.*

     2,693        136,023  

AeroVironment, Inc.*

     802        42,955  

Alamo Group, Inc.

     358        42,144  

Albany International Corp. Cl A

     1,139        102,692  

Allegiant Travel Co. Cl A

     490        73,333  

American Woodmark Corp.*

     581        51,657  

Apogee Enterprises, Inc.

     991        38,639  

Applied Industrial Technologies, Inc.

     1,426        80,997  

ArcBest Corp.

     952        28,989  

Arcosa, Inc.

     1,799        61,544  

Astec Industries, Inc.

     832        25,875  

Atlas Air Worldwide Hldgs., Inc.*

     950        23,968  

AZZ, Inc.

     971        42,297  

Barnes Group, Inc.

     1,766        91,020  

Brady Corp. Cl A

     1,832        97,188  

Briggs & Stratton Corp.

     1,543        9,351  

Chart Industries, Inc.*

     1,338        83,438  

CIRCOR International, Inc.*

     739        27,749  

Comfort Systems USA, Inc.

     1,367        60,462  

Cubic Corp.

     1,161        81,769  

DXP Enterprises, Inc.*

     592        20,554  

Echo Global Logistics, Inc.*

     1,008        22,831  

Encore Wire Corp.

     782        44,011  

EnPro Industries, Inc.

     769        52,792  

ESCO Technologies, Inc.

     967        76,935  

Exponent, Inc.

     1,928        134,767  

Federal Signal Corp.

     2,233        73,108  

Forrester Research, Inc.

     393        12,631  

Forward Air Corp.

     1,048        66,779  

Franklin Electric Co., Inc.

     1,422        67,986  

FTI Consulting, Inc.*

     1,398        148,174  

Gibraltar Industries, Inc.*

     1,197        54,990  

GMS, Inc.*

     1,543        44,315  


MUTUAL OF AMERICA INVESTMENT CORPORATION - SMALL CAP EQUITY INDEX FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Greenbrier Cos., Inc.

     1,203        36,234  

Griffon Corp.

     1,578        33,091  

Harsco Corp.*

     2,967        56,254  

Hawaiian Hldgs., Inc.

     1,745        45,824  

Heartland Express, Inc.

     1,730        37,212  

Heidrick & Struggles International, Inc.

     710        19,383  

Hillenbrand, Inc.

     2,312        71,395  

Hub Group, Inc. Cl A*

     1,237        57,521  

Insteel Industries, Inc.

     680        13,960  

Interface, Inc. Cl A

     2,169        31,320  

John Bean Technologies Corp.

     1,193        118,620  

Kaman Corp.

     1,031        61,303  

Kelly Svcs., Inc. Cl A

     1,229        29,766  

Korn Ferry

     2,072        80,062  

Lindsay Corp.

     398        36,954  

Lydall, Inc.*

     653        16,266  

Marten Transport Ltd.

     1,435        29,819  

Matson, Inc.

     1,596        59,866  

Matthews International Corp. Cl A

     1,172        41,477  

Mercury Systems, Inc.*

     2,051        166,480  

Mobile Mini, Inc.

     1,661        61,224  

Moog, Inc. Cl A

     1,207        97,912  

Mueller Industries, Inc.

     2,098        60,171  

MYR Group, Inc.*

     614        19,212  

National Presto Industries, Inc.

     186        16,571  

Navigant Consulting, Inc.

     1,422        39,745  

Park Aerospace Corp.

     722        12,678  

Patrick Industries, Inc.*

     832        35,676  

PGT Innovations, Inc.*

     2,183        37,701  

Pitney Bowes, Inc.

     6,325        28,905  

Powell Industries, Inc.

     325        12,723  

Proto Labs, Inc.*

     1,001        102,202  

Quanex Building Products Corp.

     1,232        22,275  

Raven Industries, Inc.

     1,326        44,368  

Resources Connection, Inc.

     1,109        18,842  

RR Donnelley & Sons Co.

     2,613        9,851  

Saia, Inc.*

     964        90,327  

Simpson Manufacturing Co., Inc.

     1,514        105,026  

SkyWest, Inc.

     1,895        108,773  

SPX Corp.*

     1,635        65,416  

SPX FLOW, Inc.*

     1,573        62,071  

Standex International Corp.

     461        33,625  

Team, Inc.*

     1,111        20,054  

Tennant Co.

     676        47,793  

Titan International, Inc.

     1,842        4,973  

Triumph Group, Inc.

     1,860        42,557  

TrueBlue, Inc.*

     1,485        31,334  

UniFirst Corp.

     568        110,828  

Universal Forest Products, Inc.

     2,283        91,046  

US Ecology, Inc.

     821        52,495  

Veritiv Corp.*

     477        8,624  

Viad Corp.

     753        50,564  

Vicor Corp.*

     673        19,867  

Wabash National Corp.

     2,014        29,223  

Watts Water Technologies, Inc. Cl A

     1,026        96,167  
     

 

 

 
        5,032,567  
     

 

 

 

INFORMATION TECHNOLOGY (13.8%)

     

3D Systems Corp.*

     4,380        35,697  

8x8, Inc.*

     3,703        76,726  

ADTRAN, Inc.

     1,772        20,103  

Advanced Energy Industries, Inc.*

     1,426        81,867  

Agilysys, Inc.*

     752        19,259  

Alarm.com Hldgs., Inc.*

     1,359        63,384  

Anixter International, Inc.*

     1,114        77,000  

Applied Optoelectronics, Inc.*

     706        7,921  

Arlo Technologies, Inc.*

     2,780        9,480  

Axcelis Technologies, Inc.*

     1,199        20,491  

Badger Meter, Inc.

     1,081        58,050  


MUTUAL OF AMERICA INVESTMENT CORPORATION - SMALL CAP EQUITY INDEX FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Bel Fuse, Inc. Cl B

     376        5,651  

Benchmark Electronics, Inc.

     1,401        40,713  

Bottomline Technologies DE, Inc.*

     1,421        55,916  

Brooks Automation, Inc.

     2,683        99,351  

Cabot Microelectronics Corp.

     1,080        152,507  

CalAmp Corp.*

     1,251        14,412  

Cardtronics PLC Cl A*

     1,367        41,338  

CEVA, Inc.*

     812        24,246  

Cohu, Inc.

     1,523        20,568  

Comtech Telecommunications Corp.

     898        29,185  

CSG Systems International, Inc.

     1,226        63,360  

CTS Corp.

     1,215        39,318  

Daktronics, Inc.

     1,389        10,258  

Diebold Nixdorf, Inc.*

     2,901        32,491  

Digi International, Inc.*

     1,046        14,247  

Diodes, Inc.*

     1,523        61,148  

DSP Group, Inc.*

     847        11,930  

Ebix, Inc.

     828        34,859  

ePlus, Inc.*

     502        38,197  

EVERTEC, Inc.

     2,210        68,996  

ExlService Hldgs., Inc.*

     1,275        85,374  

Extreme Networks, Inc.*

     4,481        32,599  

Fabrinet*

     1,377        72,017  

FARO Technologies, Inc.*

     644        31,137  

FormFactor, Inc.*

     2,787        51,964  

Harmonic, Inc.*

     3,321        21,852  

Ichor Hldgs. Ltd.*

     833        20,142  

II-VI, Inc.*

     996        35,069  

Insight Enterprises, Inc.*

     1,333        74,235  

Itron, Inc.*

     1,299        96,074  

KEMET Corp.

     2,163        39,323  

Knowles Corp.*

     3,184        64,763  

Kulicke & Soffa Industries, Inc.

     2,348        55,131  

LivePerson, Inc.*

     2,278        81,325  

ManTech International Corp. Cl A

     997        71,196  

MaxLinear, Inc. Cl A*

     2,404        53,801  

Methode Electronics, Inc.

     1,387        46,659  

MicroStrategy, Inc. Cl A*

     306        45,401  

Monotype Imaging Hldgs., Inc.

     1,535        30,408  

MTS Systems Corp.

     666        36,797  

Nanometrics, Inc.*

     871        28,412  

NETGEAR, Inc.*

     1,146        36,924  

NIC, Inc.

     2,484        51,295  

OneSpan, Inc.*

     1,220        17,690  

OSI Systems, Inc.*

     630        63,983  

PDF Solutions, Inc.*

     1,038        13,567  

Perficient, Inc.*

     1,217        46,952  

Photronics, Inc.*

     2,495        27,146  

Plexus Corp.*

     1,087        67,948  

Power Integrations, Inc.

     1,088        98,388  

Progress Software Corp.

     1,664        63,332  

Qualys, Inc.*

     1,258        95,067  

Rambus, Inc.*

     4,101        53,826  

Rogers Corp.*

     696        95,150  

Rudolph Technologies, Inc.*

     1,147        30,235  

Sanmina Corp.*

     2,585        83,004  

ScanSource, Inc.*

     935        28,564  

SMART Global Hldgs., Inc.*

     493        12,562  

SolarEdge Technologies, Inc.*

     1,760        147,347  

SPS Commerce, Inc.*

     1,297        61,050  

Sykes Enterprises, Inc.*

     1,438        44,060  

TiVo Corp.

     4,678        35,623  

TTEC Hldgs., Inc.

     534        25,568  

TTM Technologies, Inc.*

     3,648        44,487  

Ultra Clean Hldgs., Inc.*

     1,473        21,557  

Unisys Corp.*

     1,904        14,147  

Veeco Instruments, Inc.*

     1,815        21,199  

Viavi Solutions, Inc.*

     8,510        119,183  


MUTUAL OF AMERICA INVESTMENT CORPORATION - SMALL CAP EQUITY INDEX FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Virtusa Corp.*

     1,117        40,234  

Xperi Corp.

     1,830        37,844  
     

 

 

 
        3,900,280  
     

 

 

 

MATERIALS (4.5%)

     

AdvanSix, Inc.*

     1,029        26,466  

AK Steel Hldg. Corp.*

     11,584        26,296  

American Vanguard Corp.

     986        15,480  

Balchem Corp.

     1,208        119,822  

Boise Cascade Co.

     1,443        47,028  

Century Aluminum Co.*

     1,833        12,162  

Clearwater Paper Corp.*

     602        12,714  

Ferro Corp.*

     3,018        35,793  

FutureFuel Corp.

     960        11,462  

GCP Applied Technologies, Inc.*

     1,987        38,250  

Hawkins, Inc.

     359        15,258  

Haynes International, Inc.

     465        16,665  

HB Fuller Co.

     1,889        87,952  

Innophos Hldgs., Inc.

     716        23,241  

Innospec, Inc.

     909        81,028  

Kaiser Aluminum Corp.

     590        58,392  

Koppers Hldgs., Inc.*

     768        22,433  

Kraton Corp.*

     1,168        37,715  

Livent Corp.*

     5,408        36,180  

LSB Industries, Inc.*

     808        4,185  

Materion Corp.

     760        46,634  

Mercer International, Inc.

     1,477        18,522  

Myers Industries, Inc.

     1,313        23,174  

Neenah, Inc.

     626        40,765  

Olympic Steel, Inc.

     334        4,810  

PH Glatfelter Co.

     1,626        25,024  

Quaker Chemical Corp.

     480        75,907  

Rayonier Advanced Materials, Inc.

     1,840        7,967  

Schweitzer-Mauduit International, Inc.

     1,145        42,869  

Stepan Co.

     744        72,213  

SunCoke Energy, Inc.*

     3,381        19,069  

TimkenSteel Corp.*

     1,453        9,139  

Tredegar Corp.

     917        17,900  

Trinseo S.A.

     1,477        63,437  

US Concrete, Inc.*

     587        32,449  

Warrior Met Coal, Inc.

     1,912        37,322  
     

 

 

 
        1,265,723  
     

 

 

 

REAL ESTATE (6.7%)

     

Acadia Realty Trust

     3,120        89,170  

Agree Realty Corp.

     1,554        113,675  

American Assets Trust, Inc.

     1,769        82,683  

Armada Hoffler Properties, Inc.

     1,964        35,529  

CareTrust REIT, Inc.

     3,554        83,537  

CBL & Associates Properties, Inc.

     6,196        7,993  

Cedar Realty Trust, Inc.

     3,144        9,432  

Chatham Lodging Trust

     1,726        31,327  

Community Healthcare Trust, Inc.

     676        30,116  

DiamondRock Hospitality Co.

     7,382        75,665  

Easterly Government Properties, Inc.

     2,633        56,083  

Four Corners Property Trust, Inc.

     2,537        71,746  

Franklin Street Properties Corp. Cl C

     3,963        33,527  

Getty Realty Corp.

     1,267        40,620  

Global Net Lease, Inc.

     3,115        60,742  

Hersha Hospitality Trust Cl A

     1,343        19,984  

Independence Realty Trust, Inc.

     3,348        47,910  

Innovative Industrial Properties, Inc. Cl A

     421        38,888  

iStar, Inc.

     2,196        28,658  

Kite Realty Group Trust

     3,092        49,936  

Lexington Realty Trust Cl B

     9,202        94,320  

LTC Properties, Inc.

     1,471        75,345  

Marcus & Millichap, Inc.*

     868        30,805  

National Storage Affiliates Trust

     2,196        73,281  

Office Properties Income Trust

     1,783        54,631  

Pennsylvania REIT

     2,170        12,412  


MUTUAL OF AMERICA INVESTMENT CORPORATION - SMALL CAP EQUITY INDEX FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

RE/MAX Hldgs., Inc. Cl A

           659        21,193  

Realogy Hldgs. Corp.

           4,139        27,649  

Retail Opportunity Investments Corp.

           4,218        76,894  

RPT Realty

           2,960        40,108  

Saul Centers, Inc.

           435        23,712  

Summit Hotel Properties, Inc.

           3,872        44,915  

Universal Health Realty Income Trust

           470        48,316  

Urstadt Biddle Properties, Inc. Cl A

           1,105        26,188  

Washington Prime Group, Inc.

           6,881        28,487  

Washington Real Estate Investment Trust

           2,963        81,068  

Whitestone REIT Cl B

           1,489        20,489  

Xenia Hotels & Resorts, Inc.

           4,155        87,753  
           

 

 

 
              1,874,787  
           

 

 

 

UTILITIES (2.3%)

           

American States Water Co.

           1,375        123,558  

Avista Corp.

           2,449        118,630  

California Water Svc. Group

           1,797        95,115  

El Paso Electric Co.

           1,515        101,626  

Northwest Natural Hldg. Co.

           1,129        80,543  

South Jersey Industries, Inc.

           3,429        112,849  
           

 

 

 
              632,321  
           

 

 

 

TOTAL INDEXED ASSETS - COMMON STOCKS
(Cost: $29,636,998) 99.8%

              28,043,695  
           

 

 

 
     Rate(%)      Maturity      Face Amount      Value  

TEMPORARY CASH INVESTMENT (0.5%)

           

JP Morgan Chase, New York Time Deposit

     1.15        10/01/19        145,573        145,573  
           

 

 

 

TOTAL TEMPORARY CASH INVESTMENT
(Cost: $145,573) 0.5%

              145,573  
           

 

 

 

TOTAL INVESTMENTS
(Cost: $29,782,571) 100.3%

              28,189,268  
           

 

 

 

OTHER NET ASSETS -0.3%

              (86,637
           

 

 

 

NET ASSETS 100.0%

            $ 28,102,631  
           

 

 

 

 

 

The disclosures regarding Fair Value and Security Valuation included in the Notes to Portfolios of Investments in Securities

are an integral part of these portfolio schedules.


MUTUAL OF AMERICA INVESTMENT CORPORATION - MID CAP VALUE FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

     Shares      Value  

COMMON STOCKS:

     

COMMUNICATION SERVICES (1.4%)

     

Discovery, Inc. Cl A*

     16,930        450,846  

Discovery, Inc. Cl C*

     17,770        437,497  

Lions Gate Entertainment Corp. Cl A*

     8,840        81,770  

MSG Networks, Inc. Cl A*

     21,903        355,267  
     

 

 

 
        1,325,380  
     

 

 

 

CONSUMER DISCRETIONARY (3.6%)

     

Capri Hldgs. Ltd.*

     14,110        467,888  

Foot Locker, Inc.

     11,430        493,319  

Hilton Grand Vacations, Inc.*

     5,630        180,160  

Marriott Vacations Worldwide Corp.

     11,373        1,178,357  

Qurate Retail, Inc. Cl A*

     17,450        179,997  

Ralph Lauren Corp. Cl A

     5,037        480,882  

Taylor Morrison Home Corp. Cl A*

     12,722        330,009  
     

 

 

 
        3,310,612  
     

 

 

 

CONSUMER STAPLES (2.4%)

     

Constellation Brands, Inc. Cl A

     3,279        679,671  

Ingredion, Inc.

     4,571        373,633  

Tyson Foods, Inc. Cl A

     6,140        528,900  

Vector Group Ltd.

     51,727        616,068  
     

 

 

 
        2,198,272  
     

 

 

 

ENERGY (5.1%)

     

Baker Hughes, a GE Co. Cl A

     18,432        427,622  

Cheniere Energy, Inc.*

     9,937        626,627  

Devon Energy Corp.

     11,220        269,953  

Hess Corp.

     7,538        455,898  

MPLX LP

     16,998        476,114  

Noble Energy, Inc.

     26,701        599,705  

PBF Energy, Inc. Cl A

     45,343        1,232,876  

Williams Cos., Inc.

     25,751        619,569  
     

 

 

 
        4,708,364  
     

 

 

 

FINANCIALS (22.9%)

     

American Financial Group, Inc.

     12,849        1,385,765  

Ameriprise Financial, Inc.

     11,272        1,658,111  

Associated Banc-Corp.

     50,204        1,016,631  

BankUnited, Inc.

     23,723        797,567  

Citizens Financial Group, Inc.

     9,210        325,758  

Discover Financial Svcs.

     12,401        1,005,597  

Everest Re Group Ltd.

     4,106        1,092,565  

Fifth Third Bancorp

     33,176        908,359  

Hartford Financial Svcs. Group, Inc.

     21,415        1,297,963  

iShares Russell Mid-Cap Value ETF

     25,760        2,310,672  

KeyCorp

     62,392        1,113,073  

Lincoln National Corp.

     15,429        930,677  

Progressive Corp.

     23,743        1,834,147  

Reinsurance Group of America, Inc. Cl A

     7,392        1,181,833  

Starwood Property Trust, Inc.

     34,048        824,642  

SVB Financial Group*

     2,719        568,135  

Synchrony Financial

     10,153        346,116  

Voya Financial, Inc.

     27,446        1,494,160  

Zions Bancorporation

     21,460        955,399  
     

 

 

 
        21,047,170  
     

 

 

 

HEALTH CARE (5.8%)

     

Agilent Technologies, Inc.

     16,100        1,233,743  

Boston Scientific Corp.*

     15,930        648,192  

Centene Corp.*

     14,054        607,976  

Hill-Rom Hldgs., Inc.

     8,790        924,972  

Humana, Inc.

     3,104        793,600  

Zimmer Biomet Hldgs., Inc.

     8,083        1,109,553  
     

 

 

 
        5,318,036  
     

 

 

 

INDUSTRIALS (13.5%)

     

Alaska Air Group, Inc.

     21,680        1,407,249  

Kirby Corp.*

     12,124        996,108  

L-3 Harris Technologies, Inc.

     13,644        2,846,684  


MUTUAL OF AMERICA INVESTMENT CORPORATION - MID CAP VALUE FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Mueller Industries, Inc.

     36,510        1,047,107  

Old Dominion Freight Line, Inc.

     13,893        2,361,393  

Oshkosh Corp.

     10,661        808,104  

Stanley Black & Decker, Inc.

     10,266        1,482,513  

Stericycle, Inc.*

     10,140        516,430  

United Rentals, Inc.*

     7,919        987,024  
     

 

 

 
        12,452,612  
     

 

 

 

INFORMATION TECHNOLOGY (6.7%)

     

Analog Devices, Inc.

     5,583        623,789  

Ciena Corp.*

     10,740        421,330  

DXC Technology Co.

     10,227        301,697  

Fidelity National Information Svcs., Inc.

     7,299        969,015  

KLA Corp.

     2,330        371,518  

LogMeIn, Inc.

     5,250        372,540  

MKS Instruments, Inc.

     2,560        236,237  

Nokia Oyj

     70,700        357,742  

Perspecta, Inc.

     13,053        340,944  

Proofpoint, Inc.*

     5,400        696,870  

PTC, Inc.*

     7,380        503,168  

Qorvo, Inc.*

     5,940        440,392  

ViaSat, Inc.*

     1,350        101,682  

Western Digital Corp.

     7,122        424,756  
     

 

 

 
        6,161,680  
     

 

 

 

MATERIALS (9.7%)

     

Crown Hldgs., Inc.*

     34,085        2,251,655  

FMC Corp.

     7,320        641,818  

Freeport-McMoRan, Inc.

     85,960        822,637  

International Paper Co.

     17,549        733,899  

Mosaic Co.

     7,050        144,525  

Newmont Goldcorp Corp.

     7,430        281,746  

Nucor Corp.

     9,932        505,638  

Olin Corp.

     43,150        807,768  

Packaging Corp. of America

     21,659        2,298,020  

Steel Dynamics, Inc.

     15,317        456,447  
     

 

 

 
        8,944,153  
     

 

 

 

REAL ESTATE (14.0%)

     

Alexander’s, Inc.

     1,137        396,142  

American Campus Communities, Inc.

     14,140        679,851  

Apartment Investment & Management Co. Cl A

     18,559        967,666  

AvalonBay Communities, Inc.

     5,202        1,120,147  

Brandywine Realty Trust

     58,091        880,079  

Duke Realty Corp.

     51,172        1,738,313  

Equity LifeStyle Properties, Inc.

     4,221        563,926  

GEO Group, Inc.

     28,610        496,097  

Host Hotels & Resorts, Inc.

     46,595        805,628  

Kilroy Realty Corp.

     8,734        680,291  

Liberty Property Trust

     12,130        622,633  

Macerich Co.

     8,560        270,410  

Prologis, Inc.

     5,967        508,508  

Regency Centers Corp.

     3,926        272,818  

Spirit Realty Capital, Inc.

     16,690        798,783  

Vornado Realty Trust

     7,493        477,079  

Welltower, Inc.

     13,332        1,208,546  

Weyerhaeuser Co.

     15,789        437,355  
     

 

 

 
        12,924,272  
     

 

 

 

UTILITIES (12.4%)

     

AES Corp.

     41,460        677,457  

Ameren Corp.

     18,208        1,457,550  

Consolidated Edison, Inc.

     14,115        1,333,444  

Edison International

     6,761        509,915  

Entergy Corp.

     10,621        1,246,481  

Evergy, Inc.

     22,442        1,493,740  

Eversource Energy

     10,994        939,657  

FirstEnergy Corp.

     24,306        1,172,278  

PPL Corp.

     28,507        897,685  

Public Svc. Enterprise Group, Inc.

     26,919        1,671,132  
     

 

 

 
        11,399,339  
     

 

 

 


MUTUAL OF AMERICA INVESTMENT CORPORATION - MID CAP VALUE FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

TOTAL COMMON STOCKS
(Cost: $70,469,087) 97.5%

        89,789,890  
     

 

 

 

 

     Rating**      Rate(%)      Maturity      Face Amount      Value  

SHORT-TERM DEBT SECURITIES:

              

U.S. GOVERNMENT AGENCIES (2.3%)

              

FHLB

     A-1+        1.50        10/01/19        2,100,000        2,100,000  
              

 

 

 

TOTAL SHORT-TERM DEBT SECURITIES
(Cost: $2,100,000) 2.3%

                 2,100,000  
        

 

 

 
            Rate(%)      Maturity      Face Amount      Value  

TEMPORARY CASH INVESTMENT (0.0%) (2)

 

           

JP Morgan Chase, New York Time Deposit

        1.15        10/01/19        30,431        30,431  
              

 

 

 

TOTAL TEMPORARY CASH INVESTMENT
(Cost: $30,431) 0.0% (2)

 

              30,431  
        

 

 

 

TOTAL INVESTMENTS
(Cost: $72,599,518) 99.8%

                 91,920,321  
     

 

 

 

OTHER NET ASSETS 0.2%

                 169,435  
     

 

 

 

NET ASSETS 100.0%

               $ 92,089,756  
     

 

 

 

 

 

The disclosures regarding Fair Value and Security Valuation included in the Notes to Portfolios of Investments in Securities are an integral part of these portfolio schedules.


MUTUAL OF AMERICA INVESTMENT CORPORATION - MID-CAP EQUITY INDEX FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

     Shares      Value  

INDEXED ASSETS:

     

COMMON STOCKS:

     

COMMUNICATION SERVICES (2.3%)

     

AMC Networks, Inc. Cl A*

     37,458        1,841,435  

Cable One, Inc.

     4,277        5,366,352  

Cinemark Hldgs., Inc.

     90,321        3,490,003  

John Wiley & Sons, Inc. Cl A

     37,323        1,639,973  

Live Nation Entertainment, Inc.*

     118,428        7,856,514  

Meredith Corp.

     34,046        1,248,126  

New York Times Co. Cl A

     122,641        3,492,816  

TEGNA, Inc.

     183,261        2,846,043  

Telephone & Data Systems, Inc.

     82,647        2,132,293  

World Wrestling Entertainment, Inc. Cl A

     40,376        2,872,752  

Yelp, Inc. Cl A*

     55,037        1,912,536  
     

 

 

 
        34,698,843  
     

 

 

 

CONSUMER DISCRETIONARY (12.0%)

     

Aaron’s, Inc.

     57,504        3,695,207  

Adient PLC

     73,815        1,694,792  

Adtalem Global Education, Inc.*

     46,873        1,785,393  

American Eagle Outfitters, Inc.

     135,458        2,197,129  

AutoNation, Inc.*

     49,935        2,531,705  

Bed Bath & Beyond, Inc.

     108,869        1,158,366  

Boyd Gaming Corp.

     68,230        1,634,109  

Brinker International, Inc.

     32,057        1,367,872  

Brunswick Corp.

     72,992        3,804,343  

Caesars Entertainment Corp.*

     472,593        5,510,434  

Carter’s, Inc.

     38,091        3,474,280  

Cheesecake Factory, Inc.

     35,083        1,462,260  

Churchill Downs, Inc.

     30,372        3,749,575  

Cracker Barrel Old Country Store, Inc.

     20,380        3,314,807  

Dana, Inc.

     121,974        1,761,305  

Deckers Outdoor Corp.*

     24,545        3,616,951  

Delphi Technologies PLC

     73,250        981,550  

Dick’s Sporting Goods, Inc.

     55,894        2,281,034  

Dillard’s, Inc. Cl A

     8,730        577,140  

Domino’s Pizza, Inc.

     35,196        8,608,590  

Dunkin’ Brands Group, Inc.

     70,673        5,608,609  

Eldorado Resorts, Inc.*

     55,716        2,221,397  

Etsy, Inc.*

     102,553        5,794,244  

Five Below, Inc.*

     47,321        5,967,178  

Foot Locker, Inc.

     93,535        4,036,971  

Gentex Corp.

     216,450        5,959,951  

Goodyear Tire & Rubber Co.

     195,863        2,821,406  

Graham Hldgs. Co. Cl B

     3,700        2,454,765  

GrubHub, Inc.*

     78,080        4,388,877  

Helen of Troy Ltd.*

     21,313        3,360,207  

International Speedway Corp. Cl A

     20,291        913,298  

Jack in the Box, Inc.

     21,977        2,002,544  

KB Home

     72,593        2,468,162  

Marriott Vacations Worldwide Corp.

     32,875        3,406,179  

Mattel, Inc.*

     293,698        3,345,220  

Murphy USA, Inc.*

     25,528        2,177,538  

Ollie’s Bargain Outlet Hldgs., Inc.*

     46,648        2,735,439  

Papa John’s International, Inc.

     18,652        976,432  

Penn National Gaming, Inc.*

     92,405        1,721,043  

Polaris, Inc.

     48,868        4,300,873  

Pool Corp.

     33,935        6,844,690  

Sally Beauty Hldgs., Inc.*

     102,363        1,524,185  

Scientific Games Corp.*

     45,855        933,149  

Service Corp. International

     155,135        7,417,004  

Six Flags Entertainment Corp.

     66,658        3,385,560  


MUTUAL OF AMERICA INVESTMENT CORPORATION - MID-CAP EQUITY INDEX FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Skechers U.S.A., Inc. Cl A*

     113,544        4,240,869  

Sotheby’s*

     27,746        1,580,967  

Tempur Sealy International, Inc.*

     39,290        3,033,188  

Texas Roadhouse, Inc. Cl A

     55,868        2,934,187  

Thor Industries, Inc.

     46,726        2,646,561  

Toll Brothers, Inc.

     109,552        4,497,110  

TRI Pointe Group, Inc.*

     120,890        1,818,186  

Urban Outfitters, Inc.*

     59,879        1,682,001  

Visteon Corp.*

     23,738        1,959,335  

Wendy’s Co.

     157,856        3,153,963  

Williams-Sonoma, Inc.

     66,398        4,513,736  

Weight Watchers International, Inc.*

     39,473        1,492,869  

Wyndham Destinations, Inc.

     78,150        3,596,463  

Wyndham Hotels & Resorts, Inc.

     81,969        4,241,076  
     

 

 

 
        183,362,274  
     

 

 

 

CONSUMER STAPLES (2.7%)

     

Boston Beer Co., Inc. Cl A*

     7,814        2,844,921  

Casey’s General Stores, Inc.

     31,310        5,045,920  

Edgewell Personal Care Co.*

     45,912        1,491,681  

Energizer Hldgs., Inc.

     54,554        2,377,463  

Flowers Foods, Inc.

     163,595        3,783,952  

Hain Celestial Group, Inc.*

     68,160        1,463,736  

Ingredion, Inc.

     56,613        4,627,547  

Lancaster Colony Corp.

     16,787        2,327,518  

Nu Skin Enterprises, Inc. Cl A

     47,282        2,010,903  

Pilgrim’s Pride Corp.*

     44,614        1,429,656  

Post Hldgs., Inc.*

     58,262        6,166,450  

Sanderson Farms, Inc.

     16,725        2,530,994  

Spectrum Brands Hldgs., Inc.

     5,369        283,054  

Sprouts Farmers Market, Inc.*

     100,309        1,939,976  

Tootsie Roll Industries, Inc.

     14,338        532,513  

TreeHouse Foods, Inc.*

     47,396        2,628,108  
     

 

 

 
        41,484,392  
     

 

 

 

ENERGY (2.1%)

     

Antero Midstream Corp.

     217,265        1,607,761  

Apergy Corp.*

     66,179        1,790,142  

Chesapeake Energy Corp.*

     952,972        1,343,691  

CNX Resources Corp.*

     161,028        1,169,063  

Core Laboratories N.V.

     37,357        1,741,583  

EQT Corp.

     217,069        2,309,614  

Equitrans Midstream Corp.

     172,428        2,508,827  

Matador Resources Co.*

     92,189        1,523,884  

Murphy Oil Corp.

     130,488        2,885,090  

Oasis Petroleum, Inc.*

     242,680        839,673  

Oceaneering International, Inc.*

     83,968        1,137,766  

Patterson-UTI Energy, Inc.

     170,862        1,460,870  

PBF Energy, Inc. Cl A

     86,375        2,348,536  

Southwestern Energy Co.*

     461,441        890,581  

Transocean Ltd.*

     487,786        2,180,404  

World Fuel Svcs. Corp.

     55,766        2,227,294  

WPX Energy, Inc.*

     358,199        3,793,328  
     

 

 

 
        31,758,107  
     

 

 

 

FINANCIALS (16.2%)

     

Alleghany Corp.*

     12,280        9,796,493  

American Financial Group, Inc.

     63,415        6,839,308  

Associated Banc-Corp.

     137,965        2,793,791  

BancorpSouth Bank

     79,830        2,363,766  

Bank of Hawaii Corp.

     34,478        2,962,695  

Bank OZK

     103,126        2,812,246  

Brighthouse Financial, Inc.*

     94,575        3,827,450  

Brown & Brown, Inc.

     198,464        7,156,612  

Cathay General Bancorp

     64,499        2,240,373  


MUTUAL OF AMERICA INVESTMENT CORPORATION - MID-CAP EQUITY INDEX FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

CNO Financial Group, Inc.

     132,486        2,097,253  

Commerce Bancshares, Inc.

     84,086        5,099,816  

Cullen/Frost Bankers, Inc.

     48,262        4,273,600  

East West Bancorp, Inc.

     123,628        5,475,484  

Eaton Vance Corp.

     96,125        4,318,896  

Evercore, Inc. Cl A

     33,974        2,721,317  

FactSet Research Systems, Inc.

     32,603        7,921,551  

Federated Investors, Inc. Cl B

     82,017        2,658,171  

First American Financial Corp.

     95,273        5,622,060  

First Financial Bankshares, Inc.

     115,242        3,841,016  

First Horizon National Corp.

     266,114        4,311,047  

FirstCash, Inc.

     36,693        3,363,647  

FNB Corp.

     276,486        3,187,884  

Fulton Financial Corp.

     141,217        2,284,891  

Genworth Financial, Inc. Cl A*

     428,941        1,887,340  

Green Dot Corp. Cl A*

     40,584        1,024,746  

Hancock Whitney Corp.

     77,175        2,955,417  

Hanover Insurance Group, Inc.

     33,701        4,567,834  

Home BancShares, Inc.

     132,299        2,486,560  

Interactive Brokers Group, Inc. Cl A

     65,280        3,510,758  

International Bancshares Corp.

     49,132        1,897,478  

Janus Henderson Group PLC

     135,574        3,044,992  

Jefferies Financial Group, Inc.

     214,787        3,952,081  

Kemper Corp.

     53,196        4,146,628  

Legg Mason, Inc.

     69,393        2,650,119  

LendingTree, Inc.*

     6,517        2,023,072  

Mercury General Corp.

     23,023        1,286,525  

Navient Corp.

     172,994        2,214,323  

New York Community Bancorp, Inc.

     396,616        4,977,531  

Old Republic International Corp.

     241,826        5,699,839  

PacWest Bancorp

     100,380        3,647,809  

Pinnacle Financial Partners, Inc.

     61,398        3,484,336  

Primerica, Inc.

     35,608        4,530,406  

Prosperity Bancshares, Inc.

     58,660        4,143,156  

Reinsurance Group of America, Inc. Cl A

     53,516        8,556,138  

RenaissanceRe Hldgs. Ltd.

     37,664        7,286,101  

SEI Investments Co.

     107,891        6,393,081  

Selective Insurance Group, Inc.

     50,790        3,818,900  

Signature Bank

     46,495        5,543,134  

SLM Corp.

     363,502        3,207,905  

Sterling Bancorp

     174,740        3,505,284  

Stifel Financial Corp.

     59,154        3,394,257  

Synovus Financial Corp.

     130,972        4,683,559  

TCF Financial Corp.

     130,479        4,967,335  

Texas Capital Bancshares, Inc.*

     42,871        2,342,900  

Trustmark Corp.

     54,730        1,866,840  

UMB Financial Corp.

     36,694        2,369,699  

Umpqua Hldgs. Corp.

     187,352        3,083,814  

United Bankshares, Inc.

     86,558        3,277,951  

Valley National Bancorp

     282,128        3,066,731  

Washington Federal, Inc.

     67,520        2,497,565  

Webster Financial Corp.

     78,464        3,677,608  

Wintrust Financial Corp.

     48,191        3,114,584  

WR Berkley Corp.

     123,223        8,900,397  
     

 

 

 
        247,654,100  
     

 

 

 

HEALTH CARE (9.4%)

     

Acadia Healthcare Co., Inc.*

     75,540        2,347,783  

Allscripts Healthcare Solutions, Inc.*

     141,250        1,550,925  

Amedisys, Inc.*

     27,406        3,590,460  

Avanos Medical, Inc.*

     40,607        1,521,138  

Bio-Rad Laboratories, Inc. Cl A*

     18,259        6,075,499  

Bio-Techne Corp.

     32,355        6,330,903  

Cantel Medical Corp.

     31,202        2,333,910  


MUTUAL OF AMERICA INVESTMENT CORPORATION - MID-CAP EQUITY INDEX FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Catalent, Inc.*

     124,435        5,930,572  

Charles River Laboratories International, Inc.*

     41,521        5,496,135  

Chemed Corp.

     13,583        5,671,853  

Covetrus, Inc.*

     83,301        990,449  

Encompass Health Corp.

     83,622        5,291,600  

Exelixis, Inc.*

     257,834        4,559,794  

Globus Medical, Inc. Cl A*

     65,315        3,338,903  

Haemonetics Corp.*

     43,399        5,474,350  

HealthEquity, Inc.*

     60,275        3,444,415  

Hill-Rom Hldgs., Inc.

     56,837        5,980,957  

ICU Medical, Inc.*

     16,337        2,607,385  

Integra LifeSciences Hldgs. Corp.*

     60,458        3,631,712  

Ligand Pharmaceuticals, Inc.*

     16,184        1,610,956  

LivaNova PLC*

     41,045        3,028,711  

Masimo Corp.*

     41,868        6,229,540  

Medidata Solutions, Inc.*

     52,934        4,843,461  

MEDNAX, Inc.*

     71,484        1,616,968  

Molina Healthcare, Inc.*

     53,428        5,862,120  

NuVasive, Inc.*

     44,430        2,815,973  

Patterson Cos., Inc.

     73,186        1,304,175  

Penumbra, Inc.*

     27,252        3,665,121  

PRA Health Sciences, Inc.*

     53,221        5,281,120  

Prestige Consumer Healthcare, Inc.*

     42,673        1,480,326  

Repligen Corp.*

     39,398        3,021,433  

STERIS PLC

     72,057        10,411,516  

Syneos Health, Inc. Cl A*

     52,989        2,819,545  

Tenet Healthcare Corp.*

     88,105        1,948,883  

United Therapeutics Corp.*

     37,240        2,969,890  

West Pharmaceutical Svcs., Inc.

     62,786        8,904,310  
     

 

 

 
        143,982,791  
     

 

 

 

INDUSTRIALS (15.3%)

     

Acuity Brands, Inc.

     33,728        4,546,197  

AECOM*

     134,194        5,040,327  

AGCO Corp.

     53,733        4,067,588  

ASGN, Inc.*

     44,891        2,821,848  

Avis Budget Group, Inc.*

     49,706        1,404,692  

Axon Enterprise, Inc.*

     50,285        2,855,182  

Brink’s Co.

     42,435        3,519,983  

Carlisle Cos., Inc.

     48,059        6,994,507  

Clean Harbors, Inc.*

     43,711        3,374,489  

Colfax Corp.*

     70,820        2,058,029  

Crane Co.

     43,234        3,485,957  

Curtiss-Wright Corp.

     36,316        4,698,201  

Deluxe Corp.

     36,536        1,796,110  

Donaldson Co., Inc.

     108,401        5,645,524  

Dycom Industries, Inc.*

     26,687        1,362,372  

EMCOR Group, Inc.

     47,650        4,103,618  

EnerSys

     36,224        2,388,611  

Fluor Corp.

     118,470        2,266,331  

GATX Corp.

     30,292        2,348,539  

Genesee & Wyoming, Inc. Cl A*

     48,144        5,320,393  

Graco, Inc.

     141,780        6,527,551  

Granite Construction, Inc.

     39,676        1,274,790  

Healthcare Svcs. Group, Inc.

     63,351        1,538,796  

Herman Miller, Inc.

     50,486        2,326,900  

HNI Corp.

     36,404        1,292,342  

Hubbell, Inc. Cl B

     46,397        6,096,566  

Insperity, Inc.

     32,901        3,244,697  

ITT, Inc.

     74,701        4,570,954  

JetBlue Airways Corp.*

     251,483        4,212,340  

KAR Auction Svcs, Inc.

     113,565        2,788,021  

Kennametal, Inc.

     70,010        2,152,107  

Kirby Corp.*

     50,782        4,172,249  


MUTUAL OF AMERICA INVESTMENT CORPORATION - MID-CAP EQUITY INDEX FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Knight-Swift Transportation Hldgs., Inc. Cl A

     104,186        3,781,952  

Landstar System, Inc.

     33,676        3,791,244  

Lennox International, Inc.

     29,963        7,280,110  

Lincoln Electric Hldgs., Inc.

     52,444        4,550,041  

ManpowerGroup, Inc.

     50,674        4,268,778  

MasTec, Inc.*

     50,995        3,311,105  

MSA Safety, Inc.

     30,307        3,306,797  

MSC Industrial Direct Co., Inc. Cl A

     38,278        2,776,303  

Nordson Corp.

     43,584        6,374,596  

NOW, Inc.*

     92,963        1,066,286  

nVent Electric PLC

     132,297        2,915,826  

Old Dominion Freight Line, Inc.

     54,473        9,258,776  

Oshkosh Corp.

     57,961        4,393,444  

Owens Corning

     91,887        5,807,258  

Regal Beloit Corp.

     35,450        2,582,532  

Resideo Technologies, Inc.*

     104,691        1,502,316  

Ryder System, Inc.

     45,466        2,353,775  

Stericycle, Inc.*

     77,119        3,927,670  

Teledyne Technologies, Inc.*

     30,983        9,976,216  

Terex Corp.

     55,462        1,440,348  

Tetra Tech, Inc.

     46,459        4,030,783  

Timken Co.

     58,182        2,531,499  

Toro Co.

     90,623        6,642,666  

Trex Co., Inc.*

     49,686        4,517,948  

Trinity Industries, Inc.

     87,117        1,714,463  

Valmont Industries, Inc.

     18,421        2,550,203  

Watsco, Inc.

     27,742        4,693,391  

Werner Enterprises, Inc.

     37,611        1,327,668  

Woodward, Inc.

     48,050        5,181,232  

XPO Logistics, Inc.*

     78,589        5,624,615  
     

 

 

 
        233,775,652  
     

 

 

 

INFORMATION TECHNOLOGY (14.6%)

     

ACI Worldwide, Inc.*

     99,401        3,113,736  

Arrow Electronics, Inc.*

     70,857        5,284,515  

Avnet, Inc.

     88,314        3,928,648  

Belden, Inc.

     32,985        1,759,420  

Blackbaud, Inc.

     41,923        3,787,324  

CACI International, Inc. Cl A*

     21,272        4,919,363  

CDK Global, Inc.

     102,532        4,930,764  

Ciena Corp.*

     131,735        5,167,964  

Cirrus Logic, Inc.*

     49,590        2,657,032  

Cognex Corp.

     146,238        7,184,673  

Coherent, Inc.*

     20,546        3,158,331  

CommVault Systems, Inc.*

     35,084        1,568,606  

CoreLogic, Inc.*

     68,435        3,166,487  

Cree, Inc.*

     90,910        4,454,590  

Cypress Semiconductor Corp.

     314,110        7,331,327  

Fair Isaac Corp.*

     24,665        7,486,321  

First Solar, Inc.*

     64,585        3,746,576  

II-VI, Inc.*

     73,830        2,599,554  

InterDigital, Inc.

     26,332        1,381,640  

j2 Global, Inc.

     39,530        3,590,115  

Jabil, Inc.

     118,757        4,247,938  

KBR, Inc.

     120,016        2,945,193  

Littelfuse, Inc.

     20,935        3,711,985  

LiveRamp Hldgs., Inc.*

     56,130        2,411,345  

LogMeIn, Inc.

     42,222        2,996,073  

Lumentum Hldgs., Inc.*

     65,671        3,517,339  

Manhattan Associates, Inc.*

     54,324        4,382,317  

MAXIMUS, Inc.

     54,443        4,206,266  

MKS Instruments, Inc.

     46,458        4,287,144  

Monolithic Power Systems, Inc.

     34,167        5,317,410  

National Instruments Corp.

     100,722        4,229,317  


MUTUAL OF AMERICA INVESTMENT CORPORATION - MID-CAP EQUITY INDEX FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

NCR Corp.*

     108,400        3,421,104  

NetScout Systems, Inc.*

     56,553        1,304,112  

Perspecta, Inc.

     117,597        3,071,634  

Plantronics, Inc.

     27,515        1,026,860  

PTC, Inc.*

     88,264        6,017,839  

Sabre Corp.

     232,516        5,207,196  

Science Applications International Corp.

     42,193        3,685,558  

Semtech Corp.*

     56,622        2,752,396  

Silicon Laboratories, Inc.*

     36,900        4,108,815  

Synaptics, Inc.*

     28,046        1,120,438  

SYNNEX Corp.

     34,709        3,918,646  

Tech Data Corp.*

     30,240        3,152,218  

Teradata Corp.*

     97,114        3,010,534  

Teradyne, Inc.

     144,684        8,378,651  

Trimble, Inc.*

     213,776        8,296,646  

Tyler Technologies, Inc.*

     32,936        8,645,700  

Universal Display Corp.

     36,008        6,045,743  

Versum Materials, Inc.

     92,882        4,916,244  

ViaSat, Inc.*

     48,896        3,682,847  

Vishay Intertechnology, Inc.

     112,667        1,907,452  

WEX, Inc.*

     36,865        7,449,310  

Zebra Technologies Corp. Cl A*

     46,013        9,495,703  
     

 

 

 
        224,084,959  
     

 

 

 

MATERIALS (5.8%)

     

Allegheny Technologies, Inc.*

     107,418        2,175,214  

AptarGroup, Inc.

     54,530        6,459,078  

Ashland Global Hldgs., Inc.

     51,371        3,958,135  

Cabot Corp.

     48,973        2,219,456  

Carpenter Technology Corp.

     40,639        2,099,411  

Chemours Co.

     138,073        2,062,811  

Commercial Metals Co.

     100,136        1,740,364  

Compass Minerals International, Inc.

     28,849        1,629,680  

Domtar Corp.

     53,263        1,907,348  

Eagle Materials, Inc.

     35,691        3,212,547  

Greif, Inc. Cl A

     22,220        841,916  

Ingevity Corp.*

     35,538        3,015,044  

Louisiana-Pacific Corp.

     105,010        2,581,146  

Minerals Technologies, Inc.

     29,855        1,585,002  

NewMarket Corp.

     6,278        2,963,781  

Olin Corp.

     139,485        2,611,159  

Owens-Illinois, Inc.

     131,477        1,350,269  

PolyOne Corp.

     65,528        2,139,489  

Reliance Steel & Aluminum Co.

     56,635        5,644,244  

Royal Gold, Inc.

     55,904        6,887,932  

RPM International, Inc.

     110,169        7,580,729  

Scotts Miracle-Gro Co.

     33,718        3,433,167  

Sensient Technologies Corp.

     36,018        2,472,636  

Silgan Hldgs., Inc.

     66,245        1,989,668  

Sonoco Products Co.

     85,142        4,956,116  

Steel Dynamics, Inc.

     185,987        5,542,413  

United States Steel Corp.

     144,030        1,663,546  

Valvoline, Inc.

     159,990        3,524,580  

Worthington Industries, Inc.

     31,565        1,137,918  
     

 

 

 
        89,384,799  
     

 

 

 

REAL ESTATE (11.0%)

     

Alexander & Baldwin, Inc.

     57,698        1,414,178  

American Campus Communities, Inc.

     116,666        5,609,301  

Brixmor Property Group, Inc.

     251,755        5,108,109  

Camden Property Trust

     82,068        9,110,369  

CoreCivic, Inc.

     101,095        1,746,922  

CoreSite Realty Corp.

     31,362        3,821,460  

Corporate Office Properties Trust

     94,775        2,822,400  

Cousins Properties, Inc.

     124,130        4,666,046  


MUTUAL OF AMERICA INVESTMENT CORPORATION - MID-CAP EQUITY INDEX FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

CyrusOne, Inc.

     96,128        7,603,725  

Douglas Emmett, Inc.

     139,716        5,984,036  

EastGroup Properties, Inc.

     31,836        3,980,137  

EPR Properties

     65,846        5,060,924  

First Industrial Realty Trust, Inc.

     107,314        4,245,342  

GEO Group, Inc.

     103,163        1,788,846  

Healthcare Realty Trust, Inc.

     109,735        3,676,123  

Highwoods Properties, Inc.

     87,946        3,952,293  

JBG SMITH Properties

     99,784        3,912,531  

Jones Lang LaSalle, Inc.

     43,764        6,085,822  

Kilroy Realty Corp.

     78,779        6,136,096  

Lamar Advertising Co. Cl A

     73,009        5,981,627  

Liberty Property Trust

     133,977        6,877,039  

Life Storage, Inc.

     39,620        4,176,344  

Mack-Cali Realty Corp.

     76,820        1,663,921  

Medical Properties Trust, Inc.

     379,200        7,417,152  

National Retail Properties, Inc.

     145,448        8,203,267  

Omega Healthcare Investors, Inc.

     183,696        7,676,656  

Park Hotels & Resorts, Inc.

     202,378        5,053,378  

Pebblebrook Hotel Trust

     110,607        3,077,087  

PotlatchDeltic Corp.

     57,158        2,348,336  

PS Business Parks, Inc.

     17,002        3,093,514  

Rayonier, Inc.

     110,365        3,112,293  

Sabra Health Care REIT, Inc.

     160,729        3,690,338  

Senior Housing Properties Trust

     201,934        1,868,899  

Service Properties Trust

     139,168        3,589,143  

Spirit Realty Capital, Inc.

     76,302        3,651,814  

Tanger Factory Outlet Centers, Inc.

     79,293        1,227,456  

Taubman Centers, Inc.

     51,551        2,104,827  

Uniti Group, Inc.

     163,930        1,272,916  

Urban Edge Properties

     97,613        1,931,761  

Weingarten Realty Investors

     102,384        2,982,446  
     

 

 

 
        167,724,874  
     

 

 

 

UTILITIES (4.7%)

     

ALLETE, Inc.

     44,001        3,846,127  

Aqua America, Inc.

     183,607        8,231,102  

Black Hills Corp.

     51,849        3,978,374  

Hawaiian Electric Industries, Inc.

     92,519        4,219,791  

IDACORP, Inc.

     42,816        4,824,079  

MDU Resources Group, Inc.

     169,266        4,771,609  

National Fuel Gas Co.

     73,603        3,453,453  

New Jersey Resources Corp.

     76,496        3,459,149  

NorthWestern Corp.

     42,928        3,221,746  

OGE Energy Corp.

     170,294        7,727,942  

ONE Gas, Inc.

     44,807        4,306,401  

PNM Resources, Inc.

     67,747        3,528,264  

Southwest Gas Hldgs., Inc.

     46,094        4,196,398  

Spire, Inc.

     43,161        3,765,366  

UGI Corp.

     177,299        8,912,820  
     

 

 

 
        72,442,621  
     

 

 

 

TOTAL INDEXED ASSETS - COMMON STOCKS
(Cost: $1,209,850,792) 96.1%

        1,470,353,412  
     

 

 

 

 

     Rating**      Rate(%)      Maturity      Face Amount      Value  

SHORT-TERM DEBT SECURITIES:

              

U.S. GOVERNMENT (2.2%)

              

U.S. Treasury Bill

     A-1+        1.84        12/26/19        5,500,000        5,476,547  

U.S. Treasury Bill

     A-1+        1.93        11/05/19        11,000,000        10,979,379  

U.S. Treasury Bill

     A-1+        1.93        12/12/19        12,000,000        11,957,360  

U.S. Treasury Bill (1)

     A-1+        2.04        10/17/19        5,000,000        4,995,483  
              

 

 

 
                 33,408,769  
              

 

 

 


MUTUAL OF AMERICA INVESTMENT CORPORATION - MID-CAP EQUITY INDEX FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

U.S. GOVERNMENT AGENCIES (0.3%)

              

FHLB

     A-1+        1.50        10/01/19        4,300,000        4,300,000  
              

 

 

 

COMMERCIAL PAPER (1.3%)

              

Chevron Corp.†

     A-1+        1.93        10/17/19        10,000,000        9,991,422  

United Parcel Svc., Inc.†

     A-1        1.75        10/01/19        10,000,000        10,000,000  
              

 

 

 
                 19,991,422  
              

 

 

 

TOTAL SHORT-TERM DEBT SECURITIES
(Cost: $57,696,179) 3.8%

 

           57,700,191  
              

 

 

 
            Rate(%)      Maturity      Face Amount      Value  

TEMPORARY CASH INVESTMENT (0.0%) (2)

 

           

Citibank, New York Time Deposit

        1.15        10/01/19        42,625        42,625  
              

 

 

 

TOTAL TEMPORARY CASH INVESTMENT
(Cost: $42,625) 0.0% (2)

 

           42,625  
              

 

 

 

TOTAL INVESTMENTS
(Cost: $1,267,589,596) 99.9%

                 1,528,096,228  
              

 

 

 

OTHER NET ASSETS 0.1%

                 2,236,845  
              

 

 

 

NET ASSETS 100.0%

               $ 1,530,333,073  
              

 

 

 

 

 

The disclosures regarding Fair Value and Security Valuation included in the Notes to Portfolios of Investments in Securities

are an integral part of these portfolio schedules.


MUTUAL OF AMERICA INVESTMENT CORPORATION - INTERNATIONAL FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

     Shares      Value  

COMMON STOCKS:

     

FINANCIALS (97.1%)

     

iShares Core MSCI EAFE ETF

     1,553,109        94,848,367  

iShares Core MSCI Europe ETF

     393,284        17,988,810  

iShares Core MSCI Pacific ETF

     177,010        9,947,962  

iShares Edge MSCI Min Vol Emerging Markets ETF

     239,149        13,653,016  

iShares MSCI EAFE ETF

     3,612,821        235,592,058  

iShares MSCI EAFE Growth ETF

     644,307        51,873,157  

iShares MSCI EAFE Small-Cap ETF

     177,935        10,183,220  

iShares MSCI EAFE Value ETF

     1,057,432        50,090,554  

Vanguard FTSE Developed Markets ETF

     2,129,980        87,499,578  

Vanguard FTSE Europe ETF

     424,630        22,764,414  

Vanguard FTSE Pacific ETF

     220,480        14,562,704  
     

 

 

 
        609,003,840  
     

 

 

 

TOTAL COMMON STOCKS
(Cost: $577,678,683) 97.1%

        609,003,840  
     

 

 

 

 

     Rating**      Rate(%)      Maturity      Face Amount      Value  

SHORT-TERM DEBT SECURITIES:

              

U.S. GOVERNMENT (1.9%)

              

U.S. Treasury Bill

     A-1+        2.04        10/17/19        12,000,000        11,989,158  
              

 

 

 

U.S. GOVERNMENT AGENCIES (0.9%)

              

FHLB

     A-1+        1.50        10/01/19        5,300,000        5,300,000  
              

 

 

 

TOTAL SHORT-TERM DEBT SECURITIES
(Cost: $17,289,158) 2.8%

                 17,289,158  
              

 

 

 
            Rate(%)      Maturity      Face Amount      Value  

TEMPORARY CASH INVESTMENT (0.0%) (2)

              

JP Morgan Chase, New York Time Deposit

        1.15        10/01/19        100,087        100,087  
              

 

 

 

TOTAL TEMPORARY CASH INVESTMENT
(Cost: $100,087) 0.0% (2)

                 100,087  
              

 

 

 

TOTAL INVESTMENTS
(Cost: $595,067,928) 99.9%

                 626,393,085  
              

 

 

 

OTHER NET ASSETS 0.1%

                 531,320  
              

 

 

 

NET ASSETS 100.0%

               $ 626,924,405  
              

 

 

 

 

 

 

The disclosures regarding Fair Value and Security Valuation included in the Notes to Portfolios of Investments in Securities

are an integral part of these portfolio schedules.


MUTUAL OF AMERICA INVESTMENT CORPORATION - COMPOSITE FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

     Shares      Value  

COMMON STOCKS:

     

COMMUNICATION SERVICES (3.1%)

     

Comcast Corp. Cl A

     68,897        3,105,877  

Viacom, Inc. Cl B

     40,512        973,504  

Walt Disney Co.

     13,282        1,730,910  
     

 

 

 
        5,810,291  
     

 

 

 

CONSUMER DISCRETIONARY (5.3%)

     

Amazon.com, Inc.*

     937        1,626,548  

Best Buy Co., Inc.

     28,940        1,996,571  

Home Depot, Inc.

     12,989        3,013,708  

Ross Stores, Inc.

     7,344        806,738  

Tapestry, Inc.

     33,118        862,724  

Target Corp.

     13,483        1,441,467  
     

 

 

 
        9,747,756  
     

 

 

 

CONSUMER STAPLES (2.6%)

     

Constellation Brands, Inc. Cl A

     4,022        833,680  

Estee Lauder Cos., Inc. Cl A

     2,601        517,469  

General Mills, Inc.

     13,169        725,875  

PepsiCo, Inc.

     10,437        1,430,913  

Sysco Corp.

     15,689        1,245,707  
     

 

 

 
        4,753,644  
     

 

 

 

ENERGY (4.5%)

     

Baker Hughes, a GE Co. Cl A

     34,676        804,483  

Chevron Corp.

     11,143        1,321,560  

Concho Resources, Inc.

     8,223        558,342  

ConocoPhillips

     15,266        869,856  

Marathon Petroleum Corp.

     39,067        2,373,320  

Noble Energy, Inc.

     24,504        550,360  

Valero Energy Corp.

     13,529        1,153,212  

Williams Cos., Inc.

     26,254        631,671  
     

 

 

 
        8,262,804  
     

 

 

 

FINANCIALS (6.9%)

     

Bank of America Corp.

     77,792        2,269,193  

Citigroup, Inc.

     29,213        2,018,034  

Intercontinental Exchange, Inc.

     16,165        1,491,545  

JPMorgan Chase & Co.

     24,400        2,871,636  

Morgan Stanley

     32,515        1,387,415  

Progressive Corp.

     10,090        779,452  

Synchrony Financial

     57,796        1,970,266  
     

 

 

 
        12,787,541  
     

 

 

 

HEALTH CARE (8.5%)

     

AbbVie, Inc.

     24,646        1,866,195  

Becton Dickinson & Co.

     2,301        582,061  

Bristol-Myers Squibb Co.

     6,418        325,457  

Celgene Corp.*

     9,007        894,395  

Cigna Corp.

     5,454        827,863  

Eli Lilly & Co.

     10,647        1,190,654  

Gilead Sciences, Inc.

     29,625        1,877,633  

HCA Healthcare, Inc.

     14,896        1,793,776  

Humana, Inc.

     3,421        874,647  

Medtronic PLC

     16,593        1,802,332  

Merck & Co., Inc.

     18,260        1,537,127  

UnitedHealth Group, Inc.

     10,824        2,352,272  
     

 

 

 
        15,924,412  
     

 

 

 

INDUSTRIALS (5.0%)

     

Boeing Co.

     7,339        2,792,269  

Caterpillar, Inc.

     4,770        602,498  

Delta Air Lines, Inc.

     30,599        1,762,502  

FedEx Corp.

     7,891        1,148,693  

Ingersoll-Rand PLC

     8,894        1,095,830  

Lockheed Martin Corp.

     4,650        1,813,779  
     

 

 

 
        9,215,571  
     

 

 

 


MUTUAL OF AMERICA INVESTMENT CORPORATION - COMPOSITE FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

INFORMATION TECHNOLOGY (14.4%)

     

Akamai Technologies, Inc.*

     3,648        333,354  

Apple, Inc.

     27,926        6,254,586  

Automatic Data Processing, Inc.

     6,682        1,078,609  

Broadcom, Inc.

     6,941        1,916,202  

Cisco Systems, Inc.

     30,012        1,482,893  

Corning, Inc.

     11,766        335,566  

DXC Technology Co.

     14,443        426,069  

Fidelity National Information Svcs., Inc.

     12,283        1,630,691  

Lam Research Corp.

     6,235        1,440,971  

Microsoft Corp.

     46,687        6,490,894  

Motorola Solutions, Inc.

     7,518        1,281,142  

Texas Instruments, Inc.

     10,199        1,318,119  

Visa, Inc. Cl A

     13,933        2,396,615  

Xilinx, Inc.

     3,549        340,349  
     

 

 

 
        26,726,060  
     

 

 

 

MATERIALS (1.8%)

     

Celanese Corp. Cl A

     5,667        693,017  

Eastman Chemical Co.

     6,938        512,233  

PPG Industries, Inc.

     9,736        1,153,813  

WestRock Co.

     25,910        944,419  
     

 

 

 
        3,303,482  
     

 

 

 

REAL ESTATE (3.1%)

     

American Tower Corp.

     8,949        1,978,892  

Equinix, Inc.

     2,905        1,675,604  

Prologis, Inc.

     10,753        916,371  

Simon Property Group, Inc.

     7,393        1,150,720  
     

 

 

 
        5,721,587  
     

 

 

 

UTILITIES (2.1%)

     

NextEra Energy, Inc.

     8,628        2,010,238  

Sempra Energy

     12,692        1,873,466  
     

 

 

 
        3,883,704  
     

 

 

 

TOTAL COMMON STOCKS
(Cost: $83,234,211) 57.3%

        106,136,852  
     

 

 

 

 

     Rating**      Rate(%)      Maturity      Face Amount      Value  

LONG-TERM DEBT SECURITIES:

              

U.S. GOVERNMENT (16.4%)

 

     

U.S. Treasury Bond

     AA+        2.25        08/15/46        1,150,000        1,180,188  

U.S. Treasury Bond

     AA+        2.88        05/15/49        1,500,000        1,750,898  

U.S. Treasury Note

     AA+        1.25        08/31/24        650,000        640,986  

U.S. Treasury Note

     AA+        1.50        02/28/23        500,000        498,730  

U.S. Treasury Note

     AA+        1.50        09/30/24        500,000        498,809  

U.S. Treasury Note

     AA+        1.63        02/15/26        750,000        750,322  

U.S. Treasury Note

     AA+        2.00        02/15/25        500,000        510,586  

U.S. Treasury Note

     AA+        2.00        11/15/26        800,000        820,406  

U.S. Treasury Note

     AA+        2.13        05/15/25        750,000        771,299  

U.S. Treasury Note

     AA+        2.25        02/15/27        1,650,000        1,721,479  

U.S. Treasury Note

     AA+        2.25        08/15/27        2,600,000        2,718,219  

U.S. Treasury Note

     AA+        2.25        11/15/27        2,150,000        2,249,186  

U.S. Treasury Note

     AA+        2.38        05/15/27        1,850,000        1,949,365  

U.S. Treasury Note

     AA+        2.63        02/15/29        1,500,000        1,623,867  

U.S. Treasury Note

     AA+        2.88        05/15/28        7,250,000        7,958,574  

U.S. Treasury Strip

     AA+        0.00        08/15/29        5,500,000        4,616,287  
              

 

 

 
                 30,259,201  
              

 

 

 

U.S. GOVERNMENT AGENCIES (11.2%)

 

     

MORTGAGE-BACKED OBLIGATIONS (11.2%)

              

FHLMC

     AA+        2.50        09/01/27        168,931        170,723  

FHLMC

     AA+        3.00        06/01/27        99,263        101,962  

FHLMC

     AA+        3.00        08/01/27        112,573        115,487  

FHLMC

     AA+        3.00        02/01/32        257,480        264,918  

FHLMC

     AA+        3.00        10/15/37        142,658        145,011  


MUTUAL OF AMERICA INVESTMENT CORPORATION - COMPOSITE FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

FHLMC

   AA+      3.00        11/01/42        168,009        173,254  

FHLMC

   AA+      3.00        04/01/43        201,705        208,138  

FHLMC

   AA+      3.50        02/01/32        116,103        120,878  

FHLMC

   AA+      3.50        01/01/43        211,868        222,732  

FHLMC

   AA+      3.50        06/01/45        269,517        282,281  

FHLMC

   AA+      3.50        07/01/45        297,488        314,276  

FHLMC

   AA+      4.00        02/01/25        16,881        17,570  

FHLMC

   AA+      4.00        11/01/33        203,720        212,942  

FHLMC

   AA+      4.00        01/01/38        172,888        185,608  

FHLMC

   AA+      4.00        03/01/41        94,202        100,671  

FHLMC

   AA+      4.00        07/01/41        126,850        135,598  

FHLMC

   AA+      4.00        11/01/42        92,721        99,375  

FHLMC

   AA+      4.00        01/01/43        162,271        173,916  

FHLMC

   AA+      4.00        01/01/44        177,531        189,104  

FHLMC

   AA+      4.00        10/01/44        142,806        151,030  

FHLMC

   AA+      4.00        06/01/45        278,793        295,315  

FHLMC

   AA+      4.00        05/01/47        317,205        333,554  

FHLMC

   AA+      4.50        08/01/34        19,690        21,330  

FHLMC

   AA+      4.50        08/15/35        15,118        15,603  

FHLMC

   AA+      4.50        02/01/44        132,851        142,959  

FHLMC

   AA+      4.50        05/01/48        403,422        426,198  

FHLMC

   AA+      5.00        02/01/26        10,752        11,510  

FHLMC

   AA+      5.00        10/01/40        131,724        145,338  

FHLMC

   AA+      5.50        07/01/32        23,934        26,174  

FHLMC

   AA+      5.50        05/01/33        17,435        18,863  

FHLMC

   AA+      5.50        06/01/37        80,212        90,603  

FHLMC

   AA+      6.00        03/15/32        23,460        26,416  

FHLMC ARM

   AA+      4.68        05/01/37        11,488        11,990  

FHLMC ARM

   AA+      4.73        03/01/37        3,551        3,717  

FHLMC ARM

   AA+      4.79        04/01/37        13,902        14,653  

FHLMC ARM

   AA+      4.89        02/01/36        26,265        27,369  

FHLMC Multifamily Structured

   AA+      2.62        01/25/23        50,000        50,911  

FHLMC Strip

   AA+      3.00        01/15/43        218,930        229,283  

FNMA

   AA+      2.68        12/01/26        300,000        307,316  

FNMA

   AA+      2.92        07/01/27        288,324        298,934  

FNMA

   AA+      3.00        06/01/33        319,956        329,945  

FNMA

   AA+      3.00        09/01/33        190,079        196,015  

FNMA

   AA+      3.00        12/01/42        247,297        249,612  

FNMA

   AA+      3.00        01/01/43        515,150        530,973  

FNMA

   AA+      3.00        02/01/43        140,633        145,125  

FNMA

   AA+      3.00        03/01/43        262,396        270,611  

FNMA

   AA+      3.00        04/01/43        244,221        246,509  

FNMA

   AA+      3.00        09/01/43        278,262        286,610  

FNMA

   AA+      3.50        03/25/28        221,835        232,168  

FNMA

   AA+      3.50        08/01/38        180,266        187,912  

FNMA

   AA+      3.50        10/01/41        114,828        122,412  

FNMA

   AA+      3.50        11/01/41        200,540        210,655  

FNMA

   AA+      3.50        12/01/41        169,304        176,957  

FNMA

   AA+      3.50        04/01/42        206,940        220,361  

FNMA

   AA+      3.50        04/01/42        318,436        334,578  

FNMA

   AA+      3.50        08/01/42        166,523        174,946  

FNMA

   AA+      3.50        11/25/42        417,100        429,087  

FNMA

   AA+      3.50        08/01/43        344,270        356,498  

FNMA

   AA+      3.50        08/01/43        285,352        299,087  

FNMA

   AA+      3.50        01/01/44        70,574        71,963  

FNMA

   AA+      3.50        08/25/44        86,322        87,246  

FNMA

   AA+      3.50        04/01/45        244,099        255,526  

FNMA

   AA+      3.50        09/01/47        157,643        165,000  

FNMA

   AA+      3.50        08/01/48        332,336        341,021  

FNMA

   AA+      3.50        08/01/49        393,277        404,774  

FNMA

   AA+      3.53        01/01/26        200,000        214,619  

FNMA

   AA+      4.00        07/25/26        291,580        309,945  

FNMA

   AA+      4.00        01/01/31        113,371        120,102  


MUTUAL OF AMERICA INVESTMENT CORPORATION - COMPOSITE FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

FNMA

   AA+      4.00        07/01/40        195,457        208,717  

FNMA

   AA+      4.00        11/01/40        109,057        116,496  

FNMA

   AA+      4.00        05/01/41        78,818        82,067  

FNMA

   AA+      4.00        11/01/45        231,677        243,484  

FNMA

   AA+      4.00        02/01/47        209,183        219,824  

FNMA

   AA+      4.00        05/01/48        541,056        564,710  

FNMA

   AA+      4.00        09/01/48        436,015        453,698  

FNMA

   AA+      4.00        03/01/49        523,573        544,495  

FNMA

   AA+      4.00        07/01/56        575,388        611,270  

FNMA

   AA+      4.50        05/01/30        36,662        39,309  

FNMA

   AA+      4.50        04/01/31        48,524        52,156  

FNMA

   AA+      4.50        08/01/33        21,870        23,479  

FNMA

   AA+      4.50        09/01/33        42,833        46,104  

FNMA

   AA+      4.50        06/01/34        43,776        46,926  

FNMA

   AA+      4.50        08/01/35        28,038        30,347  

FNMA

   AA+      4.50        12/01/35        24,905        26,940  

FNMA

   AA+      4.50        05/01/39        67,828        73,321  

FNMA

   AA+      4.50        05/01/39        45,978        49,769  

FNMA

   AA+      4.50        05/01/40        81,296        86,989  

FNMA

   AA+      4.50        10/01/40        402,542        436,150  

FNMA

   AA+      4.50        11/01/47        199,195        210,479  

FNMA

   AA+      4.50        11/01/47        102,217        109,286  

FNMA

   AA+      5.00        06/01/33        42,827        47,285  

FNMA

   AA+      5.00        10/01/33        46,355        51,182  

FNMA

   AA+      5.00        11/01/33        125,479        138,563  

FNMA

   AA+      5.00        11/01/33        28,947        31,966  

FNMA

   AA+      5.00        03/01/34        14,217        15,697  

FNMA

   AA+      5.00        04/01/34        20,958        23,036  

FNMA

   AA+      5.00        09/01/35        16,027        17,681  

FNMA

   AA+      5.00        11/25/35        58,548        65,361  

FNMA

   AA+      5.00        08/01/37        118,251        130,410  

FNMA

   AA+      5.00        05/01/39        56,502        62,200  

FNMA

   AA+      5.00        06/01/40        28,333        31,299  

FNMA

   AA+      5.50        03/01/34        7,882        8,519  

FNMA

   AA+      5.50        05/01/34        87,712        98,734  

FNMA

   AA+      5.50        07/01/34        31,739        35,004  

FNMA

   AA+      5.50        09/01/34        40,784        45,224  

FNMA

   AA+      5.50        09/01/34        12,461        13,755  

FNMA

   AA+      5.50        10/01/34        17,751        20,045  

FNMA

   AA+      5.50        02/01/35        31,901        36,027  

FNMA

   AA+      5.50        02/01/35        25,494        28,791  

FNMA

   AA+      5.50        08/01/35        11,338        12,727  

FNMA

   AA+      5.50        08/01/37        5,893        6,633  

FNMA

   AA+      5.50        11/01/38        2,947        3,124  

FNMA

   AA+      5.50        06/01/48        9,266        10,266  

FNMA

   AA+      6.00        05/01/23        7,691        8,492  

FNMA

   AA+      6.00        04/01/32        1,394        1,539  

FNMA

   AA+      6.00        05/01/32        8,596        9,892  

FNMA

   AA+      6.00        04/01/33        54,753        61,252  

FNMA

   AA+      6.00        05/01/33        29,871        33,023  

FNMA

   AA+      6.00        06/01/34        13,671        15,413  

FNMA

   AA+      6.00        09/01/34        9,391        10,507  

FNMA

   AA+      6.00        10/01/34        23,439        26,133  

FNMA

   AA+      6.00        12/01/36        23,229        26,696  

FNMA

   AA+      6.00        01/01/37        24,219        27,841  

FNMA

   AA+      6.00        04/01/37        3,809        4,116  

FNMA

   AA+      6.00        05/01/37        3,061        3,298  

FNMA

   AA+      6.00        06/01/37        1,673        1,755  

FNMA

   AA+      6.00        10/25/44        70,032        80,614  

FNMA

   AA+      6.00        02/25/47        63,982        73,919  

FNMA

   AA+      6.00        12/25/49        28,274        32,450  

FNMA

   AA+      6.50        05/01/32        4,087        4,554  

FNMA

   AA+      6.50        05/01/32        21,838        24,333  


MUTUAL OF AMERICA INVESTMENT CORPORATION - COMPOSITE FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

FNMA

     AA+        6.50        07/01/32        3,507        3,908  

FNMA

     AA+        6.50        07/01/34        15,735        17,584  

FNMA

     AA+        6.50        05/01/37        18,809        19,715  

FNMA

     AA+        6.50        09/01/37        3,502        3,902  

FNMA

     AA+        7.00        04/01/32        3,573        4,059  

FNMA

     AA+        7.50        06/01/31        3,779        4,333  

FNMA

     AA+        7.50        02/01/32        3,471        4,018  

FNMA

     AA+        7.50        06/01/32        2,801        3,362  

FNMA

     AA+        8.00        04/01/32        1,404        1,475  

FNMA Strip

     AA+        3.00        08/25/42        169,732        174,614  

FRESB Multifamily Mortgage

     AA+        2.37        10/25/26        122,929        124,405  

FRESB Multifamily Mortgage

     AA+        3.16        11/25/27        172,948        183,073  

FRESB Multifamily Mortgage

     AA+        3.30        12/25/27        98,805        105,028  

GNMA (3)

     AA+        3.00        07/15/46        279,902        288,336  

GNMA (3)

     AA+        3.50        05/20/31        91,691        96,653  

GNMA (3)

     AA+        4.00        08/15/41        136,285        145,485  

GNMA (3)

     AA+        4.00        01/15/42        180,557        194,264  

GNMA (3)

     AA+        4.00        08/20/42        126,243        134,139  

GNMA (3)

     AA+        4.50        04/20/31        68,571        72,471  

GNMA (3)

     AA+        4.50        10/15/40        117,845        129,813  

GNMA (3)

     AA+        4.50        10/20/43        232,963        247,683  

GNMA (3)

     AA+        5.00        04/15/39        95,325        107,088  

GNMA (3)

     AA+        5.00        06/20/39        106,186        116,496  

GNMA (3)

     AA+        5.00        11/15/39        51,719        58,072  

GNMA (3)

     AA+        6.50        04/15/31        1,720        1,904  

GNMA (3)

     AA+        6.50        10/15/31        2,024        2,341  

GNMA (3)

     AA+        6.50        12/15/31        1,288        1,426  

GNMA (3)

     AA+        6.50        05/15/32        6,178        6,838  

GNMA (3)

     AA+        7.00        05/15/31        1,972        2,278  

GNMA (3)

     AA+        7.00        05/15/32        627        642  

Vendee Mortgage Trust (3)

     AA+        5.25        01/15/32        69,913        72,280  
              

 

 

 
                 20,836,824  
              

 

 

 

CORPORATE DEBT (11.7%)

 

     

COMMUNICATION SERVICES (0.5%)

 

        

AT&T, Inc.

     BBB        3.00        06/30/22        350,000        357,419  

Omnicom Group, Inc.

     BBB+        3.63        05/01/22        100,000        103,688  

Omnicom Group, Inc.

     BBB+        4.45        08/15/20        150,000        152,974  

Viacom, Inc.

     BBB-        3.25        03/15/23        350,000        353,604  
              

 

 

 
                 967,685  
              

 

 

 

CONSUMER DISCRETIONARY (2.6%)

 

        

Advance Auto Parts, Inc.

     BBB-        4.50        12/01/23        100,000        107,987  

Amazon.com, Inc.

     AA-        5.20        12/03/25        300,000        352,870  

AutoZone, Inc.

     BBB        4.00        11/15/20        250,000        253,739  

Dollar General Corp.

     BBB        3.25        04/15/23        300,000        309,943  

eBay, Inc.

     BBB+        2.88        08/01/21        325,000        328,468  

Expedia Group, Inc.

     BBB        5.95        08/15/20        250,000        257,860  

Family Dollar Stores, Inc.

     BBB-        5.00        02/01/21        300,000        309,347  

Harman International Industries, Inc.

     A        4.15        05/15/25        300,000        317,108  

Kohl’s Corp.

     BBB        3.25        02/01/23        250,000        252,984  

Lowe’s Cos., Inc.

     BBB+        3.12        04/15/22        300,000        306,816  

Macy’s Retail Hldgs., Inc.

     BBB-        2.88        02/15/23        216,000        213,267  

Marriott International, Inc.

     BBB        3.13        10/15/21        25,000        25,302  

Marriott International, Inc.

     BBB        3.25        09/15/22        350,000        357,595  

Mattel, Inc.

     B        3.15        03/15/23        350,000        330,750  

NVR, Inc.

     BBB+        3.95        09/15/22        300,000        312,879  

O’Reilly Automotive, Inc.

     BBB        3.80        09/01/22        300,000        311,316  

Tapestry, Inc.

     BBB-        4.25        04/01/25        100,000        104,677  

Tupperware Brands Corp.

     BB+        4.75        06/01/21        350,000        357,827  
              

 

 

 
                 4,810,735  
              

 

 

 

CONSUMER STAPLES (0.7%)

 

        

Edgewell Personal Care Co.

     B+        4.70        05/19/21        275,000        281,187  

Ingredion, Inc.

     BBB        4.63        11/01/20        250,000        255,848  

Molson Coors Brewing Co.

     BBB-        3.50        05/01/22        400,000        411,877  


MUTUAL OF AMERICA INVESTMENT CORPORATION - COMPOSITE FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Sysco Corp.

     BBB+        2.60        06/12/22        300,000        303,692  

Sysco Corp.

     BBB+        3.75        10/01/25        100,000        107,362  
              

 

 

 
                 1,359,966  
              

 

 

 

ENERGY (0.7%)

 

        

Cameron International Corp.

     A+        4.50        06/01/21        300,000        306,402  

Energen Corp.

     BB+        4.63        09/01/21        250,000        257,188  

EQT Corp.

     BBB-        4.88        11/15/21        210,000        215,420  

Marathon Oil Corp.

     BBB        2.80        11/01/22        350,000        352,185  

Rowan Cos., Inc.

     B-        4.88        06/01/22        300,000        225,000  
              

 

 

 
                 1,356,195  
              

 

 

 

FINANCIALS (2.8%)

 

        

Aflac, Inc.

     A-        4.00        02/15/22        300,000        313,935  

Alleghany Corp.

     BBB+        5.63        09/15/20        300,000        309,560  

American Express Co.

     BBB        3.63        12/05/24        250,000        264,596  

Bank of America Corp.

     BBB+        3.95        04/21/25        300,000        318,307  

Block Financial LLC

     BBB        5.25        10/01/25        350,000        379,476  

Capital One Financial Corp.

     BBB        4.75        07/15/21        300,000        313,345  

Citizens Financial Group, Inc.

     BBB        3.75        07/01/24        250,000        257,886  

Citizens Financial Group, Inc.

     BBB        4.35        08/01/25        100,000        106,978  

Fairfax U.S., Inc.†

     BBB-        4.88        08/13/24        250,000        267,222  

Fifth Third Bancorp

     BBB        4.30        01/16/24        300,000        321,817  

First Tennessee Bank

     BBBu        2.95        12/01/19        350,000        350,112  

Lincoln National Corp.

     A-        4.00        09/01/23        250,000        264,845  

Moody’s Corp.

     BBB+        4.50        09/01/22        250,000        265,473  

Pacific LifeCorp.†

     A-        6.00        02/10/20        23,000        23,266  

Prudential Financial, Inc.

     A        4.50        11/16/21        250,000        262,223  

Signet UK Finance PLC

     BB-        4.70        06/15/24        250,000        235,000  

Synchrony Financial

     BBB-        3.70        08/04/26        400,000        408,326  

Unum Group

     BBB        4.00        03/15/24        150,000        158,487  

Voya Financial, Inc.

     BBB+        3.65        06/15/26        250,000        263,222  
              

 

 

 
                 5,084,076  
              

 

 

 

HEALTH CARE (1.3%)

 

        

Anthem, Inc.

     A        4.35        08/15/20        250,000        254,891  

Bio-Rad Laboratories, Inc.

     BBB        4.88        12/15/20        200,000        204,728  

Medco Health Solutions, Inc.

     A-        4.13        09/15/20        250,000        254,562  

Owens & Minor, Inc.

     B        3.88        09/15/21        400,000        388,000  

PerkinElmer, Inc.

     BBB        5.00        11/15/21        300,000        315,055  

Quest Diagnostics, Inc.

     BBB+        4.70        04/01/21        150,000        155,390  

Quest Diagnostics, Inc.

     BBB+        4.75        01/30/20        250,000        251,892  

Thermo Fisher Scientific, Inc.

     BBB+        3.60        08/15/21        375,000        384,434  

Zimmer Biomet Hldgs., Inc.

     BBB        3.15        04/01/22        250,000        254,836  
              

 

 

 
                 2,463,788  
              

 

 

 

INDUSTRIALS (0.1%)

 

        

JB Hunt Transport Svcs., Inc.

     BBB+        3.30        08/15/22        200,000        204,559  
              

 

 

 
              

INFORMATION TECHNOLOGY (0.9%)

 

        

Applied Materials, Inc.

     A-        3.90        10/01/25        350,000        381,213  

Arrow Electronics, Inc.

     BBB-        4.50        03/01/23        300,000        315,633  

Fiserv, Inc.

     BBB        4.75        06/15/21        360,000        374,835  

Ingram Micro, Inc.

     NR        5.00        08/10/22        200,000        206,143  

Symantec Corp.

     BB+        4.20        09/15/20        350,000        354,380  
              

 

 

 
                 1,632,204  
              

 

 

 

MATERIALS (1.0%)

 

        

Freeport-McMoRan, Inc.

     BB        3.55        03/01/22        300,000        300,750  

Methanex Corp.

     BB+        3.25        12/15/19        250,000        250,492  

Packaging Corp. of America

     BBB        3.90        06/15/22        250,000        258,315  

Packaging Corp. of America

     BBB        4.50        11/01/23        150,000        161,003  

Sherwin-Williams Co.

     BBB        3.95        01/15/26        350,000        374,012  

Southern Copper Corp.

     BBB+        3.50        11/08/22        100,000        102,037  

Teck Resources Ltd.

     BBB-        4.75        01/15/22        300,000        310,461  
              

 

 

 
                 1,757,070  
              

 

 

 


MUTUAL OF AMERICA INVESTMENT CORPORATION - COMPOSITE FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

REAL ESTATE (0.4%)

              

Healthcare Realty Trust, Inc.

     BBB        3.75        04/15/23        250,000        258,186  

National Retail Properties, Inc.

     BBB+        3.80        10/15/22        250,000        259,563  

Service Properties Trust

     BBB-        5.00        08/15/22        250,000        261,386  
              

 

 

 
                 779,135  
              

 

 

 

UTILITIES (0.7%)

              

Entergy Corp.

     BBB        5.13        09/15/20        250,000        255,064  

Exelon Corp.

     BBB        5.15        12/01/20        340,000        349,100  

National Fuel Gas Co.

     BBB        4.90        12/01/21        250,000        259,029  

National Fuel Gas Co.

     BBB        5.20        07/15/25        100,000        108,950  

SCANA Corp.

     BBB        4.13        02/01/22        300,000        309,660  

Southern Co.

     BBB+        3.25        07/01/26        50,000        51,658  
              

 

 

 
                 1,333,461  
              

 

 

 

TOTAL CORPORATE DEBT

                 21,748,874  
              

 

 

 

TOTAL LONG-TERM DEBT SECURITIES
(Cost: $69,498,740) 39.3%

                 72,844,899  
              

 

 

 
     Rating**      Rate(%)      Maturity      Face Amount      Value  

SHORT-TERM DEBT SECURITIES:

              

U.S. GOVERNMENT AGENCIES (3.0%)

              

FHLB

     A-1+        1.50        10/01/19        5,500,000        5,500,000  
              

 

 

 

TOTAL SHORT-TERM DEBT SECURITIES
(Cost: $5,500,000) 3.0%

                 5,500,000  
              

 

 

 
            Rate(%)      Maturity      Face Amount      Value  

TEMPORARY CASH INVESTMENT (0.4%)

              

Citibank, New York Time Deposit

        1.15        10/01/19        794,866        794,866  
              

 

 

 

TOTAL TEMPORARY CASH INVESTMENT
(Cost: $794,866) 0.4%

 

        794,866  
              

 

 

 

TOTAL INVESTMENTS
(Cost: $159,027,817) 100.0%

                 185,276,617  
              

 

 

 

OTHER NET ASSETS 0.0% (2)

                 24,527  
              

 

 

 

NET ASSETS 100.0%

               $ 185,301,144  
              

 

 

 

 

 

The disclosures regarding Fair Value and Security Valuation included in the Notes to Portfolios of Investments in Securities are an integral part of these portfolio schedules.


MUTUAL OF AMERICA INVESTMENT CORPORATION - MID-TERM BOND FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

     Rating**      Rate(%)      Maturity      Face Amount      Value  

LONG-TERM DEBT SECURITIES:

              

U.S. GOVERNMENT (59.1%)

 

     

U.S. Treasury Note

     AA+        1.25        08/31/24        9,000,000        8,875,195  

U.S. Treasury Note

     AA+        1.38        06/30/23        20,000,000        19,854,688  

U.S. Treasury Note

     AA+        1.38        09/30/23        25,000,000        24,818,360  

U.S. Treasury Note

     AA+        1.50        10/31/19        3,000,000        2,998,530  

U.S. Treasury Note

     AA+        1.50        02/28/23        21,000,000        20,946,680  

U.S. Treasury Note

     AA+        1.50        09/30/24        5,000,000        4,988,086  

U.S. Treasury Note

     AA+        1.50        08/15/26        26,000,000        25,792,813  

U.S. Treasury Note

     AA+        1.63        06/30/20        5,500,000        5,490,332  

U.S. Treasury Note

     AA+        1.63        10/31/23        9,900,000        9,922,816  

U.S. Treasury Note

     AA+        1.63        05/15/26        26,000,000        26,013,203  

U.S. Treasury Note

     AA+        1.75        12/31/20        10,000,000        9,993,750  

U.S. Treasury Note

     AA+        1.75        02/28/22        15,000,000        15,047,461  

U.S. Treasury Note

     AA+        1.88        05/31/22        20,000,000        20,147,656  

U.S. Treasury Note

     AA+        2.00        11/30/20        10,000,000        10,021,484  

U.S. Treasury Note

     AA+        2.00        05/31/24        25,000,000        25,502,930  

U.S. Treasury Note

     AA+        2.00        06/30/24        25,000,000        25,488,281  

U.S. Treasury Note

     AA+        2.13        05/15/25        10,200,000        10,489,664  

U.S. Treasury Note

     AA+        2.38        04/30/26        19,000,000        19,895,820  

U.S. Treasury Note

     AA+        2.38        05/15/29        20,000,000        21,244,531  

U.S. Treasury Note

     AA+        2.50        01/31/24        17,000,000        17,659,414  

U.S. Treasury Note

     AA+        2.50        02/28/26        8,000,000        8,429,688  

U.S. Treasury Note

     AA+        2.75        09/30/20        5,000,000        5,045,313  

U.S. Treasury Note

     AA+        2.75        05/31/23        8,000,000        8,332,812  

U.S. Treasury Note

     AA+        2.88        05/31/25        36,500,000        39,017,930  
              

 

 

 
                 386,017,437  
              

 

 

 

U.S. GOVERNMENT AGENCIES (5.7%)

 

     

MORTGAGE-BACKED OBLIGATIONS (0.0%) (2)

 

           

FHLMC

     AA+        7.50        03/15/21        195        199  
              

 

 

 
              

NON-MORTGAGE-BACKED OBLIGATIONS (5.7%)

              

FHLMC

     AA+        0.00        11/29/19        13,500,000        13,452,430  

FNMA

     AA+        0.00        10/09/19        23,000,000        22,987,979  

Tennessee Valley Authority Strip

     AA+        0.00        11/01/20        900,000        881,601  
              

 

 

 
                 37,322,010  
              

 

 

 

CORPORATE DEBT (34.2%)

 

     

COMMUNICATION SERVICES (1.4%)

 

        

AT&T, Inc.

     BBB        3.00        02/15/22        2,000,000        2,040,939  

Discovery Communications LLC

     BBB-        3.50        06/15/22        2,500,000        2,561,828  

Omnicom Group, Inc.

     BBB+        3.63        05/01/22        2,000,000        2,073,759  

Viacom, Inc.

     BBB-        3.25        03/15/23        2,500,000        2,525,742  
              

 

 

 
                 9,202,268  
              

 

 

 

CONSUMER DISCRETIONARY (4.1%)

 

        

Advance Auto Parts, Inc.

     BBB-        4.50        01/15/22        500,000        521,651  

Advance Auto Parts, Inc.

     BBB-        4.50        12/01/23        250,000        269,968  

AutoZone, Inc.

     BBB        3.70        04/15/22        300,000        311,499  

AutoZone, Inc.

     BBB        4.00        11/15/20        700,000        710,468  

Dollar General Corp.

     BBB        3.25        04/15/23        1,047,000        1,081,701  

eBay, Inc.

     BBB+        2.88        08/01/21        2,100,000        2,122,410  

Expedia Group, Inc.

     BBB        5.95        08/15/20        2,000,000        2,062,881  

Family Dollar Stores, Inc.

     BBB-        5.00        02/01/21        2,000,000        2,062,312  

Gap, Inc.

     BB+        5.95        04/12/21        2,000,000        2,074,276  

Harman International Industries, Inc.

     A        4.15        05/15/25        2,000,000        2,114,050  

Hyatt Hotels Corp.

     BBB        5.38        08/15/21        50,000        52,260  

Kohl’s Corp.

     BBB        3.25        02/01/23        700,000        708,356  

Marriott International, Inc.

     BBB        3.13        02/15/23        2,000,000        2,027,417  


MUTUAL OF AMERICA INVESTMENT CORPORATION - MID-TERM BOND FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

 

Marriott International, Inc.

     BBB        3.38        10/15/20        800,000        807,610  

Newell Brands, Inc.

     BBB-        4.70        08/15/20        525,000        533,380  

NVR, Inc.

     BBB+        3.95        09/15/22        2,000,000        2,085,863  

O’Reilly Automotive, Inc.

     BBB        4.63        09/15/21        281,000        292,265  

Tapestry, Inc.

     BBB-        3.00        07/15/22        2,500,000        2,523,410  

Tupperware Brands Corp.

     BB+        4.75        06/01/21        2,000,000        2,044,729  

Wyndham Destinations, Inc.

     BB-        5.40        04/01/24        2,500,000        2,637,500  
              

 

 

 
                 27,044,006  
              

 

 

 

CONSUMER STAPLES (2.8%)

 

        

Edgewell Personal Care Co.

     B+        4.70        05/19/21        2,000,000        2,045,000  

Flowers Foods, Inc.

     BBB        4.38        04/01/22        2,000,000        2,085,319  

General Mills, Inc.

     BBB        2.20        10/21/19        775,000        774,976  

Ingredion, Inc.

     BBB        4.63        11/01/20        275,000        281,433  

Kellogg Co.

     BBB        2.65        12/01/23        2,000,000        2,029,970  

Keurig Dr Pepper, Inc.

     BBB        3.13        12/15/23        2,990,000        3,084,464  

Kroger Co.

     BBB        2.95        11/01/21        2,000,000        2,031,188  

Mead Johnson Nutrition Co.

     A-        4.90        11/01/19        3,075,000        3,081,514  

Molson Coors Brewing Co.

     BBB-        3.50        05/01/22        1,000,000        1,029,693  

Sysco Corp.

     BBB+        2.60        10/01/20        2,000,000        2,009,239  
              

 

 

 
                 18,452,796  
              

 

 

 

ENERGY (2.1%)

 

        

Cameron International Corp.

     A+        3.60        04/30/22        214,000        217,527  

Diamond Offshore Drilling, Inc.

     CCC+        3.45        11/01/23        1,500,000        1,121,250  

Energen Corp.

     BB+        4.63        09/01/21        2,000,000        2,057,500  

EQT Corp.

     BBB-        4.88        11/15/21        1,250,000        1,282,264  

Kinder Morgan, Inc.

     BBB        3.05        12/01/19        2,000,000        2,001,115  

Marathon Oil Corp.

     BBB        2.80        11/01/22        2,000,000        2,012,484  

Noble Energy, Inc.

     BBB        4.15        12/15/21        2,000,000        2,077,582  

Rowan Cos., Inc.

     B-        4.88        06/01/22        2,000,000        1,500,000  

SESI LLC

     B-        7.13        12/15/21        2,150,000        1,464,687  
              

 

 

 
                 13,734,409  
              

 

 

 

FINANCIALS (10.5%)

 

        

Aflac, Inc.

     A-        3.63        06/15/23        550,000        578,946  

Alleghany Corp.

     BBB+        4.95        06/27/22        2,000,000        2,129,872  

American International Group, Inc.

     BBB+        4.13        02/15/24        2,000,000        2,140,420  

Ares Capital Corp.

     BBB-        3.63        01/19/22        2,500,000        2,541,638  

Assurant, Inc.

     BBB        4.00        03/15/23        2,000,000        2,079,988  

Block Financial LLC

     BBB        5.50        11/01/22        2,472,000        2,641,209  

Capital One Financial Corp.

     BBB        4.75        07/15/21        2,000,000        2,088,968  

Citizens Financial Group, Inc.

     BBB        3.75        07/01/24        2,000,000        2,063,089  

ERAC USA Finance LLC†

     A-        2.35        10/15/19        1,000,000        1,000,063  

Fairfax U.S., Inc.†

     BBB-        4.88        08/13/24        750,000        801,667  

Fifth Third Bancorp

     BBB        4.30        01/16/24        2,500,000        2,681,812  

First Tennessee Bank

     BBB        2.95        12/01/19        2,200,000        2,200,701  

FS Investment Corp.

     NR        4.75        05/15/22        2,675,000        2,744,195  

Goldman Sachs Group, Inc.

     BBB+        3.20        02/23/23        2,500,000        2,567,615  

Huntington Bancshares, Inc.

     BBB+        2.30        01/14/22        2,750,000        2,764,974  

Infinity Property & Casualty Corp.

     BBB-        5.00        09/19/22        2,000,000        2,129,451  

JPMorgan Chase & Co.

     BBB+        3.88        09/10/24        1,520,000        1,619,410  

Legg Mason, Inc.

     BBB        3.95        07/15/24        2,000,000        2,117,533  

Lincoln National Corp.

     A-        4.00        09/01/23        2,000,000        2,118,759  

Moody’s Corp.

     BBB+        5.50        09/01/20        2,000,000        2,058,509  

Morgan Stanley

     BBB+        3.13        01/23/23        2,500,000        2,564,537  

People’s United Bank

     BBB+        4.00        07/15/24        1,750,000        1,831,923  

PNC Bank NA

     A-        3.80        07/25/23        2,500,000        2,634,672  

Prospect Capital Corp.

     BBB-        4.95        07/15/22        2,500,000        2,568,852  

Prospect Capital Corp.

     BBB-        5.88        03/15/23        1,925,000        2,033,500  

Regions Financial Corp.

     BBB+        2.75        08/14/22        2,750,000        2,792,208  


MUTUAL OF AMERICA INVESTMENT CORPORATION - MID-TERM BOND FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

 

Signet UK Finance PLC

   BB-      4.70        06/15/24        2,000,000        1,880,000  

Stifel Financial Corp.

   BBB-      4.25        07/18/24        2,000,000        2,105,987  

Synchrony Financial

   BBB-      2.70        02/03/20        1,000,000        1,001,138  

Synchrony Financial

   BBB-      3.70        08/04/26        1,500,000        1,531,224  

Unum Group

   BBB      4.00        03/15/24        2,000,000        2,113,157  

Voya Financial, Inc.

   BBB+      3.65        06/15/26        2,000,000        2,105,773  

WR Berkley Corp.

   BBB+      4.63        03/15/22        2,000,000        2,113,377  
              

 

 

 
                 68,345,167  
              

 

 

 

HEALTH CARE (3.9%)

 

        

AbbVie, Inc.

   A-      2.85        05/14/23        2,500,000        2,543,404  

Aetna, Inc.

   BBB      2.80        06/15/23        2,500,000        2,531,814  

Anthem, Inc.

   A      3.13        05/15/22        2,000,000        2,045,921  

Bio-Rad Laboratories, Inc.

   BBB      4.88        12/15/20        2,000,000        2,047,283  

CVS Health Corp.

   BBB      3.38        08/12/24        590,000        610,633  

CVS Health Corp.

   BBB      3.88        07/20/25        1,500,000        1,588,998  

Humana, Inc.

   BBB+      3.85        10/01/24        2,500,000        2,641,104  

Laboratory Corp. of America Hldgs.

   BBB      3.75        08/23/22        600,000        620,960  

Laboratory Corp. of America Hldgs.

   BBB      4.63        11/15/20        400,000        407,939  

Owens & Minor, Inc.

   B      3.88        09/15/21        2,000,000        1,940,000  

PerkinElmer, Inc.

   BBB      5.00        11/15/21        2,000,000        2,100,367  

Quest Diagnostics, Inc.

   BBB+      4.75        01/30/20        2,000,000        2,015,138  

Thermo Fisher Scientific, Inc.

   BBB+      3.60        08/15/21        400,000        410,063  

Thermo Fisher Scientific, Inc.

   BBB+      4.50        03/01/21        1,600,000        1,657,081  

Zimmer Biomet Hldgs., Inc.

   BBB      3.15        04/01/22        2,000,000        2,038,686  
              

 

 

 
                 25,199,391  
              

 

 

 

INDUSTRIALS (0.9%)

 

        

Flowserve Corp.

   BBB-      3.50        09/15/22        2,000,000        2,034,244  

JB Hunt Transport Svcs., Inc.

   BBB+      3.30        08/15/22        2,000,000        2,045,586  

Verisk Analytics, Inc.

   BBB      4.13        09/12/22        2,000,000        2,099,824  
              

 

 

 
                 6,179,654  
              

 

 

 

INFORMATION TECHNOLOGY (2.6%)

 

        

Adobe, Inc.

   A      4.75        02/01/20        2,000,000        2,017,401  

Arrow Electronics, Inc.

   BBB-      4.50        03/01/23        50,000        52,606  

Avnet, Inc.

   BBB-      3.75        12/01/21        1,130,000        1,153,240  

Avnet, Inc.

   BBB-      5.88        06/15/20        950,000        972,974  

Fiserv, Inc.

   BBB      4.75        06/15/21        1,900,000        1,978,296  

Jabil, Inc.

   BBB-      4.70        09/15/22        1,976,000        2,088,750  

Juniper Networks, Inc.

   BBB      4.50        03/15/24        1,500,000        1,611,161  

Lam Research Corp.

   BBB+      2.75        03/15/20        2,000,000        2,003,104  

Motorola Solutions, Inc.

   BBB-      3.75        05/15/22        2,000,000        2,074,671  

Symantec Corp.

   BB+      4.20        09/15/20        2,000,000        2,025,030  

Total System Svcs., Inc.

   BBB-      3.75        06/01/23        950,000        988,757  
              

 

 

 
                 16,965,990  
              

 

 

 

MATERIALS (1.6%)

 

        

Albemarle Corp.

   BBB      4.50        12/15/20        1,065,000        1,090,072  

Domtar Corp.

   BBB-      4.40        04/01/22        2,000,000        2,076,495  

Freeport-McMoRan, Inc.

   BB      3.55        03/01/22        250,000        250,625  

Kinross Gold Corp.

   BBB-      5.13        09/01/21        750,000        778,125  

Methanex Corp.

   BB+      3.25        12/15/19        2,000,000        2,003,936  

Newmont Goldcorp Corp.

   BBB      3.50        03/15/22        2,000,000        2,052,067  

Sherwin-Williams Co.

   BBB      2.25        05/15/20        200,000        199,866  

Southern Copper Corp.

   BBB+      3.50        11/08/22        2,000,000        2,040,730  
              

 

 

 
                 10,491,916  
              

 

 

 

REAL ESTATE (2.7%)

 

        

Boston Properties LP

   A-      3.80        02/01/24        3,000,000        3,170,597  

CBRE Svcs., Inc.

   BBB+      5.25        03/15/25        2,000,000        2,239,604  

Crown Castle International Corp.

   BBB-      3.15        07/15/23        2,500,000        2,567,216  

HCP, Inc.

   BBB+      3.15        08/01/22        750,000        764,723  


MUTUAL OF AMERICA INVESTMENT CORPORATION - MID-TERM BOND FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

HCP, Inc.

     BBB+        4.00        12/01/22        2,000,000        2,094,208  

Jones Lang LaSalle, Inc.

     BBB+        4.40        11/15/22        1,410,000        1,467,300  

Mack-Cali Realty LP

     BB        4.50        04/18/22        1,000,000        997,982  

Omega Healthcare Investors, Inc.

     BBB-        4.38        08/01/23        1,750,000        1,844,474  

Omega Healthcare Investors, Inc.

     BBB-        4.50        01/15/25        750,000        790,638  

Senior Housing Properties Trust

     BBB-        4.75        05/01/24        500,000        516,908  

Service Properties Trust

     BBB-        5.00        08/15/22        1,300,000        1,359,205  
              

 

 

 
                 17,812,855  
              

 

 

 

UTILITIES (1.6%)

 

        

Entergy Corp.

     BBB        5.13        09/15/20        1,400,000        1,428,358  

Exelon Corp.

     BBB        5.15        12/01/20        1,500,000        1,540,149  

Exelon Generation Co. LLC

     BBB+        4.25        06/15/22        1,000,000        1,047,137  

National Fuel Gas Co.

     BBB        4.90        12/01/21        2,000,000        2,072,235  

SCANA Corp.

     BBB        4.75        05/15/21        2,000,000        2,048,137  

Southern Co.

     BBB+        3.25        07/01/26        2,500,000        2,582,905  
              

 

 

 
                 10,718,921  
              

 

 

 

TOTAL CORPORATE DEBT

                 224,147,373  
              

 

 

 

TOTAL LONG-TERM DEBT SECURITIES
(Cost: $632,837,865) 99.0%

                 647,487,019  
        

 

 

 
     Rating**      Rate(%)      Maturity      Face Amount      Value  

SHORT-TERM DEBT SECURITIES:

              

U.S. GOVERNMENT AGENCIES (0.2%)

 

     

FHLB

     A-1+        1.50        10/01/19        1,000,000        1,000,000  
              

 

 

 

TOTAL SHORT-TERM DEBT SECURITIES
(Cost: $1,000,000) 0.2%

                 1,000,000  
        

 

 

 
            Rate(%)      Maturity      Face Amount      Value  

TEMPORARY CASH INVESTMENT (0.1%)

              

JP Morgan Chase, New York Time Deposit

        1.15        10/01/19        770,894        770,894  
              

 

 

 

TOTAL TEMPORARY CASH INVESTMENT
(Cost: $770,894) 0.1%

                 770,894  
        

 

 

 

TOTAL INVESTMENTS
(Cost: $634,608,759) 99.3%

                 649,257,913  
     

 

 

 

OTHER NET ASSETS 0.7%

                 4,248,330  
     

 

 

 

NET ASSETS 100.0%

               $ 653,506,243  
     

 

 

 

 

 

The disclosures regarding Fair Value and Security Valuation included in the Notes to Portfolios of Investments in Securities are an integral part of these portfolio schedules.


MUTUAL OF AMERICA INVESTMENT CORPORATION - BOND FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

     Rating**      Rate(%)      Maturity      Face Amount      Value  

LONG-TERM DEBT SECURITIES:

              

U.S. GOVERNMENT (36.1%)

 

     

U.S. Treasury Bond

     AA+        2.25        08/15/46        29,500,000        30,274,375  

U.S. Treasury Bond

     AA+        2.75        08/15/47        10,000,000        11,327,344  

U.S. Treasury Bond

     AA+        2.88        05/15/49        29,000,000        33,850,703  

U.S. Treasury Note

     AA+        1.25        08/31/24        10,000,000        9,861,328  

U.S. Treasury Note

     AA+        1.50        09/30/24        8,000,000        7,980,938  

U.S. Treasury Note

     AA+        1.50        08/15/26        40,800,000        40,474,875  

U.S. Treasury Note

     AA+        2.25        02/15/27        44,000,000        45,906,094  

U.S. Treasury Note

     AA+        2.25        08/15/27        74,500,000        77,887,422  

U.S. Treasury Note

     AA+        2.25        11/15/27        51,100,000        53,457,387  

U.S. Treasury Note

     AA+        2.38        05/15/27        63,750,000        67,174,072  

U.S. Treasury Note

     AA+        2.63        02/15/29        31,200,000        33,776,437  

U.S. Treasury Note

     AA+        2.88        05/15/28        39,000,000        42,811,641  

U.S. Treasury Note

     AA+        3.13        11/15/28        4,000,000        4,491,875  

U.S. Treasury Strip

     AA+        0.00        08/15/25        20,000,000        18,158,757  

U.S. Treasury Strip

     AA+        0.00        08/15/26        20,000,000        17,818,039  

U.S. Treasury Strip

     AA+        0.00        08/15/28        20,000,000        17,150,974  

U.S. Treasury Strip

     AA+        0.00        08/15/29        20,000,000        16,786,497  

U.S. Treasury Strip

     AA+        0.00        08/15/33        10,000,000        7,654,109  

U.S. Treasury Strip

     AA+        0.00        08/15/35        10,000,000        7,287,066  

U.S. Treasury Strip

     AA+        0.00        08/15/37        10,000,000        6,948,034  
              

 

 

 
                 551,077,967  
              

 

 

 

U.S. GOVERNMENT AGENCIES (29.7%)

 

     

MORTGAGE-BACKED OBLIGATIONS (28.7%)

              

FHLMC

     AA+        2.43        10/15/41        747,456        748,236  

FHLMC

     AA+        2.50        09/01/27        1,013,587        1,024,340  

FHLMC

     AA+        2.50        12/01/27        1,015,824        1,027,835  

FHLMC

     AA+        2.53        01/15/47        2,762,591        2,756,415  

FHLMC

     AA+        3.00        06/01/27        541,614        556,342  

FHLMC

     AA+        3.00        08/01/27        366,964        376,463  

FHLMC

     AA+        3.00        02/01/32        4,119,682        4,238,686  

FHLMC

     AA+        3.00        10/15/37        978,226        994,359  

FHLMC

     AA+        3.00        12/15/40        1,040,863        1,066,114  

FHLMC

     AA+        3.00        07/01/42        596,292        625,217  

FHLMC

     AA+        3.00        10/01/42        1,834,637        1,891,945  

FHLMC

     AA+        3.00        11/01/42        1,856,416        1,914,457  

FHLMC

     AA+        3.00        11/01/42        784,896        809,811  

FHLMC

     AA+        3.00        11/01/42        1,712,785        1,729,805  

FHLMC

     AA+        3.00        11/01/42        728,868        751,657  

FHLMC

     AA+        3.00        11/01/42        3,001,859        3,095,623  

FHLMC

     AA+        3.00        02/01/43        1,526,982        1,576,604  

FHLMC

     AA+        3.00        03/01/43        1,384,348        1,427,649  

FHLMC

     AA+        3.00        04/01/43        1,108,930        1,144,296  

FHLMC

     AA+        3.00        04/01/43        807,102        832,327  

FHLMC

     AA+        3.00        04/01/43        1,914,035        1,970,364  

FHLMC

     AA+        3.00        09/15/43        2,891,723        2,960,245  

FHLMC

     AA+        3.00        04/15/44        947,009        961,747  

FHLMC

     AA+        3.00        04/15/45        2,463,309        2,504,484  

FHLMC

     AA+        3.00        09/01/46        1,520,731        1,555,120  

FHLMC

     AA+        3.00        09/01/46        4,092,279        4,204,445  

FHLMC

     AA+        3.00        11/01/46        1,237,478        1,249,728  

FHLMC

     AA+        3.00        05/01/49        4,657,905        4,730,010  

FHLMC

     AA+        3.50        02/01/35        2,364,443        2,461,637  

FHLMC

     AA+        3.50        02/01/35        1,222,656        1,272,877  

FHLMC

     AA+        3.50        04/01/35        1,034,423        1,072,223  

FHLMC

     AA+        3.50        02/01/36        1,158,359        1,202,058  

FHLMC

     AA+        3.50        01/01/41        1,225,481        1,288,108  

FHLMC

     AA+        3.50        07/01/42        1,581,389        1,669,306  

FHLMC

     AA+        3.50        10/01/42        1,363,858        1,433,793  

FHLMC

     AA+        3.50        01/01/43        1,144,088        1,202,751  


MUTUAL OF AMERICA INVESTMENT CORPORATION - BOND FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

FHLMC

   AA+      3.50        01/01/43        570,481        599,732  

FHLMC

   AA+      3.50        05/01/43        1,777,931        1,868,812  

FHLMC

   AA+      3.50        06/01/43        2,285,664        2,397,268  

FHLMC

   AA+      3.50        07/01/43        634,599        666,835  

FHLMC

   AA+      3.50        11/01/43        1,253,363        1,317,412  

FHLMC

   AA+      3.50        01/01/44        2,141,373        2,250,959  

FHLMC

   AA+      3.50        05/15/44        2,370,770        2,444,731  

FHLMC

   AA+      3.50        04/01/45        1,803,171        1,888,630  

FHLMC

   AA+      3.50        07/01/45        1,784,930        1,885,654  

FHLMC

   AA+      3.50        09/01/45        1,537,025        1,603,089  

FHLMC

   AA+      3.50        11/01/45        5,285,478        5,546,695  

FHLMC

   AA+      3.50        08/01/46        2,322,743        2,432,817  

FHLMC

   AA+      3.50        09/01/47        7,860,979        8,128,004  

FHLMC

   AA+      3.50        11/01/47        3,499,763        3,617,749  

FHLMC

   AA+      3.50        12/01/47        1,773,860        1,836,744  

FHLMC

   AA+      3.50        07/01/49        3,825,655        3,967,388  

FHLMC

   AA+      4.00        02/01/25        124,873        129,970  

FHLMC

   AA+      4.00        05/01/25        50,160        52,304  

FHLMC

   AA+      4.00        05/01/26        170,701        178,002  

FHLMC

   AA+      4.00        11/01/33        5,874,895        6,140,842  

FHLMC

   AA+      4.00        12/01/33        917,712        956,996  

FHLMC

   AA+      4.00        01/01/38        2,355,815        2,529,136  

FHLMC

   AA+      4.00        12/15/38        309,028        319,552  

FHLMC

   AA+      4.00        07/01/41        792,814        847,489  

FHLMC

   AA+      4.00        12/01/41        531,097        567,873  

FHLMC

   AA+      4.00        07/01/42        1,915,445        2,048,167  

FHLMC

   AA+      4.00        08/01/42        629,934        673,222  

FHLMC

   AA+      4.00        08/01/42        1,297,609        1,387,517  

FHLMC

   AA+      4.00        09/01/42        725,228        774,139  

FHLMC

   AA+      4.00        11/01/42        1,075,569        1,152,754  

FHLMC

   AA+      4.00        12/01/42        870,718        930,645  

FHLMC

   AA+      4.00        01/01/43        1,257,599        1,347,847  

FHLMC

   AA+      4.00        01/01/44        1,369,522        1,458,799  

FHLMC

   AA+      4.00        10/01/44        1,428,056        1,510,304  

FHLMC

   AA+      4.00        10/01/44        1,073,659        1,134,770  

FHLMC

   AA+      4.00        10/01/44        1,499,663        1,586,484  

FHLMC

   AA+      4.00        02/01/45        4,487,209        4,830,105  

FHLMC

   AA+      4.00        05/01/47        3,172,053        3,335,545  

FHLMC

   AA+      4.00        02/01/48        1,197,417        1,251,994  

FHLMC

   AA+      4.00        05/01/48        2,589,865        2,702,619  

FHLMC

   AA+      4.00        05/01/48        1,008,850        1,053,545  

FHLMC

   AA+      4.00        09/01/48        6,104,203        6,351,770  

FHLMC

   AA+      4.00        10/01/48        4,532,642        4,716,143  

FHLMC

   AA+      4.00        04/01/49        4,734,598        4,927,661  

FHLMC

   AA+      4.00        04/01/49        4,720,544        4,913,034  

FHLMC

   AA+      4.50        03/01/34        274,437        294,956  

FHLMC

   AA+      4.50        08/01/34        147,674        159,979  

FHLMC

   AA+      4.50        08/15/35        38,941        40,191  

FHLMC

   AA+      4.50        06/01/37        728,749        790,417  

FHLMC

   AA+      4.50        12/01/39        101,647        107,016  

FHLMC

   AA+      4.50        03/01/41        405,516        441,428  

FHLMC

   AA+      4.50        05/01/48        3,227,379        3,409,582  

FHLMC

   AA+      4.50        05/01/48        4,286,564        4,530,773  

FHLMC

   AA+      5.00        02/01/26        40,321        43,162  

FHLMC

   AA+      5.00        08/01/35        923,409        1,022,169  

FHLMC

   AA+      5.00        10/01/40        592,757        654,022  

FHLMC

   AA+      5.50        03/01/21        10,410        10,481  

FHLMC

   AA+      5.50        07/01/32        119,670        130,873  

FHLMC

   AA+      5.50        01/15/33        144,159        159,991  

FHLMC

   AA+      5.50        05/01/33        103,051        111,493  

FHLMC

   AA+      5.50        06/01/37        802,117        906,033  

FHLMC

   AA+      6.00        07/15/29        83,935        92,246  


MUTUAL OF AMERICA INVESTMENT CORPORATION - BOND FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

FHLMC

   AA+      6.00        03/15/32        103,223        116,231  

FHLMC ARM

   AA+      4.68        05/01/37        42,124        43,962  

FHLMC ARM

   AA+      4.71        04/01/37        58,680        61,852  

FHLMC ARM

   AA+      4.73        03/01/37        15,981        16,728  

FHLMC ARM

   AA+      4.79        04/01/37        57,344        60,442  

FHLMC ARM

   AA+      4.89        02/01/36        116,174        121,057  

FHLMC Strip

   AA+      3.00        01/15/43        2,627,163        2,751,393  

FHLMC Strip

   AA+      3.50        10/15/47        2,114,500        2,235,327  

FNMA

   AA+      2.25        01/01/28        1,239,007        1,256,086  

FNMA

   AA+      2.42        06/25/37        53,201        53,497  

FNMA

   AA+      2.68        12/01/26        3,000,000        3,073,162  

FNMA

   AA+      2.75        06/25/40        527,169        528,868  

FNMA

   AA+      2.92        07/01/27        2,883,242        2,989,342  

FNMA

   AA+      3.00        06/01/33        994,458        1,025,504  

FNMA

   AA+      3.00        07/01/33        1,860,831        1,918,921  

FNMA

   AA+      3.00        09/01/33        1,972,074        2,033,654  

FNMA

   AA+      3.00        03/01/36        2,799,732        2,879,925  

FNMA

   AA+      3.00        04/25/42        1,109,954        1,132,152  

FNMA

   AA+      3.00        10/01/42        624,215        633,878  

FNMA

   AA+      3.00        12/01/42        1,483,783        1,497,669  

FNMA

   AA+      3.00        12/01/42        949,707        973,643  

FNMA

   AA+      3.00        01/01/43        3,245,444        3,345,133  

FNMA

   AA+      3.00        02/01/43        1,406,326        1,451,246  

FNMA

   AA+      3.00        03/01/43        1,705,574        1,758,974  

FNMA

   AA+      3.00        04/01/43        1,709,546        1,725,566  

FNMA

   AA+      3.00        02/01/45        1,399,839        1,448,853  

FNMA

   AA+      3.00        03/01/45        1,712,346        1,728,259  

FNMA

   AA+      3.00        07/01/46        2,278,397        2,334,257  

FNMA

   AA+      3.00        09/01/46        2,506,949        2,568,437  

FNMA

   AA+      3.00        01/01/47        1,136,928        1,147,513  

FNMA

   AA+      3.50        03/01/32        730,342        760,010  

FNMA

   AA+      3.50        10/01/34        1,904,000        1,981,078  

FNMA

   AA+      3.50        02/01/35        1,553,368        1,616,315  

FNMA

   AA+      3.50        08/01/38        1,545,134        1,610,674  

FNMA

   AA+      3.50        03/01/41        1,338,987        1,412,618  

FNMA

   AA+      3.50        10/01/41        803,799        856,884  

FNMA

   AA+      3.50        12/01/41        812,657        849,396  

FNMA

   AA+      3.50        04/01/42        910,534        969,588  

FNMA

   AA+      3.50        04/01/42        1,061,454        1,115,260  

FNMA

   AA+      3.50        07/01/42        1,500,809        1,576,272  

FNMA

   AA+      3.50        08/01/42        996,023        1,046,403  

FNMA

   AA+      3.50        09/01/42        1,196,545        1,257,158  

FNMA

   AA+      3.50        11/25/42        1,668,399        1,716,349  

FNMA

   AA+      3.50        12/01/42        1,187,216        1,258,333  

FNMA

   AA+      3.50        12/01/42        2,255,427        2,369,744  

FNMA

   AA+      3.50        01/01/43        1,150,375        1,204,152  

FNMA

   AA+      3.50        03/01/43        1,450,234        1,523,742  

FNMA

   AA+      3.50        06/01/43        2,786,617        2,927,878  

FNMA

   AA+      3.50        07/25/43        1,877,331        1,943,396  

FNMA

   AA+      3.50        08/01/43        1,747,832        1,809,913  

FNMA

   AA+      3.50        08/01/43        3,738,110        3,918,038  

FNMA

   AA+      3.50        10/01/43        769,080        787,302  

FNMA

   AA+      3.50        01/01/44        784,153        799,590  

FNMA

   AA+      3.50        08/25/44        3,539,220        3,577,104  

FNMA

   AA+      3.50        04/01/45        3,115,977        3,281,272  

FNMA

   AA+      3.50        04/01/45        1,830,743        1,916,442  

FNMA

   AA+      3.50        05/01/45        3,337,926        3,480,094  

FNMA

   AA+      3.50        10/01/45        3,258,827        3,431,690  

FNMA

   AA+      3.50        02/01/46        3,940,161        4,144,636  

FNMA

   AA+      3.50        02/01/46        2,123,576        2,212,421  

FNMA

   AA+      3.50        08/01/46        2,813,814        2,963,106  

FNMA

   AA+      3.50        12/01/46        1,355,392        1,398,679  


MUTUAL OF AMERICA INVESTMENT CORPORATION - BOND FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

FNMA

     AA+        3.50        09/01/47        3,625,795        3,795,000  

FNMA

     AA+        3.50        10/01/47        4,135,161        4,271,154  

FNMA

     AA+        3.50        04/01/48        1,719,946        1,762,794  

FNMA

     AA+        3.50        08/01/48        3,323,362        3,410,213  

FNMA

     AA+        3.50        07/01/49        2,991,237        3,078,540  

FNMA

     AA+        3.50        07/01/49        2,970,510        3,079,981  

FNMA

     AA+        3.50        07/01/49        3,221,386        3,315,422  

FNMA

     AA+        3.50        08/01/49        4,851,188        4,993,017  

FNMA

     AA+        3.53        01/01/26        5,000,000        5,365,470  

FNMA

     AA+        4.00        07/25/26        1,457,899        1,549,724  

FNMA

     AA+        4.00        05/25/29        1,778,862        1,889,711  

FNMA

     AA+        4.00        01/01/31        80,457        85,233  

FNMA

     AA+        4.00        12/01/33        864,660        898,757  

FNMA

     AA+        4.00        03/01/35        300,262        312,868  

FNMA

     AA+        4.00        06/01/36        803,425        851,156  

FNMA

     AA+        4.00        10/01/36        918,692        973,268  

FNMA

     AA+        4.00        11/01/38        1,135,913        1,213,779  

FNMA

     AA+        4.00        10/01/40        829,050        889,230  

FNMA

     AA+        4.00        11/01/40        603,020        644,153  

FNMA

     AA+        4.00        01/01/41        2,317,224        2,473,886  

FNMA

     AA+        4.00        02/01/41        904,231        965,966  

FNMA

     AA+        4.00        05/01/41        500,602        521,237  

FNMA

     AA+        4.00        08/01/42        1,679,816        1,795,213  

FNMA

     AA+        4.00        05/01/43        946,265        1,013,201  

FNMA

     AA+        4.00        09/01/45        897,334        939,340  

FNMA

     AA+        4.00        11/01/45        1,390,062        1,460,907  

FNMA

     AA+        4.00        02/01/47        3,486,382        3,663,736  

FNMA

     AA+        4.00        04/01/48        1,203,808        1,256,156  

FNMA

     AA+        4.00        05/01/48        5,771,259        6,023,570  

FNMA

     AA+        4.00        09/01/48        1,562,060        1,620,914  

FNMA

     AA+        4.00        03/01/49        5,711,706        5,939,944  

FNMA

     AA+        4.00        07/01/56        1,820,849        1,934,399  

FNMA

     AA+        4.50        05/01/30        203,675        218,382  

FNMA

     AA+        4.50        04/01/31        325,803        350,191  

FNMA

     AA+        4.50        08/01/33        133,993        144,076  

FNMA

     AA+        4.50        08/01/33        82,956        89,057  

FNMA

     AA+        4.50        09/01/33        218,057        234,709  

FNMA

     AA+        4.50        10/01/33        209,196        225,545  

FNMA

     AA+        4.50        10/01/33        98,139        105,369  

FNMA

     AA+        4.50        05/01/34        119,097        128,695  

FNMA

     AA+        4.50        06/01/34        178,229        191,057  

FNMA

     AA+        4.50        07/01/34        105,965        114,541  

FNMA

     AA+        4.50        01/01/35        449,313        482,647  

FNMA

     AA+        4.50        08/01/35        140,191        151,733  

FNMA

     AA+        4.50        12/01/35        140,695        152,190  

FNMA

     AA+        4.50        05/01/39        760,125        822,802  

FNMA

     AA+        4.50        05/01/39        508,712        549,904  

FNMA

     AA+        4.50        05/01/40        406,482        434,946  

FNMA

     AA+        4.50        07/01/40        2,220,619        2,424,927  

FNMA

     AA+        4.50        10/01/40        2,683,612        2,907,666  

FNMA

     AA+        4.50        11/01/40        321,712        340,924  

FNMA

     AA+        4.50        03/01/41        1,425,358        1,544,737  

FNMA

     AA+        4.50        06/01/41        432,439        468,656  

FNMA

     AA+        4.50        08/01/41        1,201,326        1,301,578  

FNMA

     AA+        4.50        10/01/41        161,280        169,815  

FNMA

     AA+        4.50        11/01/41        844,032        914,615  

FNMA

     AA+        4.50        01/01/42        83,032        89,982  

FNMA

     AA+        4.50        07/01/42        933,472        1,011,557  

FNMA

     AA+        4.50        03/01/44        1,217,027        1,308,588  

FNMA

     AA+        4.50        04/01/44        1,844,520        1,998,939  

FNMA

     AA+        4.50        11/01/47        3,621,732        3,826,888  

FNMA

     AA+        4.50        11/01/47        3,270,958        3,497,149  


MUTUAL OF AMERICA INVESTMENT CORPORATION - BOND FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

FNMA

     AA+        4.50        11/01/47        4,228,700        4,531,065  

FNMA

     AA+        5.00        09/01/20        4,836        4,988  

FNMA

     AA+        5.00        10/01/20        16,401        16,917  

FNMA

     AA+        5.00        10/01/25        67,507        72,224  

FNMA

     AA+        5.00        09/01/33        410,151        452,901  

FNMA

     AA+        5.00        10/01/33        299,944        331,177  

FNMA

     AA+        5.00        11/01/33        318,522        351,737  

FNMA

     AA+        5.00        03/01/34        63,185        69,762  

FNMA

     AA+        5.00        04/01/34        123,751        136,024  

FNMA

     AA+        5.00        04/01/34        35,138        38,792  

FNMA

     AA+        5.00        04/01/35        122,059        134,697  

FNMA

     AA+        5.00        06/01/35        76,120        83,967  

FNMA

     AA+        5.00        09/01/35        82,816        88,582  

FNMA

     AA+        5.00        09/01/35        192,328        212,175  

FNMA

     AA+        5.00        11/25/35        487,902        544,674  

FNMA

     AA+        5.00        08/01/37        516,005        569,060  

FNMA

     AA+        5.00        05/01/39        384,696        423,491  

FNMA

     AA+        5.00        09/25/40        1,221,366        1,268,617  

FNMA

     AA+        5.50        01/01/24        64,796        69,985  

FNMA

     AA+        5.50        03/01/24        139,303        150,466  

FNMA

     AA+        5.50        09/01/25        70,589        76,792  

FNMA

     AA+        5.50        11/01/26        44,963        48,569  

FNMA

     AA+        5.50        01/01/27        33,166        35,841  

FNMA

     AA+        5.50        03/01/33        167,356        180,367  

FNMA

     AA+        5.50        09/01/33        186,276        207,781  

FNMA

     AA+        5.50        10/01/33        285,296        318,288  

FNMA

     AA+        5.50        03/01/34        131,166        148,231  

FNMA

     AA+        5.50        03/01/34        33,782        36,511  

FNMA

     AA+        5.50        07/01/34        126,954        140,016  

FNMA

     AA+        5.50        09/01/34        102,716        113,899  

FNMA

     AA+        5.50        09/01/34        48,597        53,643  

FNMA

     AA+        5.50        09/01/34        35,070        37,915  

FNMA

     AA+        5.50        10/01/34        233,569        263,753  

FNMA

     AA+        5.50        02/01/35        114,845        129,698  

FNMA

     AA+        5.50        02/01/35        91,780        103,647  

FNMA

     AA+        5.50        04/01/35        105,403        118,875  

FNMA

     AA+        5.50        08/01/35        209,983        235,699  

FNMA

     AA+        5.50        02/25/37        24,167        26,035  

FNMA

     AA+        5.50        05/01/38        160,471        174,430  

FNMA

     AA+        5.50        11/01/38        16,320        17,300  

FNMA

     AA+        5.50        06/01/48        52,509        58,172  

FNMA

     AA+        6.00        05/01/23        75,686        83,573  

FNMA

     AA+        6.00        01/01/25        64,944        71,711  

FNMA

     AA+        6.00        03/01/28        85,918        94,948  

FNMA

     AA+        6.00        04/01/32        5,463        6,032  

FNMA

     AA+        6.00        05/01/32        115,190        132,556  

FNMA

     AA+        6.00        04/01/33        312,723        349,847  

FNMA

     AA+        6.00        03/01/36        22,779        25,064  

FNMA

     AA+        6.00        12/01/36        89,795        103,195  

FNMA

     AA+        6.00        01/01/37        117,600        135,187  

FNMA

     AA+        6.00        04/01/37        19,043        20,583  

FNMA

     AA+        6.00        05/01/37        13,756        14,823  

FNMA

     AA+        6.00        06/01/37        7,029        7,372  

FNMA

     AA+        6.00        07/01/37        55,658        63,901  

FNMA

     AA+        6.00        08/01/37        66,759        76,821  

FNMA

     AA+        6.00        12/01/37        35,737        41,120  

FNMA

     AA+        6.00        10/25/44        355,547        409,273  

FNMA

     AA+        6.00        02/25/47        774,437        894,713  

FNMA

     AA+        6.00        12/25/49        282,743        324,497  

FNMA

     AA+        6.50        05/01/32        85,630        95,410  

FNMA

     AA+        6.50        05/01/32        55,583        61,931  

FNMA

     AA+        6.50        09/01/36        18,414        21,093  


MUTUAL OF AMERICA INVESTMENT CORPORATION - BOND FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

FNMA

   AA+      6.50        05/01/37        84,641        88,719  

FNMA

   AA+      6.50        07/01/37        13,739        15,309  

FNMA

   AA+      6.50        09/01/37        13,359        14,885  

FNMA

   AA+      6.50        05/01/38        22,414        24,974  

FNMA

   AA+      7.00        01/25/44        233,453        261,471  

FNMA

   AA+      7.50        06/01/32        39,776        47,741  

FNMA

   AA+      8.00        04/01/32        18,258        19,176  

FNMA Strip

   AA+      3.00        08/25/42        942,957        970,076  

FRESB Multifamily Mortgage

   AA+      2.37        10/25/26        1,573,493        1,592,383  

FRESB Multifamily Mortgage

   AA+      3.16        11/25/27        1,729,482        1,830,730  

FRESB Multifamily Mortgage

   AA+      3.30        12/25/27        1,976,108        2,100,561  

FRESB Multifamily Mortgage

   AA+      3.61        10/25/28        1,208,018        1,311,180  

GNMA (3)

   AA+      2.68        10/16/47        2,000,000        1,998,863  

GNMA (3)

   AA+      3.00        07/16/36        1,617,340        1,693,263  

GNMA (3)

   AA+      3.00        03/15/46        4,741,456        4,875,483  

GNMA (3)

   AA+      3.00        07/15/46        2,681,482        2,762,282  

GNMA (3)

   AA+      3.50        05/20/31        2,292,283        2,416,314  

GNMA (3)

   AA+      3.50        02/20/42        1,434,840        1,479,840  

GNMA (3)

   AA+      3.50        07/15/42        1,518,009        1,597,565  

GNMA (3)

   AA+      3.50        11/15/42        731,194        761,486  

GNMA (3)

   AA+      3.50        03/20/45        3,406,171        3,577,857  

GNMA (3)

   AA+      3.50        05/20/45        2,235,832        2,371,952  

GNMA (3)

   AA+      3.70        05/15/42        695,849        734,855  

GNMA (3)

   AA+      4.00        04/15/24        126,284        131,829  

GNMA (3)

   AA+      4.00        01/20/41        1,166,220        1,236,006  

GNMA (3)

   AA+      4.00        03/15/41        474,990        507,466  

GNMA (3)

   AA+      4.00        08/15/41        881,842        941,374  

GNMA (3)

   AA+      4.00        11/15/41        584,639        637,576  

GNMA (3)

   AA+      4.00        12/15/41        1,304,509        1,391,544  

GNMA (3)

   AA+      4.00        08/20/42        875,284        930,029  

GNMA (3)

   AA+      4.25        04/20/41        644,883        683,565  

GNMA (3)

   AA+      4.29        04/15/41        268,986        284,885  

GNMA (3)

   AA+      4.50        06/20/30        26,313        28,032  

GNMA (3)

   AA+      4.50        09/15/30        472,903        507,687  

GNMA (3)

   AA+      4.50        06/20/34        256,607        270,509  

GNMA (3)

   AA+      4.50        09/15/40        749,047        815,405  

GNMA (3)

   AA+      4.50        10/15/40        957,493        1,054,729  

GNMA (3)

   AA+      4.50        10/15/40        260,935        283,426  

GNMA (3)

   AA+      5.00        04/15/39        768,211        863,000  

GNMA (3)

   AA+      5.00        06/20/39        929,130        1,019,341  

GNMA (3)

   AA+      5.00        11/15/39        295,537        331,842  

GNMA (3)

   AA+      5.00        05/15/40        116,298        130,635  

GNMA (3)

   AA+      5.00        06/20/40        74,750        79,022  

GNMA (3)

   AA+      5.50        01/15/36        64,588        69,667  

GNMA (3)

   AA+      6.50        04/15/31        6,423        7,109  

GNMA (3)

   AA+      6.50        12/15/31        18,354        20,314  

GNMA (3)

   AA+      6.50        05/15/32        23,588        26,108  

GNMA (3)

   AA+      7.00        05/15/32        2,438        2,496  

Vendee Mortgage Trust (3)

   AA+      5.25        01/15/32        384,519        397,542  
              

 

 

 
                 438,619,024  
              

 

 

 

NON-MORTGAGE-BACKED OBLIGATIONS (1.0%)

              

FHLMC

   AA+      0.00        11/29/19        11,000,000        10,961,239  

FNMA

   AA+      0.00        10/09/19        5,050,000        5,047,361  
              

 

 

 
                 16,008,600  
              

 

 

 

CORPORATE DEBT (33.2%)

 

     

COMMUNICATION SERVICES (1.2%)

 

        

AT&T, Inc.

   BBB      3.00        02/15/22        4,000,000        4,081,879  

AT&T, Inc.

   BBB      3.00        06/30/22        1,000,000        1,021,197  

Discovery Communications LLC

   BBB-      3.50        06/15/22        5,000,000        5,123,656  

Omnicom Group, Inc.

   BBB+      3.63        05/01/22        1,000,000        1,036,879  

Omnicom Group, Inc.

   BBB+      4.45        08/15/20        1,800,000        1,835,686  

Viacom, Inc.

   BBB-      3.25        03/15/23        5,000,000        5,051,485  
              

 

 

 
                 18,150,782  
              

 

 

 


MUTUAL OF AMERICA INVESTMENT CORPORATION - BOND FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2017 (Unaudited)

 

CONSUMER DISCRETIONARY (5.5%)

              

Advance Auto Parts, Inc.

   BBB-      4.50        01/15/22        1,000,000        1,043,302  

Advance Auto Parts, Inc.

   BBB-      4.50        12/01/23        1,000,000        1,079,870  

Amazon.com, Inc.

   AA-      5.20        12/03/25        5,000,000        5,881,173  

AutoZone, Inc.

   BBB      3.25        04/15/25        2,000,000        2,071,359  

AutoZone, Inc.

   BBB      3.70        04/15/22        700,000        726,831  

AutoZone, Inc.

   BBB      4.00        11/15/20        3,000,000        3,044,864  

Brinker International, Inc.

   BB+      3.88        05/15/23        4,000,000        4,040,000  

Dollar General Corp.

   BBB      3.25        04/15/23        4,000,000        4,132,573  

eBay, Inc.

   BBB+      2.88        08/01/21        5,000,000        5,053,357  

Expedia Group, Inc.

   BBB      5.95        08/15/20        4,000,000        4,125,761  

Family Dollar Stores, Inc.

   BBB-      5.00        02/01/21        4,000,000        4,124,624  

Gap, Inc.

   BB+      5.95        04/12/21        5,000,000        5,185,690  

Harman International Industries, Inc.

   A      4.15        05/15/25        5,000,000        5,285,125  

Hyatt Hotels Corp.

   BBB      5.38        08/15/21        200,000        209,041  

Kohl’s Corp.

   BBB      3.25        02/01/23        1,804,000        1,825,535  

Lowe’s Cos., Inc.

   BBB+      3.12        04/15/22        2,000,000        2,045,440  

Marriott International, Inc.

   BBB      3.13        02/15/23        3,000,000        3,041,126  

Marriott International, Inc.

   BBB      3.38        10/15/20        3,000,000        3,028,537  

Mattel, Inc.

   B      3.15        03/15/23        2,000,000        1,890,000  

Mattel, Inc.

   B      4.35        10/01/20        1,000,000        1,007,500  

Newell Brands, Inc.

   BBB-      4.70        08/15/20        3,000,000        3,047,887  

NVR, Inc.

   BBB+      3.95        09/15/22        4,000,000        4,171,726  

O’Reilly Automotive, Inc.

   BBB      3.80        09/01/22        3,250,000        3,372,589  

Tapestry, Inc.

   BBB-      4.25        04/01/25        2,500,000        2,616,935  

Tupperware Brands Corp.

   BB+      4.75        06/01/21        4,000,000        4,089,457  

Whirlpool Corp.

   BBB      3.70        05/01/25        2,000,000        2,096,294  

Whirlpool Corp.

   BBB      4.85        06/15/21        1,000,000        1,037,933  

Wyndham Destinations, Inc.

   BB-      3.90        03/01/23        4,000,000        4,060,000  
              

 

 

 
                 83,334,529  
              

 

 

 

CONSUMER STAPLES (1.7%)

 

        

Conagra Brands, Inc.

   BBB-      4.95        08/15/20        645,000        658,318  

Edgewell Personal Care Co.

   B+      4.70        05/19/21        4,000,000        4,090,000  

Flowers Foods, Inc.

   BBB      4.38        04/01/22        4,000,000        4,170,637  

Ingredion, Inc.

   BBB      4.63        11/01/20        3,225,000        3,300,438  

Kroger Co.

   BBB      2.95        11/01/21        4,800,000        4,874,851  

Mead Johnson Nutrition Co.

   A-      4.13        11/15/25        1,950,000        2,133,966  

Molson Coors Brewing Co.

   BBB-      3.50        05/01/22        3,000,000        3,089,078  

Sysco Corp.

   BBB+      3.75        10/01/25        3,575,000        3,838,174  
              

 

 

 
                 26,155,462  
              

 

 

 

ENERGY (2.6%)

 

        

Cameron International Corp.

   A+      4.50        06/01/21        3,000,000        3,064,020  

Devon Energy Corp.

   BBB      5.85        12/15/25        2,500,000        2,971,871  

Diamond Offshore Drilling, Inc.

   CCC+      3.45        11/01/23        3,000,000        2,242,500  

Energen Corp.

   BB+      4.63        09/01/21        4,000,000        4,115,000  

EQT Corp.

   BBB-      4.88        11/15/21        4,000,000        4,103,245  

Kinder Morgan Energy Partners LP

   BBB      4.30        05/01/24        5,000,000        5,347,725  

Marathon Oil Corp.

   BBB      2.80        11/01/22        4,000,000        4,024,968  

Marathon Petroleum Corp.

   BBB      5.13        03/01/21        3,300,000        3,430,172  

Murphy Oil Corp.

   BB+      4.20        12/01/22        3,525,000        3,569,062  

Rowan Cos., Inc.

   B-      4.88        06/01/22        4,000,000        3,000,000  

SESI LLC

   B-      7.13        12/15/21        4,500,000        3,065,625  
              

 

 

 
                 38,934,188  
              

 

 

 

FINANCIALS (8.4%)

 

        

Aflac, Inc.

   A-      4.00        02/15/22        3,000,000        3,139,346  

Alleghany Corp.

   BBB+      4.95        06/27/22        2,000,000        2,129,872  

Alleghany Corp.

   BBB+      5.63        09/15/20        3,000,000        3,095,603  

American Express Co.

   BBB      3.63        12/05/24        5,000,000        5,291,923  

American International Group, Inc.

   BBB+      3.75        07/10/25        5,000,000        5,280,810  

Bank of America Corp.

   BBB+      3.95        04/21/25        5,000,000        5,305,111  

Block Financial LLC

   BBB      5.25        10/01/25        3,000,000        3,252,652  


MUTUAL OF AMERICA INVESTMENT CORPORATION - BOND FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Block Financial LLC

   BBB      5.50        11/01/22        2,250,000        2,404,013  

Capital One Financial Corp.

   BBB      4.75        07/15/21        4,000,000        4,177,936  

Citigroup, Inc.

   BBB      3.88        03/26/25        5,000,000        5,260,253  

Citizens Financial Group, Inc.

   BBB      3.75        07/01/24        5,000,000        5,157,721  

Fairfax U.S., Inc.†

   BBB-      4.88        08/13/24        3,500,000        3,741,112  

Fifth Third Bancorp

   BBB      4.30        01/16/24        5,000,000        5,363,624  

First Tennessee Bank

   BBBu      2.95        12/01/19        5,000,000        5,001,592  

Genworth Hldgs., Inc.

   B      7.20        02/15/21        1,750,000        1,791,527  

Genworth Hldgs., Inc.

   B      7.63        09/24/21        1,300,000        1,346,033  

Hartford Financial Svcs.

   BBB+      5.50        03/30/20        1,000,000        1,016,268  

JPMorgan Chase & Co.

   BBB+      3.88        09/10/24        5,000,000        5,327,007  

Kemper Corp.

   BBB-      4.35        02/15/25        2,000,000        2,113,255  

Lincoln National Corp.

   A-      4.00        09/01/23        4,000,000        4,237,519  

Lincoln National Corp.

   A-      4.85        06/24/21        1,000,000        1,043,055  

Markel Corp.

   BBB      5.35        06/01/21        1,200,000        1,261,525  

Marsh & McLennan Cos., Inc.

   A-      4.80        07/15/21        3,000,000        3,115,668  

Moody’s Corp.

   BBB+      4.50        09/01/22        4,000,000        4,247,575  

Old Republic International Corp.

   BBB+      3.88        08/26/26        5,000,000        5,263,806  

Pacific LifeCorp.†

   A-      6.00        02/10/20        710,000        718,200  

People’s United Bank

   BBB+      4.00        07/15/24        2,000,000        2,093,626  

Prudential Financial, Inc.

   A      4.50        11/16/21        1,000,000        1,048,894  

Reinsurance Group of America, Inc.

   A      4.70        09/15/23        1,000,000        1,080,635  

Reinsurance Group of America, Inc.

   A      5.00        06/01/21        3,000,000        3,135,016  

Signet UK Finance PLC

   BB-      4.70        06/15/24        5,000,000        4,700,000  

Stifel Financial Corp.

   BBB-      4.25        07/18/24        1,500,000        1,579,490  

Synchrony Financial

   BBB-      2.70        02/03/20        2,250,000        2,252,559  

Synchrony Financial

   BBB-      3.70        08/04/26        2,750,000        2,807,244  

Travelers Cos., Inc.

   A      3.90        11/01/20        2,500,000        2,549,511  

Unum Group

   BBB      4.00        03/15/24        5,000,000        5,282,893  

Voya Financial, Inc.

   BBB+      3.65        06/15/26        5,000,000        5,264,432  

Wells Fargo & Co.

   BBB+      3.45        02/13/23        4,000,000        4,131,969  

Wells Fargo & Co.

   BBB+      4.13        08/15/23        1,000,000        1,061,054  

WR Berkley Corp.

   BBB+      4.63        03/15/22        2,000,000        2,113,376  
              

 

 

 
                 129,183,705  
              

 

 

 

HEALTH CARE (3.0%)

 

        

Anthem, Inc.

   A      3.30        01/15/23        3,539,000        3,653,498  

Anthem, Inc.

   A      4.35        08/15/20        2,000,000        2,039,131  

Biogen, Inc.

   A-      4.05        09/15/25        2,500,000        2,708,634  

Bio-Rad Laboratories, Inc.

   BBB      4.88        12/15/20        4,000,000        4,094,566  

Express Scripts Hldg. Co.

   A-      3.50        06/15/24        2,000,000        2,088,801  

Humana, Inc.

   BBB+      3.85        10/01/24        3,000,000        3,169,324  

Laboratory Corp. of America Hldgs.

   BBB      3.75        08/23/22        2,000,000        2,069,867  

Laboratory Corp. of America Hldgs.

   BBB      4.63        11/15/20        1,000,000        1,019,847  

Medco Health Solutions, Inc.

   A-      4.13        09/15/20        3,000,000        3,054,742  

Owens & Minor, Inc.

   B      3.88        09/15/21        2,200,000        2,134,000  

Owens & Minor, Inc.

   B      4.38        12/15/24        2,800,000        2,163,000  

PerkinElmer, Inc.

   BBB      5.00        11/15/21        4,000,000        4,200,733  

Quest Diagnostics, Inc.

   BBB+      3.50        03/30/25        700,000        730,995  

Quest Diagnostics, Inc.

   BBB+      4.75        01/30/20        4,000,000        4,030,275  

Thermo Fisher Scientific, Inc.

   BBB+      3.60        08/15/21        1,000,000        1,025,156  

Thermo Fisher Scientific, Inc.

   BBB+      4.50        03/01/21        3,000,000        3,107,028  

Zimmer Biomet Hldgs., Inc.

   BBB      3.15        04/01/22        5,000,000        5,096,715  
              

 

 

 
                 46,386,312  
              

 

 

 

INDUSTRIALS (0.9%)

 

        

Flowserve Corp.

   BBB-      3.50        09/15/22        4,000,000        4,068,490  

Hexcel Corp.

   BBB      4.70        08/15/25        3,900,000        4,220,333  

Verisk Analytics, Inc.

   BBB      4.00        06/15/25        5,000,000        5,383,289  
              

 

 

 
                 13,672,112  
              

 

 

 

INFORMATION TECHNOLOGY (3.2%)

 

        

Adobe, Inc.

   A      4.75        02/01/20        4,000,000        4,034,803  

Applied Materials, Inc.

   A-      3.90        10/01/25        5,000,000        5,445,904  

Arrow Electronics, Inc.

   BBB-      4.00        04/01/25        1,000,000        1,042,470  


MUTUAL OF AMERICA INVESTMENT CORPORATION - BOND FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Arrow Electronics, Inc.

     BBB-        4.50        03/01/23        1,100,000        1,157,322  

Avnet, Inc.

     BBB-        4.88        12/01/22        270,000        287,372  

Avnet, Inc.

     BBB-        5.88        06/15/20        1,100,000        1,126,602  

Fidelity National Information Svcs., Inc.

     BBB        3.88        06/05/24        5,000,000        5,324,716  

Fiserv, Inc.

     BBB        4.75        06/15/21        1,000,000        1,041,208  

Ingram Micro, Inc.

     NR        5.00        08/10/22        1,000,000        1,030,712  

Ingram Micro, Inc.

     NR        5.45        12/15/24        750,000        777,050  

Juniper Networks, Inc.

     BBB        4.50        03/15/24        3,000,000        3,222,323  

Keysight Technologies, Inc.

     BBB        4.55        10/30/24        5,000,000        5,394,378  

Lam Research Corp.

     BBB+        2.75        03/15/20        5,000,000        5,007,759  

Motorola Solutions, Inc.

     BBB-        3.75        05/15/22        4,000,000        4,149,342  

Motorola Solutions, Inc.

     BBB-        4.00        09/01/24        1,000,000        1,054,726  

Symantec Corp.

     BB+        4.20        09/15/20        4,000,000        4,050,059  

Total System Svcs., Inc.

     BBB-        3.75        06/01/23        4,000,000        4,163,188  
              

 

 

 
                 48,309,934  
              

 

 

 

MATERIALS (3.4%)

              

Albemarle Corp.

     BBB        4.50        12/15/20        2,000,000        2,047,083  

Carpenter Technology Corp.

     BBB-        4.45        03/01/23        3,600,000        3,709,125  

Domtar Corp.

     BBB-        4.40        04/01/22        5,000,000        5,191,237  

Dow Chemical Co.

     BBB        3.50        10/01/24        4,800,000        5,008,643  

Eastman Chemical Co.

     BBB        4.50        01/15/21        2,500,000        2,551,391  

Freeport-McMoRan, Inc.

     BB        3.55        03/01/22        4,000,000        4,010,000  

Kinross Gold Corp.

     BBB-        5.13        09/01/21        4,000,000        4,150,000  

Methanex Corp.

     BB+        3.25        12/15/19        3,400,000        3,406,692  

Methanex Corp.

     BB+        5.25        03/01/22        600,000        623,254  

Newmont Goldcorp Corp.

     BBB        3.50        03/15/22        4,000,000        4,104,135  

Packaging Corp. of America

     BBB        3.90        06/15/22        2,000,000        2,066,516  

Packaging Corp. of America

     BBB        4.50        11/01/23        2,000,000        2,146,710  

Sherwin-Williams Co.

     BBB        3.95        01/15/26        5,000,000        5,343,036  

Southern Copper Corp.

     BBB+        3.50        11/08/22        4,000,000        4,081,460  

Teck Resources Ltd.

     BBB-        3.75        02/01/23        1,000,000        1,020,367  

Teck Resources Ltd.

     BBB-        4.75        01/15/22        3,000,000        3,104,611  
              

 

 

 
                 52,564,260  
              

 

 

 

REAL ESTATE (2.0%)

              

Boston Properties LP

     A-        3.85        02/01/23        3,000,000        3,146,983  

HCP, Inc.

     BBB+        3.40        02/01/25        3,750,000        3,888,556  

Healthcare Realty Trust, Inc.

     BBB        3.75        04/15/23        4,000,000        4,130,982  

Jones Lang LaSalle, Inc.

     BBB+        4.40        11/15/22        4,000,000        4,162,554  

Mack-Cali Realty LP

     BB        4.50        04/18/22        5,000,000        4,989,909  

National Retail Properties, Inc.

     BBB+        3.30        04/15/23        1,000,000        1,027,594  

National Retail Properties, Inc.

     BBB+        3.80        10/15/22        3,000,000        3,114,756  

Service Properties Trust

     BBB-        5.00        08/15/22        4,550,000        4,757,218  

Ventas Realty LP / Ventas Capital Corp.

     BBB+        3.25        08/15/22        500,000        513,313  

Welltower, Inc.

     BBB+        3.75        03/15/23        750,000        785,271  
              

 

 

 
                 30,517,136  
              

 

 

 

UTILITIES (1.3%)

              

Entergy Corp.

     BBB        5.13        09/15/20        2,500,000        2,550,639  

Exelon Corp.

     BBB        5.15        12/01/20        3,000,000        3,080,297  

Exelon Generation Co. LLC

     BBB+        4.25        06/15/22        1,000,000        1,047,137  

National Fuel Gas Co.

     BBB        4.90        12/01/21        3,000,000        3,108,352  

National Fuel Gas Co.

     BBB        5.20        07/15/25        2,000,000        2,178,992  

SCANA Corp.

     BBB        4.13        02/01/22        4,000,000        4,128,796  

SCANA Corp.

     BBB        4.75        05/15/21        1,000,000        1,024,068  

UIL Hldgs. Corp.

     BBB        4.63        10/01/20        2,725,000        2,779,502  
              

 

 

 
                 19,897,783  
              

 

 

 

TOTAL CORPORATE DEBT

                 507,106,203  
              

 

 

 

SOVEREIGN DEBT (0.2%)

              

Sri Lanka AID

     NR        6.59        09/15/28        2,433,295        2,857,570  
              

 

 

 

TOTAL LONG-TERM DEBT SECURITIES
(Cost: $1,455,711,623) 99.2%

                 1,515,669,364  
              

 

 

 


MUTUAL OF AMERICA INVESTMENT CORPORATION - BOND FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

    

Rating**

   Rate(%)      Maturity      Face Amount      Value  

SHORT-TERM DEBT SECURITIES:

              

U.S. GOVERNMENT (0.6%)

              

U.S. Treasury Bill

   A-1+      1.57        10/10/19        9,100,000        9,096,435  
              

 

 

 

TOTAL SHORT-TERM DEBT SECURITIES
(Cost: $9,096,435) 0.6%

                 9,096,435  
              

 

 

 
          Rate(%)      Maturity      Face Amount      Value  

TEMPORARY CASH INVESTMENT (0.1%)

              

Citibank, New York Time Deposit

        1.15        10/01/19        823,800        823,800  
              

 

 

 

TOTAL TEMPORARY CASH INVESTMENT
(Cost: $823,800) 0.1%

                 823,800  
              

 

 

 

TOTAL INVESTMENTS
(Cost: $1,465,631,858) 99.9%

                 1,525,589,599  
              

 

 

 

OTHER NET ASSETS 0.1%

                 791,123  
              

 

 

 

NET ASSETS 100.0%

               $ 1,526,380,722  
              

 

 

 

 

 

The disclosures regarding Fair Value and Security Valuation included in the Notes to Portfolios of Investments in Securities are an integral part of these portfolio schedules.


MUTUAL OF AMERICA INVESTMENT CORPORATION - CONSERVATIVE ALLOCATION FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

     Shares      Value  

COMMON STOCKS:

     

DIVERSIFIED MUTUAL FUNDS (100.0%)

     

Mutual of America Investment Corporation

     

Bond Fund (30.4%)

     34,822,291        51,522,087  

Equity Index Fund (25.8%)

     9,959,174        43,750,003  

International Fund (4.5%)

     9,052,502        7,597,204  

Mid-Cap Equity Index Fund (4.7%)

     3,847,646        8,073,018  

Mid-Term Bond Fund (34.6%)

     55,324,687        58,724,555  
     

 

 

 

TOTAL INVESTMENTS
(Cost: $160,867,080) 100.0%

        169,666,867  
     

 

 

 

OTHER NET ASSETS -0.0% (2)

        (258
     

 

 

 

NET ASSETS 100.0%

      $ 169,666,609  
     

 

 

 

 

 

The disclosures regarding Fair Value and Security Valuation included in the Notes to Portfolios of Investments in Securities are an integral part of these portfolio schedules.


MUTUAL OF AMERICA INVESTMENT CORPORATION - MODERATE ALLOCATION FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

     Shares      Value  

COMMON STOCKS:

     

DIVERSIFIED MUTUAL FUNDS (100.0%)

     

Mutual of America Investment Corporation

     

Bond Fund (25.5%)

     70,987,495        105,031,109  

Equity Index Fund (36.3%)

     34,062,111        149,632,638  

International Fund (9.0%)

     43,985,528        36,914,327  

Mid-Cap Equity Index Fund (14.3%)

     28,072,160        58,900,192  

Mid-Term Bond Fund (14.9%)

     57,954,174        61,515,632  
     

 

 

 

TOTAL INVESTMENTS
(Cost: $360,716,197) 100.0%

        411,993,898  
     

 

 

 

OTHER NET ASSETS -0.0% (2)

        (542
     

 

 

 

NET ASSETS 100.0%

      $ 411,993,356  
     

 

 

 

 

 

The disclosures regarding Fair Value and Security Valuation included in the Notes to Portfolios of Investments in Securities are an integral part of these portfolio schedules.


MUTUAL OF AMERICA INVESTMENT CORPORATION - AGGRESSIVE ALLOCATION FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

     Shares      Value  

COMMON STOCKS:

     

DIVERSIFIED MUTUAL FUNDS (100.0%)

     

Mutual of America Investment Corporation

     

Bond Fund (20.7%)

     42,518,465        62,909,131  

Equity Index Fund (37.0%)

     25,533,775        112,168,214  

International Fund (13.7%)

     49,402,585        41,460,527  

Mid-Cap Equity Index Fund (19.4%)

     28,061,825        58,878,507  

Small Cap Growth Fund (4.6%)

     10,582,455        13,954,681  

Small Cap Value Fund (4.6%)

     9,778,240        13,802,680  
     

 

 

 

TOTAL INVESTMENTS
(Cost: $256,908,452) 100.0%

        303,173,740  
     

 

 

 

OTHER NET ASSETS -0.0% (2)

        (1,329
     

 

 

 

NET ASSETS 100.0%

      $ 303,172,411  
     

 

 

 

 

 

The disclosures regarding Fair Value and Security Valuation included in the Notes to Portfolios of Investments in Securities are an integral part of these portfolio schedules.


MUTUAL OF AMERICA INVESTMENT CORPORATION - RETIREMENT INCOME FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

     Shares      Value  

COMMON STOCKS:

     

DIVERSIFIED MUTUAL FUNDS (100.0%)

     

Mutual of America Investment Corporation

     

Bond Fund (30.4%)

     23,624,290        34,953,839  

Equity Index Fund (21.2%)

     5,537,045        24,323,881  

Mid-Cap Equity Index Fund (5.1%)

     2,796,382        5,867,287  

Mid-Term Bond Fund (30.0%)

     32,391,996        34,382,581  

Money Market Fund (13.3%)

     12,441,273        15,263,389  
     

 

 

 

TOTAL INVESTMENTS
(Cost: $110,315,711) 100.0%

        114,790,977  
     

 

 

 

OTHER NET ASSETS -0.0% (2)

        (1,690
     

 

 

 

NET ASSETS 100.0%

      $ 114,789,287  
     

 

 

 

 

 

The disclosures regarding Fair Value and Security Valuation included in the Notes to Portfolios of Investments in Securities are an integral part of these portfolio schedules.


MUTUAL OF AMERICA INVESTMENT CORPORATION - 2010 RETIREMENT FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

     Shares      Value  

COMMON STOCKS:

     

DIVERSIFIED MUTUAL FUNDS (100.0%)

     

Mutual of America Investment Corporation

     

Bond Fund (30.4%)

     5,306,555        7,851,430  

Equity Index Fund (21.6%)

     1,267,816        5,569,435  

International Fund (2.8%)

     863,179        724,413  

Mid-Cap Equity Index Fund (7.5%)

     925,127        1,941,074  

Mid-Term Bond Fund (28.8%)

     7,005,976        7,436,514  

Money Market Fund (8.9%)

     1,858,839        2,280,488  
     

 

 

 

TOTAL INVESTMENTS
(Cost: $24,642,175) 100.0%

        25,803,354  
     

 

 

 

OTHER NET ASSETS -0.0% (2)

        (747
     

 

 

 

NET ASSETS 100.0%

      $ 25,802,607  
     

 

 

 

 

 

The disclosures regarding Fair Value and Security Valuation included in the Notes to Portfolios of Investments in Securities are an integral part of these portfolio schedules.


MUTUAL OF AMERICA INVESTMENT CORPORATION - 2015 RETIREMENT FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

     Shares      Value  

COMMON STOCKS:

     

DIVERSIFIED MUTUAL FUNDS (100.0%)

     

Mutual of America Investment Corporation

     

Bond Fund (28.7%)

     28,124,092        41,611,618  

Equity Index Fund (25.0%)

     8,251,551        36,248,529  

International Fund (3.9%)

     6,804,155        5,710,305  

Mid-Cap Equity Index Fund (9.7%)

     6,674,055        14,003,308  

Mid-Term Bond Fund (23.8%)

     32,533,525        34,532,808  

Money Market Fund (7.2%)

     8,448,505        10,364,921  

Small Cap Growth Fund (0.9%)

     963,121        1,270,031  

Small Cap Value Fund (0.8%)

     871,865        1,230,700  
     

 

 

 

TOTAL INVESTMENTS
(Cost: $136,859,038) 100.0%

        144,972,220  
     

 

 

 

OTHER NET ASSETS -0.0% (2)

        (2,016
     

 

 

 

NET ASSETS 100.0%

      $ 144,970,204  
     

 

 

 

 

 

The disclosures regarding Fair Value and Security Valuation included in the Notes to Portfolios of Investments in Securities are an integral part of these portfolio schedules.


MUTUAL OF AMERICA INVESTMENT CORPORATION - 2020 RETIREMENT FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

     Shares      Value  

COMMON STOCKS:

     

DIVERSIFIED MUTUAL FUNDS (100.0%)

     

Mutual of America Investment Corporation

     

Bond Fund (26.3%)

     103,186,806        152,672,308  

Equity Index Fund (29.4%)

     38,796,776        170,431,715  

International Fund (6.7%)

     46,004,176        38,608,453  

Mid-Cap Equity Index Fund (10.7%)

     29,663,769        62,239,659  

Mid-Term Bond Fund (20.6%)

     112,365,134        119,270,308  

Money Market Fund (2.4%)

     11,330,335        13,900,452  

Small Cap Growth Fund (2.0%)

     8,748,992        11,536,963  

Small Cap Value Fund (1.9%)

     7,944,668        11,214,463  
     

 

 

 

TOTAL INVESTMENTS
(Cost: $544,341,246) 100.0%

        579,874,321  
     

 

 

 

OTHER NET ASSETS -0.0% (2)

        (3,547
     

 

 

 

NET ASSETS 100.0%

      $ 579,870,774  
     

 

 

 

 

 

The disclosures regarding Fair Value and Security Valuation included in the Notes to Portfolios of Investments in Securities are an integral part of these portfolio schedules.


MUTUAL OF AMERICA INVESTMENT CORPORATION - 2025 RETIREMENT FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

     Shares      Value  

COMMON STOCKS:

     

DIVERSIFIED MUTUAL FUNDS (100.0%)

     

Mutual of America Investment Corporation

     

Bond Fund (23.8%)

     137,260,205        203,086,357  

Equity Index Fund (33.8%)

     65,868,015        289,353,907  

International Fund (8.6%)

     87,511,656        73,443,108  

Mid-Cap Equity Index Fund (12.6%)

     51,231,820        107,493,118  

Mid-Term Bond Fund (14.0%)

     112,495,942        119,409,155  

Small Cap Growth Fund (3.7%)

     24,333,442        32,087,584  

Small Cap Value Fund (3.5%)

     20,988,211        29,626,350  
     

 

 

 

TOTAL INVESTMENTS
(Cost: $796,147,248) 100.0%

        854,499,579  
     

 

 

 

OTHER NET ASSETS -0.0% (2)

        (4,585
     

 

 

 

NET ASSETS 100.0%

      $ 854,494,994  
     

 

 

 

 

 

The disclosures regarding Fair Value and Security Valuation included in the Notes to Portfolios of Investments in Securities are an integral part of these portfolio schedules.


MUTUAL OF AMERICA INVESTMENT CORPORATION - 2030 RETIREMENT FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

     Shares      Value  

COMMON STOCKS:

     

DIVERSIFIED MUTUAL FUNDS (100.0%)

     

Mutual of America Investment Corporation

     

Bond Fund (21.5%)

     110,656,846        163,724,771  

Equity Index Fund (36.3%)

     62,902,106        276,324,863  

International Fund (10.2%)

     92,860,245        77,931,846  

Mid-Cap Equity Index Fund (17.3%)

     62,811,912        131,790,132  

Mid-Term Bond Fund (5.6%)

     40,634,537        43,131,652  

Small Cap Growth Fund (4.7%)

     27,014,454        35,622,932  

Small Cap Value Fund (4.4%)

     23,613,803        33,332,560  
     

 

 

 

TOTAL INVESTMENTS
(Cost: $705,733,610) 100.0%

        761,858,756  
     

 

 

 

OTHER NET ASSETS -0.0% (2)

        (3,918
     

 

 

 

NET ASSETS 100.0%

      $ 761,854,838  
     

 

 

 

 

 

The disclosures regarding Fair Value and Security Valuation included in the Notes to Portfolios of Investments in Securities are an integral part of these portfolio schedules.


MUTUAL OF AMERICA INVESTMENT CORPORATION - 2035 RETIREMENT FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

     Shares      Value  

COMMON STOCKS:

     

DIVERSIFIED MUTUAL FUNDS (100.0%)

     

Mutual of America Investment Corporation

     

Bond Fund (18.5%)

     79,423,492        117,512,774  

Equity Index Fund (38.7%)

     56,076,826        246,341,853  

International Fund (11.9%)

     90,622,583        76,053,915  

Mid-Cap Equity Index Fund (20.2%)

     61,345,764        128,713,902  

Small Cap Growth Fund (5.4%)

     25,937,455        34,202,736  

Small Cap Value Fund (5.3%)

     23,824,989        33,630,664  
     

 

 

 

TOTAL INVESTMENTS
(Cost: $584,214,022) 100.0%

        636,455,844  
     

 

 

 

OTHER NET ASSETS -0.0% (2)

        (2,819
     

 

 

 

NET ASSETS 100.0%

      $ 636,453,025  
     

 

 

 

 

 

The disclosures regarding Fair Value and Security Valuation included in the Notes to Portfolios of Investments in Securities are an integral part of these portfolio schedules.


MUTUAL OF AMERICA INVESTMENT CORPORATION - 2040 RETIREMENT FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

     Shares      Value  

COMMON STOCKS:

     

DIVERSIFIED MUTUAL FUNDS (100.0%)

     

Mutual of America Investment Corporation

     

Bond Fund (13.5%)

     47,380,030        70,102,165  

Equity Index Fund (39.2%)

     46,390,151        203,788,916  

International Fund (13.9%)

     86,289,441        72,417,378  

Mid-Cap Equity Index Fund (20.3%)

     50,372,745        105,690,633  

Smal Cap Equity Index Fund (0.3%)

     1,883,273        1,765,647  

Small Cap Growth Fund (6.4%)

     25,262,852        33,313,163  

Small Cap Value Fund (6.4%)

     23,690,082        33,440,233  
     

 

 

 

TOTAL INVESTMENTS
(Cost: $474,922,503) 100.0%

        520,518,135  
     

 

 

 

OTHER NET ASSETS -0.0% (2)

        (2,713
     

 

 

 

NET ASSETS 100.0%

      $ 520,515,422  
     

 

 

 

 

 

The disclosures regarding Fair Value and Security Valuation included in the Notes to Portfolios of Investments in Securities are an integral part of these portfolio schedules.


MUTUAL OF AMERICA INVESTMENT CORPORATION - 2045 RETIREMENT FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

     Shares      Value  

COMMON STOCKS:

     

DIVERSIFIED MUTUAL FUNDS (100.0%)

     

Mutual of America Investment Corporation

     

Bond Fund (11.4%)

     41,923,345        62,028,608  

Equity Index Fund (37.7%)

     46,588,012        204,658,108  

International Fund (14.3%)

     92,591,358        77,706,186  

Mid-Cap Equity Index Fund (21.5%)

     55,726,249        116,923,200  

Smal Cap Equity Index Fund (0.3%)

     1,830,648        1,716,310  

Small Cap Growth Fund (7.5%)

     30,777,662        40,585,332  

Small Cap Value Fund (7.3%)

     27,971,108        39,483,204  
     

 

 

 

TOTAL INVESTMENTS
(Cost: $489,480,836) 100.0%

        543,100,948  
     

 

 

 

OTHER NET ASSETS -0.0% (2)

        (2,972
     

 

 

 

NET ASSETS 100.0%

      $ 543,097,976  
     

 

 

 

 

 

The disclosures regarding Fair Value and Security Valuation included in the Notes to Portfolios of Investments in Securities are an integral part of these portfolio schedules.


MUTUAL OF AMERICA INVESTMENT CORPORATION - 2050 RETIREMENT FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

     Shares      Value  

COMMON STOCKS:

     

DIVERSIFIED MUTUAL FUNDS (100.0%)

     

Mutual of America Investment Corporation

     

Bond Fund (9.3%)

     23,433,875        34,672,106  

Equity Index Fund (36.2%)

     30,636,229        134,582,964  

International Fund (16.0%)

     70,970,595        59,561,220  

Mid-Cap Equity Index Fund (21.6%)

     38,370,900        80,508,709  

Smal Cap Equity Index Fund (0.6%)

     2,422,175        2,270,890  

Small Cap Growth Fund (8.3%)

     23,509,947        31,001,673  

Small Cap Value Fund (8.0%)

     21,008,006        29,654,292  
     

 

 

 

TOTAL INVESTMENTS
(Cost: $359,011,811) 100.0%

        372,251,854  
     

 

 

 

OTHER NET ASSETS -0.0% (2)

        (1,520
     

 

 

 

NET ASSETS 100.0%

      $ 372,250,334  
     

 

 

 

 

 

The disclosures regarding Fair Value and Security Valuation included in the Notes to Portfolios of Investments in Securities are an integral part of these portfolio schedules.


MUTUAL OF AMERICA INVESTMENT CORPORATION - 2055 RETIREMENT FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

     Shares      Value  

COMMON STOCKS:

     

DIVERSIFIED MUTUAL FUNDS (100.0%)

     

Mutual of America Investment Corporation

     

Bond Fund (9.0%)

     7,071,156        10,462,285  

Equity Index Fund (34.0%)

     9,028,100        39,659,858  

International Fund (17.1%)

     23,730,949        19,915,914  

Mid-Cap Equity Index Fund (21.9%)

     12,166,063        25,526,481  

Smal Cap Equity Index Fund (0.5%)

     567,154        531,731  

Small Cap Growth Fund (8.8%)

     7,751,133        10,221,124  

Small Cap Value Fund (8.7%)

     7,225,065        10,198,692  
     

 

 

 

TOTAL INVESTMENTS
(Cost: $118,931,326) 100.0%

        116,516,085  
     

 

 

 

OTHER NET ASSETS -0.0% (2)

        (226
     

 

 

 

NET ASSETS 100.0%

      $ 116,515,859  
     

 

 

 

 

 

The disclosures regarding Fair Value and Security Valuation included in the Notes to Portfolios of Investments in Securities are an integral part of these portfolio schedules.


MUTUAL OF AMERICA INVESTMENT CORPORATION - 2060 RETIREMENT FUND

PORTFOLIO OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

     Shares      Value  

COMMON STOCKS:

     

DIVERSIFIED MUTUAL FUNDS (100.0%)

     

Mutual of America Investment Corporation

     

Bond Fund (7.1%)

     905,881        1,340,316  

Equity Index Fund (31.6%)

     1,362,810        5,986,735  

International Fund (19.9%)

     4,479,399        3,759,282  

Mid-Cap Equity Index Fund (22.9%)

     2,065,544        4,333,865  

Smal Cap Equity Index Fund (1.6%)

     313,185        293,624  

Small Cap Growth Fund (8.7%)

     1,255,957        1,656,183  

Small Cap Value Fund (8.2%)

     1,096,754        1,548,146  
     

 

 

 

TOTAL INVESTMENTS
(Cost: $19,151,922) 100.0%

        18,918,151  
     

 

 

 

OTHER NET ASSETS -0.0% (2)

        (3
     

 

 

 

NET ASSETS 100.0%

      $ 18,918,148  
     

 

 

 

 

 

The disclosures regarding Fair Value and Security Valuation included in the Notes to Portfolios of Investments in Securities are an integral part of these portfolio schedules.


MUTUAL OF AMERICA INVESTMENT CORPORATION

FOOTNOTES TO PORTFOLIOS OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Abbreviations:    ARM = Adjustable Rate Mortgage
   FHLB = Federal Home Loan Bank
   FHLMC = Federal Home Loan Mortgage Corporation
   FNMA = Federal National Mortgage Association
   FRESB = Federal Home Loan Mortgage Corporation Multifamily Securitization Small Loan Balance
   GNMA = Government National Mortgage Association
   NR = Not Rated

 

 

* Non-income producing security.

** Ratings as per Standard & Poor’s Corporation (unaudited).

† Security is exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers. At September 30, 2019, the aggregate values of these securities and their percentages of the respective Funds’ net assets were as follows:

 

   

Fund

   Aggregate
Market
Value
   Percentage
of
Net Assets
 

EQUITY INDEX FUND

   $14,991,422    0.5%
 

SMALL CAP VALUE FUND

   $5,000,000    1.0%
 

MID-CAP EQUITY INDEX FUND

   $19,991,422    1.3%
 

COMPOSITE FUND

   $290,488    0.2%
 

MID-TERM BOND FUND

   $1,801,730    0.3%
 

BOND FUND

   $4,459,312    0.3%

†† Level 3 Security.

 

(1)

This security, or a portion thereof, has been segregated to cover initial margin requirements on open futures contracts. Information on futures contracts outstanding in the Funds as of September 30, 2019, was as follows:

 

Fund

  Number of
Contracts
  Contract Type   Purchased (P)
or Sold (S)
  Expiration
Date
  Underlying
Face Amount
at Value
    Unrealized
Gain(Loss)(a)
    Face Value
of Futures
as a % of
Total
Investments
 

EQUITY INDEX FUND

  533   E-mini S&P 500
Stock Index
  P   December 2019     $79,377,025       $776,608       2.5

ALL AMERICA FUND

  7   E-mini S&P 500
Stock Index
  P   December 2019     $1,042,475       $10,623       0.4

MID-CAP EQUITY INDEX FUND

  307   E-mini S&P
MidCap 400
Stock Index
  P   December 2019     $59,496,600       $815,320       3.9

 

(a)

Includes the cumulative appreciation(depreciation) of futures contracts.

 

(2)

Percentage is less than 0.05%.

(3)

U.S. Government guaranteed security.


MUTUAL OF AMERICA INVESTMENT CORPORATION

FOOTNOTES TO PORTFOLIOS OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Fair Value—The Investment Company values its investments at fair value. Fair value is an estimate of the price the Fund would receive upon selling a security in an orderly arms-length transaction. Investments are categorized based on a three-level valuation hierarchy for measurement and disclosure of fair value. The valuation hierarchy is based upon the transparency of inputs used to measure fair value. These inputs are summarized in the three broad levels listed below:

 

Level 1 – quoted prices in active markets for identical securities.

 

Level 2 – other significant observable inputs (including yield, quality, coupon rate, maturity, issue type, quoted prices for similar securities, prepayment speeds, trading characteristics, etc.).

 

Level 3 – significant unobservable inputs (including the Fund’s own assumptions in determining the fair value of investments).

As of September 30, 2019, management determined that the fair value inputs for all equity securities were considered Level 1, with the exception of three securities in the All America, Small Cap Value, and Small Cap Growth Funds (see Note b below) which were considered Level 3. In addition, non-registered securities under Rule 144A of the Securities Act of 1933 were considered Level 2. Furthermore, certain Rule 144A securities not actively traded are considered Level 3; however, there were no such 144A securities as of September 30, 2019. Fair value inputs for all debt securities were considered Level 2. The inputs used for valuing securities are not necessarily an indication of the risk associated with investing in those securities. Transfers between levels are reflected based on the fair value at the beginning of a reporting period.

The following is a summary of the inputs used to value the Funds’ investments and other financial instruments as of September 30, 2019:

 

Fund

  

Level 1 – Quoted

Prices

     Level 2 –
Significiant
Observable Inputs
     Level 3 –
Significiant
Unobservable Inputs
   

Total

 

Investments at Fair Value:

          

(See Portfolios of Investments for More Details)

          

Equity Index Fund

          

Common Stock - Indexed

     $3,058,701,313        -            -           $3,058,701,313  

Short-Term Debt Securities

     -            $76,711,981        -           $76,711,981  

Temporary Cash Investment

     -            $40,409        -           $40,409  
  

 

 

 
     $3,058,701,313        $76,752,390        -           $3,135,453,703  

All America Fund

          

Common Stock - Indexed

     $157,468,650        -            -           $157,468,650  

Common Stock - Active

     $131,478,754        -            $285,375  (b)      $131,764,129  

Short-Term Debt Securities - Indexed

     -            $4,982        -           $4,982  

Short-Term Debt Securities - Active

     -            $4,300,000        -           $4,300,000  

Temporary Cash Investment

     -            $1,424,972        -           $1,424,972  
  

 

 

 
     $288,947,404        $5,729,954        $285,375       $294,962,733  

Small Cap Value Fund

          

Common Stock

     $459,386,104        -            $3,206,125  (b)      $462,592,229  

Short-Term Debt Securities

     -            $23,490,965        -           $23,490,965  
  

 

 

 
     $459,386,104        $23,490,965        $3,206,125       $486,083,194  

Small Cap Growth Fund

          

Common Stock

     $524,985,639        -            -     (b)      $524,985,639  

Short-Term Debt Securities

     -            $17,800,000        -           $17,800,000  

Temporary Cash Investment

     -            $25,185        -           $25,185  
  

 

 

 
     $524,985,639        $17,825,185        -           $542,810,824  

Small Cap Equity Index Fund Fund

          

Common Stock - Indexed

     $28,043,695        -            -           $28,043,695  

Temporary Cash Investment

     -            $145,573        -           $145,573  
  

 

 

 
     $28,043,695        $145,573        -           $28,189,268  

Mid Cap Value Fund

          

Common Stock

     $89,789,890        -            -           $89,789,890  

Short-Term Debt Securities

     -            $2,100,000        -           $2,100,000  

Temporary Cash Investment

     -            $30,431        -           $30,431  
  

 

 

 
     $89,789,890        $2,130,431        -           $91,920,321  

Mid-Cap Equity Index Fund

          

Common Stock - Indexed

     $1,470,353,412        -            -           $1,470,353,412  

Short-Term Debt Securities

     -            $57,700,191        -           $57,700,191  

Temporary Cash Investment

     -            $42,625        -           $42,625  
  

 

 

 
     $1,470,353,412        $57,742,816        -           $1,528,096,228  

International Fund

          

Common Stock

     $609,003,840        -            -           $609,003,840  

Short-Term Debt Securities

     -            $17,289,158        -           $17,289,158  

Temporary Cash Investment

     -            $100,087        -           $100,087  
  

 

 

 
     $609,003,840        $17,389,245        -           $626,393,085  

Composite Fund

          

Common Stock

     $106,136,852        -            -           $106,136,852  

U.S. Government Debt

     -            $30,259,201        -           $30,259,201  

U.S. Government Agency Residential Mortgage-Backed Obligations

     -            $20,836,824        -           $20,836,824  

Long-Term Corporate Debt

     -            $21,748,874        -           $21,748,874  

Short-Term Debt Securities

     -            $5,500,000        -           $5,500,000  

Temporary Cash Investment

     -            $794,866        -           $794,866  
  

 

 

 
     $106,136,852        $79,139,765        -           $185,276,617  

Retirement Income Fund Fund

          

Common Stock

     $114,790,977        -            -           $114,790,977  

2010 Retirement Fund Fund

          

Common Stock

     $25,803,354        -            -           $25,803,354  

2015 Retirement Fund Fund

          

Common Stock

     $144,972,220        -            -           $144,972,220  

2020 Retirement Fund Fund

          

Common Stock

     $579,874,321        -            -           $579,874,321  

2025 Retirement Fund Fund

          

Common Stock

     $854,499,579        -            -           $854,499,579  

2030 Retirement Fund Fund

          

Common Stock

     $761,858,756        -            -           $761,858,756  


MUTUAL OF AMERICA INVESTMENT CORPORATION

FOOTNOTES TO PORTFOLIOS OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

2035 Retirement Fund Fund

                                            

Common Stock

     $636,455,844        -            -            $636,455,844  

2040 Retirement Fund Fund

           

Common Stock

     $520,518,135        -            -            $520,518,135  

2045 Retirement Fund Fund

           

Common Stock

     $543,100,948        -            -            $543,100,948  

2050 Retirement Fund Fund

           

Common Stock

     $372,251,854        -            -            $372,251,854  

2055 Retirement Fund Fund

           

Common Stock

     $116,516,085        -            -            $116,516,085  

2060 Retirement Fund Fund

           

Common Stock

     $18,918,151        -            -            $18,918,151  

Conservative Allocation Fund Fund

           

Common Stock

     $169,666,867        -            -            $169,666,867  

Moderate Allocation Fund Fund

           

Common Stock

     $411,993,898        -            -            $411,993,898  

Aggressive Allocation Fund Fund

           

Common Stock

     $303,173,740        -            -            $303,173,740  

Mid-Term Bond Fund

           

U.S. Government Debt

     -            $386,017,437        -            $386,017,437  

U.S. Government Agency Residential Mortgage-Backed Obligations

     -            $199        -            $199  

U.S. Government Agency Non-Mortgage-Backed Obligations

     -            $37,322,010        -            $37,322,010  

Long-Term Corporate Debt

     -            $224,147,373        -            $224,147,373  

Short-Term Debt Securities

     -            $1,000,000        -            $1,000,000  

Temporary Cash Investment

     -            $770,894        -            $770,894  
  

 

 

 
     -            $649,257,913        -            $649,257,913  

Bond Fund

           

U.S. Government Debt

     -            $551,077,967        -            $551,077,967  

U.S. Government Agency Residential Mortgage-Backed Obligations

     -            $438,619,024        -            $438,619,024  

U.S. Government Agency Non-Mortgage-Backed Obligations

     -            $16,008,600        -            $16,008,600  

Long-Term Corporate Debt

     -            $507,106,203        -            $507,106,203  

Sovereign Debt

     -            $2,857,570        -            $2,857,570  

Short-Term Debt Securities

     -            $9,096,435        -            $9,096,435  

Temporary Cash Investment

     -            $823,800        -            $823,800  
  

 

 

 
     -            $1,525,589,599        -            $1,525,589,599  

Other Financial Instruments:*

           

Equity Index Fund

     $776,608        -            -            $776,608  

All America Fund

     $10,623        -            -            $10,623  

Mid-Cap Equity Index Fund

     $815,320        -            -            $815,320  
  *

Other financial instruments are derivative instruments not reflected in the Portfolio of Investments, such as futures, which are valued at the unrealized appreciation/depreciation on the instrument.

(b)

Includes securities fair valued using methods determined in good faith by the Adviser and reviewed by the Investment Company Valuation Committee, in accordance with procedures adopted by the Board of Directors of the Investment Company.

 

    

Fair Value Measurement Using Significant Unobservable Inputs (Level 3)

for the Nine Months Ended September 30, 2019

    
    Balance
December 31,
2018(c)
  Change in
Unrealized
Gains
(Losses)
  Transfers
Into
Level 3
  Transfers
Out of
Level 3
   Sales
2019
  Balance
September 30,
2019(c)
  Net Change in
Unrealized Gains/(Losses)
of Level 3 Assets Held as of
September 30, 2019

All America Fund - Active Common Stock

  $285,375   -       -       -        -           $285,375   30,822

Small Cap Value Fund - Common Stock

  $3,206,125 (e)   -       -       -        -           $3,206,125 (e)   347,256

Small Cap Growth Fund - Common Stock

  -     (d)   -       -       -        -           -    (d)   -    

Small Cap Equity Index Fund - Common Stock

  -     (e)   -       -       -        -    (e)   -            -    

 

(c)

Includes securities fair valued using methods determined in good faith by the Adviser and reviewed by the Investment Company Valuation Committee, in accordance with procedures adopted by the Board of Directors of the Investment Company.

(d)

Level 3 security, Ferroglobe Representation & Warranty Insurance Trust with $0 fair value and unrealized gain (loss).

(e)

Level 3 security Lyondell Basell Industries - contingent value rights, with $0 fair value and unrealized gain (loss). Security has been transferred from Small Cap Equity Index Fund to Small Cap Value Fund during July 2019.


MUTUAL OF AMERICA INVESTMENT CORPORATION

FOOTNOTES TO PORTFOLIOS OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Security Valuation — Investment securities are carried at fair value as follows:

The Funds’ investments are fair valued as of the close of trading on the New York Stock Exchange (“Exchange”) on each day the Exchange is open for trading. The Exchange usually closes at 4:00 pm Eastern Time but sometimes closes earlier.

Exchange-traded equity securities are valued at the last reported sales price on the principal exchange on which the security is traded. If there is no trading volume for a particular valuation day, the last bid price is used. For equity securities traded in the over-the-counter market, the security is valued at the last sale price, or if no sale, at the latest bid price available.

Short-term debt securities with a maturity of 60 days or less are valued at amortized cost, which approximates fair value for such securities.

Debt securities, including short-term debt securities maturing in excess of 60 days, are valued on the basis of prices obtained from an independent pricing source. The pricing source may utilize various pricing methodologies that incorporate both models (which consider factors such as yield, quality, coupon rate, maturity, issue type, quoted prices for similar securities, prepayment speeds and trading characteristics) and dealer supplied valuations to derive a valuation.

In the rare instance when a price is not available from an independent pricing source or when prices may not reflect fair value, such as when the price provided by the pricing source is not based on a recent trade, a calculated fair value is used, as determined in good faith by the Adviser and reviewed by a Valuation Committee, in accordance with procedures adopted by the Board of Directors of the Investment Company.

The Advisor uses a market approach to calculate fair value for equity securities which are categorized as Level 3. The Adviser’s valuation is primarily based on information regarding the specific equity issuer, such as the last trade price, financial statements, the relationship of per-share book value to the last trade price, operating information and any corporate actions, such as dividends or returns of capital, that may have occurred since the last trade. The Adviser also considers industry-specific conditions and overall market conditions, to determine whether the last trade price reflects fair value or needs to be adjusted. Generally, absent any significant contrary indications, the last trade price will be used to calculate fair value.

Retirement Funds and the Allocation Funds value their investments in the underlying Funds of the Investment Company at their respective net asset values.

Investment Transactions — Investment transactions are accounted for as of the trade date. Realized gain and loss on the sale of short and long-term debt securities are computed on the basis of amortized cost at the time of sale. Realized gains and losses on the sale of equity securities are based on the identified cost basis of the security, determined on the first-in, first-out (“FIFO”) basis.

Futures Contracts—The Equity Index Fund, Mid-Cap Equity Index Fund and a portion of the All America Fund each maintain indexed asset portfolios which are subject to equity price risk. In order to remain more fully invested in the equity markets while minimizing transaction costs, the funds purchase stock index futures contracts. These purchases of futures contracts allow the funds to invest available cash to attempt to efficiently and cost effectively keep the funds fully invested on a daily basis in an attempt to minimize deviation from the performance of the indices. An initial cash margin deposit (represented by cash or Treasury bills) is made upon entering into a futures contract and serves as collateral for the contract. This initial margin, maintained in a segregated account, is equal to approximately 5%-6% of the contract amount, and does not involve the borrowing of funds to finance the transaction. During the period the futures contract is outstanding, changes in the value of the contract are recognized as unrealized appreciation or depreciation by “marking-to-market” on a daily basis to reflect the market value of the contract at the end of each trading day. The accumulated unrealized appreciation or depreciation on the contract is included in Net Unrealized Appreciation (Depreciation) of Investments and Futures Contracts in the Components of Net Assets section of the Statements of Assets and Liabilities.

Futures contracts are valued at the settlement price established each day by the exchange on which traded. Depending upon whether unrealized appreciation or depreciation are incurred, variation margin payments are received or made daily. The net change in unrealized appreciation or depreciation of futures contracts is recorded in the Statements of Operations. When the contract is closed, a realized gain or loss from futures transactions is recorded in the Statements of Operations, equal to the net variation margin received or paid over the period the contract was outstanding. The “Underlying Face Amount at Value” (appearing in the “Notes to the Portfolios of Investments in Securities”), representing the aggregate of outstanding contractual amounts under futures contracts, reflects the extent of a Fund’s exposure to off-balance sheet risk. The use of futures transactions involves the risk of imperfect correlation in the price movements of the contract and the underlying securities. With futures contracts, there is minimal counterparty credit risk to the Fund since futures are exchange traded and the exchange’s clearinghouse, as counterparty to all exchange traded futures, guarantees the futures against default.

The following table presents the financial statement impacts resulting from the funds’ use of futures contracts at their fair values as of September 30, 2019 and for the nine months ended September 30, 2019:

 

                               Mid-Cap  
Derivatives not accounted    Risk      Locations on Statements of    Equity Index      All America      Equity Index  

for as hedging instruments

  

Type

    

Assets and Liabilities

   Fund      Fund      Fund  

Futures Contracts

     Equity      Net unrealized appreciation (depreciation) of investments and futures contracts    $ 776,608      $ 10,623      $ 815,320  
                               Mid-Cap  
Derivatives not accounted    Risk      Locations on Statements of    Equity Index      All America      Equity Index  

for as hedging instruments

  

Type

    

Operations

   Fund      Fund      Fund  
      Net realized gain (loss) on:         

Futures Contracts

     Equity      Futures contracts    $ 12,095,078      $ 415,684      $ 6,072,047  
      Change in net unrealized appreciation (depreciation) of:         

Futures Contracts

     Equity      Futures contracts    $ 2,385,722      $ 88,670      $ 1,000,450  

Warrants — A warrant is an option to purchase common stock of an issuer and is issued in conjunction with another security, such as a debt obligation. A warrant specifies the price at which the holder may purchase shares of common stock and usually expires after a period of time. A warrant holder generally may pay cash for the common stock to be purchased or may surrender the principal amount of the related debt security the warrant holder owns equal to the purchase price for the stock. The common stock underlying a warrant may not increase in value after the date the warrant was issued, or may not increase up to the warrant exercise price. In this case, the warrant generally would have little value and could expire unexercised.


MUTUAL OF AMERICA INVESTMENT CORPORATION

FOOTNOTES TO PORTFOLIOS OF INVESTMENTS IN SECURITIES

September 30, 2019 (Unaudited)

 

Tax Information - The components of net unrealized appreciation (depreciation) of investments for Federal income tax purposes and the cost of investments for Federal income tax purposes at September 30, 2019 for each of the funds were as follows:     

 

                             Small Cap  
     Equity Index     All America     Small Cap     Small Cap     Equity Index  
    

Fund

   

Fund

   

Value Fund

   

Growth Fund

   

Fund

 

Unrealized Appreciation

   $ 1,410,119,812     $ 95,318,168     $ 71,780,805     $ 87,863,380     $ 1,982,131  

Unrealized Depreciation

     (94,374,853     (15,142,782     (29,687,799     (35,634,843     (3,761,388
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net

   $ 1,315,744,959     $ 80,175,386     $ 42,093,006     $ 52,228,537       (1,779,257
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Cost of Investments

   $ 1,819,708,744     $ 214,787,347     $ 443,990,188     $ 490,582,287     $ 29,968,525  
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
           Mid-Cap                 Retirement  
     Mid Cap     Equity Index     International     Composite     Income  
    

Value Fund

   

Fund

   

Fund

   

Fund

   

Fund

 

Unrealized Appreciation

   $ 23,707,207     $ 366,422,373     $ 34,631,683     $ 28,842,715     $ 4,707,130  

Unrealized Depreciation

     (4,407,600     (109,599,381     (4,660,079     (3,056,815     (933,449
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net

     19,299,607     $ 256,822,992     $ 29,971,604     $ 25,785,900     $ 3,773,681  
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Cost of Investments

   $ 72,620,714     $ 1,271,273,236     $ 596,421,481     $ 159,490,717     $ 111,017,296  
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
     2010     2015     2020     2025     2030  
     Retirement     Retirement     Retirement     Retirement     Retirement  
    

Fund

   

Fund

   

Fund

   

Fund

   

Fund

 

Unrealized Appreciation

   $ 1,200,995     $ 8,491,273     $ 38,317,258     $ 65,623,407     $ 61,895,707  

Unrealized Depreciation

     (215,286     (1,015,696     (3,535,015     (7,525,608     (5,970,892
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net

     985,709     $ 7,475,577     $ 34,782,243     $ 58,097,799     $ 55,924,815  
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Cost of Investments

   $ 24,817,645     $ 137,496,643     $ 545,092,078     $ 796,401,780     $ 705,933,941  
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
     2035     2040     2045     2050     2055  
     Retirement     Retirement     Retirement     Retirement     Retirement  
    

Fund

   

Fund

   

Fund

   

Fund

   

Fund

 

Unrealized Appreciation

   $ 57,619,897     $ 51,187,315     $ 59,097,978     $ 22,120,233     $ 2,507,393  

Unrealized Depreciation

     (5,525,233     (5,748,006     (5,621,864     (8,967,318     (4,928,929
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net

   $ 52,094,664     $ 45,439,309     $ 53,476,114     $ 13,152,915     $ (2,421,536
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Cost of Investments

   $ 584,361,180     $ 475,078,826     $ 489,624,834     $ 359,098,939     $ 118,937,621  
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
     2060     Conservative     Moderate     Aggressive        
     Retirement     Allocation     Allocation     Allocation     Mid-Term  
    

Fund

   

Fund

   

Fund

   

Fund

   

Bond Fund

 

Unrealized Appreciation

   $ 180,407     $ 9,260,396     $ 51,277,701     $ 46,719,421     $ 16,783,271  

Unrealized Depreciation

     (416,883     (1,368,552     (2,070,747     (2,153,128     (1,992,576
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net

   $ (236,476   $ 7,891,844     $ 49,206,954     $ 44,566,293     $ 14,790,695  
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Cost of Investments

   $ 19,154,627     $ 161,775,023     $ 362,786,944     $ 258,607,447     $ 634,467,218  
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
     Bond        
    

Fund

 

Unrealized Appreciation

   $ 64,766,063  

Unrealized Depreciation

     (4,639,585
  

 

 

 

Net

   $ 60,126,478  
  

 

 

 

Cost of Investments

   $ 1,465,463,121  
  

 

 

         

Differences in basis between amounts reflected in the Portfolios of Investments in Securities and those computed for Federal income tax purposes arise from the Federal income tax treatment of wash sales, futures contracts, and other tax-related adjustments.