-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, BivtnatiYPTH1JXmyb548XLJHkyfLYI9ceeGp+EW4tt9zmH8b+YA8VkCciMwVCQu 7AtdWPHGpNexoI5VubxY4w== 0000891092-03-000129.txt : 20030204 0000891092-03-000129.hdr.sgml : 20030204 20030204105055 ACCESSION NUMBER: 0000891092-03-000129 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 20021231 FILED AS OF DATE: 20030204 EFFECTIVENESS DATE: 20030204 FILER: COMPANY DATA: COMPANY CONFORMED NAME: MUTUAL OF AMERICA CAPITAL MANAGEMENT CORP CENTRAL INDEX KEY: 0000922127 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: 1934 Act SEC FILE NUMBER: 028-04274 FILM NUMBER: 03537625 BUSINESS ADDRESS: STREET 1: 320 PARK AVENUE CITY: NY STATE: NY ZIP: 10022 BUSINESS PHONE: 2122241600 MAIL ADDRESS: STREET 1: 320 PARK AVENUE CITY: NEW YORK STATE: NY ZIP: 10022 13F-HR 1 e14214_13fhr.txt 13F HOLDINGS REPORT UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 Form 13F Form 13F COVER PAGE Report for the Quarter Ended: December 31, 2002 ----------------- Check here if Amendment [ ]; Amendment Number: ________________________ This Amendment (Check only one.): [ ] is a restatement. [ ] adds new holdings entries. Institutional Investment Manager Filing this Report: Name: MUTUAL OF AMERICA CAPITAL MANAGEMENT CORPORATION ------------------------------------------------ Address: 320 Park Avenue New York, NY 10022-6839 ------------------------------------------------ Form 13F File Number: 28-4274 The institutional investment manager filing this report and the person by whom it is signed hereby represent that the person signing the report is authorized to submit it, that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, lists, and tables, are considered integral parts of this form. Person signing this Report on Behalf of Reporting Manager: Name: Richard J. Ciecka ------------------------------------------------ Title: President and Chief Executive Officer ------------------------------------------------ Phone: (212) 224-1555 ------------------------------------------------ Signature, Place, and Date of Signing: /s/ Richard J. Ciecka New York, N. Y. January 31, 2003 - ---------------------- --------------- ---------------- [Signature] [City, State] [Date] Report Type (Check only one.): [X] 13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager are reported in this report.) [ ] 13F NOTICE. (Check here if no holdings reported are in this report, and all holdings are reported by other reporting manager(s).) [ ] 13F COMBINATION REPORT. (Check here if a portion of the holdings for this reporting manager are reported in this report and a portion are reported by other reporting manager(s).) List of Other Managers Reporting for this Manager: [If there are no entries in this list, omit this section.] Form 13F File Number Name 28-__________________ ___________________________________________ Form 13f for Quarter Ending December 31, 2002 Name of Reporting Manager: Mutual of America Capital Management
FORM 13F INFORMATION Name of Issuer Ticker CUSIP Shares Price Value (x$1000) Common ADC Telecommunications, Inc. ADCT 000886101 79,527 2.0900 166 Aflac, Inc. AFL 001055102 81,111 30.1200 2,443 AGCO Corp. AG 001084102 105,937 22.1000 2,341 AGL Resources Inc. ATG 001204106 10,128 24.3000 246 AES Corporation AES 00130H105 54,161 3.0200 164 AK Steel Holding Corp. AKS 001547108 19,524 8.0000 156 AMR Corp. AMR 001765106 15,462 6.6000 102 AOL Time Warner Inc AOL 00184A105 667,770 13.1000 8,748 AT&T Corp T 001957505 76,945 26.1100 2,009 AT&T Wireless Group AWE 00209A106 551,252 5.6500 3,115 Abbott Laboratories ABT 002824100 156,158 40.0000 6,246 Abercrombie & Fitch Co. Cl A ANF 002896207 17,636 20.4600 361 Activision, Inc. ATVI 004930202 12,110 14.5900 177 Action Performance Cos. Inc. ATN 004933107 18,865 19.0000 358 Acxiom Corp. ACXM 005125109 16,115 15.3800 248 Adobe Systems Inc ADBE 00724F101 23,777 24.9100 592 Adtran, Inc. ADTN 00738A106 6,739 32.9000 222 Advancrd Fibre Communication AFCI 00754A105 15,182 16.6800 253 Advanced Micro Devices Inc AMD 007903107 34,211 6.4600 221 Advanced Paradigm Inc ADVP 00790K109 16,239 22.2100 361 Advent Software, Inc. ADVS 007974108 5,896 13.6300 80 AETNA US Healthcare AET 00817Y108 14,894 41.1200 612 Affiliated Computer Svcs ACS 008190100 23,876 52.6500 1,257 Agilent Technologies Inc A 00846U101 46,635 17.9600 838 Air Products & Chemicals Inc APD 009158106 22,688 42.7500 970 Airborne Freight ABF 009269101 8,719 14.8300 129 Airgas Inc. ARG 009363102 12,917 17.2500 223 Alabama National Bancorp ALAB 010317105 177,936 43.5000 7,740 Alaris Medical Inc AMI 011637105 445,440 6.1000 2,717 Alaska Air Group, Inc. ALK 011659109 4,795 21.6500 104 Albany International Corp-Cl A AIN 012348108 5,837 20.6600 121 Albemarle Corp ALB 012653101 7,523 28.4500 214 Alberto-Culver Company ACV 013068101 5,754 50.4000 290 Albertson's Inc ABS 013104104 37,918 22.2600 844 Alcoa Inc AA 013817101 84,382 22.7800 1,922 Alexander & Baldwin, Inc. ALEX 014482103 7,414 25.7900 191 Allegheny Energy Inc. AYE 017361106 12,488 7.5600 94 Allegheny Teledyne Inc ATI 01741R102 8,015 6.2300 50 Allergan, Inc. AGN 018490102 13,066 57.6200 753 Minnesota Power & Light ALE 018522102 15,427 22.6800 350 Interstate Energy Corp. LNT 018802108 16,564 16.5500 274 Allied Waste Industries, Inc. AW 019589308 19,667 10.0000 197 Allmerica Financial Corp AFC 019754100 9,585 10.1000 97 Allstate Corp ALL 020002101 112,223 36.9900 4,151 Alltel Corp AT 020039103 64,223 51.0000 3,275 Altera Corp ALTR 021441100 38,328 12.3400 473 Ambac Financial Group, Inc. ABK 023139108 10,539 56.2400 593 Amerada Hess Corp. AHC 023551104 8,857 55.0500 488 Ameren Corporation AEE 023608102 15,306 41.5700 636 American Electric Power AEP 025537101 33,828 27.3300 925 American Eagle Outfitters AEOS 02553E106 13,029 13.7800 180
Page 1 of 20 Form 13f for Quarter Ending December 31, 2002 Name of Reporting Manager: Mutual of America Capital Management
FORM 13F INFORMATION Name of Issuer Ticker CUSIP Shares Price Value (x$1000) American Express Company AXP 025816109 131,504 35.3500 4,649 American Financial Group AFG 025932104 12,435 23.0700 287 American Greetings Corp. AM 026375105 148,064 15.8000 2,339 American International Group AIG 026874107 337,080 57.8500 19,500 American Power Conversion APCC 029066107 19,501 15.1500 295 American Standard Companies ASD 029712106 7,146 71.1400 508 American Water Works Co. AWK 030411102 18,061 45.4800 821 Americredit Corp. ACF 03060R101 27,624 7.7400 214 AmerUs Group Co. AMH 03072M108 7,066 28.2700 200 Amerisource Health Corp ABC 03073E105 10,486 54.3100 569 Ametek Inc. AME 031100100 5,944 38.4900 229 Amgen, Inc. AMGN 031162100 128,664 48.3400 6,220 Amsouth Bancorporation ASO 032165102 35,650 19.2000 684 Anadarko Petroleum Corp. APC 032511107 24,840 47.9000 1,190 Analog Devices Inc. ADI 032654105 36,433 23.8700 870 Andrew Corp. ANDW 034425108 9,789 10.2800 101 Anheuser-Busch Cos., Inc. BUD 035229103 85,646 48.4000 4,145 Anthem Inc ATH 03674B104 14,050 62.9000 884 Aon Corp. AOC 037389103 30,937 18.8900 584 Apache Corp APA 037411105 78,691 56.9900 4,485 Apollo Group A APOL 037604105 17,296 44.0000 761 Sybron Intl. Corp. AOT 03760A101 19,297 20.8000 401 Apple Computer, Inc. AAPL 037833100 35,745 14.3300 512 Apria Healthcare Group, Inc. AHG 037933108 9,869 22.2400 219 PE Corp.-PE Biosystems Group ABI 038020103 21,101 17.5400 370 Applied Materials, Inc. AMAT 038222105 300,493 13.0300 3,915 Applied Micro AMCC 03822W109 30,166 3.6900 111 Utilcorp United Inc ILA 03840P102 32,810 1.7700 58 Arch Coal Inc. ACI 039380100 9,487 21.5900 205 Archer-Daniels-Midland Co. ADM 039483102 64,778 12.4000 803 Arkansas Best Corp ABFS 040790107 149,410 25.9810 3,882 Arrow Electronics, Inc. ARW 042735100 18,066 12.7900 231 Arvinmeritor, Inc. ARM 043353101 12,256 16.6700 204 Informix Corp. ASCL 04362P108 43,568 2.4000 105 Ashland Inc. ASH 044204105 6,919 28.5300 197 Associated Banc-Corp ASBC 045487105 13,471 33.9400 457 Astoria Financial Corp. AF 046265104 15,728 27.1500 427 Atmel Corp. ATML 049513104 84,111 2.2300 188 Autodesk, Inc. ADSK 052769106 11,356 14.3000 162 Automatic Data Processing, Inc ADP 053015103 59,443 39.2500 2,333 AutoZone, Inc. AZO 053332102 9,928 70.6500 701 Avaya Inc. AV 053499109 36,096 2.4500 88 Avery Dennison Corp. AVY 053611109 10,972 61.0800 670 Avnet, Inc. AVT 053807103 21,608 10.8300 234 Avocent Corporation AVCT 053893103 8,143 22.2200 181 Avon Products, Inc. AVP 054303102 48,269 53.8700 2,600 BB&T Corporation BBT 054937107 47,927 36.9900 1,773 BISYS Group, Inc. BSG 055472104 21,712 15.9000 345 BJ Services Co BJS 055482103 15,573 32.3100 503 BJ's Wholesale Club, Inc. BJ 05548J106 12,656 18.3000 232 BMC Software Inc BMC 055921100 104,365 17.1100 1,786 Baker Hughes, Inc. BHI 057224107 33,542 32.1900 1,080
Page 2 of 20 Form 13f for Quarter Ending December 31, 2002 Name of Reporting Manager: Mutual of America Capital Management
FORM 13F INFORMATION Name of Issuer Ticker CUSIP Shares Price Value (x$1000) Ball Corp. BLL 058498106 41,198 51.1900 2,109 Bandag, Inc. BDG 059815100 3,453 38.6800 134 BankAmerica Corp. BAC 060505104 190,772 69.5700 13,272 Pacific Century Finl Corp. BOH 062540109 11,710 30.3900 356 Bank of New York Co., Inc. BK 064057102 72,663 23.9600 1,741 Bank One Columbus Ohio ONE 06423A103 116,497 36.5500 4,258 Banknorth Group, Inc. BNK 06646R107 26,745 22.6000 604 Banta Corp. BN 066821109 4,555 31.2700 142 Bard (C.R.), Inc. BCR 067383109 5,104 58.0000 296 Barnes & Noble, Inc. BKS 067774109 12,180 18.0700 220 Barr Laboratories, Inc. BRL 068306109 7,870 65.0900 512 Bausch & Lomb, Inc. BOL 071707103 5,356 36.0000 193 Baxter International, Inc. BAX 071813109 59,365 28.0000 1,662 Bear Stearns Cos., Inc. BSC 073902108 68,810 59.4000 4,087 Beckman Coulter Inc. BEC 075811109 11,241 29.5200 332 Becton Dickinson & Co. BDX 075887109 25,827 30.6900 793 Bed Bath & Beyond, Inc. BBBY 075896100 29,147 34.5300 1,006 BellSouth Corp BLS 079860102 185,922 25.8700 4,810 Belo (A.H.) BLC 080555105 20,330 21.3200 433 Bemis Co. BMS 081437105 5,270 49.6300 262 Benchmark Electronics BHE 08160H101 57,293 28.6600 1,642 Best Buy Co., Inc. BBY 086516101 190,184 24.1500 4,593 Big Lots Inc BLI 089302103 11,423 13.2300 151 Biogen, Inc. BGEN 090597105 14,770 40.0600 592 Biomet, Inc. BMET 090613100 26,113 28.6600 748 Black & Decker Corp. BDK 091797100 7,976 42.8900 342 Black Hills Corp. BKH 092113109 4,858 26.5200 129 Block (H. & R.), Inc. HRB 093671105 18,241 40.2000 733 Blyth Industrites BTH 09643P108 8,356 26.7600 224 Bob Evans Farms, Inc. BOBE 096761101 6,425 23.3500 150 Boeing Co. BA 097023105 83,886 32.9900 2,767 Boise Cascade Corp. BCC 097383103 102,705 25.2200 2,590 Borders Group Inc BGP 099709107 14,352 16.1000 231 Borg-Warner Auto BWA 099724106 4,857 50.4200 245 Boston Private Financial BPFH 101119105 100,900 19.8600 2,004 Boston Scientific BSX 101137107 40,670 42.5200 1,729 Bowater, Inc. BOW 102183100 74,571 41.9500 3,128 Brinker International, Inc. EAT 109641100 17,591 32.2500 567 Bristol-Myers Squibb Co. BMY 110122108 324,845 23.1500 7,520 Broadcom Corp BRCM 111320107 209,130 15.0600 3,149 BroadWing, Inc. BRW 111620100 39,487 3.5200 139 Brooks Automation Inc. BRKS 11442E102 129,866 11.4600 1,488 Brown & Brown Inc. BRO 115236101 12,498 32.3200 404 Brown-Forman Corp. Cl B BF/B 115637209 6,818 65.3600 446 Brunswick Corp. BC 117043109 8,873 19.8600 176 Burlington North Sante Fe BNI 12189T104 37,845 26.0100 984 Burlington Resources, Inc. BR 122014103 20,060 42.6500 856 CBRL Group, Inc. CBRL 12489V106 8,991 30.1300 271 CDW Computer Centers Inc. CDWC 125129106 15,197 43.8500 666 C.H. Robinson Worldwide, Inc. CHRW 12541W100 15,315 31.2000 478 CIGNA Corp CI 125509109 14,025 41.1200 577 Cleco Corporation CNL 12561W105 8,486 14.0000 119
Page 3 of 20 Form 13f for Quarter Ending December 31, 2002 Name of Reporting Manager: Mutual of America Capital Management
FORM 13F INFORMATION Name of Issuer Ticker CUSIP Shares Price Value (x$1000) CMS Energy Corp. CMS 125896100 14,318 9.4400 135 CNF Transportation, Inc. CNF 12612W104 8,886 33.2400 295 CSG Systems International CSGS 126349109 9,292 13.6500 127 CSX Corporation CSX 126408103 21,354 28.3100 605 CVS Corp. CVS 126650100 39,226 24.9700 979 Cabot Corp CBT 127055101 11,086 26.5400 294 Cabot Microelectronics Corp CCMP 12709P103 4,366 47.2000 206 Cadence Design Systems, Inc. CDN 127387108 48,572 11.7900 573 Callaway Golf Company ELY 131193104 13,710 13.2500 182 Calpine Corp. CPN 131347106 37,519 3.2600 122 Campbell Soup Co. CPB 134429109 40,906 23.4700 960 Capital One Financial Corp. COF 14040H105 22,092 29.7200 657 Cardinal Health, Inc. CAH 14149Y108 44,296 59.1900 2,622 Career Education Corp. CECO 141665109 8,315 40.0000 333 Carlisle Companies, Inc CSL 142339100 5,489 41.3800 227 CarMax, Inc. KMX 143130102 18,589 17.8800 332 Carnival Corporation CCL 143658102 58,552 24.9500 1,461 Carpenter Technology Corp. CRS 144285103 4,009 12.4500 50 Catalina Marketing Corp. POS 148867104 9,861 18.5000 182 Caterpillar, Inc. CAT 149123101 34,297 45.7200 1,568 Cendant Corp. CD 151313103 103,673 10.4800 1,086 Centene Corp CNTE 15135B101 74,090 33.5900 2,489 Reliant Energy Inc CNP 15189T107 30,208 8.5000 257 Centex Corporation CTX 152312104 6,113 50.2000 307 Century Telephone Enterprises CTL 156700106 14,090 29.3800 414 Ceridian Corp. CEN 156779100 26,780 14.4200 386 Certegy Inc CEY 156880106 11,991 24.5500 294 Charles River Laboratories Inc CRL 159864107 81,472 38.4800 3,135 Charter One Financial, Inc. CF 160903100 22,746 28.7300 653 Checkfree Holdings Corp. CKFR 162813109 14,201 16.0010 227 Cheesecake Factory (The) CAKE 163072101 9,104 36.1500 329 Chevron Texaco Corp CVX 166764100 107,897 66.4800 7,173 Chico's FAS Inc. CHS 168615102 266,010 18.9100 5,030 Chiron Corp. CHIR 170040109 18,923 37.6000 712 ChoicePoint, Inc. CPS 170388102 15,318 39.4900 605 Chubb Corp. CB 171232101 17,060 52.2000 891 Church & Dwight CHD 171340102 7,173 30.4300 218 Ciena Corp. CIEN 171779101 43,142 5.1400 222 Cincinnati Financial Corp. CINF 172062101 16,131 37.5500 606 Cinergy Corp CIN 172474108 16,721 33.7200 564 Circuit City Group, Inc. CC 172737108 20,845 7.4200 155 Cirrus Logic, Inc. CRUS 172755100 15,050 2.8800 43 Cisco Systems, Inc. CSCO 17275R102 741,676 13.1000 9,716 Cintas Corp. CTAS 172908105 16,953 45.7500 776 CitiGroup Inc C 172967101 633,707 35.1900 22,300 Citizens Communications Co. CZN 17453B101 28,084 10.5500 296 Citrix Systems, Inc. CTXS 177376100 17,163 12.3200 211 City National Corp. CYN 178566105 9,025 43.9900 397 Claire's Stores, Inc. CLE 179584107 8,787 22.0700 194 Clayton Homes, Inc. CMH 184190106 24,554 12.1800 299 Clear Channel Communications CCU 184502102 89,019 37.2900 3,320 Clorox Co. CLX 189054109 22,057 41.2500 910
Page 4 of 20 Form 13f for Quarter Ending December 31, 2002 Name of Reporting Manager: Mutual of America Capital Management
FORM 13F INFORMATION Name of Issuer Ticker CUSIP Shares Price Value (x$1000) Closure Medical Corp CLSR 189093107 59,273 10.4800 621 Coach Inc COH 189754104 208,790 32.9200 6,873 Coca-Cola Co. KO 191216100 253,451 43.8200 11,106 Coca-Cola Enterprises CCE 191219104 44,730 21.7200 972 Cognizant Technology Solutions CTSH 192446102 33,828 72.2300 2,443 Cognos Inc COGN 19244C109 145,160 23.4500 3,404 Colgate-Palmolive Co. CL 194162103 53,870 52.4300 2,824 The Colonial BancGroup, Inc. CNB 195493309 22,334 11.9300 266 Columbia Sportswear Co COLM 198516106 150,700 44.4200 6,694 Comcast Corp-Spl CMCSA 20030N101 230,868 23.5700 5,442 Comdisco Inc CDCO 200334100 5,309 76.2500 405 Comerica, Inc. CMA 200340107 17,634 43.2400 762 Commerce Bancorp, Inc. NJ CBH 200519106 12,145 43.1900 525 CommScope, Inc. CTV 203372107 10,698 7.9000 85 Compass Bancshares CBSS 20449H109 23,152 31.2700 724 Compucom Systems Inc CMPC 204780100 227,130 5.6100 1,274 Computer Associates Intl., Inc CA 204912109 57,421 13.5000 775 Computer Sciences Corp. CSC 205363104 17,064 34.4500 588 Compuware Corporation CPWR 205638109 37,711 4.8000 181 Comverse Technologies CMVT 205862402 18,600 10.0200 186 Conagra, Inc. CAG 205887102 82,702 25.0100 2,068 Concord EFS, Inc. CE 206197105 50,911 15.7400 801 Phillips Petroleum Company COP 20825C104 67,560 48.3900 3,269 Consolidated Edison, Inc. ED 209115104 48,156 42.8200 2,062 Constellation Brands Inc. STZ 21036P108 16,307 23.7100 387 Baltimore Gas & Electric Co. CEG 210371100 16,347 27.8200 455 Convergys Corp. CVG 212485106 17,185 15.1500 260 Cooper Cameron CAM 216640102 9,779 49.8200 487 Cooper Tire & Rubber Co. CTB 216831107 7,249 15.3400 111 Coors (Adolph) Co. Cl B RKY 217016104 64,548 61.2500 3,954 Copart Inc. CPRT 217204106 16,667 11.8400 197 Corning Inc GLW 219350105 114,685 3.3100 380 Costco Companies COST 22160K105 45,453 28.0600 1,275 Countrywide Financial Corp CFC 222372104 82,366 51.6500 4,254 Covance, Inc. CVD 222816100 10,825 24.5900 266 Crane Co. CR 224399105 5,959 19.9300 119 Credence Systems Corp. CMOS 225302108 10,992 9.3300 103 Cree Inc CREE 225447101 13,161 16.3500 215 CK Witco Corporation CK 227116100 20,555 5.9500 122 Cullen/Frost CFR 229899109 5,368 32.7000 176 Cummins Engine, Inc. CUM 231021106 4,123 28.1300 116 Cypress Semiconductor Corp. CY 232806109 22,362 5.7200 128 Cytec Industries, Inc. CYT 232820100 7,103 27.2800 194 Cytyc Corp CYTC 232946103 297,234 10.2000 3,032 DPL, Inc. DPL 233293109 22,841 15.3400 350 DQE, Inc. DQE 23329J104 13,415 15.2400 204 D.R. Horton, Inc. DHI 23331A109 26,470 17.3500 459 DST Systems, Inc. DST 233326107 21,614 35.5500 768 DTE Energy Co. DTE 233331107 75,700 46.4000 3,512 Dana Corp. DCN 235811106 14,836 11.7600 174 Danaher Corporation DHR 235851102 15,111 65.7000 993 Darden Restaurants, Inc. DRI 237194105 17,179 20.4500 351
Page 5 of 20 Form 13f for Quarter Ending December 31, 2002 Name of Reporting Manager: Mutual of America Capital Management
FORM 13F INFORMATION Name of Issuer Ticker CUSIP Shares Price Value (x$1000) Suiza Foods Corp DF 242370104 16,487 37.1000 612 Deere & Co. DE 244199105 150,710 45.8500 6,910 Del Monte Foods Co DLM 24522P103 2 7.7143 0 Dell Computer Corp. DELL 247025109 504,517 26.7400 13,491 Delphi Automotive Systems Corp DPH 247126105 55,942 8.0500 450 Delta Air Lines, Inc. DAL 247361108 12,307 12.1000 149 Deluxe Corp. DLX 248019101 6,359 42.1000 268 Dentsply International, Inc. XRAY 249030107 14,111 37.2390 525 Devon Energy Company DVN 25179M103 15,519 45.9000 712 DeVry, Inc. DV 251893103 12,652 16.6100 210 Dial Corp. DL 25247D101 50,968 20.3700 1,038 Diebold, Inc. DBD 253651103 12,996 41.2200 536 Dillard's Inc. Cl A DDS 254067101 8,361 15.8600 133 Disney (Walt) Co DIS 254687106 204,179 16.3100 3,330 Documentum Inc. DCTM 256159104 112,093 15.6600 1,755 Dole Food Company DOL 256605106 10,124 32.5800 330 Dollar General Corp. DG 256669102 33,211 11.9500 397 Dollar Tree Store DLTR 256747106 20,596 24.5700 506 Dominion Resources, Inc. D 25746U109 30,704 54.9000 1,686 Donaldson Company, Inc. DCI 257651109 7,918 36.0000 285 RR Donnelley & Sons Co DNY 257867101 11,279 21.7700 246 Doral Financial Corp DORL 25811P100 24,600 28.6000 704 Dover Corp. DOV 260003108 20,238 29.1600 590 Dow Chemical Company DOW 260543103 90,829 29.7000 2,698 Dow Jones & Co., Inc. DJ 260561105 8,425 43.2300 364 Dreyers Grand Ice Cream, Inc. DRYR 261878102 6,302 70.9600 447 Du Pont (E.I.) De Nemours DD 263534109 99,308 42.4000 4,211 Duke Energy Corp. DUK 264399106 89,105 19.5400 1,741 Dun & Bradstreet Corp. DNB 26483E100 13,437 34.4900 463 Dycom Industries, Inc. DY 267475101 8,658 13.2500 115 Dynegy Inc. DYN 26816Q101 36,994 1.1800 44 Egle Inc EAGL 268484102 8,494 14.2500 121 EMC Corp. EMC 268648102 220,058 6.1400 1,351 ENSCO International, Inc. ESV 26874Q100 26,913 29.4500 793 EOG Resources, Inc. EOG 26875P101 11,535 39.9200 460 E*Trade Group, Inc. ET 269246104 65,291 4.8600 317 East-West Bancorp Inc. EWBC 27579R104 108,890 36.0800 3,929 Eastman Chemical Co. EMN 277432100 7,701 36.7700 283 Eastman Kodak Co. EK 277461109 29,152 35.0400 1,021 Eaton Corp. ETN 278058102 6,923 78.1100 541 Eaton Vance Corp EV 278265103 12,551 28.2500 355 Ebay, Inc. EBAY 278642103 55,101 67.8200 3,737 Ecolab Inc. ECL 278865100 35,967 49.5000 1,780 Edison International EIX 281020107 32,534 11.8500 386 Education Management EDMC 28139T101 6,363 37.6000 239 JD Edwards & Co JDEC 281667105 159,370 11.2800 1,798 Edwards (A.G.), Inc. AGE 281760108 14,252 32.9600 470 Edwards Lifesciences Corp EW 28176E108 131,390 25.4700 3,347 El Paso Corp. EP 28336L109 59,901 6.9600 417 Electro Scientific Inds Inc. ESIO 285229100 101,986 20.0000 2,040 Electronic Arts Inc. ERTS 285512109 14,109 49.7700 702 Electronic Data Systems Corp EDS 285661104 47,743 18.4300 880
Page 6 of 20 Form 13f for Quarter Ending December 31, 2002 Name of Reporting Manager: Mutual of America Capital Management
FORM 13F INFORMATION Name of Issuer Ticker CUSIP Shares Price Value (x$1000) EMCOR Group Inc. EME 29084Q100 70,803 53.0100 3,753 Emerson Electric Co. EMR 291011104 42,011 50.8500 2,136 Emmis Communications Corp. EMMS 291525103 9,606 20.8300 200 Energy East Corporation EAS 29266M109 26,144 22.0900 578 Energizer Holdings Inc. ENR 29266R108 16,382 27.9000 457 Engelhard Corp. EC 292845104 12,959 22.3500 290 Entercom Communications Corp. ETM 293639100 8,993 46.9200 422 Entergy Corp. ETR 29364G103 82,592 45.5900 3,765 Equifax, Inc. EFX 294429105 14,466 23.1400 335 Equitable Resources Inc EQT 294549100 71,124 35.0400 2,492 Equity Office Properties Trust EOP 294741103 41,276 24.9800 1,031 Equity Res Prop EQR 29476L107 27,214 24.5800 669 Exact Sciences Corp EXAS 30063P105 198,131 10.8300 2,146 Exelon Corp EXC 30161N101 32,186 52.7700 1,698 Expeditors International EXPD 302130109 18,762 32.6500 613 Express Scripts, Inc-CL A ESRX 302182100 14,073 48.0400 676 Extended Stay America Inc. ESA 30224P101 16,919 14.7500 250 Exxon Mobil Corp. XOM 30231G102 823,234 34.9400 28,764 FEI Company FEIC 30241L109 5,852 15.2900 89 FMC Corp. FMC 302491303 6,309 27.3200 172 FMC Technologies Inc. FTI 30249U101 11,784 20.4300 241 FPL Group Inc FPL 302571104 36,927 60.1300 2,220 FTI Consulting Inc FCN 302941109 82,735 40.1500 3,322 Fair, Isaac and Company, Inc. FIC 303250104 17,088 42.7000 730 Fairchild Semicon Intl FCS 303726103 21,107 10.7100 226 Family Dollar Stores Inc. FDO 307000109 17,219 31.2100 537 Fastenal Co. FAST 311900104 13,700 37.3900 512 FHLMC FRE 313400301 69,532 59.0500 4,106 FNMA FNM 313586109 100,648 64.3300 6,475 Federal Signal Corp. FSS 313855108 8,590 19.4200 167 Federated Dept Stores FD 31410H101 19,642 28.7600 565 FDX Corp FDX 31428X106 29,788 54.2200 1,615 Ferro Corp. FOE 315405100 7,278 24.4300 178 Fidelity Natl Finl Inc. FNF 316326107 17,263 32.8300 567 Fifth Third Bancorp FITB 316773100 57,952 58.5500 3,393 First Data Corp. FDC 319963104 75,275 35.4100 2,665 First Health Group Corp FHCC 320960107 18,326 24.3500 446 First Tennessee National Corp FTN 337162101 31,127 35.9400 1,119 First Virginia Banks, Inc. FVB 337477103 12,988 37.2300 484 FIserv, Inc. FISV 337738108 19,116 33.9500 649 Firstmerit Corp. FMER 337915102 15,270 21.6600 331 FirstEnergy Corp. FE 337932107 29,714 32.9700 980 Fleet Financial Group, Inc. FBF 339030108 104,914 24.3000 2,549 Fluor Corp. FLR 343412102 8,000 28.0000 224 Flowserve Corporation FLS 34354P105 9,957 14.7900 147 Ford Motor Co. F 345370860 183,524 9.3000 1,707 Forest Laboratories, Inc. FRX 345838106 17,969 98.2200 1,765 Forest Oil Corp. FST 346091705 8,471 27.6500 234 Fortune Brands, Inc. FO 349631101 14,842 46.5100 690 Franklin Resources, Inc. BEN 354613101 26,099 34.0800 889 Freeport-McMoran Copper FCX 35671D857 14,377 16.7800 241 Frontier Corp. FTO 35914P105 312,220 17.2200 5,376
Page 7 of 20 Form 13f for Quarter Ending December 31, 2002 Name of Reporting Manager: Mutual of America Capital Management
FORM 13F INFORMATION Name of Issuer Ticker CUSIP Shares Price Value (x$1000) FULLER HB CO MINNESOTA FUL 359694106 5,112 25.8800 132 Furniture Brands Intl., Inc. FBN 360921100 10,161 23.8500 242 GATX Corp. GMT 361448103 8,823 22.8200 201 Gallagher, Arthur J. & Co. AJG 363576109 15,938 29.3800 468 Gannett Co GCI 364730101 31,166 71.8000 2,238 Gap, Inc. GPS 364760108 88,397 15.5200 1,372 Gartner Group Inc. IT/B 366651206 14,933 9.4500 141 Gateway 2000, Inc. GTW 367626108 32,348 3.1400 102 General Dynamics Corp. GD 369550108 20,151 79.3700 1,599 General Electric Co. GE 369604103 1,210,899 24.3500 29,485 General Mills, Inc. GIS 370334104 36,722 46.9500 1,724 General Motors Corp. GM 370442105 55,895 36.8600 2,060 Gentex Corp. GNTX 371901109 13,734 31.6400 435 Genuine Parts Co. GPC 372460105 17,359 30.8000 535 Genzyme Corp. GENZ 372917104 21,300 29.5700 630 Georgia Pacific Corp GP 373298108 25,008 16.1600 404 Gilead Sciences, Inc. GILD 375558103 35,530 34.0000 1,208 Gillette Company G 375766102 105,653 30.3600 3,208 Glatfelter (P.H.) Co GLT 377316104 7,875 13.1600 104 Golden West Financial Corp. GDW 381317106 121,902 71.8100 8,754 Goldman Sachs Group Inc. GS 38141G104 47,817 68.1000 3,256 Goodrich (B.F.) Co. GR 382388106 11,449 18.3200 210 Goodyear Tire & Rubber Co. GT 382550101 17,501 6.8100 119 UCAR Int'l., Inc. GTI 384313102 10,107 5.9600 60 Grainger (W.W.), Inc. GWW 384802104 9,342 51.5500 482 Granite Constr Inc GVA 387328107 7,452 15.5000 116 Grant Prideco Inc GRP 38821G101 21,840 11.6400 254 Great Lakes Chemical Corp. GLK 390568103 5,011 23.8800 120 Kansas City Power & Light GXP 391164100 12,302 22.8800 281 Greater Bay Bncp GBBK 391648102 9,265 17.2900 160 Greenpoint Financial Corp GPT 395384100 17,630 45.1800 797 Group 1 Software Inc GSOF 39943Y103 72,956 11.9500 872 GTECH Holdings Corp. GTK 400518106 10,326 27.8600 288 Guidant Corp. GDT 401698105 30,433 30.8500 939 Guitar Center Inc GTRC 402040109 171,211 16.5600 2,835 HCA - The Healthcare Company HCA 404119109 51,396 41.5000 2,133 HCC Insurance HCC 404132102 11,231 24.6000 276 Halliburton Company HAL 406216101 43,488 18.7100 814 John Hancock Financial Service JHF 41014S106 28,967 27.9000 808 Hanover Compressor Co. HC 410768105 12,017 9.1800 110 Harley-Davidson, Inc. HDI 412822108 30,229 46.2000 1,397 Harrah's Entertainment, Inc. HET 413619107 11,196 39.6000 443 Harris Corp. HRS 413875105 11,986 26.3000 315 Harsco Corp. HSC 415864107 7,309 31.8900 233 Harte-Hanks, Inc. HHS 416196103 16,443 18.6700 307 Hartford Financial Services HIG 416515104 25,467 45.4300 1,157 Hasbro, Inc. HAS 418056107 17,252 11.5500 199 Hawaiian Electric Inds HE 419870100 6,607 43.9800 291 HealthSouth Corp. HRC 421924101 39,519 4.2000 166 Health Management Associates HMA 421933102 23,994 17.9000 429 Healthcare Realty Trust Inc HR 421946104 62,638 29.2500 1,832 Health Net Inc HNT 42222G108 230,087 26.4000 6,074
Page 8 of 20 Form 13f for Quarter Ending December 31, 2002 Name of Reporting Manager: Mutual of America Capital Management
FORM 13F INFORMATION Name of Issuer Ticker CUSIP Shares Price Value (x$1000) Heinz (H.J.) Co. HNZ 423074103 34,955 32.8700 1,149 Helmerich & Payne, Inc. HP 423452101 9,035 27.9100 252 Hemoxymed Inc. HMYD 423702109 186,340 0.1100 20 Henry (Jack) & Associates JKHY 426281101 15,836 12.0400 191 Hercules, Inc. HPC 427056106 10,834 8.8000 95 Hershey Food Corp. HSY 427866108 13,543 67.4400 913 Hewlett-Packard HPQ 428236103 430,068 17.3600 7,466 Hibernia Corp Cl A HIB 428656102 284,108 19.2600 5,472 Hillenbrand Industries, Inc. HB 431573104 11,130 48.3100 538 Hilton Hotels Corp. HLT 432848109 37,422 12.7100 476 Hispanic Broadcasting Corp. HSP 43357B104 19,660 20.5500 404 Home Depot, Inc. HD 437076102 278,893 23.9600 6,682 HON Industries, Inc. HNI 438092108 10,629 28.2800 301 Honeywell International Inc HON 438516106 82,002 24.0000 1,968 Horace Mann Education HMN 440327104 7,378 15.3300 113 Hormel Foods Corp. HRL 440452100 25,068 23.3300 585 Hospitality Properties Trust HPT 44106M102 11,330 35.2000 399 HOT Topic Inc HOTT 441339108 169,836 22.8800 3,886 Hotels.com ROOM 44147T108 30,038 54.6300 1,641 Household International Corp. HI 441815107 47,356 27.8100 1,317 Hubbell, Inc. - Cl. B HUB/B 443510201 10,684 35.1400 375 Humana, Inc. HUM 444859102 16,263 10.0000 163 J.B. Hunt Transport Srvcs, Inc JBHT 445658107 7,072 29.3000 207 Huntington Bancshares, Inc. HBAN 446150104 23,619 18.7100 442 ICN Pharmasuticals Inc ICN 448924100 15,128 10.9100 165 Hyperion Solutions, Corp. HYSL 44914M104 117,172 25.6700 3,008 IDEC Pharmaceuticals Corp. IDPH 449370105 27,634 33.1700 917 IMC Global, Inc. IGL 449669100 20,768 10.6700 222 IMS Health, Inc. RX 449934108 28,201 16.0000 451 ITT Industries, Inc. ITT 450911102 9,049 60.6900 549 IDACORP, Inc. IDA 451107106 6,791 24.8300 169 Idexx Laboratories Inc IDXX 45168D104 100,710 33.3000 3,354 Illinois Tool Works, Inc. ITW 452308109 30,550 64.8600 1,981 Imation Corp. IMN 45245A107 124,986 35.0800 4,385 Incyte Pharmaceuticals Inc. INCY 45337C102 12,256 4.5600 56 Independence Community Bank ICBC 453414104 10,321 25.3800 262 Indymac Mortgage Holdings Inc. NDE 456607100 9,974 18.4900 184 Infocus Corp. INFS 45665B106 7,073 6.1600 44 Integrated Device Tech., Inc. IDTI 458118106 18,642 8.3700 156 Integrated Circuit Systems Inc ICST 45811K208 130,120 18.2500 2,375 Intel Corp INTC 458140100 814,010 15.5700 12,674 Intergraph Corp INGR 458683109 259,010 17.7600 4,600 Intermune Inc ITMN 45884X103 80,199 25.5100 2,046 IBM CORP IBM 459200101 210,611 77.5000 16,322 Intl. Flavors & Fragrances IFF 459506101 9,466 35.1000 332 International Game Technology IGT 459902102 8,813 75.9200 669 International Paper Co. IP 460146103 48,128 34.9700 1,683 International Rectifier IRF 460254105 148,374 18.4600 2,739 International Speedway Corp. ISCA 460335201 9,636 37.2900 359 Internet Security Systems Inc ISSX 46060X107 8,941 18.3300 164 Interpublic Group of Cos.,Inc IPG 460690100 38,538 14.0800 543 Intersil Corp ISIL 46069S109 24,703 13.9400 344
Page 9 of 20 Form 13f for Quarter Ending December 31, 2002 Name of Reporting Manager: Mutual of America Capital Management
FORM 13F INFORMATION Name of Issuer Ticker CUSIP Shares Price Value (x$1000) Interstate Bakeries Corp. IBC 46072H108 7,938 15.2500 121 Intuit, Inc. INTU 461202103 20,557 46.9200 965 Investment Technology Grp, Inc ITG 46145F105 8,687 22.3600 194 Investors Financial Services IFIN 461915100 11,626 27.3900 318 Ivax Corp. IVX 465823102 35,141 12.1300 426 JDS Uniphase Corp. JDSU 46612J101 141,475 2.4700 349 JP Morgan Chase & Co JPM 46625H100 199,646 24.0000 4,792 Jabil Circuit, Inc. JBL 466313103 19,689 17.9200 353 Jacobs Engineering Group, Inc. JEC 469814107 116,508 35.6000 4,148 Jefferson-Pilot Corp. JP 475070108 14,386 38.1100 548 Johnson & Johnson JNJ 478160104 308,900 53.7100 16,591 Johnson Controls JCI 478366107 8,756 80.1700 702 Jones Apparel Group, Inc. JNY 480074103 12,796 35.4400 453 KLA Tencor Corporation KLAC 482480100 18,777 35.3700 664 K-Swiss Inc KSWS 482686102 101,930 21.7100 2,213 Kaydon Corp KDN 486587108 5,437 21.2100 115 Keane, Inc. KEA 486665102 12,928 8.9900 116 Kaufman & Broad Home Corp. KBH 48666K109 4,923 42.8500 211 Kellogg Co. K 487836108 40,840 34.2700 1,400 Kelly Services, Inc. KELYA 488152208 6,399 24.7100 158 Kemet Corp. KEM 488360108 15,567 8.7400 136 Kennametal, Inc. KMT 489170100 6,343 34.4800 219 Kerr-McGee Corp. KMG 492386107 10,005 44.3000 443 KeyCorp KEY 493267108 42,512 25.1400 1,069 Keyspan Energy Corp KSE 49337W100 14,111 35.2400 497 Kimberly Clark Corp. KMB 494368103 51,543 47.4700 2,447 K N Energy Inc. KMI 49455P101 12,338 42.2700 522 King Pharmaceuticals Inc KG 495582108 24,114 17.1900 415 Kirby Corp. KEX 497266106 144,081 27.3900 3,946 Knight-Ridder, Inc. KRI 499040103 8,397 63.2500 531 Kohls Corp KSS 500255104 33,599 55.9500 1,880 Korn/Ferry International KFY 500643200 6,829 7.4800 51 Krispy Kreme Doughnuts Inc KKD 501014104 9,998 33.7700 338 Kroger Company KR 501044101 77,378 15.4500 1,195 Knoll, Inc. KROL 501049100 206,390 19.0800 3,938 LSI Logic Corp. LSI 502161102 37,057 5.7700 214 LTX Corp. LTXX 502392103 8,857 6.0300 53 L-3 Communications, Corp. LLL 502424104 17,065 44.9100 766 Labranche & Co LAB 505447102 10,738 26.6400 286 Lam Research Corp. LRCX 512807108 22,647 10.8000 245 Lancaster Colony Corp. LANC 513847103 6,597 39.0800 258 Landstar System Inc. LSTR 515098101 115,280 58.3600 6,728 Lattice Semiconductor Corp. LSCC 518415104 392,678 8.7700 3,444 Lear Corp LEA 521865105 11,849 33.2800 394 Lee Enterprises LEE 523768109 7,997 33.5200 268 Legato Systems LGTO 524651106 20,959 5.0300 105 Legget & Platt LEG 524660107 19,619 22.4400 440 Legg Mason LM 524901105 11,696 48.5400 568 Lehman Brothers Holdings, Inc. LEH 524908100 23,779 53.2900 1,267 Lennar Corp. LEN 526057104 11,708 51.6000 604 Leucadia National Corp LUK 527288104 10,027 37.3100 374 Lexmark Intl Group Inc-Cl A LXK 529771107 12,698 60.5000 768
Page 10 of 20 Form 13f for Quarter Ending December 31, 2002 Name of Reporting Manager: Mutual of America Capital Management
FORM 13F INFORMATION Name of Issuer Ticker CUSIP Shares Price Value (x$1000) Liberty Property Trust LRY 531172104 13,792 31.9400 441 Lifepoint Hospitals Inc LPNT 53219L109 7,116 29.9310 213 Lilly (Eli) & Co. LLY 532457108 174,491 63.5000 11,080 Limited Brands LTD 532716107 52,101 13.9300 726 Lincare Holdings, Inc. LNCR 532791100 19,110 31.6200 604 Lincoln National Corp. LNC 534187109 17,761 31.5800 561 Linear Technology Corp LLTC 535678106 31,226 25.7200 803 Liz Claiborne, Inc. LIZ 539320101 10,510 29.6500 312 Lockheed Martin Corp. LMT 539830109 45,354 57.7500 2,619 Loews Corp. LTR 540424108 18,585 44.4600 826 Longs Drug Stores Corp. LDG 543162101 6,928 20.7400 144 Longview Fibre Co. LFB 543213102 9,255 7.2300 67 Louisiana-Pacific Corp. LPX 546347105 10,432 8.0600 84 Lowe's Companies, Inc. LOW 548661107 77,965 37.5000 2,924 Lubrizol Corp. LZ 549271104 9,267 30.5000 283 Lucent Technologies LU 549463107 343,295 1.2600 433 Lyondell Petrochemical Co. LYO 552078107 28,840 12.6400 365 M & T Bank Corp. MTB 55261F104 16,570 79.3500 1,315 MBIA INC MBI 55262C100 14,687 43.8600 644 MBNA Corp. KRB 55262L100 127,750 19.0200 2,430 MDU Resources Group MDU 552690109 12,881 25.8100 332 MGIC Investment Corp MTG 552848103 10,230 41.3000 422 Modis Professional Services MPS 553409103 18,512 5.5400 103 Macrovision Corp. MVSN 555904101 8,738 16.0400 140 Macromedia Inc. MACR 556100105 10,877 10.6500 116 Circus Circus Enterprises Inc. MBG 562567107 12,419 30.6100 380 HCR Manor Care HCR 564055101 9,793 18.6100 182 Manpower, Inc. MAN 56418H100 13,811 31.9000 441 USX-Marathon Group MRO 565849106 31,175 21.2900 664 Marsh & McLennan Cos., Inc. MMC 571748102 53,691 46.2100 2,481 Marshall & Ilsley Corp. MI 571834100 21,738 27.3800 595 Marriott International, Inc. MAR 571903202 23,956 32.8700 787 Martin Marietta Materials MLM 573284106 8,796 30.6600 270 Masco Corp. MAS 574599106 49,244 21.0500 1,037 Mattel Inc MAT 577081102 43,578 19.1500 835 Maxim Integrated MXIM 57772K101 32,114 33.0400 1,061 May Department Stores Company MAY 577778103 28,679 22.9800 659 Maytag Corp. MYG 578592107 7,666 28.5000 218 Mcclatchy Company MNI 579489105 48,698 56.7300 2,763 Mccormick & Co., Inc. MKC 579780206 25,232 23.2000 585 McData Corporation MCDTA 580031201 20,463 7.1000 145 McDermott International, Inc. MDR 580037109 6,268 4.3800 27 McDonalds Corp MCD 580135101 126,930 16.0800 2,041 McGraw-Hill Cos., Inc. MHP 580645109 19,317 60.4400 1,168 McKesson Corp MCK 58155Q103 28,969 27.0300 783 MeadWestvaco Corp MWV 583334107 19,836 24.7100 490 Media General Inc. - Class A MEG 584404107 4,148 59.9500 249 Medimmune, Inc. MEDI 584699102 24,946 27.1700 678 Medtronic, Inc. MDT 585055106 121,892 45.6000 5,558 Mellon Bank Corp. MEL 58551A108 43,146 26.1100 1,127 Mentor Graphics Corp. MENT 587200106 12,027 7.8600 95 Mercantile Bankshares Corp. MRBK 587405101 12,436 38.5900 480
Page 11 of 20 Form 13f for Quarter Ending December 31, 2002 Name of Reporting Manager: Mutual of America Capital Management
FORM 13F INFORMATION Name of Issuer Ticker CUSIP Shares Price Value (x$1000) Merck & Company MRK 589331107 249,764 56.6100 14,139 Mercury Interactive Corp. MERQ 589405109 69,020 29.6500 2,046 Meredith Corp MDP 589433101 4,928 41.1100 203 Merrill Lynch & Co. MER 590188108 162,263 37.9500 6,158 Metlife Inc. MET 59156R108 70,152 27.0400 1,897 Metris Companies, Inc. MXT 591598107 10,450 2.4700 26 Michaels Stores, Inc. MIK 594087108 12,118 31.3000 379 Micrel, Inc. MCRL 594793101 16,558 8.9800 149 Microsoft Corp MSFT 594918104 557,925 51.7000 28,845 Microchip Technology, Inc. MCHP 595017104 159,976 24.4500 3,911 Micromuse, Inc. MUSE 595094103 393,697 3.8200 1,504 Micron Technology, Inc. MU 595112103 60,367 9.7400 588 Mid Atlantic Medical Svcs.,Inc MME 59523C107 155,910 32.4000 5,051 Millennium Pharmaceuticals Inc MLNM 599902103 51,987 7.9400 413 Miller (Herman) Inc MLHR 600544100 13,521 18.4000 249 Millipore Corp. MIL 601073109 4,768 34.0000 162 Minerals Technologies Inc. MTX 603158106 3,689 43.1500 159 Mirant Corp. MIR 604675108 40,277 1.8900 76 Modine Manufacturing Co. MODI 607828100 6,050 17.6800 107 Mohawk Industries, Inc. MHK 608190104 11,996 56.9500 683 Molex Inc., Cl A MOLX 608554101 19,400 23.0400 447 Monsanto Co. MON 61166W101 25,965 19.2500 500 Mony Group, Inc. MNY 615337102 8,473 23.9400 203 Dun & Bradstreet Corp. MCO 615369105 15,126 41.2900 625 Morgan Stanley Dean Witter MWD 617446448 108,639 39.9200 4,337 Motorola, Inc. MOT 620076109 230,079 8.6500 1,990 Murphy Oil Soap MUR 626717102 16,538 42.8500 709 Mylan Laboratories, Inc. MYL 628530107 22,127 34.9000 772 NCR Corp. NCR 62886E108 9,702 23.7400 230 National City Corp. NCC 635405103 60,984 27.3200 1,666 National Commerce Bancorp NCF 63545P104 37,077 23.8500 884 National Fuel Gas Co. NFG 636180101 14,437 20.7300 299 National Instruments NATI 636518102 9,228 32.4900 300 National Oilwell NOI 637071101 14,660 21.8400 320 National Semiconductor Corp. NSM 637640103 18,000 15.0100 270 Navistar International Corp. NAV 63934E108 5,985 24.3100 145 Neiman Marcus Group, Inc. NMG/A 640204202 8,648 30.3900 263 Network Assoc NET 640938106 127,141 16.0900 2,046 Network Appliance, Inc. NTAP 64120L104 33,597 10.0000 336 Neuberger Berman NEU 641234109 12,607 33.4900 422 Neurocrine Biosciences Inc. NBIX 64125C109 52,957 45.6600 2,418 New Plan Excel Realty Trust NXL 648053106 17,478 19.0900 334 New York Community Bancorp Inc NYCB 649445103 19,369 28.3500 549 New York Times Company NYT 650111107 15,057 45.7300 689 Newell Co. NWL 651229106 26,651 30.3300 808 Newmont Mining Corp. NEM 651639106 40,035 29.0300 1,162 Newport Corp NEWP 651824104 6,935 12.5600 87 Nextel Communications NXTL 65332V103 96,319 11.5500 1,112 Nicor, Inc. GAS 654086107 4,426 34.0300 151 Nike, Inc NKE 654106103 26,765 44.4700 1,190 99 Cents Only Stores NDN 65440K106 12,653 26.8600 340 NiSource Inc. NI 65473P105 24,340 20.0000 487
Page 12 of 20 Form 13f for Quarter Ending December 31, 2002 Name of Reporting Manager: Mutual of America Capital Management
FORM 13F INFORMATION Name of Issuer Ticker CUSIP Shares Price Value (x$1000) Nokia OYJ NOK 654902204 75,660 15.5000 1,173 Noble Affiliates, Inc. NBL 655044105 10,336 37.5500 388 Nordson Corp. NDSN 655663102 6,017 24.8300 149 Nordstrom, Inc. JWN 655664100 13,421 18.9700 255 Norfolk Southern Corp. NSC 655844108 38,808 19.9900 776 North Fork Bancorp NFB 659424105 16,286 33.7400 549 Northeast Utilities NU 664397106 24,543 15.1700 372 Northern Trust Corp. NTRS 665859104 22,179 35.0500 777 Northrop Grumman Corp. NOC 666807102 18,095 97.0000 1,755 Novell, Inc. NOVL 670006105 36,343 3.3400 121 Novellus Systems NVLS 670008101 125,100 28.0800 3,513 NSTAR NST 67019E107 9,610 44.3900 427 Nucor Corp. NUE 670346105 7,769 41.3000 321 NVIDIA Corporation NVDA 67066G104 15,261 11.5100 176 Oge Energy Corp. OGE 670837103 14,122 17.6000 249 Occidental Petroleum Corp. OXY 674599105 71,826 28.4500 2,043 Ocean Energy Inc OEI 67481E106 31,830 19.9700 636 Office Depot, Inc. ODP 676220106 196,505 14.7600 2,900 Ohio Casualty Corp. OCAS 677240103 10,962 12.9500 142 Oil States International Inc OIS 678026105 347,670 12.9000 4,485 Old Republic Intl. Corp. ORI 680223104 21,780 28.0000 610 Olin Corp. OLN 680665205 10,344 15.5500 161 Omnicare, Inc. OCR 681904108 16,995 23.8300 405 Omnicom Group, Inc. OMC 681919106 18,669 64.6000 1,206 Oneok, Inc. OKE 682680103 10,895 19.2000 209 Oracle Corp ORCL 68389X105 535,633 10.8000 5,785 Oshkosh Truck Corp OSK 688239201 47,610 61.5000 2,928 Outback Steakhouse, Inc. OSI 689899102 13,690 34.4400 471 Overseas Shipholding Group OSG 690368105 6,190 17.9000 111 Overture Services Inc OVER 69039R100 10,538 27.3100 288 Oxford Health Plans, Inc. OHP 691471106 15,845 36.4500 578 PG&E Corp PCG 69331C108 40,377 13.9000 561 PMC-Sierra Inc. PMCS 69344F106 16,596 5.5600 92 The PMI Group Inc. PMI 69344M101 16,272 30.0400 489 PNC Bank Corp. PNC 693475105 28,427 41.9000 1,191 Public Service Co. New Mexico PNM 69349H107 7,070 23.8200 168 PPG Industries, Inc. PPG 693506107 16,855 50.1500 845 PP&L Resources, Inc. PPL 69351T106 16,406 34.6800 569 Paccar, Inc. PCAR 693718108 11,493 46.1300 530 Pacific Capital Bancorp SABB 69404P101 39,110 25.4500 995 PacifiCare Health Systems Cl B PHSY 695112102 6,419 28.1000 180 Packaging Corp of America PKG 695156109 18,829 18.2400 343 Pactiv Corporation PTV 695257105 15,906 21.8600 348 Pall Corp. PLL 696429307 12,198 16.6800 203 Papa John's Intl Inc PZZA 698813102 3,375 27.8800 94 Parametric Technology Corp PMTC 699173100 25,965 2.5200 65 Park Place Entertainment PPE 700690100 54,293 8.4000 456 Parker Hannifin Corp PH 701094104 11,702 46.1300 540 Patterson Dental Company PDCO 703412106 12,315 43.7400 539 Patterson Energy, Inc. PTEN 703481101 83,732 30.1700 2,526 Paychex Inc PAYX 704326107 37,535 27.9000 1,047 Payless Shoesource, Inc. PSS 704379106 4,092 51.4700 211
Page 13 of 20 Form 13f for Quarter Ending December 31, 2002 Name of Reporting Manager: Mutual of America Capital Management
FORM 13F INFORMATION Name of Issuer Ticker CUSIP Shares Price Value (x$1000) Peabody Energy Corp. BTU 704549104 9,417 29.2300 275 Pec Solutions Inc PECS 705107100 106,260 29.9000 3,177 Penney (J.C.) Co., Inc. JCP 708160106 26,622 23.0100 613 PENTIAR INC PNR 709631105 8,893 34.5500 307 Peoples Energy Corp. PGL 711030106 3,540 38.6500 137 Peoplesoft Inc PSFT 712713106 31,260 18.3000 572 Pepco Holdings Inc. POM 713291102 29,545 19.3900 573 Pepsi Bottling Group Inc. PBG 713409100 28,053 25.7000 721 Whitman Corp. PAS 71343P200 27,150 13.4300 365 PepsiCo, Inc. PEP 713448108 173,068 42.2200 7,307 Perkin-Elmer Corp. PKI 714046109 12,525 8.2500 103 Perrigo Co. PRGO 714290103 12,530 12.1500 152 PetSmart, Inc. PETM 716768106 24,901 17.1300 427 Pfizer Inc PFE 717081103 623,515 30.5700 19,061 Pharmacia Corporation PHA 71713U102 236,845 41.8000 9,900 Phelps Dodge PD 717265102 8,894 31.6500 281 Phillip Morris Cos., Inc. MO 718154107 168,817 40.5300 6,842 Pier 1 Imports Inc PIR 720279108 16,725 18.9300 317 Pinnacle Systems Inc PCLE 723481107 260,000 13.6100 3,539 Pinnacle West Capital Corp. PNW 723484101 8,912 34.0900 304 Pioneer Natural Resources Co PXD 723787107 21,136 25.2500 534 Pitney Bowes Inc. PBI 724479100 23,673 32.6600 773 Pittston Bax Group PZB 725701106 9,836 18.4800 182 Pixar Inc PIXR 725811103 80,392 52.9900 4,260 Plantronics Inc New PLT 727493108 8,148 15.1300 123 Plexus Corp. PLXS 729132100 7,586 8.7800 67 Plum Creek Timber Co PCL 729251108 18,355 23.6000 433 Pogo Producing Co PPP 730448107 123,610 37.2500 4,604 Polycom, Inc. PLCM 73172K104 18,007 9.5200 171 Potlatch Corp. PCH 737628107 5,110 23.8800 122 Power-One, Inc. PWER 739308104 7,876 5.6700 45 Powerwave Technologies Inc PWAV 739363109 11,867 5.4000 64 Praxair, Inc. PX 74005P104 47,101 57.7700 2,721 Precision Castparts Corp. PCP 740189105 9,402 24.2500 228 Premcor Inc PCO 74045Q104 241,190 22.2300 5,362 Price Communications Corp. PR 741437305 9,842 13.8300 136 Price (T. Rowe) Associates TROW 74144T108 12,313 27.2800 336 Pride International Inc PDE 74153Q102 24,286 14.9000 362 Principal Financial Group PFG 74251V102 48,592 30.1300 1,464 Procter & Gamble Company PG 742718109 133,215 85.9400 11,448 PrivateBancorp Inc PVTB 742962103 23,100 37.8600 875 Carolina Power & Light Corp. PGN 743263105 23,613 43.3500 1,024 Progressive Corp. of Ohio PGR 743315103 21,957 49.6300 1,090 Protective Life Corp PL 743674103 12,426 27.5200 342 Protein Design PDLI 74369L103 16,088 8.5000 137 Provident Financial Group PFGI 743866105 8,790 26.0300 229 Providian Financial Corp. PVN 74406A102 28,744 6.4900 187 Prudential Financial Inc PRU 744320102 56,617 31.7400 1,797 Public Svc. Enterprise Group PEG 744573106 22,076 32.1000 709 Puget Sound Power & Light Co. PSD 745310102 16,709 22.0500 368 Pulitzer Inc PTZ 745769109 67,740 44.9500 3,045 Pulte Corp. PHM 745867101 6,028 47.8700 289
Page 14 of 20 Form 13f for Quarter Ending December 31, 2002 Name of Reporting Manager: Mutual of America Capital Management
FORM 13F INFORMATION Name of Issuer Ticker CUSIP Shares Price Value (x$1000) QlLogic Corporation QLGC 747277101 9,281 34.5100 320 Qualcomm, Inc. QCOM 747525103 154,194 36.3900 5,611 Quality Systems Inc QSII 747582104 9,145 20.1000 184 Quanta Services PWR 74762E102 12,539 3.5000 44 Quantum Corp. DSS 747906204 28,537 2.6700 76 Quest Diagnostics, Inc. DGX 74834L100 9,840 56.9000 560 Questar Corp. STR 748356102 14,763 27.8200 411 Quiksilver Inc. KWK 74837R104 79,050 22.4300 1,773 Quintiles Transnational Corp. QTRN 748767100 11,940 12.1000 144 Qwest Communications Intl Q 749121109 169,549 5.0000 848 RPM, Inc. RPM 749685103 20,757 15.2800 317 RSA Security Inc. RSAS 749719100 10,273 5.9900 62 RF Micro Devices RFMD 749941100 30,560 7.3300 224 Radian Group, Inc. RDN 750236101 16,885 37.1500 627 RadioShack Corporation RSH 750438103 16,872 18.7400 316 Rational Software Corp RATL 75409P202 19,410 10.3900 202 Rayonier, Inc. RYN 754907103 5,004 45.2500 226 Raytheon Co. RTN 755111507 40,540 30.7500 1,247 Reader's Digest Assn RDA 755267101 17,677 15.1000 267 Reebok International Ltd. RBK 758110100 5,882 29.4000 173 Regis Corp RGIS 758932107 147,105 25.9900 3,823 Regions Financial Corp. RF 758940100 22,129 33.3600 738 Republic Services Inc. RSG 760759100 95,297 20.9800 1,999 Retek Inc RETK 76128Q109 9,606 2.7200 26 Reynolds & Reynolds Co REY 761695105 12,531 25.4700 319 RJ Reynolds Tobacco Holdings RJR 76182K105 7,272 42.1100 306 Roadway Corp ROAD 769742107 67,190 36.8100 2,473 Robert Half Intl., Inc. RHI 770323103 17,514 16.1100 282 Rockwell Automation Inc ROK 773903109 18,418 20.7100 381 Rockwell Collins COL 774341101 18,323 23.2600 426 Rohm & Haas Co. ROH 775371107 22,008 32.4800 715 Rollins Inc ROL 775711104 5,433 25.4500 138 Rosllyn Bancorp, Inc. RSLN 778162107 15,003 18.0300 271 Ross Stores, Inc. ROST 778296103 14,050 42.3900 596 Rowan Cos., Inc. RDC 779382100 9,361 22.7000 212 Ruddick Corp. RDK 781258108 8,407 13.6900 115 Ryder System, Inc. R 783549108 6,162 22.4400 138 SBC Communications, Inc. SBC 78387G103 453,284 27.1100 12,289 SEI Investments SEIC 784117103 19,157 27.1800 521 SLM Holding Corp. SLM 78442P106 60,551 103.8600 6,289 SPX, Inc. SPW 784635104 14,547 37.4500 545 Sabre Group Holdings, Inc. TSG 785905100 14,269 18.1100 258 Safeco Corp. SAFC 786429100 188,385 34.6700 6,531 Safeway, Inc. SWY 786514208 44,122 23.3600 1,031 St. Jude Medical, Inc. STJ 790849103 17,651 39.7200 701 St Paul Companies SPC 792860108 22,584 34.0500 769 Saks Inc SKS 79377W108 25,838 11.7400 303 Sandisk Corp. SNDK 80004C101 12,453 20.3000 253 Sanmina Corp. SANM 800907107 52,739 4.4900 237 Sara Lee Corp. SLE 803111103 140,358 22.5100 3,159 Scana Corp SCG 80589M102 19,991 30.9600 619 Henry Schein Inc. HSIC 806407102 7,890 45.0000 355
Page 15 of 20 Form 13f for Quarter Ending December 31, 2002 Name of Reporting Manager: Mutual of America Capital Management
FORM 13F INFORMATION Name of Issuer Ticker CUSIP Shares Price Value (x$1000) SCHERING-PLOUGH SGP 806605101 146,637 22.2000 3,255 Schlumberger, Ltd. SLB 806857108 146,187 42.0900 6,153 Scholastic Corp. SCHL 807066105 7,051 35.9500 253 A. Schulman, Inc. SHLM 808194104 5,299 18.6100 99 Schwab (Charles) SCH 808513105 134,375 10.8500 1,458 Scientific Atlanta SFA 808655104 15,624 11.8600 185 Scios Inc SCIO 808905103 94,660 32.5800 3,084 Sealed Air Corp SEE 81211K100 8,360 37.3000 312 Sears Roebuck & Co. S 812387108 31,476 23.9500 754 Semtech Corp SMTC 816850101 13,289 10.9200 145 Sempra Energy SRE 816851109 20,683 23.6500 489 Sensient Technologies Corp SXT 81725T100 127,126 22.4700 2,857 Sepracor, Inc. SEPR 817315104 15,205 9.6700 147 Sequa Corp Cl A SQA/A 817320104 1,876 39.1100 73 Service Corp. International SRV 817565104 90,420 3.3200 300 Sherwin-Williams Co. SHW 824348106 15,125 28.2500 427 Sicor Inc SCRI 825846108 21,148 15.8500 335 Siebel Systems, Inc. SEBL 826170102 48,386 7.4800 362 Sierra Pacific Resources SRP 826428104 18,437 6.5000 120 Sigma-Aldrich Corp. SIAL 826552101 44,314 48.7000 2,158 Silicon Image Inc. SIMG 82705T102 338,990 6.0000 2,034 Silicon Valley Bancshares SIVB 827064106 119,928 18.2500 2,189 Simon Property Group Inc. SPG 828806109 18,644 34.0700 635 Premier Parks Inc. PKS 83001P109 16,694 5.7100 95 Skyworks Solutions Inc SWKS 83088M102 164,558 8.6200 1,418 Smith International Inc SII 832110100 18,295 32.6200 597 Smithfield Foods, Inc. SFDS 832248108 19,738 19.8400 392 J.M. Smucker Co. SJM 832696405 61,327 39.8100 2,441 Snap-On, Inc. SNA 833034101 5,783 28.1100 163 Solectron Corp SLR 834182107 82,543 3.5500 293 Solutia, Inc. SOI 834376105 18,959 3.6300 69 Sonoco Products Co. SON 835495102 17,403 22.9300 399 Sotheby's Holdings BID 835898107 11,113 9.0000 100 Southern Company SO 842587107 71,287 28.3900 2,024 Southtrust Corp SOTR 844730101 60,432 24.8500 1,502 Southwest Airlines Co. LUV 844741108 77,360 13.9000 1,075 Sovereign Bancorp, Inc. SOV 845905108 47,185 14.0500 663 Sprint Corp(PCS) FON 852061100 89,373 14.4800 1,294 Sprint Corp(PCS) PCS 852061506 99,858 4.3800 437 StanCorp Financial Group, Inc SFG 852891100 5,349 48.8500 261 Stanley Works SWK 854616109 8,758 34.5800 303 Staples Inc SPLS 855030102 177,276 18.3000 3,244 Starbucks Corp. SBUX 855244109 38,706 20.3800 789 Starwood Hotels And Resorts Tr HOT 85590A203 19,859 23.7400 471 State Street Corp. STT 857477103 32,420 39.0000 1,264 Sterling Bancshares Inc SBIB 858907108 254,900 12.2200 3,115 Steris Corp. STE 859152100 144,199 24.2500 3,497 STILWELL FINANCIAL INC SV 860831106 22,104 13.0700 289 Storage Technology Corp. STK 862111200 19,232 21.4200 412 Stryker Corp SYK 863667101 19,634 67.1200 1,318 Sun Microsystems SUNW 866810104 311,488 3.1100 969 Sungard Data Sys Inc. SDS 867363103 28,239 23.5600 665
Page 16 of 20 Form 13f for Quarter Ending December 31, 2002 Name of Reporting Manager: Mutual of America Capital Management
FORM 13F INFORMATION Name of Issuer Ticker CUSIP Shares Price Value (x$1000) Sunoco Inc SUN 86764P109 7,555 33.1800 251 Suntrust Banks, Inc. STI 867914103 28,476 56.9200 1,621 Superior Industries Intl SUP 868168105 5,000 41.3600 207 Supervalu, Inc. SVU 868536103 13,225 16.5100 218 Swift Transport SWFT 870756103 15,109 20.0180 302 Sybase, Inc. SY 871130100 17,091 13.4000 229 Sykes Enterprises, Inc. SYKE 871237103 7,288 3.2800 24 Sylvan Learning SLVN 871399101 7,268 16.4000 119 Symantec Corp. SYMC 871503108 26,174 40.4500 1,059 Symbol Technologies, Inc. SBL 871508107 22,938 8.2200 189 Synopsys, Inc. SNPS 871607107 13,680 46.1500 631 Synovus Financial Corp. SNV 87161C105 29,955 19.4000 581 Sysco Corp. SYY 871829107 121,567 29.7900 3,621 TCF Financial TCB 872275102 13,404 43.6900 586 Teco Energy Inc TE 872375100 17,513 15.4700 271 TJX Companies TJX 872540109 52,879 19.5200 1,032 TMP Worldwide, Inc. TMPW 872941109 11,042 11.3100 125 Texas Utilities Co. TXU 873168108 32,217 18.6800 602 Target Corporation TGT 87612E106 90,792 30.0000 2,724 Tech Data Corp TECD 878237106 10,187 26.9600 275 Tecumseh Products Co. Class A TECUA 878895200 3,339 44.1300 147 Tektronix, Inc. TEK 879131100 32,590 18.1900 593 Teleflex, Inc. TFX 879369106 7,107 42.8900 305 Telephone & Data Systems, Inc. TDS 879433100 10,614 47.0200 499 Telik Inc TELK 87959M109 204,373 11.6600 2,383 Tellabs, Inc. TLAB 879664100 41,091 7.2700 299 Temple-Inland, Inc. TIN 879868107 56,152 44.8100 2,516 Tenet Healthcare Corp. THC 88033G100 48,749 16.4000 799 Teradyne Inc TER 880770102 18,142 13.0100 236 Texas Instruments, Inc. TXN 882508104 173,110 15.0100 2,598 Texas Regional Bancshares Inc TRBS 882673106 150,500 35.5410 5,349 Textron, Inc. TXT 883203101 13,858 42.9900 596 Thermo Electron Corp. TMO 883556102 16,482 20.1200 332 Thomas & Betts Corp. TNB 884315102 5,809 16.9000 98 Thomas Industries Inc TII 884425109 101,200 26.0600 2,637 3Com Corp COMS 885535104 66,396 4.6300 307 Minnesota Mining MMM 88579Y101 39,012 123.3000 4,810 Tidewater, Inc. TDW 886423102 10,972 31.1000 341 Tiffany & Company TIF 886547108 14,473 23.9100 346 Timberland Company Cl A TBL 887100105 171,626 35.6100 6,112 Titan Corp. TTN 888266103 14,067 10.4000 146 Tootsie Roll Inds., Inc. TR 890516107 9,313 30.6800 286 Torchmark Corp TMK 891027104 11,874 36.5300 434 Toro Co TTC 891092108 68,790 63.9000 4,396 Toys R Us, Inc. TOY 892335100 21,169 10.0000 212 Transaction Systems Architects TSAIE 893416107 6,380 6.5000 41 Travelers Property Casualty Co TAP/B 89420G406 100,366 14.6500 1,470 Triad Hospitals, Inc. TRI 89579K109 186,710 29.8300 5,570 Tribune Company TRB 896047107 45,034 45.4600 2,047 Trinity Industries TRN 896522109 8,287 18.9600 157 Triquint Semiconductor Inc TQNT 89674K103 23,933 4.2400 101 Tupperware Corp TUP 899896104 5,804 15.0800 88
Page 17 of 20 Form 13f for Quarter Ending December 31, 2002 Name of Reporting Manager: Mutual of America Capital Management
FORM 13F INFORMATION Name of Issuer Ticker CUSIP Shares Price Value (x$1000) Tyco International Ltd. TYC 902124106 199,500 17.0800 3,407 Tyson Foods cl A TSN 902494103 63,718 11.2200 715 UCBH Holdings Inc. UCBH 90262T308 47,880 42.4500 2,033 UST Inc UST 902911106 13,699 33.4300 458 US Bancorp USB 902973304 191,545 21.2200 4,065 Unifi, Inc. UFI 904677101 9,754 5.2500 51 Union Pacific Rail Road UNP 907818108 25,183 59.8700 1,508 Union Planters UPC 908068109 19,900 28.1400 560 UnionBanCal Corp UB 908906100 49,454 39.2700 1,942 Unisys Corp UIS 909214108 32,334 9.9000 320 United Parcel Service UPS 911312106 192,603 63.0800 12,149 United Rentals URI 911363109 13,827 10.7600 149 USX-U.S. Steel Group, Inc. X 912909108 10,079 13.1200 132 United Stationers USTR 913004107 82,140 28.8010 2,366 United Tech Corp UTX 913017109 47,315 61.9400 2,931 United Healthcare Corp. UNH 91324P102 30,340 83.5000 2,533 Unitrin Inc. UTR 913275103 12,241 29.2200 358 Universal Corp. UVV 913456109 4,655 36.9600 172 Universal Health Services UHS 913903100 10,924 45.1000 493 Univision Communications, Inc. UVN 914906102 22,862 24.5000 560 Unocal Corp. UCL 915289102 25,673 30.5800 785 UNUM Corp. UNM 91529Y106 24,171 17.5400 424 V F Corp. VFC 918204108 11,075 36.0500 399 Valassis Communication VCI 918866104 9,499 29.4300 280 Valero Energy Corp. VLO 91913Y100 19,240 36.9400 711 Valspar Corp. VAL 920355104 9,053 44.1800 400 Varco International, Inc. VRC 922122106 17,455 17.4000 304 Varian Inc. VARI 922206107 6,082 28.6900 174 Varian Medical Systems Inc. VAR 92220P105 110,274 49.6000 5,470 Vectren Corporation VVC 92240G101 12,268 23.0000 282 Veritas Software Corp. VRTS 923436109 41,128 15.6200 642 Verizon Communications VZ 92343V104 305,555 38.7500 11,840 Vertex Pharmaceutical VRTX 92532F100 13,784 15.8500 218 Viacom Inc VIA/B 925524308 256,716 40.7600 10,464 Viad Corp. VVI 92552R109 15,914 22.3500 356 Vishay Intertechnology, Inc. VSH 928298108 28,860 11.1800 323 Visteon Corp. VC 92839U107 13,019 6.9600 91 VISX, Inc. EYE 92844S105 9,316 9.5800 89 Vulcan Materials Co. VMC 929160109 10,119 37.5000 379 Washington Gas Light Co. WGL 92924F106 8,797 23.9200 210 WPS Resources WPS 92931B106 5,753 38.8200 223 First Union Corp WB 929903102 154,960 36.4400 5,647 Waddell & Reed WDR 930059100 14,509 19.6700 285 Wal-Mart Stores Inc WMT 931142103 454,469 50.5100 22,955 Walgreen Company WAG 931422109 102,433 29.1900 2,990 Wallace Computer Svcs Inc. WCS 932270101 7,504 21.5100 161 Washington Mutual, Inc. WM 939322103 94,675 34.5300 3,269 Washington Post Co.- Cl. B WPO 939640108 1,715 738.0000 1,266 Waste Connection WCN 941053100 176,440 38.6100 6,812 Waste Management, Inc. WMI 94106L109 61,052 22.9200 1,399 Waters Corp WAT 941848103 13,063 21.7800 285 Watson Pharmaceuticals, Inc. WPI 942683103 10,630 28.2700 301
Page 18 of 20 Form 13f for Quarter Ending December 31, 2002 Name of Reporting Manager: Mutual of America Capital Management
FORM 13F INFORMATION Name of Issuer Ticker CUSIP Shares Price Value (x$1000) Wausau-Mosinee Paper Corp. WMO 943315101 9,334 11.2200 105 Webster Financial Corp. WBS 947890109 8,306 34.8000 289 Weight Watchers International WTW 948626106 18,040 45.9700 829 WellChoice Inc WC 949475107 8,838 23.9500 212 Wellpoint Health Networks Inc. WLP 94973H108 14,787 71.1600 1,052 Wells Fargo & Co. WFC 949746101 177,853 46.8700 8,336 Wendy's International, Inc. WEN 950590109 11,440 27.0700 310 Westamerica Bancorp WABC 957090103 6,045 40.1800 243 Western Resources WR 95709T100 12,950 9.9000 128 Western Digital Corp WDC 958102105 428,220 6.3900 2,736 Western Gas Resources WGR 958259103 217,213 36.8500 8,004 Westwood One Inc. WON 961815107 70,738 37.3600 2,643 Weyerhaeuser Company WY 962166104 21,984 49.2100 1,082 Whirlpool Corp. WHR 963320106 6,677 52.2200 349 Whole Foods Market Inc. WFMI 966837106 10,373 52.7300 547 Williams Cos., Inc. WMB 969457100 51,527 2.7000 139 Williams-Sonoma, Inc. WSM 969904101 20,934 27.1500 568 Willow Grove Bancorp Inc WGBC 97111W101 102,500 13.9000 1,425 Wilmington Trust Corp. WL 971807102 11,843 31.6800 375 Wind River Systems WIND 973149107 14,251 4.1000 58 Winn-Dixie Stores, Inc. WIN 974280109 14,034 15.2800 214 Wisconsin Energy Corp WEC 976657106 20,878 25.2000 526 Worthington Industries, Inc. WOR 981811102 203,688 15.2400 3,104 Wrigley (Wm.) Jr. Co. WWY 982526105 22,491 54.8800 1,234 Wyeth WYE 983024100 133,711 37.4000 5,001 XTO Energy Inc XTO 98385X106 233,396 24.7000 5,765 Northern States Power Co. XEL 98389B100 39,674 11.0000 436 Xilinx Inc XLNX 983919101 166,770 20.6000 3,435 Xerox Corp XRX 984121103 73,486 8.0500 592 Yahoo! Inc. YHOO 984332106 96,601 16.3500 1,579 York International Corp. YRK 986670107 7,112 25.5700 182 Tricon Global Restaurant YUM 988498101 29,603 24.2200 717 Zebra Technologies Corp ZBRA 989207105 33,980 57.3000 1,947 Zimmer Holdings Inc ZMH 98956P102 19,355 41.5200 804 Zions Bancorporation ZION 989701107 9,163 39.3490 361 Marvell Technology Group Ltd MRVL BMG5876H1 134,060 18.8600 2,528 Ace Ltd. ACE G0070K103 26,145 29.3400 767 Cooper Industries, Inc. CBE G24182100 9,343 36.4500 341 Everest Reinsurance Hldgs RE G3223R108 9,206 55.3000 509 Ingersoll Rand Co. IR G4776G101 16,776 43.0600 722 Nabors Industries Inc. NBR G6359F103 14,329 35.2700 505 Noble Corp NE G65422100 13,304 35.1500 468 Transocean Inc RIG G90078109 31,835 23.2000 739 Weatherford International WFT G95089101 23,492 39.9300 938 XL Capital Limited XL G98255105 13,490 77.2500 1,042 Amdocs Ltd DOX GB0022569 323,810 9.8200 3,180 Totals for Common 53,949,357 1,431,308 Preferred Home Ownership Funding Corp 437296205 37,500 565.3652 21,201 Home Ownership II 437297203 12,500 565.6728 7,071 Totals for Preferred 50,000 28,272 Grand Total 53,999,357 1,459,580
Page 19 of 20 Mutual of America Capital Management Corporation Form 13F for Quarter Ending September 30, 2002 Name of Reporting Manager: Mutual of America Capital Management Corporation FORM 13F SUMMARY PAGE Report Summary: Mutual of America Capital Management Corporation Number of Other Included Managers: 0 Form 13F Information Table Entry Total: 1000 Form 13F Information Table Value Total: $1,459,580 (thousands) List of Other Included Managers: NONE
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