MUTUAL OF AMERICA CAPITAL MANAGEMENT CORP
13F-HR, 2000-02-09
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<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
                                     -----------------

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.    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-
        ----------------        -------------------------------------------
<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


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