-----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, EGD4QdXiMSWumkkXAq5esNl99yXd1M0us1diC3YimaZwNJ1Kl0wjJ9ufiFdH3rVh +yZeKR/evYjJ9DnExhpFTA== 0000950130-01-000653.txt : 20010208 0000950130-01-000653.hdr.sgml : 20010208 ACCESSION NUMBER: 0000950130-01-000653 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 20001231 FILED AS OF DATE: 20010207 FILER: COMPANY DATA: COMPANY CONFORMED NAME: MUTUAL OF AMERICA CAPITAL MANAGEMENT CORP CENTRAL INDEX KEY: 0000922127 STANDARD INDUSTRIAL CLASSIFICATION: [] STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: SEC FILE NUMBER: 028-04274 FILM NUMBER: 1527565 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 0001.txt MUTUAL OF AMERICA CAPITAL MANAGEMENT CORPORATION UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 Form 13F Form 13F COVER PAGE Report for the Quarter Ended: December 31, 2000 ----------------- 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 23, 2001 - ---------------------------------------- --------------- ---------------- [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- ---------------- --------------------------------------------- Mutual of America Capital Management Tuesday, February 06, 2001 01:40 PM Form 13f for Quarter Ending December 31, 2000 Name of Reporting Manager: Mutual of America Capital Management FORM 13F INFORMATION
-------------- -------- ----- ------ ----- -------- Name of Issuer Title of CUSIP Shares Price Value Class (x$1000) -------------- -------- ----- ------ ----- -------- ADC Telecommunications, Inc. Common 000886101 79,487 18.1250 1,441 Aflac, Inc. Common 001055102 27,446 72.1875 1,981 AGCO Corp. Common 001084102 7,194 12.1250 87 AGL Resources Inc. Common 001204106 6,678 22.0625 147 AES Corporation Common 00130H105 52,509 55.3750 2,908 AK Steel Holding Corp. Common 001547108 13,229 8.7500 116 AMR Corp. Common 001765106 15,470 39.1875 606 AT&T Corp Common 001957109 388,526 17.3125 6,726 Abbott Laboratories Common 002824100 159,081 48.4375 7,705 Abercrombie & Fitch Co. Cl A Common 002896207 12,168 20.0000 243 Abgenix Inc. Common 00339B107 8,190 59.0625 484 ACNielsen Corp. Common 004833109 7,008 36.2500 254 Acxiom Corp. Common 005125109 10,803 38.9375 421 Adaptec, Inc. Common 00651F108 309,677 10.2500 3,174 Adobe Systems Inc Common 00724F101 49,918 58.1875 2,905 Adtran, Inc. Common 00738A106 4,727 21.2500 100 Advancrd Fibre Communication Common 00754A105 9,780 18.0625 177 Advanced Micro Devices Inc Common 007903107 32,106 13.8125 443 AETNA US Healthcare Common 00817Y108 14,570 41.0625 598 Affiliated Computer Svcs Common 008190100 6,394 60.6875 388 Agilent Technologies Inc Common 00846U101 46,616 54.7500 2,552 Air Products & Chemicals Inc Common 009158106 23,704 41.0000 972 Airborne Freight Common 009266107 5,888 9.7500 57 Airgas Inc. Common 009363102 8,128 6.8125 55 Alaska Air Group, Inc. Common 011659109 3,192 29.7500 95 Albany International Corp-Cl A Common 012348108 3,725 13.4375 50 Albemarle Corp Common 012653101 5,587 24.7500 138 Alberto-Culver Company Common 013068101 107,851 42.8125 4,617 Albertson's Inc Common 013104104 43,440 26.5000 1,151 Alcan Aluminum Ltd. Common 013716105 33,386 34.1875 1,141 Alcoa Inc Common 013817101 89,219 33.5000 2,989 Alexander & Baldwin, Inc. Common 014482103 4,997 26.2500 131 Allegheny Energy Inc. Common 017361106 11,511 48.1875 555 Allegheny Teledyne Inc Common 01741R102 8,423 15.8750 134 Allergan, Inc. Common 018490102 15,582 96.8125 1,509 Minnesota Power & Light Common 018522102 9,089 24.8125 226 Interstate Energy Corp. Common 018802108 9,712 31.8750 310 Allied Waste Industries, Inc. Common 019589308 20,165 14.5625 294 Allmerica Financial Corp Common 019754100 6,483 72.5000 470 Allstate Corp Common 020002101 245,470 43.5625 10,693 Alltel Corp Common 020039103 32,258 62.4375 2,014 Altera Corp Common 021441100 40,857 26.3125 1,075 Alza Corp Common 022615108 24,216 42.5000 1,029 Ambac Financial Group, Inc. Common 023139108 10,922 58.3125 637 Amerada Hess Corp. Common 023551104 9,355 73.0625 683 Ameren Corporation Common 023608102 48,094 46.3125 2,227 America Online Inc Common 02364J104 243,048 34.8000 8,458 American Electric Power Common 025537101 33,166 46.5000 1,542 American Eagle Outfitters Common 02553E106 119,002 42.2500 5,028 American Express Company Common 025816109 136,928 54.9375 7,522 American Financial Group Common 025932104 7,225 26.5625 192
Page 1 of 19 Mutual of America Capital Management Tuesday, February 06, 2001 01:40 PM Form 13f for Quarter Ending December 31, 2000 Name of Reporting Manager: Mutual of America Capital Management FORM 13F INFORMATION
-------------- -------- ----- ------ ----- ------- Name of Issuer Title of CUSIP Shares Price Value Class (x$1000) -------------- -------- ----- ------ ----- ------- American General Corp Common 026351106 43,917 81.5000 3,579 American Greetings Corp. Common 026375105 6,682 9.4375 63 American Home Products Common 026609107 249,506 63.5500 15,856 American International Group Common 026874107 247,416 98.5625 24,386 American Power Conversion Common 029066107 19,932 12.3750 247 American Standard Companies Common 029712106 8,562 49.3125 422 American Water Works Co. Common 030411102 12,023 29.3750 353 Americredit Corp. Common 03060R101 9,568 27.2500 261 Amerisource Health Corp Common 03071P102 6,355 50.5000 321 Ametek Inc. Common 031100100 3,890 25.9375 101 Amgen, Inc. Common 031162100 105,957 63.9375 6,775 Amsouth Bancorporation Common 032165102 38,998 15.2500 595 Anadarko Petroleum Corp. Common 032511107 25,475 71.0800 1,811 Analog Devices Inc. Common 032654105 36,579 51.1875 1,872 Andrew Corp. Common 034425108 8,319 21.7500 181 Anheuser-Busch Cos., Inc. Common 035229103 114,055 45.5000 5,190 ANTEC Corp. Common 03664P105 4,624 7.9063 37 Aon Corp. Common 037389103 26,452 34.2500 906 Apache Corp Common 037411105 12,563 70.0625 880 Apollo Group A Common 037604105 9,245 49.1875 455 Sybron Intl. Corp. Common 03760A101 12,851 20.5000 263 Apple Computer, Inc. Common 037833100 33,539 14.8750 499 Apria Healthcare Group, Inc. Common 037933108 159,607 29.7500 4,748 PE Corp.-PE Biosystems Group Common 038020103 21,442 94.0625 2,017 Applied Materials, Inc. Common 038222105 83,294 38.1875 3,181 Applied Micro Common 03822W109 25,415 75.0469 1,907 Archer-Daniels-Midland Co. Common 039483102 65,362 15.0000 980 Arden Realty Group Common 039793104 117,030 25.1250 2,940 Arnold Industries Inc. Common 042595108 48,055 18.0000 865 Arrow Electronics, Inc. Common 042735100 11,921 28.6250 341 Arvinmeritor, Inc. Common 043353101 8,754 11.3750 100 Ashland Inc. Common 044204105 7,273 35.8900 261 Associated Banc-Corp. Common 045487105 8,211 30.3750 249 Astoria Financial Corp. Common 046265104 90,877 54.3125 4,936 Atlas Air, Inc. Common 049164106 4,595 32.6250 150 Atmel Corp. Common 049513104 56,864 11.6250 661 Autodesk, Inc. Common 052769106 6,105 26.9376 164 Automatic Data Processing, Inc Common 053015103 71,924 63.3125 4,554 AutoZone, Inc. Common 053332102 13,248 28.5000 378 Avaya Inc. Common 053499109 28,686 10.3125 296 Avery Dennison Corp. Common 053611109 11,602 54.8750 637 Avnet, Inc. Common 053807103 11,158 21.5000 240 Avocent Corporation Common 053893103 5,228 27.0000 141 Avon Products, Inc. Common 054303102 24,536 47.8750 1,175 BB&T Corporation Common 054937107 40,815 37.3125 1,523 BISYS Group, Inc. Common 055472104 6,899 52.1250 360 BJ Services Co Common 055482103 10,136 68.8750 698 BJ's Wholesale Club, Inc. Common 05548J106 8,871 38.3750 340 BMC Software Inc Common 055921100 25,206 14.0000 353 Baker Hughes, Inc. Common 057224107 34,057 41.5625 1,415 Ball Corp. Common 058498106 3,038 46.0626 140 Bandag, Inc. Common 059815100 2,511 40.5625 102
Page 2 of 19 Mutual of America Capital Management Tuesday, February 06, 2001 01:40 PM Form 13f for Quarter Ending December 31, 2000 Name of Reporting Manager: Mutual of America Capital Management FORM 13F INFORMATION
-------------- -------- ----- ------ ----- ------- Name of Issuer Title of CUSIP Shares Price Value Class (x$1000) -------------- -------- ----- ------ ----- ------- BankAmerica Corp. Common 060505104 167,568 45.8750 7,687 Bank of New York Co., Inc. Common 064057102 76,118 55.1875 4,201 Bank One Columbus Ohio Common 06423A103 372,419 36.6250 13,640 Banknorth Group, Inc. Common 06646R107 110,358 19.9375 2,200 Banta Corp. Common 066821109 3,016 25.4200 77 Bard (C.R.), Inc. Common 067383109 5,263 46.5626 245 Barnes & Noble, Inc. Common 067774109 284,618 26.5000 7,542 Barrick Gold Corp. Common 067901108 40,895 16.3800 670 Barr Laboratories, Inc. Common 068306109 4,403 72.9375 321 Bausch & Lomb, Inc. Common 071707103 5,536 40.4376 224 Baxter International, Inc. Common 071813109 49,797 88.3125 4,398 Bear Stearns Cos., Inc. Common 073902108 11,189 50.6875 567 Beckman Coulter Inc. Common 075811109 7,269 41.9375 305 Becton Dickinson & Co. Common 075887109 76,759 34.6250 2,658 Bed Bath & Beyond, Inc. Common 075896100 328,630 22.3750 7,353 BellSouth Corp Common 079860102 192,299 40.9375 7,872 Belo (A.H.) Common 080555105 13,867 16.0000 222 Bemis Co. Common 081437105 5,510 33.5625 185 Bergen Brunswig Corp. Common 083739102 16,442 15.8300 260 W.R. Berkley Corp. Common 084423102 206,740 47.1875 9,756 Best Buy Co., Inc. Common 086516101 21,205 29.5625 627 Biogen, Inc. Common 090597105 15,377 60.0625 924 Biomet, Inc. Common 090613100 21,791 39.6875 865 Black & Decker Corp. Common 091797100 8,512 39.2500 334 Black Hills Corp. Common 092113109 2,700 44.7500 121 Block (H. & R.), Inc. Common 093671105 9,560 41.3751 396 Blyth Industrites Common 09643P108 5,891 24.1250 142 Bob Evans Farms, Inc. Common 096761101 4,302 21.3125 92 Boeing Co. Common 097023105 91,573 66.0000 6,044 Boise Cascade Corp. Common 097383103 6,022 33.6251 202 Borders Group Inc Common 099709107 9,574 11.6875 112 Borg-Warner Auto Common 099724106 3,218 40.0000 129 Boston Private Financial Common 101119105 348,650 19.8750 6,929 Boston Properties Inc. Common 101121101 182,980 43.5000 7,960 Boston Scientific Common 101137107 41,840 13.6875 573 Bowater, Inc. Common 102183100 6,247 56.3750 352 Briggs & Stratton Corp. Common 109043109 2,357 44.3752 105 Brinker International, Inc. Common 109641100 7,950 42.2500 336 Bristol-Myers Squibb Co. Common 110122108 263,875 73.9375 19,510 Broadcast.Com, Inc. Common 111320107 23,992 84.5000 2,027 Broadvision Inc. Common 111412102 27,573 11.8125 326 BroadWing, Inc. Common 111620100 26,318 22.8125 600 Brown & Brown Inc. Common 115236101 1,880 35.0000 66 Brown-Forman Corp. Cl B Common 115637209 7,060 66.5000 469 Bruker Daltonics Inc. Common 116795105 33,590 23.5625 791 Brunswick Corp. Common 117043109 9,096 16.4375 150 Burlington North Sante Fe Common 12189T104 40,737 28.3125 1,153 Burlington Resources, Inc. Common 122014103 22,240 50.5000 1,123 CBRL Group, Inc. Common 12489V106 7,037 18.1875 128 CDW Computer Centers Inc. Common 125129106 10,669 27.8750 297 C.H. Robinson Worldwide, Inc. Common 12541W100 40,424 31.4375 1,271 CIGNA Corp Common 125509109 15,967 132.3000 2,112
Page 3 of 19 Mutual of America Capital Management Tuesday, February 06, 2001 01:40 PM Form 13f for Quarter Ending December 31, 2000 Name of Reporting Manager: Mutual of America Capital Management FORM 13F INFORMATION
-------------- -------- ----- ------ ----- ------- Name of Issuer Title of CUSIP Shares Price Value Class (x$1000) -------------- -------- ----- ------ ----- ------- CIT Group Holdings Common 125577106 27,104 20.1250 545 Cleco Corporation Common 12561W105 2,775 54.7500 152 CMS Energy Corp. Common 125896100 12,520 31.6875 397 CNF Transportation, Inc. Common 12612W104 5,969 33.8125 202 CSG Systems International Common 126349109 6,361 46.9375 299 CSX Corporation Common 126408103 22,529 25.9375 584 CVS Corp. Common 126650100 40,303 59.9375 2,416 Cabletron Systems, Inc. Common 126920107 18,831 15.0625 284 Cabot Corp Common 127055101 8,115 26.3750 214 Cabot Microelectronics Corp Common 12709P103 2,878 51.9375 149 Cadence Design Systems, Inc. Common 127387108 30,069 27.5000 827 Cal Dive International Common 127914109 132,600 26.6250 3,530 Callaway Golf Company Common 131193104 9,123 18.6250 170 Calpine Corp. Common 131347106 28,902 45.0625 1,302 Campbell Soup Co. Common 134429109 43,451 34.6250 1,504 Capital One Financial Corp. Common 14040H105 20,182 65.8125 1,328 Cardinal Health, Inc. Common 14149Y108 28,526 99.6250 2,842 Carlisle Companies, Inc Common 142339100 3,722 42.9375 160 Carnival Corporation Common 143658102 60,360 30.8125 1,860 Carpenter Technology Corp. Common 144285103 2,719 35.0000 95 Carter-Wallace, Inc. Common 146285101 5,462 33.3750 182 Catalina Marketing Corp. Common 148867104 6,761 38.9375 263 Caterpillar, Inc. Common 149123101 35,636 47.3125 1,686 Cendant Corp. Common 151313103 74,678 9.6250 719 Centex Corporation Common 152312104 6,224 37.5625 234 Century Telephone Enterprises Common 156700106 14,502 35.7500 518 Ceridian Corp. Common 15677T106 15,015 19.9375 299 Charter One Financial, Inc. Common 160903100 21,717 28.8750 627 Checkfree Holdings Corp. Common 162813109 9,272 43.0625 399 Cheesecake Factory (The) Common 163072101 93,310 38.3750 3,581 Chevron Corp. Common 166751107 66,118 84.4375 5,583 Chiron Corp. Common 170040109 19,623 44.5000 873 ChoicePoint, Inc. Common 170388102 5,001 65.5625 328 Chris-Craft Industries, Inc. Common 170520100 4,316 66.5000 287 Chubb Corp. Common 171232101 50,214 86.5000 4,344 Church & Dwight Common 171340102 4,667 22.2500 104 Cincinnati Financial Corp. Common 172062101 16,655 39.5625 659 Cinergy Corp Common 172474108 16,519 35.1250 580 Circuit City Group, Inc. Common 172737108 20,992 11.5000 241 Cirrus Logic, Inc. Common 172755100 9,406 18.7500 176 Cisco Systems, Inc. Common 17275R102 780,916 38.2500 29,870 Cintas Corp. Common 172908105 47,746 53.1875 2,539 CitiGroup Inc Common 172967101 520,192 51.0625 26,562 Citrix Systems, Inc. Common 177376100 19,010 22.5000 428 City National Corp. Common 178566105 150,244 38.8125 5,831 Claire's Stores, Inc. Common 179584107 6,210 17.9375 111 Clayton Homes, Inc. Common 184190106 16,871 11.5000 194 Clear Channel Communications Common 184502102 60,238 48.4375 2,918 Clorox Co. Common 189054109 24,232 35.5000 860 Coastal Corp. Common 190441105 22,097 88.3125 1,951 Coca-Cola Co. Common 191216100 259,212 60.9375 15,796 Coca-Cola Enterprises Common 191219104 43,298 19.0000 823
Page 4 of 19 Mutual of America Capital Management Tuesday, February 06, 2001 01:40 PM Form 13f for Quarter Ending December 31, 2000 Name of Reporting Manager: Mutual of America Capital Management FORM 13F INFORMATION
-------------- -------- ----- ------ ----- ------- Name of Issuer Title of CUSIP Shares Price Value Class (x$1000) -------------- -------- ----- ------ ----- ------- Colgate-Palmolive Co. Common 194162103 58,996 64.5500 3,808 Comcast Corp-Spl Common 200300200 230,526 41.7500 9,624 Comdisco Inc Common 200336105 18,613 11.4375 213 Comerica, Inc. Common 200340107 16,227 59.3750 963 CommScope, Inc. Common 203372107 6,241 16.5625 103 Compaq Computer Corp. Common 204493100 174,970 15.0500 2,633 Compass Bancshares Common 20449H109 14,755 23.8750 352 Computer Access Technology Common 204853105 75,250 10.2500 771 Computer Associates Intl., Inc Common 204912109 59,798 19.5000 1,166 Computer Sciences Corp. Common 205363104 53,748 60.1250 3,232 Compuware Corporation Common 205638109 37,470 6.2500 234 Comverse Technologies Common 205862402 76,674 108.6250 8,329 Conagra, Inc. Common 205887102 55,053 26.0000 1,431 Concord EFS, Inc. Common 206197105 26,272 43.9375 1,154 Conectiv Inc Common 206829103 10,872 20.0625 218 Conexant Systems Common 207142100 23,338 15.3750 359 Conoco, Inc. Common 208251405 64,251 28.9375 1,859 Conseco, Inc. Common 208464107 33,522 13.1875 442 Consolidated Edison, Inc. Common 209115104 21,881 38.5000 842 Consolidated Stores Corp. Common 210149100 11,507 10.6250 122 Baltimore Gas & Electric Co. Common 210371100 15,530 45.0625 700 Convergys Corp. Common 212485106 15,880 45.3125 720 Cooper Cameron Common 216640102 6,551 66.0625 433 Cooper Industries, Inc. Common 216669101 9,616 45.9375 442 Cooper Tire & Rubber Co. Common 216831107 7,679 10.6251 82 Coors (Adolph) Co. Cl B Common 217016104 25,241 80.3126 2,027 Cor Therapeutics Common 217753102 6,628 35.1875 233 Corning Inc Common 219350105 135,101 52.8125 7,135 Costco Companies Common 22160K105 46,066 39.9375 1,840 Countrywide Credit Industries Common 222372104 11,717 50.2500 589 Covance, Inc. Common 222816100 6,994 10.7500 75 Crane Co. Common 224399105 6,370 28.4375 181 Credence Systems Corp. Common 225302108 6,368 23.0000 146 CK Witco Corporation Common 227116100 13,786 10.5000 145 Cullen/Frost Common 229899109 65,280 41.8125 2,730 Cummins Engine, Inc. Common 231021106 4,340 37.9375 165 Cypress Semiconductor Corp. Common 232806109 16,036 19.6875 316 Cytec Industries, Inc. Common 232820100 4,986 39.9375 199 DPL, Inc. Common 233293109 15,624 33.1875 519 DQE, Inc. Common 23329J104 6,910 32.7500 226 DR Horton Inc. Common 23331A109 127,180 24.4375 3,108 DST Systems, Inc. Common 233326107 15,356 67.0000 1,029 DSP Group, Inc. Common 23332B106 3,268 21.0469 69 DTE Energy Co. Common 233331107 14,785 38.9375 576 Dallas Semiconductor Corp. Common 235204104 7,479 25.6250 192 Dana Corp. Common 235811106 15,585 15.3125 239 Danaher Corporation Common 235851102 14,664 68.3750 1,003 Darden Restaurants, Inc. Common 237194105 60,924 22.8750 1,394 DaVita Inc Common 23918K108 285,210 17.1250 4,884 Dean Foods Co Common 242361103 4,437 30.6875 136 Deere & Co. Common 244199105 24,192 45.8125 1,108 Dell Computer Corp. Common 247025109 267,405 17.4375 4,663
Page 5 of 19 Mutual of America Capital Management Tuesday, February 06, 2001 01:40 PM Form 13f for Quarter Ending December 31, 2000 Name of Reporting Manager: Mutual of America Capital Management FORM 13F INFORMATION
-------------- -------- ----- ------ ----- -------- Name of Issuer Title of CUSIP Shares Price Value Class (x$1000) -------------- -------- ----- ------ ----- -------- Delphi Automotive Systems Corp Common 247126105 57,706 11.2500 649 Delta Air Lines, Inc. Common 247361108 12,643 50.1875 635 Deluxe Corp. Common 248019101 7,487 25.2700 189 Dentsply International, Inc. Common 249030107 30,827 39.1250 1,206 Devon Energy Company Common 25179M103 13,034 60.9700 795 DeVry, Inc. Common 251893103 8,511 37.7500 321 Dial Corp. Common 25247D101 11,604 11.0000 128 Diebold, Inc. Common 253651103 8,684 33.3750 290 Dillard's Inc. Cl A Common 254067101 9,805 11.8125 116 Dime Bancorp, Inc. Common 25429Q102 13,361 29.5625 395 Disney (Walt) Co Common 254687106 214,385 28.9375 6,204 Documentum Inc. Common 256159104 39,930 49.6875 1,984 Dole Food Company Common 256605106 6,799 16.3750 111 Dollar General Corp. Common 256669102 34,031 18.8750 642 Dollar Tree Store Common 256747106 13,103 24.5000 321 Dominion Resources, Inc. Common 25746U109 24,590 67.0000 1,648 Donaldson Company, Inc. Common 257651109 5,533 27.8125 154 Donnelley (R.R.) & Sons Co. Common 257867101 12,652 27.0000 342 Dover Corp. Common 260003108 20,930 40.5625 849 Dow Chemical Company Common 260543103 69,720 36.6250 2,553 Dow Jones & Co., Inc. Common 260561105 9,156 56.6250 518 Dreyers Grand Ice Cream, Inc. Common 261878102 3,395 32.2500 109 Du Pont (E.I.) De Nemours Common 263534109 107,482 48.3125 5,193 Duke Energy Corp. Common 264399106 37,918 85.2500 3,233 Dun & Bradstreet Corp. Common 26483E100 9,999 25.8750 259 Dycom Industries, Inc. Common 267475101 5,161 35.9375 185 Dynegy Inc. Common 26816Q101 33,080 56.0625 1,855 Egle Inc Common 268484102 5,670 23.9375 136 EMC Corp. Common 268648102 257,370 66.5000 17,115 ENSCO International, Inc. Common 26874Q100 16,896 34.0625 576 EOG Resources, Inc. Common 26875P101 11,895 54.6875 651 E*Trade Group, Inc. Common 269246104 38,081 7.3750 281 Eastman Chemical Co. Common 277432100 7,908 48.7500 386 Eastman Kodak Co. Common 277461109 30,971 39.3750 1,219 Eaton Corp. Common 278058102 7,385 75.1875 555 Ecolab Inc. Common 278865100 13,189 43.1875 570 Edison International Common 281020107 33,633 15.6250 526 Edwards (A.G.), Inc. Common 281760108 9,910 47.4375 470 Edwards Lifesciences Corp. Common 28176E108 7,098 17.7500 126 El Paso Energy Corp. Common 283905107 38,320 71.6250 2,745 Electronic Arts Inc. Common 285512109 16,045 42.6250 684 Electronic Data Systems Corp. Common 285661104 48,092 57.7500 2,777 Emerson Electric Co. Common 291011104 44,094 78.8125 3,475 Emmis Communications Corp. Common 291525103 5,690 28.6875 163 Energy East Corporation Common 29266M109 14,397 19.6875 283 Energizer Holdings Inc. Common 29266R108 11,639 21.3750 249 Engelhard Corp. Common 292845104 140,216 20.3750 2,857 Enron Corp. Common 293561106 76,643 83.1250 6,371 Entergy Corp. Common 29364G103 23,011 42.3125 974 Equifax, Inc. Common 294429105 53,470 28.6875 1,534 Peco Energy Co. Common 30161N101 32,820 70.2100 2,304 Expeditors International Common 302130109 78,873 53.6875 4,234
Page 6 of 19 Mutual of America Capital Management Tuesday, February 06, 2001 01:40 PM Form 13f for Quarter Ending December 31, 2000 Name of Reporting Manager: Mutual of America Capital Management FORM 13F INFORMATION
-------------- -------- ----- ------ ----- -------- Name of Issuer Title of CUSIP Shares Price Value Class (x$1000) -------------- -------- ----- ------ ----- -------- Express Scripts, Inc-CL A Common 302182100 4,644 102.2500 475 Exxon Mobil Corp. Common 30231G102 447,748 86.9375 38,926 FMC Corp. Common 302491303 3,190 71.6876 229 FPL Group Inc Common 302571104 18,349 71.7500 1,317 Family Dollar Stores Inc. Common 307000109 20,870 21.4375 447 Fastenal Co. Common 311900104 4,640 54.8750 255 FHLMC Common 313400301 71,647 68.8750 4,935 FNMA Common 313586109 103,694 86.7500 8,995 Federal Signal Corp. Common 313855108 5,527 19.6250 108 Federated Dept Stores Common 31410H101 20,861 35.0000 730 Federal Express Common 31428X106 93,748 39.9600 3,746 Ferro Corp. Common 315405100 4,188 23.0000 96 Fifth Third Bancorp Common 316773100 230,843 59.7500 13,793 First Data Corp. Common 319963104 40,805 52.6875 2,150 First Essex Bancorp Inc. Common 320103104 319,530 20.0625 6,411 First Midwest/Il Common 320867104 218,140 28.7500 6,272 First Health Group Corp Common 320960107 5,816 46.5625 271 FIirst Tennessee Natl Corp Common 337162101 15,755 28.9375 456 First Union Corp Common 337358105 100,951 27.8125 2,808 First Virginia Banks, Inc. Common 337477103 5,715 48.0000 274 Firstar Corporation Common 33763V109 97,965 23.2500 2,278 FIserv, Inc. Common 337738108 15,096 47.4375 716 Firstmerit Corp. Common 337915102 10,804 26.7344 289 FirstEnergy Corp. Common 337932107 23,286 31.5625 735 Fleet Boston Corp Common 339030108 93,029 37.5625 3,494 Fluor Corp. Common 343412102 7,871 33.0625 260 Flowers Industries Inc Common 343496105 12,247 15.7500 193 Flowserve Corporation Common 34354P105 4,548 21.3750 97 Ford Motor Co. Common 345370860 192,831 23.4375 4,519 Forest Laboratories, Inc. Common 345838106 8,983 132.8750 1,194 Forest Oil Corp. Common 346091705 47,620 36.8750 1,756 Fortune Brands, Inc. Common 349631101 93,769 30.0000 2,813 Forward Air Corporation Common 349853101 115,150 37.3125 4,297 Franklin Resources, Inc. Common 354613101 25,168 38.1000 959 Freeport-McMoran Copper Common 35671D857 15,533 8.5625 133 FULLER HB CO MINNESOTA Common 359694106 1,685 39.4531 66 Furniture Brands Intl., Inc. Common 360921100 6,023 21.0625 127 GATX Corp. Common 361448103 5,875 49.8750 293 GPU, Inc. Common 36225X100 12,564 36.8125 463 Galileo International, Inc. Common 363547100 10,951 20.0000 219 Gallagher, Arthur J. & Co. Common 363576109 156,961 63.6250 9,987 Gannett Co Common 364730101 27,266 63.0625 1,719 Gap, Inc. Common 364760108 87,646 25.5000 2,235 Gartner Group Inc. Common 366651206 10,514 6.3400 67 Gateway 2000, Inc. Common 367626108 36,045 17.9900 648 General Dynamics Corp. Common 369550108 32,490 78.0000 2,534 General Electric Co. Common 369604103 1,050,328 47.9375 50,350 General Mills, Inc. Common 370334104 29,219 44.5625 1,302 General Motors Corp. Common 370442105 57,933 50.9375 2,951 Genuine Parts Co. Common 372460105 17,959 26.1875 470 Genzyme Corp. Common 372917104 11,574 89.9375 1,041 Georgia Pacific Corp Common 373298108 23,297 31.1250 725
Page 7 of 19 Mutual of America Capital Management Tuesday, February 06, 2001 01:40 PM Form 13f for Quarter Ending December 31, 2000 Name of Reporting Manager: Mutual of America Capital Management FORM 13F INFORMATION
-------------- -------- ----- ------ ----- -------- Name of Issuer Title of CUSIP Shares Price Value Class (x$1000) -------------- -------- ----- ------ ----- -------- Georgia Pacific Corp Common 373298702 9,867 29.9375 295 Gilead Sciences, Inc. Common 375558103 5,611 82.9375 465 Gillette Company Common 375766102 108,302 36.1250 3,912 Glatfelter (P.H.) Co Common 377316104 5,168 12.4500 64 Global Marine, Inc. Common 379352404 21,459 28.3750 609 Golden West Financial Corp. Common 381317106 16,391 67.5000 1,106 Goodrich (B.F.) Co. Common 382388106 135,820 36.3750 4,940 Goodyear Tire & Rubber Co. Common 382550101 16,244 22.9900 373 Grainger (W.W.), Inc. Common 384802104 9,696 36.5000 354 Granite Constr Inc Common 387328107 3,306 28.9375 96 Grant Prideco Inc Common 38821G101 157,686 21.9375 3,459 Great Lakes Chemical Corp. Common 390568103 5,335 37.1875 198 Greater Bay Bncp Common 391648102 4,875 41.0000 200 Greenpoint Financial Corp Common 395384100 12,385 40.9375 507 Grey Wolf Inc. Common 397888108 193,910 5.8750 1,139 GTECH Holdings Corp. Common 400518106 4,277 20.5625 88 Guidant Corp. Common 401698105 31,701 53.9375 1,710 HCA - The Healthcare Company Common 404119109 98,321 44.0100 4,327 HCC Insurance Common 404132102 181,060 26.9375 4,877 HS Resources Inc. Common 404297103 75,810 42.3750 3,212 Hain Celestial Group Inc. Common 405217100 122,070 32.5000 3,967 Halliburton Company Common 406216101 45,674 36.2500 1,656 Hanover Compressor Co. Common 410768105 7,182 44.5625 320 Harcourt General, Inc. Common 41163G101 7,453 57.2000 426 Harley-Davidson, Inc. Common 412822108 31,267 39.7500 1,243 Harrah's Entertainment, Inc. Common 413619107 418,052 26.3750 11,026 Harris Corp. Common 413875105 8,250 30.6250 253 Harsco Corp. Common 415864107 4,829 24.6875 119 Harte-Hanks, Inc. Common 416196103 8,228 23.6875 195 Hartford Financial Services Common 416515104 22,981 70.6250 1,623 Hasbro, Inc. Common 418056107 17,808 10.6250 189 Hawaiian Electric Inds Common 419870100 3,952 37.1875 147 HealthSouth Corp. Common 421924101 80,348 16.3125 1,311 Health Management Associates Common 421933102 86,412 20.7500 1,793 Foundation Health Systems Cl-A Common 42222G108 15,023 26.1875 393 Heartland Express Inc. Common 422347104 41,190 22.8125 940 Heinz (H.J.) Co. Common 423074103 35,854 47.4375 1,701 Helmerich & Payne, Inc. Common 423452101 6,097 43.8750 268 Henry (Jack) & Associates Common 426281101 20,559 62.1250 1,277 Hercules, Inc. Common 427056106 11,044 19.0625 211 Herley Industries Inc Common 427398102 18,765 16.6250 312 Hershey Food Corp. Common 427866108 14,192 64.3750 914 Hewlett-Packard Common 428236103 223,111 31.5625 7,042 Hexcel Corp. Common 428291108 294,890 8.9375 2,636 Hibernia Corp Cl A Common 428656102 19,484 12.7500 248 Hilb, Rogal & Hamilton Co., Of Common 431294107 167,430 39.8750 6,676 Hillenbrand Industries, Inc. Common 431573104 7,673 51.5000 395 Hilton Hotels Corp. Common 432848109 37,949 10.5000 398 Hispanic Broadcasting Corp. Common 43357B104 13,240 25.5000 338 Home Depot, Inc. Common 437076102 241,163 45.6875 11,018 Homestake Mining Co. Common 437614100 26,996 4.1875 113 HON Industries, Inc. Common 438092108 7,366 25.5000 188
Page 8 of 19 Mutual of America Capital Management Tuesday, February 06, 2001 01:40 PM Form 13f for Quarter Ending December 31, 2000 Name of Reporting Manager: Mutual of America Capital Management FORM 13F INFORMATION
-------------- -------- ----- ------ ----- -------- Name of Issuer Title of CUSIP Shares Price Value Class (x$1000) -------------- -------- ----- ------ ----- -------- Honeywell International Inc Common 438516106 82,084 47.3125 3,884 Horace Mann Education Common 440327104 4,916 21.3750 105 Hormel Foods Corp. Common 440452100 17,120 18.6250 319 Houghton Mifflin Co. Common 441560109 3,706 46.3750 172 Household International Corp. Common 441815107 48,519 55.0000 2,669 Hubbell, Inc. - Cl. B Common 443510201 7,322 26.5000 194 Humana, Inc. Common 444859102 17,299 15.2500 264 J.B. Hunt Transport Srvcs, Inc Common 445658107 4,344 16.8125 73 Huntington Bancshares, Inc. Common 446150104 25,930 16.1875 420 Huttig Building Products Common 448451104 28 4.1250 0 ICN Pharmasuticals Inc Common 448924100 9,762 30.6875 300 IBP, Inc. Common 449223106 12,913 26.7500 345 IDEC Pharmaceuticals Corp. Common 449370105 5,748 189.5625 1,090 IMC Global, Inc. Common 449669100 14,002 15.5625 218 IMS Health, Inc. Common 449934108 30,455 27.0000 822 ITT Industries, Inc. Common 450911102 9,083 38.7500 352 IDACORP, Inc. Common 451107106 4,603 49.0625 226 Illinois Tool Works, Inc. Common 452308109 31,163 59.5625 1,856 Imation Corp. Common 45245A107 4,403 15.5000 68 Inco Ltd. Common 453258402 18,932 16.7600 317 Incyte Pharmaceuticals Inc. Common 45337C102 7,786 24.8750 194 Infocus Corp. Common 45665B106 4,626 14.7500 68 Informix Corp. Common 456779107 34,164 2.9688 101 Ingersoll Rand Co. Common 456866102 16,651 41.8750 697 Integrated Device Tech., Inc. Common 458118106 12,880 33.1250 427 Intel Corp Common 458140100 694,307 30.2500 21,003 IBM CORP Common 459200101 184,734 85.0000 15,702 Intl. Flavors & Fragrances Common 459506101 10,310 20.3125 209 International Game Technology Common 459902102 8,892 48.0000 427 International Paper Co. Common 460146103 49,627 40.8125 2,025 International Rectifier Common 460254105 7,547 30.0000 226 International Speedway Corp. Common 460335201 6,455 38.0000 245 Interpublic Group of Cos.,Inc. Common 460690100 31,590 42.5625 1,345 Interstate Bakeries Corp. Common 46072H108 6,147 14.0625 86 Intranet Solutions Inc. Common 460939309 2,520 51.0000 129 Intuit, Inc. Common 461202103 38,954 39.4375 1,536 Investment Technology Grp, Inc Common 46145F105 3,783 41.7500 158 Investors Financial Services Common 461915100 3,700 86.0000 318 IPALCO Enterprises, Inc. Common 462613100 10,678 24.1875 258 Ivax Corp. Common 465823102 57,409 38.3000 2,199 JDS Uniphase Corp. Common 46612J101 98,732 41.6875 4,116 J. Jill Group Inc. (The) Common 466189107 204,070 15.5000 3,163 Chase Manhattan Corp Common 46625H100 134,603 45.4375 6,116 Jabil Circuit, Inc. Common 466313103 23,213 25.3750 589 Jacobs Engineering Group, Inc. Common 469814107 3,194 46.1875 148 Jefferson-Pilot Corp. Common 475070108 35,676 74.7500 2,667 Johnson & Johnson Common 478160104 192,182 105.0625 20,191 Johnson Controls Common 478366107 8,827 52.0000 459 Jones Apparel Group, Inc. Common 480074103 14,526 32.1875 468 KLA Tencor Corporation Common 482480100 19,127 33.6875 644 Kmart Corp. Common 482584109 49,811 5.3125 265 Kansas City Power & Light Common 485134100 7,589 27.4375 208
Page 9 of 19 Mutual of America Capital Management Tuesday, February 06, 2001 01:40 PM Form 13f for Quarter Ending December 31, 2000 Name of Reporting Manager: Mutual of America Capital Management FORM 13F INFORMATION
-------------- -------- ----- ------ ----- -------- Name of Issuer Title of CUSIP Shares Price Value Class (x$1000) -------------- -------- ----- ------ ----- -------- Kaufman & Broad Home Corp. Common 486168107 4,465 33.6875 150 Kaydon Corp Common 486587108 3,711 24.8750 92 Keane, Inc. Common 486665102 8,447 9.7500 82 Kellogg Co. Common 487836108 41,951 26.2500 1,101 Kelly Services, Inc. Common 488152208 4,382 23.6250 104 Kemet Corp. Common 488360108 10,786 15.1250 163 Kennametal, Inc. Common 489170100 3,702 29.1250 108 Kerr-McGee Corp. Common 492386107 9,705 66.9375 650 KeyCorp Common 493267108 43,976 28.0000 1,231 Keyspan Energy Corp Common 49337W100 13,758 42.3750 583 Kimberly Clark Corp. Common 494368103 55,237 70.6900 3,905 Kimco Realty Common 49446R109 137,770 44.1875 6,088 K N Energy Inc. Common 49455P101 143,435 52.1875 7,486 King Pharmaceuticals Inc Common 495582108 17,176 51.6875 888 Knight-Ridder, Inc. Common 499040103 7,680 56.8750 437 Kohls Corp Common 500255104 33,844 61.0000 2,064 Korn/Ferry International Common 500643200 4,604 21.2500 98 Kroger Company Common 501044101 194,133 27.0625 5,254 LSI Logic Corp. Common 502161102 32,719 17.0900 559 L-3 Communications, Corp. Common 502424104 4,017 77.0000 309 Lam Research Corp. Common 512807108 15,248 14.5000 221 Lancaster Colony Corp. Common 513847103 4,643 28.0625 130 Lance Inc. Common 514606102 3,610 12.6563 46 Lands End Inc. Common 515086106 3,690 25.1200 93 Lattice Semiconductor Corp. Common 518415104 13,098 18.3750 241 Lear Corp Common 521865105 7,906 24.8125 196 Lee Enterprises Common 523768109 5,365 29.8125 160 Legato Systems Common 524651106 10,650 7.4375 79 Legget & Platt Common 524660107 20,325 18.9375 385 Legg Mason Common 524901105 7,534 54.5000 411 Lehman Brothers Holdings, Inc. Common 524908100 24,632 67.6250 1,666 Lennar Corp. Common 526057104 7,566 36.2500 274 Leucadia National Corp Common 527288104 6,821 35.4375 242 Lexmark Intl Group Inc-Cl A Common 529771107 13,233 44.3125 586 Lifepoint Hospitals Inc Common 53219L109 169,450 50.1250 8,494 Lilly (Eli) & Co. Common 532457108 116,470 93.0625 10,839 Limited, Inc. Common 532716107 43,851 17.0625 748 Lincare Holdings, Inc. Common 532791100 79,849 57.0625 4,556 Lincoln National Corp. Common 534187109 19,778 47.3125 936 Linear Technology Corp Common 535678106 32,415 46.2500 1,499 Litton Industries, Inc. Common 538021106 5,539 78.6875 436 Liz Claiborne, Inc. Common 539320101 5,445 41.6250 227 Lockheed Martin Corp. Common 539830109 80,756 33.9500 2,742 Loews Corp. Common 540424108 10,165 103.5625 1,053 Lone Star Steakhouse Common 542307103 3,155 9.6250 30 Lone Star Technology Common 542312103 71,330 38.5000 2,746 Longs Drug Stores Corp. Common 543162101 4,040 24.1251 97 Longview Fibre Co. Common 543213102 6,259 13.5000 84 Louisiana-Pacific Corp. Common 546347105 10,846 10.1250 110 Lowe's Companies, Inc. Common 548661107 39,498 44.5000 1,758 Lubrizol Corp. Common 549271104 6,490 25.7500 167 Lucent Technologies Common 549463107 351,255 13.5000 4,742
Page 10 of 19 Mutual of America Capital Management Tuesday, February 06, 2001 01:40 PM Form 13f for Quarter Ending December 31, 2000 Name of Reporting Manager: Mutual of America Capital Management FORM 13F INFORMATION
-------------- -------- ----- ------ ----- -------- Name of Issuer Title of CUSIP Shares Price Value Class (x$1000) -------------- -------- ----- ------ ----- -------- Lyondell Petrochemical Co. Common 552078107 14,418 15.3125 221 M & T Bank Corp. Common 55261F104 11,264 68.0000 766 MBIA INC Common 55262C100 10,161 74.1250 753 MBNA Corp. Common 55262L100 87,603 36.9375 3,236 MCN Energy Group Inc. Common 55267J100 10,974 27.6875 304 MGIC Investment Corp Common 552848103 23,966 67.4375 1,616 MGM Mirage Common 552953101 157,240 28.1875 4,432 Macrovision Corp. Common 555904101 6,082 74.0156 450 Macromedia Inc. Common 556100105 33,422 60.7500 2,030 Circus Circus Enterprises Inc. Common 562567107 9,311 21.9375 204 HCR Manor Care Common 564055101 10,733 20.6250 221 Manpower, Inc. Common 56418H100 9,281 38.0000 353 Mapinfo Corp. Common 565105103 85,170 47.2500 4,024 Marsh & McLennan Cos., Inc. Common 571748102 28,142 117.0000 3,293 Marshall & Ilsley Corp. Common 571834100 12,775 50.8300 649 Marriott International, Inc. Common 571903202 56,501 42.2500 2,387 Martin Marietta Materials Common 573284106 5,679 42.3000 240 Masco Corp. Common 574599106 45,937 25.6875 1,180 Fluor Corp. Common 576206106 8,396 12.7500 107 Mastec, Inc. Common 576323109 5,806 20.0000 116 Mattel Inc Common 577081102 43,942 14.4400 635 Maxim Integrated Common 57772K101 29,181 47.8125 1,395 May Department Stores Company Common 577778103 30,911 32.7500 1,012 Maxxam Inc. Common 577913106 829 15.1875 13 Maytag Corp. Common 578592107 8,107 32.3125 262 Mccormick & Co., Inc. Common 579780206 8,406 36.0625 303 McDermott International, Inc. Common 580037109 6,240 10.7500 67 McDonalds Corp Common 580135101 135,015 34.0000 4,591 McGraw-Hill Cos., Inc. Common 580645109 20,063 58.6250 1,176 McKesson HBOC Inc Common 58155Q103 29,176 35.8900 1,047 Mead Corp. Common 582834107 10,447 31.3750 328 Media General Inc. - Class A Common 584404107 2,830 36.4000 103 Medimmune, Inc. Common 584699102 21,497 47.6875 1,025 Medtronic, Inc. Common 585055106 208,601 60.3750 12,594 Mellon Financial Company Common 58551A108 136,724 49.1875 6,725 Mentor Graphics Corp. Common 587200106 7,761 27.4375 213 Mercantile Bankshares Corp. Common 587405101 54,679 43.1875 2,361 Merck & Company Common 589331107 264,083 93.6250 24,725 Mercury Interactive Corp. Common 589405109 8,065 90.2500 728 Meredith Corp Common 589433101 5,324 32.1876 171 Merrill Lynch & Co. Common 590188108 83,199 68.1875 5,673 Metlife Inc. Common 59156R108 78,599 35.0000 2,751 Micrel, Inc. Common 594793101 10,368 33.6875 349 Microsoft Corp Common 594918104 551,121 43.5000 23,974 Microchip Technology, Inc. Common 595017104 14,433 21.9375 317 Micron Technology, Inc. Common 595112103 58,119 35.5000 2,063 Midcoast Energy Resources Common 59563W104 44,370 21.8125 968 Millennium Pharmaceuticals Inc Common 599902103 25,925 61.8750 1,604 Miller (Herman) Inc Common 600544100 9,666 28.7500 278 Millipore Corp. Common 601073109 4,776 63.0000 301 Minerals Technologies Inc. Common 603158106 2,498 34.1875 85 Minimed Inc. Common 60365K108 26,673 42.0313 1,121
Page 11 of 19 Mutual of America Capital Management Tuesday, February 06, 2001 01:40 PM Form 13f for Quarter Ending December 31, 2000 Name of Reporting Manager: Mutual of America Capital Management FORM 13F INFORMATION
-------------- -------- ----- ------ ----- -------- Name of Issuer Title of CUSIP Shares Price Value Class (x$1000) -------------- -------- ----- ------ ----- -------- Minnesota Mining Common 604059105 40,644 120.5000 4,898 MIPS Technologies Inc. B Common 604567206 4,775 25.4844 122 Modine Manufacturing Co. Common 607828100 3,603 20.7500 75 Modis Professional Services Common 607830106 11,771 4.1250 49 Mohawk Industries, Inc. Common 608190104 6,532 27.3750 179 Molex Inc., Cl A Common 608554101 20,270 35.5000 720 Montana Power Common 612085100 12,944 20.7500 269 Mony Group, Inc. Common 615337102 5,634 49.4375 279 Dun & Bradstreet Corp. Common 615369105 16,712 25.6875 429 Morgan (J.P.) & Co., Inc. Common 616880100 16,508 165.5000 2,732 Morgan Stanley Dean Witter Common 617446448 117,584 79.2500 9,319 Motorola, Inc. Common 620076109 224,370 20.2500 4,543 Murphy Oil Soap Common 626717102 50,374 60.4375 3,044 Mylan Laboratories, Inc. Common 628530107 15,234 25.1875 384 Policy Management Systems Common 628551103 417 15.9375 7 NCH Corp. Common 628850109 674 38.0000 26 NCO Group, Inc. Common 628858102 3,093 30.3750 94 NCR Corp. Common 62886E108 9,808 49.1250 482 Nabors Industries Inc. Common 629568106 15,051 59.1500 890 National City Corp Common 635405103 62,631 28.7500 1,801 National Commerce Bancorp Common 635449101 25,018 24.7500 619 National Fuel Gas Co. Common 636180101 4,773 62.9375 300 National Instruments Common 636518102 95,320 48.5625 4,629 National Oilwell Common 637071101 107,981 38.6875 4,178 National Semiconductor Corp. Common 637640103 18,225 20.1250 367 National Service Industries Common 637657107 4,272 25.6876 110 Navistar International Corp. Common 63934E108 6,264 26.1875 164 Neiman Marcus Group, Inc. Common 640204202 5,831 35.5625 207 Network Assoc Common 640938106 16,829 4.1875 70 Netegrity Inc Common 64110P107 13,660 54.3750 743 Network Appliance, Inc. Common 64120L104 32,332 64.2344 2,077 Neuberger Berman Common 641234109 6,037 81.0625 489 New York Community Bancorp Inc Common 649445103 45,700 36.7500 1,679 New York Times Company Common 650111107 16,815 40.0625 674 Newell Co. Common 651229106 27,531 22.7500 626 Newmont Mining Corp. Common 651639106 17,424 17.0625 297 NewPort News Shipbuilding Common 652228107 4,307 52.0000 224 Nextel Communications Common 65332V103 78,273 24.7500 1,937 Niagara Mohawk Power Corp. Common 653520106 16,680 16.6875 278 Nicor, Inc. Common 654086107 4,876 43.1875 211 Nike, Inc Common 654106103 27,960 55.8125 1,561 NiSource Inc. Common 65473P105 20,967 30.7500 645 Noble Affiliates, Inc. Common 654894104 6,860 46.0000 316 Noble Drilling Corp. Common 655042109 16,330 43.4375 709 Nordson Corp. Common 655663102 3,949 25.5000 101 Nordstrom, Inc. Common 655664100 13,540 18.1875 246 Norfolk Southern Corp. Common 655844108 39,517 13.3125 526 Nortel Networks Corporation Common 656568102 325,766 32.0625 10,445 North Fork Bancorp Common 659424105 19,968 24.5625 490 Northeast Utilities Common 664397106 17,519 24.2500 425 Northern Trust Corp. Common 665859104 75,944 81.5625 6,194 Northrop Grumman Corp. Common 666807102 7,274 83.0000 604
Page 12 of 19 Mutual of America Capital Management Tuesday, February 06, 2001 01:40 PM Form 13f for Quarter Ending December 31, 2000 Name of Reporting Manager: Mutual of America Capital Management FORM 13F INFORMATION
-------------- -------- ----- ------ ----- -------- Name of Issuer Title of CUSIP Shares Price Value Class (x$1000) -------------- -------- ----- ------ ----- -------- NOVA Corp. Common 669784100 7,967 19.9375 159 Novell, Inc. Common 670006105 33,813 5.2188 176 Novellus Systems Common 670008101 13,488 35.9375 485 NSTAR Common 67019E107 56,344 42.8750 2,416 Nucor Corp. Common 670346105 8,114 39.6875 322 NVIDIA Corporation Common 67066G104 7,908 32.7656 259 Oge Energy Corp. Common 670837103 9,491 24.4375 232 Occidental Petroleum Corp. Common 674599105 38,077 24.2500 923 Ocean Energy Inc Common 67481E106 218,047 17.3750 3,789 Office Depot, Inc. Common 676220106 30,766 7.1250 219 Ogden Corp. Common 676346109 6,035 15.3750 93 Ohio Casualty Corp. Common 677240103 7,346 10.0000 73 Old Kent Financial Corp. Common 679833103 14,179 43.7500 620 Old Republic Intl. Corp. Common 680223104 14,493 32.0000 464 Olin Corp. Common 680665205 5,459 22.1250 121 Omnicare, Inc. Common 681904108 11,312 21.6250 245 Omnicom Group, Inc. Common 681919106 18,398 82.8750 1,525 Oneok, Inc. Common 682680103 3,068 48.1251 148 Oracle Corp Common 68389X105 600,889 29.0625 17,463 Outback Steakhouse, Inc. Common 689899102 9,486 25.8750 245 Overseas Shipholding Group Common 690368105 4,068 22.9375 93 Oxford Health Plans, Inc. Common 691471106 238,876 39.5000 9,436 PG&E Corp Common 69331C108 39,776 20.0000 796 PF Changs China Common 69333Y108 73,470 31.4375 2,310 The PMI Group Inc. Common 69344M101 5,392 67.6875 365 PNC Bank Corp. Common 693475105 97,113 73.0625 7,095 PPG Industries, Inc. Common 693506107 17,427 46.3125 807 PP&L Resources, Inc. Common 69351T106 14,957 45.1875 676 Paccar, Inc. Common 693718108 7,892 49.2500 389 Pacific Century Finl Corp. Common 694058108 9,730 17.6875 172 PacifiCare Health Systems Cl B Common 695112102 4,197 15.0000 63 Pactiv Corporation Common 695257105 230,071 12.3750 2,847 Pall Corp. Common 696429307 12,866 21.3125 274 Palm, Inc. Common 696642107 58,036 28.3125 1,643 Papa John's Intl Inc Common 698813102 2,858 22.2500 64 Parametric Technology Corp Common 699173100 28,131 13.4375 378 Park Place Entertainment Common 700690100 384,337 11.9375 4,588 Parker Hannifin Corp Common 701094104 11,866 44.1251 524 Paychex Inc Common 704326107 38,314 48.6250 1,863 Payless Shoesource, Inc. Common 704379106 2,808 70.7500 199 Penney (J.C.) Co., Inc. Common 708160106 27,005 10.8750 294 Pennzoil-Quaker State Company Common 709323109 9,650 12.8750 124 PENTIAR INC. Common 709631105 5,965 24.1875 144 Peoples Energy Corp. Common 711030106 23,719 44.7500 1,061 Peoplesoft Inc Common 712713106 29,191 37.1875 1,086 PepsiCo, Inc. Common 713448108 190,603 49.5625 9,447 Peregrine Systems Inc. Common 71366Q101 133,770 19.7500 2,642 Perkin-Elmer Corp. Common 714046109 22,781 105.0000 2,392 Perrigo Co. Common 714290103 8,952 8.2813 74 Pfizer Inc Common 717081103 653,478 46.0000 30,060 Pharmacia Corporation Common 71713U102 132,560 61.0000 8,086 Phelps Dodge Common 717265102 8,119 55.8125 453
Page 13 of 19 Mutual of America Capital Management Tuesday, February 06, 2001 01:40 PM Form 13f for Quarter Ending December 31, 2000 Name of Reporting Manager: Mutual of America Capital Management FORM 13F INFORMATION
-------------- -------- ----- ------ ----- -------- Name of Issuer Title of CUSIP Shares Price Value Class (x$1000) -------------- -------- ----- ------ ----- -------- Phillip Morris Cos., Inc. Common 718154107 190,997 44.0000 8,404 Phillips Petroleum Company Common 718507106 26,237 56.8750 1,492 Pinnacle West Capital Corp. Common 723484101 8,746 47.6250 417 Pioneer Natural Resources Co Common 723787107 12,346 19.6875 243 Pitney Bowes Inc. Common 724479100 26,016 33.1250 862 Pittston Bax Group Common 725701106 6,314 19.8750 125 Placer Dome, Inc. Common 725906101 33,725 9.6250 325 Plantronics Inc New Common 727493108 6,066 47.0000 285 Plexus Corp. Common 729132100 4,923 30.3906 150 Polycom, Inc. Common 73172K104 9,202 32.1875 296 Potlatch Corp. Common 737628107 3,037 33.5625 102 Potomac Electric Power Common 737679100 13,636 24.7100 337 Power-One, Inc. Common 739308104 8,014 39.3125 315 Powerwave Technologies Inc Common 739363109 7,668 58.5000 449 Praxair, Inc. Common 74005P104 16,326 44.3750 724 Precision Castparts Corp. Common 740189105 152,141 42.0625 6,399 Precision Drilling Corp Common 74022D100 64,300 37.5625 2,415 Price Communications Corp. Common 741437305 6,837 16.8125 115 Price (T. Rowe) Associates Common 74144T108 12,469 42.2656 527 Pride International Inc Common 741932107 73,545 24.6250 1,811 Procter & Gamble Company Common 742718109 162,142 78.4375 12,718 Carolina Power & Light Corp. Common 743263105 21,135 49.1875 1,040 Progressive Corp. of Ohio Common 743315103 41,986 103.6250 4,351 Protective Life Corp Common 743674103 7,873 32.2500 254 Protein Design Common 74369L103 5,208 86.8750 452 Provident Financial Group Common 743866105 5,990 37.5000 225 Province Healthcare Co. Common 743977100 167,020 39.3750 6,576 Providian Financial Corp. Common 74406A102 29,433 57.5000 1,692 Public Service Co. New Mexico Common 744499104 4,837 26.8125 130 Public Svc. Enterprise Group Common 744573106 78,364 48.6250 3,810 Puget Sound Power & Light Co. Common 745310102 10,482 27.8125 292 Pulte Corp. Common 745867101 75,277 42.1876 3,176 QlLogic Corporation Common 747277101 9,226 77.0000 710 Quaker Oats Co. Common 747402105 13,542 97.3750 1,319 Qualcomm, Inc. Common 747525103 104,819 82.1875 8,615 Quanta Services Common 74762E102 6,967 32.1875 224 Quantum Corp. Common 747906204 18,207 13.3125 242 Quest Diagnostics, Inc. Common 74834L100 5,595 142.0000 794 Questar Corp. Common 748356102 9,827 30.0625 295 Quiksilver Inc. Common 74838C106 157,440 19.3750 3,050 Quintiles Transnational Corp. Common 748767100 11,954 20.9375 250 Quorum Health Group Inc Common 749084109 8,722 15.7500 137 Qwest Communications Intl. Common 749121109 170,233 41.0000 6,980 R.H. Donnelley Corp. Common 74955W307 157,440 24.3125 3,828 RPM, Inc. Common 749685103 12,537 8.5625 107 RF Micro Devices Common 749941100 19,827 27.4375 544 Radian Group, Inc. Common 750236101 4,604 75.0625 346 Tandy Corp. Common 750438103 19,248 42.8125 824 Ralston Purina Co. Common 751277302 31,644 26.1250 827 Rational Software Corp Common 75409P202 22,988 38.9375 895 Rayonier, Inc. Common 754907103 3,290 39.8125 131 Raytheon Co. Common 755111408 35,062 31.0625 1,089
Page 14 of 19 Mutual of America Capital Management Tuesday, February 06, 2001 01:40 PM Form 13f for Quarter Ending December 31, 2000 Name of Reporting Manager: Mutual of America Capital Management FORM 13F INFORMATION
-------------- -------- ----- ------ ----- -------- Name of Issuer Title of CUSIP Shares Price Value Class (x$1000) -------------- -------- ----- ------ ----- -------- Reader's Digest Assn Common 755267101 12,601 39.1250 493 Reebok International Ltd. Common 758110100 510,883 27.3400 13,968 Regions Financial Corp. Common 758940100 22,758 27.3125 622 Reliant Energy Inc Common 75952J108 30,410 43.3125 1,317 Retek Inc Common 76128Q109 5,840 24.3750 142 Reynolds & Reynolds Co Common 761695105 9,315 20.2500 189 RJ Reynolds Tobacco Holdings Common 76182K105 12,459 48.7500 607 Richmond County Financial Corp Common 764556106 342,340 26.1250 8,944 Robert Half Intl., Inc. Common 770323103 18,376 26.5000 487 Rockwell Intl., Corp. Common 773903109 19,040 47.6250 907 Rohm & Haas Co. Common 775371107 22,449 36.3125 815 Rollins Inc Common 775711104 3,674 20.0625 74 Rosllyn Bancorp, Inc. Common 778162107 7,506 27.3125 205 Ross Stores, Inc. Common 778296103 10,109 16.8750 171 Rowan Cos., Inc. Common 779382100 9,605 27.0000 259 Royal Dutch Petroleum-NYS Common 780257804 293,668 60.5625 17,785 Ruddick Corp. Common 781258108 5,592 11.4375 64 Ryder System, Inc. Common 783549108 6,249 16.6251 104 Ryerson Tull Inc Common 78375P107 3,016 8.2500 25 SBC Communications, Inc. Common 78387G103 551,295 47.7500 26,324 SCI Systems Inc Common 783890106 17,735 26.3750 468 SEI Investments Common 784117103 6,448 112.0000 722 SL Green Realty Common 78440X101 254,080 28.0000 7,114 SPX, Inc. Common 784635104 3,858 108.1875 417 Sabre Group Holdings, Inc. Common 785905100 13,389 43.1250 577 Safeco Corp. Common 786429100 131,250 32.8750 4,315 Safeway, Inc. Common 786514208 150,063 62.5000 9,379 St. Jude Medical, Inc. Common 790849103 8,649 61.4375 531 St Paul Companies Common 792860108 22,335 54.3125 1,213 Saks Inc Common 79377W108 17,302 10.0000 173 Sandisk Corp. Common 80004C101 8,210 27.7500 228 Sanmina Corp. Common 800907107 15,514 76.6250 1,189 Sapient Corp. Common 803062108 12,362 11.9375 148 Sara Lee Corp. Common 803111103 85,853 24.5625 2,109 Sawtek, Inc. Common 805468105 5,229 46.1875 242 Scana Corp Common 80589M102 12,852 29.5625 380 Henry Schein Inc. Common 806407102 30,155 34.6250 1,044 SCHERING-PLOUGH Common 806605101 150,402 56.7500 8,535 Schlumberger, Ltd. Common 806857108 58,682 79.9375 4,691 Scholastic Corp. Common 807066105 73,721 88.6250 6,534 A. Schulman, Inc. Common 808194104 3,709 11.5000 43 Schwab (Charles) Common 808513105 142,009 28.3750 4,030 Scientific Atlanta Common 808655104 16,443 32.5625 535 Sealed Air Corp Common 81211K100 8,632 30.5000 263 Sears Roebuck & Co. Common 812387108 34,558 34.7500 1,201 Semtech Corp Common 816850101 8,087 22.0625 178 Sempra Energy Common 816851109 21,135 23.2500 491 Universal Foods Corp. Common 81725T100 6,046 22.7500 138 Sensormatic Elec Common 817265101 9,406 20.0625 189 Sepracor, Inc. Common 817315104 8,979 80.1250 719 Sequa Corp Cl A Common 817320104 1,296 36.3750 47 Shaw Industries Common 820286102 15,138 18.9375 287
Page 15 of 19 Mutual of America Capital Management Tuesday, February 06, 2001 01:40 PM Form 13f for Quarter Ending December 31, 2000 Name of Reporting Manager: Mutual of America Capital Management FORM 13F INFORMATION
-------------- -------- ----- ------ ----- -------- Name of Issuer Title of CUSIP Shares Price Value Class (x$1000) -------------- -------- ----- ------ ----- -------- Sherwin-Williams Co. Common 824348106 16,667 26.3125 439 Shire Pharmaceuticals Plc Common 82481R106 18,210 46.0625 839 Siebel Systems, Inc. Common 826170102 67,203 67.6250 4,545 Sierra Pacific Resources Common 826428104 9,586 16.0625 154 Sigma-Aldrich Corp. Common 826552101 76,644 39.3125 3,013 Silicon Valley Bancshares Common 827064106 5,954 34.5625 206 Premier Parks Inc. Common 83001P109 9,679 17.1875 166 Skechers U.S.A. Inc. Common 830566105 157,440 15.5000 2,440 Smith International Inc Common 832110100 6,167 74.5625 460 J.M. Smucker Co. Common 832696306 2,967 27.9500 83 Snap-On, Inc. Common 833034101 6,161 27.8751 172 Solectron Corp Common 834182107 65,510 33.9000 2,221 Solutia, Inc. Common 834376105 12,630 12.0000 152 Sonic Corp. Common 835451105 157,440 23.3125 3,670 Sonoco Products Co. Common 835495102 12,192 21.6250 264 Sotheby's Holdings Common 835898107 7,116 23.1875 165 Southern Company Common 842587107 69,357 33.2500 2,306 Southtrust Corp Common 844730101 17,438 40.6875 710 Southwest Airlines Co. Common 844741108 51,551 33.5300 1,729 Southwest Bancorp Of Texas Common 84476R109 169,900 42.9375 7,295 Sovereign Bancorp, Inc. Common 845905108 27,650 8.1250 225 Spieker Properties Common 848497103 140,120 50.1250 7,024 Sprint Corp(FON) Common 852061100 91,033 20.3125 1,849 Sprint Corp(PCS) Common 852061506 95,665 20.4375 1,955 Stanley Works Common 854616109 9,059 31.1875 283 Staples Inc Common 855030102 46,940 11.8125 554 Starbucks Corp. Common 855244109 38,775 44.2500 1,716 Starwood Hotels And Resorts Tr Common 85590A203 19,883 35.2500 701 State Street Corp. Common 857477103 16,622 124.2100 2,065 Sterling Bancshares Inc Common 858907108 393,930 19.7500 7,780 Steris Corp. Common 859152100 8,235 16.1250 133 Stewart & Stevenson Svcs., Inc Common 860342104 3,356 22.7031 76 STILWELL FINANCIAL INC Common 860831106 23,019 39.4375 908 Storage Technology Corp. Common 862111200 12,460 9.0000 112 Structural Dynamics Research Common 863555108 4,388 10.0000 44 Stryker Corp Common 863667101 20,004 50.5900 1,012 Suiza Foods Corp Common 865077101 3,450 48.0000 166 Summit Bancorp Common 866005101 18,067 38.1875 690 Sun Microsystems Common 866810104 362,369 27.8750 10,101 Sungard Data Sys Inc. Common 867363103 47,545 47.1250 2,241 Sunoco Inc Common 86764P109 8,882 33.6876 299 Suntrust Banks, Inc. Common 867914103 30,665 63.0000 1,932 Superior Industries Intl Common 868168105 3,180 31.5625 100 Supervalu, Inc. Common 868536103 13,672 13.8750 190 Swift Transport Common 870756103 7,734 19.8125 153 Sybase, Inc. Common 871130100 10,755 19.8125 213 Sykes Enterprises, Inc. Common 871237103 4,996 4.4375 22 Sylvan Learning Common 871399101 4,565 14.8125 68 Symantec Corp. Common 871503108 9,137 33.3750 305 Symbol Technologies, Inc. Common 871508107 15,211 36.0000 548 Synopsys, Inc. Common 871607107 7,907 47.4375 375 Synovus Financial Corp. Common 87161C105 29,151 26.9375 785
Page 16 of 19 Mutual of America Capital Management Tuesday, February 06, 2001 01:40 PM Form 13f for Quarter Ending December 31, 2000 Name of Reporting Manager: Mutual of America Capital Management FORM 13F INFORMATION
-------------- -------- ----- ------ ----- -------- Name of Issuer Title of CUSIP Shares Price Value Class (x$1000) -------------- -------- ----- ------ ----- -------- Sysco Corp. Common 871829107 68,660 30.0000 2,060 TCF Financial Common 872275102 9,895 44.5625 441 Teco Energy Inc Common 872375100 15,352 32.3750 497 TJX Companies Common 872540109 29,105 27.7500 808 TRW, Inc. Common 872649108 12,692 38.7500 492 Texas Utilities Co. Common 873168108 26,607 44.3125 1,179 Target Corporation Common 87612E106 92,293 32.2500 2,976 Tech Data Corp Common 878237106 6,514 27.0469 176 Tecumseh Products Co. Class A Common 878895200 2,368 41.9375 99 Tektronix, Inc. Common 879131100 9,848 33.6875 332 Teleflex, Inc. Common 879369106 4,662 44.1875 206 Telephone & Data Systems, Inc. Common 879433100 7,219 90.0000 650 Telewest Communications Plc Common 87956P105 28,042 15.7500 442 Tellabs, Inc. Common 879664100 42,299 56.5000 2,390 Temple-Inland, Inc. Common 879868107 5,199 53.6250 279 Tenet Healthcare Corp. Common 88033G100 32,550 44.4375 1,446 Teradyne Inc Common 880770102 17,904 37.2500 667 Tetra Tech Inc Common 88162G103 143,730 31.8750 4,581 Texaco Inc Common 881694103 56,710 62.1250 3,523 Texas Instruments, Inc. Common 882508104 177,927 47.3750 8,429 Textron, Inc. Common 883203101 14,829 46.5000 690 Thermo Electron Corp. Common 883556102 18,441 29.7500 549 Thomas & Betts Corp. Common 884315102 6,085 16.1876 99 3Com Corp Common 885535104 374,746 8.5000 3,185 Tidewater, Inc. Common 886423102 6,813 44.3750 302 Tiffany & Company Common 886547108 94,955 31.6250 3,003 Time Warner, Inc. Common 887315109 136,339 52.2400 7,122 Timken Co. Common 887389104 6,301 15.1251 95 Titan Corp. Common 888266103 6,601 16.2500 107 Toll Brothers Inc. Common 889478103 75,000 40.8750 3,066 Torchmark Corp Common 891027104 13,196 38.4375 507 Tosco Corp Common 891490302 14,963 33.9375 508 Toys R Us, Inc. Common 892335100 21,071 16.6875 352 Transaction Systems Architects Common 893416107 3,967 11.5625 46 Transwitch Corp. Common 894065101 10,026 39.1250 392 Triad Hospitals, Inc. Common 89579K109 136,270 32.5625 4,437 Triad Guaranty Inc Common 895925105 143,170 33.1250 4,743 Tricon Global Restaurant Common 895953107 15,295 33.0000 505 Tribune Company Common 896047107 31,155 42.2500 1,316 Trigon Healthcare, Inc. Common 89618L100 4,609 77.8125 359 Trimeris Inc. Common 896263100 8,000 54.8750 439 Trinity Industries Common 896522109 4,603 25.0000 115 Triquint Semiconductor Inc Common 89674K103 9,538 43.6875 417 True North Communications Common 897844106 6,099 42.5000 259 Tupperware Corp Common 899896104 6,051 20.4375 124 Tyco International Ltd Common 902124106 269,957 55.5000 14,983 Tyson Foods cl A Common 902494103 27,582 12.7500 352 UCAR Int'l., Inc. Common 90262K109 5,465 9.7500 53 USX-Marathon Group Common 902905827 32,185 27.7500 893 UST Inc Common 902911106 14,065 28.0625 395 US Bancorp Common 902973106 77,469 29.1875 2,261 USG Corp Common 903293405 5,469 22.5000 123
Page 17 of 19 Mutual of America Capital Management Tuesday, February 06, 2001 01:40 PM Form 13f for Quarter Ending December 31, 2000 Name of Reporting Manager: Mutual of America Capital Management FORM 13F INFORMATION
-------------- -------- ----- ------ ----- -------- Name of Issuer Title of CUSIP Shares Price Value Class (x$1000) -------------- -------- ----- ------ ----- -------- USX-U.S. Steel Group, Inc. Common 90337T101 9,174 18.0000 165 SLM Holding Corp. Common 90390U102 16,820 68.0000 1,144 Ultramar Diamond Shamrock Corp Common 904000106 10,643 30.8750 329 Unifi, Inc. Common 904677101 6,649 8.9375 59 Unilever N.V. Common 904784709 114,296 62.9375 7,194 Union Carbide Common 905581104 13,925 53.8125 749 Union Pacific Rail Road Common 907818108 25,613 50.7500 1,300 Union Planters Common 908068109 14,025 35.7500 501 Unisys Corp Common 909214108 32,130 14.6250 470 United Parcel Service Inc. Common 911312106 37,555 58.8125 2,209 United Rentals Common 911363109 8,562 13.4375 115 US Airways Group Inc. Common 911905107 6,861 40.5625 278 United Tech Corp Common 913017109 174,375 78.6250 13,710 United Healthcare Corp. Common 91324P102 34,626 61.3750 2,125 Unitrin Inc. Common 913275103 8,318 40.6250 338 Universal Corp. Common 913456109 3,379 35.0000 118 Univision Communications, Inc. Common 914906102 25,201 40.9375 1,032 Unocal Corp. Common 915289102 25,114 38.6875 972 UNUM Corp. Common 91529Y106 24,888 26.8750 669 Utilcorp United Inc Common 918005109 11,448 31.0000 355 V F Corp. Common 918204108 11,845 36.2400 429 Valassis Communication Common 918866104 6,569 31.5625 207 Valero Energy Corp. Common 91913Y100 7,519 37.1875 280 Valspar Corp. Common 920355104 5,247 32.1800 169 Vans Inc. Common 921930103 230,910 16.9375 3,911 Varco International, Inc. Common 922122106 86,206 22.0000 1,897 Vectren Corporation Common 92240G101 7,526 25.6250 193 Veritas Software Corp. Common 923436109 57,263 87.5000 5,011 Verizon Communications Common 92343V104 313,795 50.1250 15,729 Vertex Pharmaceutical Common 92532F100 7,157 71.5000 512 Viacom Inc Common 925524308 161,605 46.7500 7,555 Viad Corp. Common 92552R109 11,297 23.0000 260 Vishay Intertechnology, Inc. Common 928298108 16,854 15.1250 255 Visteon Corp. Common 92839U107 13,389 11.5000 154 VISX, Inc. Common 92844S105 7,465 10.4375 78 Vitesse Semiconductor Corp Common 928497106 18,311 55.3125 1,013 Vulcan Materials Co. Common 929160109 10,388 47.8750 497 Washington Gas Light Co. Common 92924F106 5,647 30.4375 172 WJ Communications Common 929284107 50 14.2500 1 Wachovia Corp. Common 929771103 20,864 58.1250 1,213 Waddell & Reed Common 930059100 10,179 37.6250 383 Wal-Mart Stores Inc Common 931142103 462,926 53.1250 24,593 Walgreen Company Common 931422109 104,002 41.8125 4,349 Wallace Computer Svcs Inc. Common 932270101 4,947 17.0000 84 Washington Federal Inc. Common 938824109 72,290 28.4375 2,056 Washington Mutual, Inc. Common 939322103 55,629 53.0625 2,952 Washington Post Co.- Cl. B Common 939640108 1,205 616.8750 743 Waste Management, Inc. Common 94106L109 64,072 27.7500 1,778 Waters Corp Common 941848103 15,715 83.5000 1,312 Watson Pharmaceuticals, Inc. Common 942683103 10,515 51.1875 538 Wausau-Mosinee Paper Corp. Common 943315101 6,229 10.1250 63 Weatherford International Common 947074100 13,380 47.2500 632
Page 18 of 19 Mutual of America Capital Management Tuesday, February 06, 2001 01:40 PM Form 13f for Quarter Ending December 31, 2000 Name of Reporting Manager: Mutual of America Capital Management FORM 13F INFORMATION
-------------- -------- ----- ------ ----- -------- Name of Issuer Title of CUSIP Shares Price Value Class (x$1000) -------------- -------- ----- ------ ----- -------- Webster Financial Corp. Common 947890109 5,966 28.3125 169 Wellpoint Health Networks Inc. Common 94973H108 31,094 115.2500 3,584 Wells Fargo & Co. Common 949746101 175,788 55.6875 9,789 Wendy's International, Inc. Common 950590109 11,810 26.2500 310 Westamerica Bancorp Common 957090103 4,462 43.0000 192 Western Resources Common 959425109 8,487 24.8125 211 Westpoint Stevens, Inc. Common 961238102 6,068 7.4900 45 Westport Resources Corp Common 961415106 150,110 21.9375 3,293 Westvaco Corp. Common 961548104 10,423 29.1875 304 Westwood One Inc. Common 961815107 13,434 19.3125 259 Weyerhaeuser Company Common 962166104 22,814 50.7500 1,158 Whirlpool Corp. Common 963320106 6,934 47.6875 331 Whitman Corp. Common 96647R107 19,339 16.3750 317 Whole Foods Market Inc. Common 966837106 30,980 61.1250 1,894 Willamette Industries, Inc. Common 969133107 11,459 46.9375 538 Williams Cos., Inc. Common 969457100 45,303 39.9375 1,809 Williams-Sonoma, Inc. Common 969904101 6,882 20.0000 138 Wilmington Trust Corp. Common 971807102 3,926 62.0625 244 Wind River Systems Common 973149107 8,947 34.1250 305 Winn-Dixie Stores, Inc. Common 974280109 14,629 19.3750 283 Wisconsin Central Transport Common 976592105 5,742 15.0625 86 Wisconsin Energy Corp Common 976657106 14,756 22.5625 333 MCI Worldcom Inc Common 98157D106 299,241 14.0000 4,189 Worthington Industries, Inc. Common 981811102 8,991 8.0625 72 Wrigley (Wm.) Jr. Co. Common 982526105 11,798 95.8125 1,130 Northern States Power Co. Common 98389B100 34,885 29.0625 1,014 Xilinx Inc Common 983919101 33,721 46.1250 1,555 Xerox Corp Common 984121103 68,734 4.6250 318 Yahoo! Inc. Common 984332106 57,285 30.1719 1,728 York International Corp. Common 986670107 4,667 30.6875 143 Zions Bancorporation Common 989701107 10,561 62.4375 659 Annuity and Life Re Common G03910109 130,610 31.9375 4,171 Everest Reinsurance Hldgs Common G3223R108 5,600 71.6250 401 Global Crossing Ltd. Common G3921A100 91,048 14.3125 1,303 PartnerRe Ltd. Common G6852T105 119,110 61.0000 7,266 RenaissanceRe Holdings Ltd. Common G7496G103 47,820 78.3125 3,745 Transocean Sedco Forex Inc. Common G90078109 21,653 46.0000 996 XL Capital Limited Common G98255105 41,390 87.3750 3,616 UBS AG Common H8920G155 2 163.4058 0 Core Laboratories N.V. Common L00002003 55,940 27.3125 1,528 OMI Corp Common Y6476W104 678,140 6.4375 4,366 Teekay Shipping Corp. Common Y8564W103 113,070 38.0000 4,297 - -------------------------------------------------------------------------------------------------------------- Totals for Common 49,733,455 1,944,905 Home Ownership Funding Corp Preferred 437296205 37,500 734.4931 27,543 Home Ownership II Preferred 437297203 12,500 735.0309 9,188 - -------------------------------------------------------------------------------------------------------------- Totals for Preferred 50,000 36,731 - -------------------------------------------------------------------------------------------------------------- Grand Total 49,783,455 1,981,637
Page 19 of 19 America Capital Management Corporation Form 13F for Quarter Ending December 31, 2000 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: 962 Form 13F Information Table Value Total: $1,981,637 (thousands) List of Other Included Managers: NONE
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