<PAGE>
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
Form 13F
Form 13F COVER PAGE
Report for the Quarter Ended: December 31, 1999
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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
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Address: 320 Park Avenue
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New York, NY 10022-6839
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Form 13F File Number: 28-4274
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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
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Title: President and Chief Executive Officer
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Phone: (212) 224-1555
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Signature, Place, and Date of Signing:
/s/ Richard J. Ciecka New York, N. Y. February 1, 2000
- ---------------------------------------- --------------- ----------------
[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-
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<PAGE>
Mutual of America Capital Management
Form 13f for Quarter Ending December 31, 1999
Name of Reporting Manager: Mutual of America Capital Management
<TABLE>
<CAPTION>
FORM 13F INFORMATION TABLE
Name of Issuer Title of CUSIP Shares Price Value
Class (x$1000)
<S> <C> <C> <C> <C> <C>
ADC Telecommunications, Inc. Equities 000886101 17,841 72.5625 1,295
Aflac, Inc. Equities 001055102 31,735 47.1875 1,497
AGCO Corp. Equities 001084102 2,070 13.4375 28
AGL Resources Inc. Equities 001204106 1,979 16.9375 34
AES Corporation Equities 00130H105 70,110 74.7500 5,241
AK Steel Holding Corp. Equities 001547108 3,570 17.8125 64
AMR Corp. Equities 001765106 17,684 67.0000 1,185
AT&T Corp Equities 001957109 440,096 50.7500 22,335
Abbott Laboratories Equities 002824100 183,194 36.3125 6,652
Abercrombie & Fitch Co. Cl A Equities 002896207 3,591 26.6875 96
ACNielsen Corp. Equities 004833109 2,018 24.6250 50
Acuson Corp. Equities 005113105 932 12.5625 12
Acxiom Corp. Equities 005125109 2,949 24.0000 71
Adaptec, Inc. Equities 00651F108 12,188 49.8750 608
Adobe Systems Inc Equities 00724F101 14,346 67.2500 965
Adtran, Inc. Equities 00738A106 1,371 51.4375 71
Advanced Micro Devices Inc Equities 007903107 17,555 28.9375 508
AETNA INC Equities 008117103 17,850 55.8125 996
Affiliated Computer Svcs Equities 008190100 1,711 42.5625 73
Air Products & Chemicals Inc Equities 009158106 27,348 33.5625 918
Airborne Freight Equities 009266107 1,691 22.0000 37
Airgas Inc. Equities 009363102 2,461 9.2500 23
Alaska Air Group, Inc. Equities 011659109 917 35.1250 32
Albany International Corp-Cl A Equities 012348108 1,056 15.5000 16
Albemarle Corp Equities 012653101 1,636 19.1875 31
Alberto-Culver Company Equities 013068101 6,682 25.8125 172
Albertson's Inc Equities 013104104 50,490 32.2500 1,628
Alcan Aluminum Ltd. Equities 013716105 56,147 41.1875 2,313
Alcoa Inc Equities 013817101 76,300 83.0000 6,333
Alexander & Baldwin, Inc. Equities 014482103 1,506 22.8125 34
Alexion Pharmaceuticals Inc. Equities 014753AD9 250,000 7.9000 1,975
Allegheny Energy Inc. Equities 017361106 3,826 27.2500 104
Allegheny Teledyne Inc Equities 01741R102 11,169 22.4375 251
Allergan, Inc. Equities 018490102 15,680 49.7500 780
Interstate Energy Corp. Equities 018802108 2,728 27.5625 75
Allied Waste Industries, Inc. Equities 019589308 22,524 8.8125 198
Allmerica Financial Corp Equities 019754100 1,885 54.1875 102
Allstate Corp Equities 020002101 96,001 24.0000 2,304
Alltel Corp Equities 020039103 77,785 82.6875 6,432
Altera Corp Equities 021441100 35,315 49.5625 1,750
Alza Corp Equities 022615108 12,223 34.6250 423
Ambac Financial Group, Inc. Equities 023139108 2,431 52.1875 127
Amerada Hess Corp. Equities 023551104 10,813 56.7500 614
Ameren Corporation Equities 023608102 16,359 32.7500 536
America Online Inc Equities 02364J104 303,014 75.4375 22,859
American Electric Power Equities 025537101 23,148 32.1250 744
American Eagle Outfitters Equities 02553E106 1,618 47.0625 76
American Express Company Equities 025816109 81,902 166.2500 13,616
American Financial Group Equities 025932104 2,023 26.3125 53
American General Corp Equities 026351106 29,479 75.8750 2,237
American Greetings Corp. Equities 026375105 7,704 23.6250 182
</TABLE>
Page 1 of 20
<PAGE>
Mutual of America Capital Management
Form 13f for Quarter Ending December 31, 1999
Name of Reporting Manager: Mutual of America Capital Management
<TABLE>
<CAPTION>
FORM 13F INFORMATION TABLE
Name of Issuer Title of CUSIP Shares Price Value
Class (x$1000)
<S> <C> <C> <C> <C> <C>
American Home Products Equities 026609107 155,586 39.4375 6,136
American International Group Equities 026874107 209,882 108.1250 22,693
American Power Conversion Equities 029066107 6,683 26.3750 176
American Standard Companies Equities 029712106 2,459 43.0000 106
American Water Works Co. Equities 030411102 3,359 21.2500 71
Ametek Inc. Equities 031100100 1,128 18.8125 21
Amgen, Inc. Equities 031162100 186,746 60.0625 11,216
Amsouth Bancorporation Equities 032165102 46,661 19.3125 901
Anadarko Petroleum Corp. Equities 032511107 15,203 34.1250 519
Analog Devices, Inc. Equities 032654105 39,048 93.0000 3,631
Andrew Corp. Equities 034425108 9,785 18.9375 185
Anheuser-Busch Cos., Inc. Equities 035229103 55,507 70.8750 3,934
Ann Taylor Stores Corp. Equities 036115103 56,000 34.4375 1,929
Aon Corp. Equities 037389103 30,609 40.0000 1,224
Apache Corp Equities 037411105 13,604 36.9375 502
Apollo Group A Equities 037604105 2,687 20.0625 54
Apple Computer, Inc. Equities 037833100 19,188 102.8125 1,973
Apria Healthcare Group, Inc. Equities 037933108 1,809 17.9375 32
Applied Materials, Inc. Equities 038222105 74,508 126.6875 9,439
Applied Micro Equities 03822W109 74,000 127.2500 9,417
Archer-Daniels-Midland Co. Equities 039483102 72,491 12.1875 883
Arden Realty Group Equities 039793104 146,700 20.0625 2,943
Armstrong World Equities 042476101 4,814 33.3750 161
Arnold Industries Inc. Equities 042595108 865 13.5625 12
Arrow Electronics, Inc. Equities 042735100 3,336 25.3750 85
Arvin Industries, Inc. Equities 043339100 898 28.3750 25
Ashland Inc. Equities 044204105 8,608 32.9375 284
Aspect Development Inc. Equities 045234101 55,000 67.3906 3,706
Associated Banc-Corp Equities 045487105 2,199 34.2500 75
Associates First Capital Corp. Equities 046008108 86,851 27.4375 2,383
Astoria Financial Corp. Equities 046265104 1,905 30.4375 58
Asyst Technologies Inc. Equities 04648X107 21,600 62.2500 1,345
Atlantic Richfield Co. Equities 048825103 49,086 86.5000 4,246
Atmel Corp. Equities 049513104 120,970 29.5625 3,576
Autodesk, Inc. Equities 052769106 7,251 33.7500 245
Automatic Data Processing, Inc Equities 053015103 74,504 53.8750 4,014
AutoZone, Inc. Equities 053332102 17,245 32.3125 557
Avery Dennison Corp. Equities 053611109 13,441 72.8750 980
Avnet, Inc. Equities 053807103 1,460 60.5000 88
Avon Products, Inc. Equities 054303102 28,872 33.0000 953
BB&T Corporation Equities 054937107 39,387 27.3750 1,078
BJ Services Co Equities 055482103 2,464 41.8125 103
BJ's Wholesale Club, Inc. Equities 05548J106 77,562 36.5000 2,831
BMC Software Inc Equities 055921100 56,679 79.9375 4,531
Baker Hughes, Inc. Equities 057224107 39,260 21.0625 827
Ball Corp. Equities 058498106 3,664 39.3750 144
Bandag, Inc. Equities 059815100 762 25.0000 19
BankAmerica Corp. Equities 060505104 203,422 50.1875 10,209
Bank of New York Co., Inc. Equities 064057102 118,017 40.0000 4,721
Bank One Columbus Ohio Equities 06423A103 136,657 32.0625 4,382
Banta Corp. Equities 066821109 945 22.5625 21
Bard (C.R.), Inc. Equities 067383109 24,324 53.0000 1,289
</TABLE>
Page 2 of 20
<PAGE>
Mutual of America Capital Management
Form 13f for Quarter Ending December 31, 1999
Name of Reporting Manager: Mutual of America Capital Management
<TABLE>
<CAPTION>
FORM 13F INFORMATION TABLE
Name of Issuer Title of CUSIP Shares Price Value
Class (x$1000)
<S> <C> <C> <C> <C> <C>
Barnes & Noble, Inc. Equities 067774109 2,411 20.6250 50
Barrick Gold Corp. Equities 067901108 46,972 17.6875 831
Barrett Resources Corp Equities 068480201 38,000 29.4375 1,119
Basin Exploration Inc. Equities 070107107 50,000 17.6250 881
Bausch & Lomb, Inc. Equities 071707103 6,899 68.4375 472
Baxter International, Inc. Equities 071813109 34,708 62.8125 2,180
Bear Stearns Cos., Inc. Equities 073902108 14,229 42.7500 608
Beckman Coulter Inc. Equities 075811109 998 50.3750 50
Becton Dickinson & Co. Equities 075887109 29,858 26.7500 799
Bed Bath & Beyond, Inc. Equities 075896100 52,076 34.7500 1,810
Bell Atlantic Corp. Equities 077853109 215,524 61.5625 13,268
BellSouth Corp Equities 079860102 224,291 46.8125 10,500
Belo (A.H.) Equities 080555105 4,115 19.0625 78
Bemis Co. Equities 081437105 6,258 34.8750 218
Bergen Brunswig Corp. Equities 083739102 4,667 8.3125 39
Berkshire Hathaway, Inc. Equities 084670207 15 1,830.0000 27
Best Buy Co., Inc. Equities 086516101 24,500 50.1875 1,230
Bestfoods Equities 08658U101 39,975 52.5625 2,101
Bethlehem Steel Corp. Equities 087509105 15,642 8.3750 131
Beverly Enterprises, Inc. Equities 087851309 3,564 4.3750 16
BindView Development Corp. Equities 090327107 68,000 48.6875 3,311
Biogen, Inc. Equities 090597105 5,227 84.5000 442
Biomet, Inc. Equities 090613100 13,450 40.0000 538
Black & Decker Corp. Equities 091797100 10,361 52.2500 541
Black Hills Corp. Equities 092113109 756 22.2500 17
Block (H. & R.), Inc. Equities 093671105 11,663 43.7500 510
Blyth Industrites Equities 09643P108 1,686 24.5625 41
Bob Evans Farms, Inc. Equities 096761101 1,379 15.4375 21
Boeing Co. Equities 097023105 111,356 41.5625 4,628
Boise Cascade Corp. Equities 097383103 6,854 40.5000 278
Borders Group Inc Equities 099709107 2,697 16.0625 43
Borg-Warner Auto Equities 099724106 929 40.5000 38
Boston Properties Inc. Equities 101121101 87,500 31.1250 2,723
Boston Scientific Equities 101137107 49,450 21.8750 1,082
Bowater, Inc. Equities 102183100 1,781 54.3125 97
Briggs & Stratton Corp. Equities 109043109 2,809 53.6250 151
Brinker International, Inc. Equities 109641100 2,266 23.3750 53
Bristol-Myers Squibb Co. Equities 110122108 272,769 64.1875 17,508
BroadWing, Inc. Equities 111620100 7,520 36.9375 278
Brown-Forman Corp. Cl B Equities 115637209 8,159 57.2500 467
Brunswick Corp. Equities 117043109 10,947 22.2500 244
Buffets, Inc. Equities 119882108 1,465 10.0000 15
Burlington Industries Equities 121693105 1,840 3.8750 7
Burlington North Sante Fe Equities 12189T104 54,448 24.2500 1,320
Burlington Resources, Inc. Equities 122014103 25,940 33.0625 858
CCB Financial Corp. Equities 124875105 1,380 43.5625 60
CBRL Group, Inc. Equities 12489V106 2,031 9.8125 20
CBS Corp. Equities 12490K107 90,866 63.9375 5,810
CDW Computer Centers Inc. Equities 125129106 55,504 78.6250 4,364
CIGNA Corp Equities 125509109 22,178 80.5625 1,787
Cleco Corporation Equities 12561W105 783 31.9375 25
CK Witco Corporation Equities 12562C108 4,129 13.3750 55
</TABLE>
Page 3 of 20
<PAGE>
Mutual of America Capital Management
Form 13f for Quarter Ending December 31, 1999
Name of Reporting Manager: Mutual of America Capital Management
<TABLE>
<CAPTION>
FORM 13F INFORMATION TABLE
Name of Issuer Title of CUSIP Shares Price Value
Class (x$1000)
<S> <C> <C> <C> <C> <C>
CMP Group, Inc. Equities 125887109 1,128 27.3750 31
CMS Energy Corp. Equities 125896100 13,830 31.1875 431
CNF Transportation, Inc. Equities 12612W104 1,681 34.5000 58
CSG Systems International Equities 126349109 85,700 39.8750 3,417
CSX Corporation Equities 126408103 26,034 31.3750 817
CVS Corp. Equities 126650100 46,736 39.9375 1,867
Cabletron Systems, Inc. Equities 126920107 21,492 26.0000 559
Cabot Corp Equities 127055101 56,399 20.3750 1,149
Cadence Design Systems, Inc. Equities 127387108 8,436 24.0000 202
Callaway Golf Company Equities 131193104 2,637 17.6875 47
Calpine Corp. Equities 131347106 2,179 64.0000 139
Cambridge Tech. Partners, Inc. Equities 132524109 2,093 26.2500 55
Campbell Soup Co. Equities 134429109 51,034 38.6875 1,974
Capital One Financial Corp. Equities 14040H105 23,525 48.1875 1,134
Cardinal Health, Inc. Equities 14149Y108 33,371 47.8750 1,598
Carlisle Companies, Inc Equities 142339100 1,049 35.2500 37
Carnival Corporation Equities 143658102 73,549 47.8125 3,517
Carolina Power & Light Corp. Equities 144141108 19,028 30.4375 579
Carpenter Technology Corp. Equities 144285103 762 27.3125 21
Carter-Wallace, Inc. Equities 146285101 1,564 17.8125 28
Caterpillar, Inc. Equities 149123101 42,405 47.0625 1,996
Celgene Corp. Equities 151020104 22,000 69.4375 1,528
Cendant Corp. Equities 151313103 84,722 26.5625 2,250
Centex Corporation Equities 152312104 7,069 24.6875 175
Central & South West Corp. Equities 152357109 25,367 20.0000 507
Century Telephone Enterprises Equities 156700106 49,459 47.3750 2,343
Ceridian Corp. Equities 15677T106 17,255 21.5625 372
Champion International Corp. Equities 158525105 11,467 61.9375 710
Charter One Financial, Inc. Equities 160903100 7,350 19.1250 141
Chase Manhattan Corp Equities 16161A108 135,176 77.6875 10,501
Checkfree Holdings Corp. Equities 162816102 1,905 104.5000 199
Cheesecake Factory (The) Equities 163072101 106,400 35.0000 3,724
Chesapeake Corp. Equities 165159104 607 30.5000 19
Chevron Corp. Equities 166751107 89,165 86.6250 7,724
Chiron Corp. Equities 170040109 6,293 42.3750 267
Chris-Craft Industries, Inc. Equities 170520100 1,167 72.0625 84
Chubb Corp. Equities 171232101 20,990 56.3125 1,182
Church & Dwight Equities 171340102 1,352 26.6875 36
Cincinnati Financial Corp. Equities 172062101 19,587 31.1875 611
Cinergy Corp Equities 172474108 18,956 24.1250 457
Circuit City Group, Inc. Equities 172737108 47,223 45.0625 2,128
Cirrus Logic, Inc. Equities 172755100 2,280 13.3125 30
Cisco Systems, Inc. Equities 17275R102 446,561 107.1250 47,838
Citadel Communications, Corp. Equities 172853202 52,000 64.8750 3,374
Cintas Corp. Equities 172908105 3,857 53.1250 205
CitiGroup Inc Equities 172967101 453,106 55.5625 25,176
Citrix Systems, Inc. Equities 177376100 10,666 123.0000 1,312
City National Corp. Equities 178566105 1,585 32.9375 52
Claire's Stores, Inc. Equities 179584107 1,775 22.3750 40
Clayton Homes, Inc. Equities 184190106 4,848 9.1875 45
Clear Channel Communications Equities 184502102 84,563 89.2500 7,547
Cleveland Cliffs, Inc. Equities 185896107 390 31.1250 12
</TABLE>
Page 4 of 20
<PAGE>
Mutual of America Capital Management
Form 13f for Quarter Ending December 31, 1999
Name of Reporting Manager: Mutual of America Capital Management
<TABLE>
<CAPTION>
FORM 13F INFORMATION TABLE
Name of Issuer Title of CUSIP Shares Price Value
Class (x$1000)
<S> <C> <C> <C> <C> <C>
Clorox Co. Equities 189054109 28,194 50.3750 1,420
Coastal Corp. Equities 190441105 39,481 35.4375 1,399
Coca-Cola Co. Equities 191216100 334,315 58.2500 19,474
Coca-Cola Enterprises Equities 191219104 50,739 20.1250 1,021
Colgate-Palmolive Co. Equities 194162103 85,883 65.0000 5,582
Columbia Energy Group Equities 197648108 9,697 63.2500 613
Columbia/HCA Healthcare Corp. Equities 197677107 130,186 29.3125 3,816
Comcast Corp-Spl Equities 200300200 161,030 50.5625 8,142
Comdisco Inc Equities 200336105 5,325 37.2500 198
Comerica, Inc. Equities 200340107 18,656 46.6875 871
Compaq Computer Corp. Equities 204493100 202,566 27.0625 5,482
Compass Bancshares Equities 20449H109 98,451 22.3125 2,197
Computer Associates Intl., Inc Equities 204912109 64,274 69.9375 4,495
CompUSA, Inc. Equities 204932107 3,190 5.1250 16
Computer Sciences Corp. Equities 205363104 19,811 94.6250 1,875
Compuware Corporation Equities 205638109 42,673 37.2500 1,590
COMSAT Corp. Equities 20564D107 1,834 18.5000 34
Comverse Technologies Equities 205862402 8,435 144.7500 1,221
Conagra, Inc. Equities 205887102 58,677 22.5625 1,324
Concord EFS, Inc. Equities 206197105 104,611 25.7500 2,694
Conectiv Inc Equities 206829103 3,222 16.8125 54
Conoco, Inc. Equities 208251405 74,695 24.8750 1,858
Conseco, Inc. Equities 208464107 39,022 17.8750 698
Consolidated Edison, Inc. Equities 209115104 26,368 34.5000 910
Consolidated Natural Gas Co. Equities 209615103 11,437 64.9375 743
Consolidated Papers Equities 209759109 3,154 31.8125 100
Consolidated Stores Corp. Equities 210149100 13,215 16.2500 215
Baltimore Gas & Electric Co. Equities 210371100 17,841 29.0000 517
Convergys Corp. Equities 212485106 5,306 30.7500 163
Cooper Industries, Inc. Equities 216669101 11,229 40.4375 454
Cooper Tire & Rubber Co. Equities 216831107 9,043 15.5625 141
Coors (Adolph) Co. Cl B Equities 217016104 4,424 52.5000 232
Cordant Technologies, Inc. Equities 218412104 1,275 33.0000 42
Corning Inc Equities 219350105 57,397 128.9375 7,401
Costco Companies Equities 22160K105 26,450 91.2500 2,414
Countrywide Credit Industries Equities 222372104 13,486 25.2500 341
Covance, Inc. Equities 222816100 2,044 10.8125 22
Covenant Trans-A Equities 22284P105 62,200 17.3750 1,081
Crane Co. Equities 224399105 7,869 19.8750 156
Crown Cork & Seal Co., Inc. Equities 228255105 14,537 22.3750 325
Cullen/Frost Equities 229899109 115,200 25.7500 2,966
Cummins Engine, Inc. Equities 231021106 4,949 48.3125 239
Cypress Semiconductor Corp. Equities 232806109 118,786 32.3750 3,846
Cytec Industries, Inc. Equities 232820100 1,488 23.1250 34
Cytyc Corp Equities 232946103 60,000 61.0625 3,664
DPL, Inc. Equities 233293109 5,518 17.1250 94
DQE, Inc. Equities 23329J104 2,618 34.6250 91
DST Systems, Inc. Equities 233326107 2,203 76.3125 168
DTE Energy Co. Equities 233331107 17,294 31.3750 543
Dana Corp. Equities 235811106 19,622 29.9375 587
Danaher Corporation Equities 235851102 16,972 48.2500 819
Darden Restaurants, Inc. Equities 237194105 15,680 18.1250 284
</TABLE>
Page 5 of 20
<PAGE>
Mutual of America Capital Management
Form 13f for Quarter Ending December 31, 1999
Name of Reporting Manager: Mutual of America Capital Management
<TABLE>
<CAPTION>
FORM 13F INFORMATION TABLE
Name of Issuer Title of CUSIP Shares Price Value
Class (x$1000)
<S> <C> <C> <C> <C> <C>
Dayton Hudson Corp Equities 239753106 52,565 73.4375 3,860
Dean Foods Co Equities 242361103 1,371 39.7500 54
Deere & Co. Equities 244199105 27,873 43.3750 1,209
Dell Computer Corp. Equities 247025109 357,562 51.0000 18,236
Delphi Automotive Systems Corp Equities 247126105 67,383 15.7500 1,061
Delta Air Lines, Inc. Equities 247361108 15,866 49.8125 790
Deluxe Corp. Equities 248019101 8,774 27.4375 241
Dendrite International Inc. Equities 248239105 97,500 33.8750 3,303
Dentsply International, Inc. Equities 249030107 1,839 23.6250 43
Devon Energy Company Equities 25179M103 61,172 33.7500 2,065
DeVry, Inc. Equities 251893103 2,413 18.6250 45
Dexter Corp. Equities 252165105 801 39.7500 32
Dial Corp. Equities 25247D101 3,650 24.3125 89
Diebold, Inc. Equities 253651103 2,398 23.3125 56
Diedrich Coffee Inc. Equities 253675102 229,900 4.0938 941
Dillard's Inc. Cl A Equities 254067101 12,821 20.1875 259
Dime Bancorp, Inc. Equities 25429Q102 3,840 15.1250 58
Dionex Corporation Equities 254546104 36,500 41.1875 1,503
Disney (Walt) Co Equities 254687106 245,740 29.2500 7,188
Documentum Inc. Equities 256159104 83,400 59.8750 4,994
Dole Food Company Equities 256605106 1,934 16.2500 31
Dollar General Corp. Equities 256669102 31,694 22.7500 721
Dollar Tree Store Equities 256747106 2,154 48.4375 104
Dominion Resources, Inc. Equities 257470104 22,770 39.2500 894
Donaldson Company, Inc. Equities 257651109 1,605 23.7500 38
Donnelley (R.R.) & Sons Co. Equities 257867101 15,097 24.8125 375
Dover Corp. Equities 260003108 24,321 45.3750 1,104
Dow Chemical Company Equities 260543103 26,159 133.6250 3,495
Dow Jones & Co., Inc. Equities 260561105 10,676 68.0000 726
Dreyers Grand Ice Cream, Inc. Equities 261878102 959 17.0000 16
Du Pont (E.I.) De Nemours Equities 263534109 124,464 65.8750 8,199
Duke Energy Corp. Equities 264399106 43,606 50.1250 2,186
Dun & Bradstreet Corp. Equities 26483B106 19,194 29.5000 566
Dura Pharmaceuticals Equities 26632S109 74,400 13.9375 1,037
Dycom Industries, Inc. Equities 267475101 99,200 44.0625 4,371
EMC Corp. Equities 268648102 162,189 109.2500 17,719
ENSCO International, Inc. Equities 26874Q100 4,774 22.8750 109
E*Trade Group, Inc. Equities 269246104 8,468 26.1250 221
Eastern Enterprises Equities 27637F100 14,905 57.4376 856
Eastman Chemical Co. Equities 277432100 9,322 47.6875 445
Eastman Kodak Co. Equities 277461109 37,645 66.2500 2,494
Eaton Corp. Equities 278058102 8,775 72.6250 637
Ebenx, Inc Equities 278668108 95,000 46.6250 4,429
Ecolab Inc. Equities 278865100 15,450 39.1250 604
Edison International Equities 281020107 41,419 26.1875 1,085
Edwards (A.G.), Inc. Equities 281760108 3,190 32.0625 102
El Paso Energy Corp. Equities 283905107 41,726 38.8125 1,619
Electronic Arts Inc. Equities 285512109 2,167 84.0000 182
Electronic Data Systems Corp. Equities 285661104 56,097 66.9375 3,755
Emerson Electric Co. Equities 291011104 51,820 57.3750 2,973
Emmis Communications Corp. Equities 291525103 35,000 114.2500 3,999
Energy East Corporation Equities 29266M109 3,978 20.8125 83
</TABLE>
Page 6 of 20
<PAGE>
Mutual of America Capital Management
Form 13f for Quarter Ending December 31, 1999
Name of Reporting Manager: Mutual of America Capital Management
<TABLE>
<CAPTION>
FORM 13F INFORMATION TABLE
Name of Issuer Title of CUSIP Shares Price Value
Class (x$1000)
<S> <C> <C> <C> <C> <C>
Engelhard Corp. Equities 292845104 15,012 18.8750 283
Enron Corp. Equities 293561106 85,333 44.3750 3,787
Entergy Corp. Equities 29364G103 29,438 25.7500 758
Equifax, Inc. Equities 294429105 16,882 23.5625 398
Equity Res Prop Equities 29476L107 80,600 42.6875 3,441
Ethyl Corp. Equities 297659104 2,902 3.9375 11
Everest Reinsurance Hldgs Equities 299808105 1,627 22.3125 36
Exar Corp. Equities 300645108 62,000 58.5000 3,627
Express Scripts, Inc-CL A Equities 302182100 1,337 64.0000 86
Exxon Mobil Corp. Equities 30231G102 454,414 80.5625 36,609
FMC Corp. Equities 302491303 3,650 57.3126 209
FPL Group Inc Equities 302571104 21,371 42.8125 915
Family Dollar Stores Inc. Equities 307000109 6,006 16.3125 98
Fastenal Co. Equities 311900104 1,319 44.8750 59
FDX Corp Equities 31304N107 35,606 40.9375 1,458
FHLMC Equities 313400301 82,909 47.0625 3,902
Federal-Mogul Corporation Equities 313549107 2,558 20.1250 51
FNMA Equities 313586109 122,135 62.4375 7,626
Federal Signal Corp. Equities 313855108 1,606 16.0625 26
Federated Dept Stores Equities 31410H101 25,019 50.5625 1,265
Ferro Corp. Equities 315405100 1,231 22.0000 27
Fifth Third Bancorp Equities 316773100 36,765 73.3750 2,698
Finova Group, Inc Equities 317928109 2,127 35.5000 76
First Data Corp. Equities 319963104 49,934 49.3125 2,462
First Health Group Corp Equities 320960107 1,700 26.5000 45
First Security Corp. Equities 336294103 6,789 25.5313 173
FIirst Tennessee Natl Corp Equities 337162101 4,543 29.0000 132
First Union Corp Equities 337358105 117,677 32.8125 3,861
First Virginia Banks, Inc. Equities 337477103 1,744 42.4375 74
Firstar Corporation Equities 33763V109 116,796 21.1250 2,467
FIserv, Inc. Equities 337738108 4,248 38.3125 163
Firstmerit Corp. Equities 337915102 3,111 23.3594 73
FirstEnergy Corp. Equities 337932107 27,792 22.6875 631
Fleet Boston Corp Equities 339030108 155,795 34.8125 5,424
Fleetwood Enterprises, Inc. Equities 339099103 3,933 20.6251 81
Florida Progress Corp. Equities 341109106 11,702 42.3125 495
Flowers Industries Inc Equities 343496105 3,486 15.9375 56
Flowserve Corporation Equities 34354P105 1,301 17.0000 22
Fluor Corp. Equities 343861100 9,065 45.8750 416
Ford Motor Co. Equities 345370100 143,927 53.4375 7,691
Forest Laboratories, Inc. Equities 345838106 2,901 61.4375 178
Forest Oil Corp. Equities 346091606 150,000 13.1875 1,978
Fort James Corp of Virginia Equities 347471104 25,846 27.3750 708
Fortune Brands, Inc. Equities 349631101 19,592 33.0625 648
Forward Air Corporation Equities 349853101 134,100 43.3750 5,817
Foster Wheeler Corp. Equities 350244109 4,898 8.8751 43
Foundation Health Systems Cl-A Equities 350404109 4,250 9.9375 42
Franklin Resources, Inc. Equities 354613101 30,071 32.0625 964
Freeport-McMoran Copper Equities 35671D857 19,502 21.1250 412
FULLER HB CO MINNESOTA Equities 359694106 488 55.9375 27
Furniture Brands Intl., Inc. Equities 360921100 1,710 22.0000 38
GATX Corp. Equities 361448103 1,723 33.7500 58
</TABLE>
Page 7 of 20
<PAGE>
Mutual of America Capital Management
Form 13f for Quarter Ending December 31, 1999
Name of Reporting Manager: Mutual of America Capital Management
<TABLE>
<CAPTION>
FORM 13F INFORMATION TABLE
Name of Issuer Title of CUSIP Shares Price Value
Class (x$1000)
<S> <C> <C> <C> <C> <C>
GPU, Inc. Equities 36225X100 14,732 29.9375 441
GTE Corp Equities 362320103 115,795 70.5625 8,171
Gannett Co Equities 364730101 38,354 81.5625 3,128
Gap, Inc. Equities 364760108 102,051 46.0000 4,694
Gartner Group Inc. Equities 366651206 3,062 13.1250 40
Gateway 2000, Inc. Equities 367626108 77,733 72.0625 5,602
General Dynamics Corp. Equities 369550108 24,019 52.7500 1,267
General Electric Co. Equities 369604103 445,051 154.7500 68,872
General Instrument Corp. Equities 370120107 20,754 85.0000 1,764
General Mills, Inc. Equities 370334104 45,251 35.7500 1,618
General Motors Corp. Equities 370442105 76,312 72.6875 5,547
Genuine Parts Co. Equities 372460105 21,212 24.8125 526
Genzyme Corp. Equities 372917104 2,899 45.0000 130
Georgia Gulf Corp. Equities 373200203 1,076 30.4375 33
Georgia Pacific Corp Equities 373298108 20,401 50.7500 1,035
Georgia Pacific Corp Equities 373298702 2,881 24.6250 71
Gilead Sciences, Inc. Equities 375558103 1,522 54.1250 82
Gillette Company Equities 375766102 127,814 41.1871 5,264
Glatfelter (P.H.) Co Equities 377316104 1,467 15.5000 23
Global Marine, Inc. Equities 379352404 6,057 16.6250 101
Golden West Financial Corp. Equities 381317106 19,288 33.5000 646
Goodrich (B.F.) Co. Equities 382388106 13,122 27.5000 361
Goodyear Tire & Rubber Co. Equities 382550101 18,652 28.1875 526
W.R. Grace & Co. Equities 38388F108 8,531 13.8750 118
Grainger (W.W.), Inc. Equities 384802104 11,133 47.8125 532
Granite Constr Inc Equities 387328107 945 18.4375 17
Great Atlantic & Pacific Tea Equities 390064103 4,607 27.8750 128
Great Lakes Chemical Corp. Equities 390568103 6,862 38.1875 262
Greenpoint Financial Corp Equities 395384100 3,735 23.3750 87
GTECH Holdings Corp. Equities 400518106 1,212 22.0000 27
Guidant Corp. Equities 401698105 36,608 47.0000 1,721
HCC Insurance Equities 404132102 69,000 13.1875 910
HSB Group, Inc. Equities 40428N109 1,005 33.4375 34
Halliburton Company Equities 406216101 89,682 40.2500 3,610
Hanna M. A. CO Equities 410522106 1,700 10.9375 19
Hannaford Brothers Co. Equities 410550107 1,466 69.3125 102
Hanover Compressor Co. Equities 410768105 995 37.7500 38
Harcourt General, Inc. Equities 41163G101 8,468 40.2500 341
Harley-Davidson, Inc. Equities 412822108 5,242 64.0625 336
Harrah's Entertainment, Inc. Equities 413619107 15,334 26.4375 405
Harris Corp. Equities 413875105 2,773 26.6875 74
Harsco Corp. Equities 415864107 1,391 31.7500 44
Harte-Hanks, Inc. Equities 416196103 2,379 21.6875 52
Hartford Financial Services Equities 416515104 26,471 47.3750 1,254
Hasbro, Inc. Equities 418056107 23,117 19.0625 441
Hawaiian Electric Inds Equities 419870100 1,120 28.8125 32
HealthSouth Corp. Equities 421924101 46,025 5.3750 247
Health Management Associates Equities 421933102 8,777 13.3750 117
Heilig-Meyers Co. Equities 422893107 2,082 2.7500 6
Heinz (H.J.) Co. Equities 423074103 42,740 39.8125 1,702
Heller Financial Equities 423328103 70,300 20.0625 1,410
Helmerich & Payne, Inc. Equities 423452101 5,912 21.8125 129
</TABLE>
Page 8 of 20
<PAGE>
Mutual of America Capital Management
Form 13f for Quarter Ending December 31, 1999
Name of Reporting Manager: Mutual of America Capital Management
<TABLE>
<CAPTION>
FORM 13F INFORMATION TABLE
Name of Issuer Title of CUSIP Shares Price Value
Class (x$1000)
<S> <C> <C> <C> <C> <C>
Hercules, Inc. Equities 427056106 12,672 27.8750 353
Hershey Food Corp. Equities 427866108 16,508 47.5000 784
Hewlett-Packard Equities 428236103 121,483 113.9375 13,841
Hibernia Corp Cl A Equities 428656102 5,571 10.6250 59
Hillenbrand Industries, Inc. Equities 431573104 2,268 31.6875 72
Hilton Hotels Corp. Equities 432848109 52,089 9.6250 501
Hispanic Broadcasting Corp. Equities 43357B104 1,890 90.6250 171
Home Depot, Inc. Equities 437076102 313,189 68.5625 21,473
Homestake Mining Co. Equities 437614100 31,046 7.8125 243
HON Industries, Inc. Equities 438092108 2,091 21.9375 46
AlliedSignal Inc Equities 438516106 94,391 57.6875 5,445
Hooper Holmes, Inc. Equities 439104100 170,800 25.7500 4,398
Horace Mann Education Equities 440327104 1,427 19.6250 28
Hormel Foods Corp. Equities 440452100 2,534 40.6250 103
Houghton Mifflin Co. Equities 441560109 1,079 42.1875 46
Household International Corp. Equities 441815107 56,020 37.2500 2,087
Hubbell, Inc. - Cl. B Equities 443510201 2,260 27.6875 63
Humana, Inc. Equities 444859102 19,983 8.1875 164
J.B. Hunt Transport Srvcs, Inc Equities 445658107 1,239 13.3750 17
Huntington Bancshares, Inc. Equities 446150104 27,406 23.8750 654
Huttig Building Products Equities 448451104 28 4.9375 0
ICN Pharmasuticals Inc Equities 448924100 2,720 25.3125 69
IBP, Inc. Equities 449223106 3,208 18.0000 58
IDEC Pharmaceuticals Corp. Equities 449370105 20,000 98.2500 1,965
IMC Global, Inc. Equities 449669100 3,981 16.3750 65
IMS Health, Inc. Equities 449934108 36,738 27.1875 999
Ibasis Inc Equities 450732102 80,000 31.7500 2,540
ITT Industries, Inc. Equities 450911102 10,480 33.4375 350
IDACORP, Inc. Equities 451107106 1,308 26.6875 35
Ikon Office Solutions, Inc. Equities 451713101 17,790 6.8125 121
Illinois Tool Works, Inc. Equities 452308109 46,533 67.5625 3,144
Illinova Corp. Equities 452317100 45,731 34.7500 1,589
Imation Corp. Equities 45245A107 1,270 33.5625 43
Inco Ltd. Equities 453258402 22,898 23.5000 538
Indiana Energy, Inc. Equities 454707100 1,036 17.8125 18
Informix Corp. Equities 456779107 6,975 11.3750 79
Ingersoll Rand Co. Equities 456866102 19,525 55.0625 1,075
Integrated Device Tech., Inc. Equities 458118106 128,154 29.0000 3,716
Intel Corp Equities 458140100 457,441 82.3125 37,653
IBM CORP Equities 459200101 253,292 108.0000 27,356
Intl. Flavors & Fragrances Equities 459506101 12,542 37.7500 473
International Game Technology Equities 459902102 3,133 20.3125 64
International Multifoods Corp. Equities 460043102 652 13.2500 9
International Paper Co. Equities 460146103 71,189 56.4375 4,018
International Speedway Corp. Equities 460335201 56,847 50.3750 2,864
Interpublic Group of Cos.,Inc Equities 460690100 57,890 57.6875 3,340
Interstate Bakeries Corp. Equities 46072H108 2,440 18.1250 44
Intuit, Inc. Equities 461202103 6,766 59.9375 406
Investment Technology Grp, Inc Equities 46145F105 1,075 28.0000 30
IPALCO Enterprises, Inc. Equities 462613100 2,981 16.4375 49
Ivax Corp. Equities 465823102 3,656 25.7500 94
JDA Software Group Inc. Equities 46612K108 91,800 16.3750 1,503
</TABLE>
Page 9 of 20
<PAGE>
Mutual of America Capital Management
Form 13f for Quarter Ending December 31, 1999
Name of Reporting Manager: Mutual of America Capital Management
<TABLE>
<CAPTION>
FORM 13F INFORMATION TABLE
Name of Issuer Title of CUSIP Shares Price Value
Class (x$1000)
<S> <C> <C> <C> <C> <C>
Jabil Circuit, Inc. Equities 466313103 3,049 73.0000 223
Jacobs Engineering Group, Inc. Equities 469814107 901 31.4375 28
Jefferson-Pilot Corp. Equities 475070108 12,494 68.2500 853
Johnson & Johnson Equities 478160104 192,665 93.1250 17,942
Johnson Controls Equities 478366107 10,173 56.8750 579
Jones Apparel Group, Inc. Equities 480074103 4,257 27.1250 115
Jostens, Inc. Equities 481088102 4,184 24.3125 102
KLA Tencor Corporation Equities 482480100 33,331 111.3750 3,712
Kmart Corp. Equities 482584109 58,888 10.0625 593
Kansas City Power & Light Equities 485134100 2,152 21.0625 45
Kansas City Southern Inds Equities 485170104 13,174 74.6250 983
Kaufman & Broad Home Corp. Equities 486168107 5,684 24.1875 137
Kaydon Corp Equities 486587108 1,067 27.0000 29
Keane, Inc. Equities 486665102 2,490 31.7500 79
Kellogg Co. Equities 487836108 58,248 30.8125 1,795
Kelly Services, Inc. Equities 488152208 1,247 25.1250 31
Kennametal, Inc. Equities 489170100 1,041 33.6250 35
Kent Electronics Corp. Equities 490553104 34,900 22.8125 796
Kerr-McGee Corp. Equities 492386107 10,304 62.0000 639
KeyCorp Equities 493267108 53,357 22.1250 1,181
Keyspan Energy Corp Equities 49337W100 4,637 23.3750 108
Keystone Financial Equities 493482103 1,687 21.0625 36
Kimberly Clark Corp. Equities 494368103 96,133 65.2500 6,273
Kimco Realty Equities 49446R109 81,500 33.8750 2,761
K N Energy Inc. Equities 49455P101 68,706 21.1875 1,456
Knight-Ridder, Inc. Equities 499040103 16,182 59.5000 963
Kohls Corp Equities 500255104 19,436 72.1875 1,403
Kroger Company Equities 501044101 99,205 18.8750 1,872
Kulicke & Soffa Industries Equities 501242101 29,200 42.5625 1,243
LG & E Energy Corp Equities 501917108 4,509 17.4375 79
LSI Logic Corp. Equities 502161102 17,772 67.5000 1,200
Lancaster Colony Corp. Equities 513847103 1,387 33.1250 46
Lance Inc. Equities 514606102 1,042 10.0000 10
Lands End Inc. Equities 515086106 51,045 34.7500 1,774
Lear Corp Equities 521865105 2,324 32.0000 74
Lee Enterprises Equities 523768109 1,544 31.3750 48
Legato Systems Equities 524651106 137,944 68.8125 9,492
Legget & Platt Equities 524660107 23,412 21.4375 502
Legg Mason Equities 524901105 1,975 34.8750 69
Lehman Brothers Holdings, Inc. Equities 524908100 14,315 84.6875 1,212
Lexmark Intl Group Inc-Cl A Equities 529771107 15,237 90.5000 1,379
Lilly (Eli) & Co. Equities 532457108 129,943 66.5000 8,641
Limited, Inc. Equities 532716107 25,606 43.3125 1,109
Lincare Holdings, Inc. Equities 532791100 1,872 34.6875 65
Lincoln National Corp. Equities 534187109 23,334 40.0000 933
Linear Technology Corp Equities 535678106 74,622 71.5625 5,340
Litton Industries, Inc. Equities 538021106 1,580 49.8750 79
Liz Claiborne, Inc. Equities 539320101 7,069 37.6250 266
Lockheed Martin Corp. Equities 539830109 47,217 21.8750 1,033
Loews Corp. Equities 540424108 12,661 60.6875 768
Lone Star Steakhouse Equities 542307103 1,151 8.9219 10
Lone Star Technology Equities 542312103 89,200 27.8750 2,486
</TABLE>
Page 10 of 20
<PAGE>
Mutual of America Capital Management
Form 13f for Quarter Ending December 31, 1999
Name of Reporting Manager: Mutual of America Capital Management
<TABLE>
<CAPTION>
FORM 13F INFORMATION TABLE
Name of Issuer Title of CUSIP Shares Price Value
Class (x$1000)
<S> <C> <C> <C> <C> <C>
Longs Drug Stores Corp. Equities 543162101 4,718 25.8125 122
Longview Fibre Co. Equities 543213102 1,797 15.5625 28
Louisiana-Pacific Corp. Equities 546347105 12,707 14.2500 181
Lowe's Companies, Inc. Equities 548661107 45,570 59.7500 2,723
Lubrizol Corp. Equities 549271104 1,899 30.8750 59
Lucent Technologies Equities 549463107 428,823 74.8125 32,081
Lyondell Petrochemical Co. Equities 552078107 4,085 12.7500 52
MBIA INC Equities 55262C100 11,874 52.8125 627
MBNA Corp. Equities 55262L100 95,560 27.2500 2,604
MCN Energy Group Inc. Equities 55267J100 2,978 23.7500 71
MCI Worldcom Inc Equities 55268B106 382,637 53.0625 20,304
MDU Resources Group Equities 552690109 52,700 20.0000 1,054
MGIC Investment Corp Equities 552848103 55,728 60.1875 3,354
MKS Instruments Inc. Equities 55306N104 90,000 33.0000 2,970
Mack-Cali Realty Corp. Equities 554489104 108,000 26.0625 2,815
Magnatek, Inc. Equities 559424106 835 7.6875 6
Mallinckrodt, Inc. Equities 561232109 8,304 31.8125 264
Circus Circus Enterprises Inc. Equities 562567107 3,159 21.1250 67
HCR Manor Care Equities 564055101 12,328 16.0000 197
Manpower, Inc. Equities 56418H100 2,628 37.6250 99
Manugistics Group Inc. Equities 565011103 40,000 31.0000 1,240
Mark IV Industries Inc Equities 570387100 1,619 17.6875 29
Marsh & McLennan Cos., Inc. Equities 571748102 31,835 95.6875 3,046
Marshall & Ilsley Corp. Equities 571834100 3,690 62.6875 231
Marriott International, Inc. Equities 571903202 29,678 31.5625 937
Martin Marietta Materials Equities 573284106 1,624 41.0000 67
Masco Corp. Equities 574599106 53,291 25.3750 1,352
Mattel Inc Equities 577081102 50,184 13.1250 659
Maxim Integrated Equities 57772K101 136,070 47.1875 6,421
May Department Stores Company Equities 577778103 39,860 32.2500 1,285
Maxxam Inc. Equities 577913106 243 43.1251 10
Maytag Corp. Equities 578592107 10,082 48.0000 484
Mccormick & Co., Inc. Equities 579780206 2,479 29.7500 74
McDermott International, Inc. Equities 580037109 7,098 9.0625 64
McDonalds Corp Equities 580135101 161,339 40.3125 6,504
McGraw-Hill Cos., Inc. Equities 580645109 23,392 61.6250 1,442
McKesson HBOC Inc Equities 58155Q103 33,582 22.5625 758
Mead Corp. Equities 582834107 12,238 43.4375 532
Media General Inc. - Class A Equities 584404107 925 51.9375 48
MediaOne Group, Inc. Equities 58440J104 72,945 76.8125 5,603
MedicaLogic Inc Equities 584642102 35,000 26.8750 941
Medimmune, Inc. Equities 584699102 15,336 165.8750 2,544
Medtronic, Inc. Equities 585055106 210,789 36.4375 7,681
Mellon Bank Corp. Equities 58551A108 60,665 34.0625 2,066
Men's Wearhouse Equities 587118100 35,200 29.3750 1,034
Mentor Graphics Corp. Equities 587200106 2,224 13.0000 29
Mercantile Bankshares Corp. Equities 587405101 2,407 32.0000 77
Merck & Company Equities 589331107 318,319 67.0625 21,347
Mercury Interactive Corp. Equities 589405109 45,000 107.9375 4,857
Meredith Corp Equities 589433101 37,273 41.6875 1,554
Meritor Automotive, Inc. Equities 59000G100 2,403 19.3750 47
Merrill Lynch & Co. Equities 590188108 44,205 83.5000 3,691
</TABLE>
Page 11 of 20
<PAGE>
Mutual of America Capital Management
Form 13f for Quarter Ending December 31, 1999
Name of Reporting Manager: Mutual of America Capital Management
<TABLE>
<CAPTION>
FORM 13F INFORMATION TABLE
Name of Issuer Title of CUSIP Shares Price Value
Class (x$1000)
<S> <C> <C> <C> <C> <C>
Microsoft Corp Equities 594918104 709,781 116.7500 82,867
Microchip Technology, Inc. Equities 595017104 1,768 68.4375 121
Micro Warehouse, Inc. Equities 59501B105 1,245 18.5000 23
Micron Technology, Inc. Equities 595112103 53,434 77.7500 4,154
Midamerican Energy Hldgs. Co. Equities 59562V107 2,074 33.8125 70
Midcoast Energy Resources Equities 59563W104 15,400 16.0000 246
Milacron Inc Equities 598709103 4,446 15.3750 68
Millennium Pharmaceuticals Inc Equities 599902103 1,259 122.0000 154
Miller (Herman) Inc Equities 600544100 2,767 23.0000 64
Millipore Corp. Equities 601073109 147,302 38.6250 5,690
Minerals Technologies Inc. Equities 603158106 745 39.8750 30
Minimed Inc. Equities 60365K108 23,075 72.1250 1,664
Minnesota Mining Equities 604059105 47,874 97.8750 4,686
Minnesota Power & Light Equities 604110106 2,543 17.0000 43
Mirage Resorts, Inc. Equities 60462E104 23,089 15.3125 354
Mission Critical Software Equities 605047109 64,000 67.2500 4,304
Modine Manufacturing Co. Equities 607828100 1,027 25.0000 26
Modis Professional Services Equities 607830106 3,335 14.2500 48
Mohawk Industries, Inc. Equities 608190104 2,108 26.3750 56
Molex Inc., Cl A Equities 608554101 18,696 56.6875 1,060
Monsanto Co. Equities 611662107 75,677 35.6250 2,696
Montana Power Equities 612085100 105,732 36.0625 3,813
Morgan (J.P.) & Co., Inc. Equities 616880100 20,669 126.6250 2,617
Morgan Stanley Dean Witter Equities 617446448 66,365 142.7500 9,474
Motorola, Inc. Equities 620076109 72,628 147.2500 10,694
Murphy Oil Soap Equities 626717102 1,564 57.3750 90
Mylan Laboratories, Inc. Equities 628530107 4,492 25.1875 113
NCH Corp. Equities 628850109 188 44.8126 8
NCO Group, Inc. Equities 628858102 866 30.1250 26
NCR Corp. Equities 62886E108 3,345 37.8750 127
NTL Incorporated Equities 629407107 30,000 122.9375 3,688
Nabisco Group Holdings Equities 62952P102 38,885 10.6250 413
Nabors Industries Inc. Equities 629568106 123,907 30.9375 3,833
NACCO Industries, Inc Equities 629579103 997 55.5627 55
National City Corp Equities 635405103 73,544 23.6875 1,742
National Commerce Bancorp Equities 635449101 3,750 22.6875 85
National Fuel Gas Co. Equities 636180101 1,349 46.5000 63
National Instruments Equities 636518102 150,000 38.2500 5,738
National Semiconductor Corp. Equities 637640103 20,410 42.8125 874
National Service Industries Equities 637657107 4,860 29.5000 143
Navistar International Corp. Equities 63934E108 7,596 47.3750 360
Navigant Consulting Co. Equities 63935N107 1,443 10.3125 15
Neiman Marcus Group, Inc. Equities 640204202 1,704 27.9375 48
Network Assoc Equities 640938106 195,433 26.6875 5,216
Network Appliance, Inc. Equities 64120L104 37,776 83.0625 3,138
New Century Energies Equities 64352U103 13,764 30.3750 418
New England Electric System Equities 644001109 2,056 51.7500 106
New York Times Company Equities 650111107 88,948 49.1250 4,370
Newell Co. Equities 651229106 33,643 29.0000 976
Newfield Exploration Company Equities 651290108 81,000 26.7500 2,167
Newmont Mining Corp. Equities 651639106 61,595 24.5000 1,509
NewPort News Shipbuilding Equities 652228107 1,142 27.5000 31
</TABLE>
Page 12 of 20
<PAGE>
Mutual of America Capital Management
Form 13f for Quarter Ending December 31, 1999
Name of Reporting Manager: Mutual of America Capital Management
<TABLE>
<CAPTION>
FORM 13F INFORMATION TABLE
Name of Issuer Title of CUSIP Shares Price Value
Class (x$1000)
<S> <C> <C> <C> <C> <C>
Nextel Communications Equities 65332V103 78,029 103.1250 8,047
Niagara Mohawk Power Corp. Equities 653520106 22,343 13.9375 311
Nicor, Inc. Equities 654086107 5,639 32.5000 183
Nike, Inc Equities 654106103 33,407 49.5625 1,656
NiSource Inc. Equities 65473P105 4,348 18.0000 78
Noble Affiliates, Inc. Equities 654894104 1,982 21.4375 42
Noble Drilling Corp. Equities 655042109 4,553 32.7500 149
Nordson Corp. Equities 655663102 575 49.2500 28
Nordstrom, Inc. Equities 655664100 16,540 26.1875 433
Norfolk Southern Corp. Equities 655844108 45,393 20.5000 931
Nortel Networks Corporation Equities 656569100 202,590 101.0000 20,462
North Fork Bancorp Equities 659424105 4,517 17.5000 79
Northeast Utilities Equities 664397106 4,571 20.5625 94
Northern States Power Co. Equities 665772109 18,458 19.5000 360
Northern Trust Corp. Equities 665859104 26,545 53.0000 1,407
Northrop Grumman Corp. Equities 666807102 8,307 54.0625 449
NOVA Corp. Equities 669784100 2,548 31.5625 80
Novell, Inc. Equities 670006105 39,737 39.9375 1,587
Novellus Systems Equities 670008101 71,554 122.5313 8,768
NSTAR Equities 67019E107 31,903 40.5000 1,292
Nucor Corp. Equities 670346105 10,414 54.8125 571
Nuevo Energy Equities 670509108 105,000 18.7500 1,969
Oge Energy Corp. Equities 670837103 2,705 19.0000 51
Occidental Petroleum Corp. Equities 674599105 44,334 21.6250 959
Ocean Energy Inc Equities 67481E106 5,793 7.6250 44
Office Depot, Inc. Equities 676220106 39,224 10.9375 429
OfficeMax, Inc. Equities 67622M108 3,941 5.5000 22
Ogden Corp. Equities 676346109 1,711 11.9375 20
Ohio Casualty Corp. Equities 677240103 2,081 16.0625 33
Old Kent Financial Corp. Equities 679833103 14,047 35.3750 497
Old Republic Intl. Corp. Equities 680223104 4,373 13.6250 60
Olin Corp. Equities 680665205 1,573 19.5000 31
Olsten Corp Equities 681385100 2,827 11.3125 32
Omnicare, Inc. Equities 681904108 3,172 12.0000 38
Omnicom Group, Inc. Equities 681919106 55,461 100.0000 5,546
Oneok, Inc. Equities 682680103 3,803 25.1250 96
Oracle Corp Equities 68389X105 224,340 112.0625 25,140
Oregon Steel Equities 686079104 896 7.9375 7
Outback Steakhouse, Inc. Equities 689899102 2,617 25.9375 68
Overseas Shipholding Group Equities 690368105 1,161 14.6250 17
Owens Corning Equities 69073F103 6,549 19.3125 126
Owens Illinois, Inc. Equities 690768403 17,951 25.0625 450
Oxford Health Plans, Inc. Equities 691471106 2,828 12.6875 36
Peco Energy Co. Equities 693304107 22,163 34.7500 770
PG&E Corp Equities 69331C108 45,794 20.5000 939
Perkin-Elmer Corp. Equities 69332S102 12,281 120.3125 1,478
The PMI Group Inc. Equities 69344M101 1,556 48.8125 76
PNC Bank Corp. Equities 693475105 35,033 44.5000 1,559
PP&L Resources, Inc. Equities 693499105 17,122 22.8754 392
PPG Industries, Inc. Equities 693506107 20,729 62.5625 1,297
PRI Automation Equities 69357H106 67,000 67.1250 4,497
PSS World Medical Inc. Equities 69366A100 2,468 9.4375 23
</TABLE>
Page 13 of 20
<PAGE>
Mutual of America Capital Management
Form 13f for Quarter Ending December 31, 1999
Name of Reporting Manager: Mutual of America Capital Management
<TABLE>
<CAPTION>
FORM 13F INFORMATION TABLE
Name of Issuer Title of CUSIP Shares Price Value
Class (x$1000)
<S> <C> <C> <C> <C> <C>
Paccar, Inc. Equities 693718108 9,327 44.3125 413
Pacific Century Finl Corp. Equities 694058108 2,791 18.6875 52
PacifiCare Health Systems Cl B Equities 695112102 1,509 53.0000 80
Pactiv Corp. Equities 695257105 20,432 10.6250 217
Paine Webber Group Inc Equities 695629105 17,038 38.8125 661
Pall Corp. Equities 696429307 14,814 21.5625 319
Papa John's Intl Inc Equities 698813102 1,054 25.6250 27
Parametric Technology Corp Equities 699173100 32,112 27.0625 869
Park Place Entertainment Equities 700690100 10,562 12.5000 132
Parker Hannifin Corp Equities 701094104 34,738 51.3125 1,782
Paychex Inc Equities 704326107 29,411 40.0000 1,176
Payless Shoesource, Inc. Equities 704379106 1,076 47.0000 51
Penney (J.C.) Co., Inc. Equities 708160106 31,069 19.9375 619
Pennzoil-Quaker State Company Equities 709323109 2,707 10.1875 28
PENTIAR INC Equities 709631105 1,675 38.5000 64
Peoples Energy Corp. Equities 711030106 4,265 33.5000 143
Peoplesoft Inc Equities 712713106 29,322 21.3125 625
Pep Boys-Manny, Moe & Jack Equities 713278109 6,296 9.1251 57
PepsiCo, Inc. Equities 713448108 173,456 35.2500 6,114
Peregrine Systems Inc. Equities 71366Q101 80,000 84.1875 6,735
EG&G, Inc. Equities 714046109 5,508 41.6875 230
Perrigo Co. Equities 714290103 2,548 8.0000 20
Pharmacia & Upjohn Equities 716941109 61,750 45.0000 2,779
Pfizer Inc Equities 717081103 531,286 32.4375 17,234
Pfsweb Inc. Equities 717098107 55,000 39.0000 2,145
Phelps Dodge Equities 717265102 9,696 67.1250 651
Phillip Morris Cos., Inc. Equities 718154107 224,697 23.1875 5,210
Phillips Petroleum Company Equities 718507106 30,206 47.0000 1,420
Photronics Inc Equities 719405102 110,000 28.6250 3,149
Pinnacle West Capital Corp. Equities 723484101 10,134 30.5625 310
Pioneer Natural Resources Co Equities 723787107 3,488 8.5625 30
Pitney Bowes Inc. Equities 724479100 31,660 48.3125 1,530
Pittston Bax Group Equities 725701106 1,421 22.0000 31
Placer Dome, Inc. Equities 725906101 114,441 10.7500 1,230
Polaroid Corp. Equities 731095105 5,329 18.8125 100
Policy Management Systems Corp Equities 731108106 1,237 25.5625 32
Polycom, Inc. Equities 73172K104 1,142 65.5000 75
Potlatch Corp. Equities 737628107 22,280 44.6251 994
Potomac Electric Power Company Equities 737679100 4,122 22.9375 95
Praxair, Inc. Equities 74005P104 18,963 50.3125 954
Precision Castparts Corp. Equities 740189105 852 26.2500 22
Premier Parks Inc. Equities 740540208 2,717 28.8750 78
Price Communications Corp. Equities 741437305 108,535 27.7500 3,012
Price (T. Rowe) Associates Equities 741477103 14,283 36.9375 528
Pride International Inc Equities 741932107 150,000 14.6250 2,194
Procter & Gamble Company Equities 742718109 179,292 109.5625 19,644
Progenics Pharmaceuticals Inc. Equities 743187106 59,300 48.3750 2,869
Progressive Corp. of Ohio Equities 743315103 8,767 73.1250 641
Protective Life Corp Equities 743674103 2,243 31.4375 71
Provident Financial Group Equities 743866105 1,510 35.6875 54
Providian Financial Corp. Equities 74406A102 16,926 91.0625 1,541
Public Service Co. New Mexico Equities 744499104 1,418 16.2500 23
</TABLE>
Page 14 of 20
<PAGE>
Mutual of America Capital Management
Form 13f for Quarter Ending December 31, 1999
Name of Reporting Manager: Mutual of America Capital Management
<TABLE>
<CAPTION>
FORM 13F INFORMATION TABLE
Name of Issuer Title of CUSIP Shares Price Value
Class (x$1000)
<S> <C> <C> <C> <C> <C>
Public Svc. Enterprise Group Equities 744573106 26,082 34.8125 908
Puget Sound Power & Light Co. Equities 745332106 2,940 19.3750 57
Pulte Corp. Equities 745867101 5,199 22.5000 117
QlLogic Corporation Equities 747277101 1,260 158.9375 200
Quaker Oats Co. Equities 747402105 15,955 65.6250 1,047
QualComm Inc Equities 747525103 112,580 176.2500 19,842
Quanta Services Equities 74762E102 43,300 28.2500 1,223
Quantum Corp. Equities 747906204 5,708 14.7500 84
Quest Software Inc. Equities 74834T103 52,300 103.5000 5,413
Questar Corp. Equities 748356102 2,876 15.0000 43
Quintiles Transnational Corp. Equities 748767100 13,708 18.6875 256
Quorum Health Group Inc Equities 749084109 2,448 9.0938 22
RPM, Inc. Equities 749685103 3,742 10.1875 38
RSA Security Inc. Equities 749719100 60,000 74.5000 4,470
Radio One Inc. Equities 75040P108 65,300 92.8125 6,061
Ralston Purina Co. Equities 751277302 38,573 27.8750 1,075
Rational Software Corp Equities 75409P202 3,030 48.2500 146
Rayonier, Inc. Equities 754907103 965 48.3125 47
Raytheon Co. Equities 755111408 40,356 26.5625 1,072
Reader's Digest Assn Equities 755267101 3,688 29.3750 108
Reebok International Ltd. Equities 758110100 6,702 8.1875 55
Regions Financial Corp. Equities 758940100 26,119 25.1250 656
Reliant Energy Inc Equities 75952J108 35,274 22.8750 807
Reliastar Financial Corp. Equities 75952U103 3,075 39.3125 121
Republic NY Corp Equities 760719104 12,494 72.0000 900
Reynolds & Reynolds Co Equities 761695105 2,686 22.5000 60
Reynolds Metals Co. Equities 761763101 7,537 76.6250 578
RJ Reynolds Tobacco Holdings Equities 76182K105 3,775 17.8125 67
Rite Aid Corp Equities 767754104 30,880 11.1875 345
Robert Half Intl., Inc. Equities 770323103 3,108 28.5625 89
Rockwell Intl., Corp. Equities 773903109 22,700 47.8750 1,087
Rohm & Haas Co. Equities 775371107 26,102 40.6875 1,062
Rollins Inc Equities 775711104 1,055 15.0000 16
Ross Stores, Inc. Equities 778296103 3,134 17.9375 56
Rowan Cos., Inc. Equities 779382100 9,918 21.6875 215
Royal Dutch Petroleum-NYS Equities 780257804 291,906 60.4375 17,642
Ruddick Corp. Equities 781258108 1,615 15.5000 25
Rural Cellular Corp. Equities 781904107 75,000 90.0000 6,750
Russell Corp. Equities 782352108 4,013 16.7500 67
Ryder System, Inc. Equities 783549108 7,679 24.4375 188
Ryerson Tull Inc Equities 78375P107 868 19.4375 17
SBC Communications, Inc. Equities 78387G103 467,188 48.7500 22,775
SCI Systems Inc Equities 783890106 2,508 82.1875 206
SL Green Realty Equities 78440X101 184,700 21.7500 4,017
SLM Holding Corp. Equities 78442A109 18,987 42.2500 802
SPX, Inc. Equities 784635104 1,084 80.8125 88
Safeco Corp. Equities 786429100 15,512 24.8750 386
Safeway, Inc. Equities 786514208 60,691 35.5625 2,158
St. Jude Medical, Inc. Equities 790849103 10,034 30.6875 308
St Paul Companies Equities 792860108 27,105 33.6875 913
Saks Inc Equities 79377W108 5,031 15.5625 78
Sanmina Corp. Equities 800907107 2,028 99.8750 203
</TABLE>
Page 15 of 20
<PAGE>
Mutual of America Capital Management
Form 13f for Quarter Ending December 31, 1999
Name of Reporting Manager: Mutual of America Capital Management
<TABLE>
<CAPTION>
FORM 13F INFORMATION TABLE
Name of Issuer Title of CUSIP Shares Price Value
Class (x$1000)
<S> <C> <C> <C> <C> <C>
Sangstat Medical Equities 801003104 39,200 29.7500 1,166
Santa Fe Snyder Corp. Equities 80218K105 6,389 7.6875 49
Sara Lee Corp. Equities 803111103 108,333 22.0625 2,390
Scana Corp Equities 805898103 3,602 26.8125 97
SCHERING-PLOUGH Equities 806605101 175,050 42.1875 7,385
Schlumberger, Ltd. Equities 806857108 114,859 56.2500 6,461
Scholastic Corp. Equities 807066105 572 62.1875 36
A. Schulman, Inc. Equities 808194104 1,083 16.3125 18
Schwab (Charles) Equities 808513105 97,776 38.3750 3,752
Scientific Atlanta Equities 808655104 30,128 55.6250 1,676
Scottish Power Plc -ADR Equities 81013T705 3 28.0667 0
Seagate Technology Equities 811804103 24,844 46.5625 1,157
Seagram Co. Ltd. (The) Equities 811850106 71,694 44.9375 3,222
Sealed Air Corp Equities 81211K100 9,958 51.8125 516
Sears Roebuck & Co. Equities 812387108 45,094 30.4375 1,373
Semtech Corp Equities 816850101 121,800 52.1250 6,349
Sempra Energy Equities 816851109 28,665 17.3750 498
Sensormatic Elec Equities 817265101 2,629 17.4375 46
Sepracor, Inc. Equities 817315104 1,145 99.1875 114
Sequa Corp Cl A Equities 817320104 360 52.5000 19
Service Corp. International Equities 817565104 32,445 6.9375 225
Shared Medical Systems Corp. Equities 819486101 3,210 50.9376 164
Shaw Industries Equities 820286102 4,635 15.4375 72
Sherwin-Williams Co. Equities 824348106 19,814 21.0000 416
Shire Pharmaceuticals Plc Equities 82481R106 85,000 28.3750 2,412
Siebel Systems, Inc. Equities 826170102 6,678 84.0000 561
Sierra Pacific Resources Equities 826428104 2,717 17.4375 47
Sigma-Aldrich Corp. Equities 826552101 12,028 30.0625 362
Sigcorp Inc Equities 826912107 41,900 22.7500 953
Silicon Graphics, Inc. Equities 827056102 21,963 9.8125 216
Smith International Inc Equities 832110100 1,720 49.6875 85
J.M. Smucker Co. Equities 832696108 1,014 19.5000 20
Snap-On, Inc. Equities 833034101 7,020 26.5625 186
Solectron Corp Equities 834182107 68,738 95.1250 6,539
Solutia, Inc. Equities 834376105 3,816 15.4375 59
Sonoco Products Co. Equities 835495102 3,545 22.7500 81
Sotheby's Holdings Equities 835898107 2,044 30.0000 61
Southdawn, Inc. Equities 841297104 1,248 51.6875 65
Southern Company Equities 842587107 80,204 23.5000 1,885
Southtrust Corp Equities 844730101 20,010 37.8125 757
Southwest Airlines Co. Equities 844741108 118,458 16.1875 1,918
Sovereign Bancorp, Inc. Equities 845905108 7,614 7.4531 57
Spartech Corp. Equities 847220209 126,400 30.8750 3,903
Spieker Properties Equities 848497103 93,300 36.4375 3,400
Springs Industries, Inc. Equities 851783100 2,151 39.9376 86
Sprint Corp(PCS) Equities 852061100 103,900 67.3125 6,994
Sprint Corp(PCS) Equities 852061506 51,350 102.5000 5,263
Standard Register Co Equities 853887107 980 19.6250 19
Stanley Works Equities 854616109 10,697 30.1250 322
Staples Inc Equities 855030102 55,400 20.7500 1,150
Starbucks Corp. Equities 855244109 6,335 24.2500 154
State Street Corp. Equities 857477103 45,296 73.0625 3,309
</TABLE>
Page 16 of 20
<PAGE>
Mutual of America Capital Management
Form 13f for Quarter Ending December 31, 1999
Name of Reporting Manager: Mutual of America Capital Management
<TABLE>
<CAPTION>
FORM 13F INFORMATION TABLE
Name of Issuer Title of CUSIP Shares Price Value
Class (x$1000)
<S> <C> <C> <C> <C> <C>
Steris Corp. Equities 859152100 2,341 10.3125 24
Sterling Commerce, Inc. Equities 859205106 3,071 34.0625 105
Sterling Software, Inc. Equities 859547101 2,929 31.5000 92
Stewart & Stevenson Svcs., Inc Equities 860342104 973 11.8438 12
Stewart Enterprises Equities 860370105 3,762 4.7500 18
Storage Technology Corp. Equities 862111200 3,483 18.4375 64
Structural Dynamics Research Equities 863555108 1,248 12.7500 16
Stryker Corp Equities 863667101 3,370 69.6250 235
Suiza Foods Corp Equities 865077101 1,081 39.6250 43
Summit Bancorp Equities 866005101 20,866 30.6250 639
Sun Microsystems Equities 866810104 202,358 77.4375 15,670
Sungard Data Sys Inc. Equities 867363103 4,442 23.7500 105
Sunoco Inc Equities 86764P109 10,759 23.5000 253
Suntrust Banks, Inc. Equities 867914103 70,880 68.8125 4,877
Superior Industries Intl Equities 868168105 933 26.2500 24
Supervalu, Inc. Equities 868536103 16,699 20.0000 334
Swift Transport Equities 870756103 63,035 17.6250 1,111
Sybron Intl. Corp. Equities 87114F106 3,608 24.6875 89
Sykes Enterprises, Inc. Equities 871237103 1,471 43.8750 65
Sylvan Learning Equities 871399101 1,765 13.0000 23
Symantec Corp. Equities 871503108 2,014 58.6250 118
Symbol Technologies, Inc. Equities 871508107 3,068 63.5625 195
Synopsys, Inc. Equities 871607107 2,463 66.7500 164
Synovus Financial Corp. Equities 87161C105 33,315 19.8750 662
Sysco Corp. Equities 871829107 49,595 39.5625 1,962
TCF Financial Equities 872275102 2,901 24.8750 72
Teco Energy Inc Equities 872375100 4,484 19.0000 85
TJX Companies Equities 872540109 36,974 20.4375 756
TRW, Inc. Equities 872649108 14,505 51.9375 753
Tandy Corp. Equities 875382103 63,859 49.1875 3,141
Tech Data Corp Equities 878237106 1,782 27.1250 48
Tecumseh Products Co. Class A Equities 878895200 701 47.1875 33
Tektronix, Inc. Equities 879131100 5,642 38.8750 219
Teleflex, Inc. Equities 879369106 1,318 31.3125 41
Telephone & Data Systems, Inc. Equities 879433100 2,137 126.0000 269
Telewest Communications Plc Equities 87956P105 42,435 55.2500 2,345
Tellabs, Inc. Equities 879664100 47,904 64.1875 3,075
Temple-Inland, Inc. Equities 879868107 6,664 65.9375 439
Tenet Healthcare Corp. Equities 88033G100 37,137 23.5000 873
Teradyne Inc Equities 880770102 20,394 66.0000 1,346
Texaco Inc Equities 881694103 65,956 54.3125 3,582
Texas Instruments, Inc. Equities 882508104 126,527 96.8750 12,257
Texas Utilities Co. Equities 882848104 32,964 35.5625 1,172
Textron, Inc. Equities 883203101 17,746 76.6875 1,361
Thermo Electron Corp. Equities 883556102 18,866 15.0000 283
Thomas & Betts Corp. Equities 884315102 6,881 31.8750 219
3Com Corp Equities 885535104 41,112 47.0000 1,932
Tidewater, Inc. Equities 886423102 1,934 36.0000 70
Tiffany & Company Equities 886547108 57,899 89.2500 5,167
Time Warner, Inc. Equities 887315109 153,297 72.4375 11,104
Times Mirror Co. Equities 887364107 12,703 67.0000 851
Timken Co. Equities 887389104 7,405 20.4375 151
</TABLE>
Page 17 of 20
<PAGE>
Mutual of America Capital Management
Form 13f for Quarter Ending December 31, 1999
Name of Reporting Manager: Mutual of America Capital Management
<TABLE>
<CAPTION>
FORM 13F INFORMATION TABLE
Name of Issuer Title of CUSIP Shares Price Value
Class (x$1000)
<S> <C> <C> <C> <C> <C>
Torchmark Corp Equities 891027104 15,693 29.0625 456
Tosco Corp Equities 891490302 17,195 27.1875 467
Total Renal Care Equities 89151A107 2,823 6.6875 19
Toys R Us, Inc. Equities 892335100 29,215 14.3125 418
Transaction Systems Architects Equities 893416107 1,132 28.0000 32
Trex Company Inc. Equities 89531P105 80,000 26.1250 2,090
Tricon Global Restaurant Equities 895953107 18,315 38.6250 707
Tribune Company Equities 896047107 44,835 55.0625 2,469
Trigon Healthcare, Inc. Equities 89618L100 1,360 29.5000 40
Trinity Industries Equities 896522109 1,394 28.4375 40
True North Communications Equities 897844106 94,900 44.4375 4,217
Tupperware Corp Equities 899896104 6,889 16.9375 117
Tyco International Ltd. Equities 902124106 201,247 38.8750 7,823
Tyson Foods cl A Equities 902494103 7,953 16.2500 129
UCAR Int'l., Inc. Equities 90262K109 1,568 17.8125 28
USX-Marathon Group Equities 902905827 37,048 24.6875 915
UST Inc Equities 902911106 16,268 25.1875 410
US Bancorp Equities 902973106 86,705 23.8125 2,065
USG Corp Equities 903293405 1,731 47.1250 82
US Foodservice Equities 90331R101 62,917 16.7500 1,054
USX-U.S. Steel Group, Inc. Equities 90337T101 10,535 33.0000 348
US XPress Enterprises Equities 90338N103 62,200 7.3750 459
Ultramar Diamond Shamrock Corp Equities 904000106 3,012 22.6875 68
Unifi, Inc. Equities 904677101 2,078 12.3125 26
Unilever N.V Equities 904784709 68,167 54.4375 3,711
Unicom Corp. Equities 904911104 25,948 33.5000 869
Union Carbide Equities 905581104 15,986 66.7500 1,067
Union Pacific Rail Road Equities 907818108 29,640 43.6250 1,293
Union Pacific Resources Group Equities 907834105 30,064 12.7500 383
Union Planters Equities 908068109 16,835 39.4375 664
Unisys Corp Equities 909214108 36,943 31.9375 1,180
United Healthcare Corp. Equities 910581107 20,275 53.1250 1,077
US Airways Group Inc. Equities 911905107 8,530 32.0625 273
US West Inc Equities 91273H101 60,258 72.0000 4,339
United Tech Corp Equities 913017109 57,117 65.0000 3,713
Unitrin Inc. Equities 913275103 2,516 37.6250 95
Universal Corp. Equities 913456109 1,073 22.8125 24
Universal Foods Corp. Equities 913538104 1,748 20.3750 36
Univision Communications, Inc. Equities 914906102 3,529 102.1875 361
Unocal Corp. Equities 915289102 28,919 33.5625 971
UNUM Corp. Equities 91529Y106 28,621 32.0625 918
Utilcorp United Inc Equities 918005109 3,238 19.4375 63
V F Corp. Equities 918204108 14,098 30.0000 423
Valero Energy Corp. Equities 91913Y100 1,956 19.5625 38
Varco International, Inc. Equities 922126107 2,263 10.1875 23
Varian Semiconductor Equipment Equities 922207105 37,800 34.0000 1,285
Veeco Instruments Inc. Equities 922417100 72,000 46.7500 3,366
Veritas Software Corp. Equities 923436109 8,978 143.1250 1,285
Verity Inc. Equities 92343C106 57,000 42.5625 2,426
Viacom Inc Equities 925524308 148,422 60.4375 8,970
Viad Corp. Equities 92552R109 3,290 27.8750 92
Vishay Intertechnology, Inc. Equities 928298108 2,942 31.6250 93
</TABLE>
Page 18 of 20
<PAGE>
Mutual of America Capital Management
Form 13f for Quarter Ending December 31, 1999
Name of Reporting Manager: Mutual of America Capital Management
<TABLE>
<CAPTION>
FORM 13F INFORMATION TABLE
Name of Issuer Title of CUSIP Shares Price Value
Class (x$1000)
<S> <C> <C> <C> <C> <C>
Visual Networks, Inc. Equities 928444108 70,000 79.2500 5,548
VISX, Inc. Equities 92844S105 2,217 51.7500 115
Vitesse Semiconductor Corp Equities 928497106 5,337 52.4375 280
Vlasic Foods International Equities 928559103 1,582 5.6875 9
Voicestream Wireless Corp. Equities 928615103 31,300 135.0000 4,226
Vornado Realty Trust Equities 929042109 93,300 32.5000 3,032
Vulcan Materials Co. Equities 929160109 11,933 39.9376 477
Wachovia Corp. Equities 929771103 24,185 68.0000 1,645
Wal-Mart Stores Inc Equities 931142103 606,363 69.1250 41,915
Walgreen Company Equities 931422109 119,602 29.2500 3,498
Wallace Computer Svcs Inc. Equities 932270101 1,458 16.3750 24
Warnaco Group, Inc. Cl A Equities 934390105 1,932 12.3125 24
Warner-Lambert Equities 934488107 102,377 81.9375 8,389
Washington Gas Light Co. Equities 938837101 1,616 27.5000 44
Washington Mutual, Inc. Equities 939322103 68,864 26.0000 1,790
Washington Post Co.- Cl. B Equities 939640108 350 553.0000 194
Waste Management, Inc. Equities 94106L109 73,896 17.1875 1,270
Waters Corp Equities 941848103 2,134 53.0000 113
Watson Pharmaceuticals, Inc. Equities 942683103 11,432 35.8125 409
Wausau-Mosinee Paper Corp. Equities 943315101 1,781 11.6875 21
Weatherford International Equities 947074100 73,244 39.9375 2,925
Webster Financial Corp. Equities 947890109 1,579 23.5625 37
Wellman, Inc. Equities 949702104 1,176 18.6250 22
Wellpoint Health Networks Inc. Equities 94973H108 7,607 65.9375 502
Wells Fargo & Co. Equities 949746101 257,791 40.4375 10,424
Wendy's International, Inc. Equities 950590109 14,277 20.6250 294
Westamerica Bancorp Equities 957090103 1,303 27.9375 36
Western Wireless Equities 95988E204 85,500 66.7500 5,707
Westpoint Stevens, Inc. Equities 961238102 1,850 17.5000 32
Westvaco Corp. Equities 961548104 11,961 32.6250 390
Westwood One Inc. Equities 961815107 53,921 71.0000 3,828
Weyerhaeuser Company Equities 962166104 28,015 71.8125 2,012
Whirlpool Corp. Equities 963320106 8,875 65.0625 577
Whitman Corp. Equities 96647R107 4,890 13.3125 65
Willamette Industries, Inc. Equities 969133107 13,299 46.4375 618
Williams Cos., Inc. Equities 969457100 51,844 30.5625 1,584
Williams-Sonoma, Inc. Equities 969904101 1,942 46.0000 89
Wilmington Trust Corp. Equities 971807102 1,153 48.0625 55
Winn-Dixie Stores, Inc. Equities 974280109 17,722 23.9375 424
Wisconsin Central Transport Equities 976592105 1,782 13.4375 24
Wisconsin Energy Corp Equities 976657106 4,074 19.3750 79
Worthington Industries, Inc. Equities 981811102 10,645 16.5625 176
Wrigley (Wm.) Jr. Co. Equities 982526105 13,808 82.9375 1,145
Xilinx Inc Equities 983919101 197,336 45.4688 8,973
Xerox Corp Equities 984121103 79,212 22.6875 1,797
Yahoo! Inc. Equities 984332106 31,367 432.6875 13,572
York International Corp. Equities 986670107 1,350 27.4375 37
Young & Rubicam, Inc. Equities 987425105 68,400 70.7500 4,839
Zions Bancorporation Equities 989701107 2,946 58.6250 173
Global Crossing Ltd. Equities G3921A100 126,726 50.0000 6,336
Transocean Sedco Forex Inc. Equities G90078109 25,818 33.6875 870
- --------------------------------------------------------------------------------------------------------------------
Totals for Equities 39,186,443 2,089,011
</TABLE>
Page 19 of 20
<PAGE>
Mutual of America Capital Management
Form 13f for Quarter Ending December 31, 1999
Name of Reporting Manager: Mutual of America Capital Management
<TABLE>
<CAPTION>
FORM 13F INFORMATION TABLE
Name of Issuer Title of CUSIP Shares Price Value
Class (x$1000)
<S> <C> <C> <C> <C> <C>
Home Ownership Funding Corp Preferred 437296205 37,500 810.2422 30,384
Home Ownership II Preferred 437297203 12,500 810.9005 10,136
- --------------------------------------------------------------------------------------------------------------------
Totals for Preferred 50,000 40,520
- --------------------------------------------------------------------------------------------------------------------
Grand Total 39,236,443 2,129,532
</TABLE>
Page 20 of 20
<PAGE>
Mutual of America Capital Management Corporation
For 13F for Quarter Ending December 31, 1999
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: 988
Form 13F Information Table Value Total: $2,129,532 (thousands)
List of Other Included Managers: NONE