Mutual of America Variable Insurance Portfolios, Inc.

Mutual of America VIP Small-Cap Growth Portfolio

Underlying fund
Series ID: S000066368
LEI: 254900QXBMWY73LU9O12
SEC CIK: 1776030
$11.80M Avg Monthly Net Assets
$10.11M Total Assets
$39K Total Liabilities
$10.07M Net Assets
Mutual of America VIP Small-Cap Growth Portfolio is an Underlying fund in Mutual of America Variable Insurance Portfolios, Inc. , based in New York, United States of America. The fund has one share class and monthly net assets of $11.80M. On November 16th, 2023 it reported 139 holdings, the largest being NORTHERN OIL AND GAS INC (2.1%), ESCO TECHNOLOGIES INC (2.0%) and CHART INDUSTRIES INC (2.0%). Data provided by Fincoded.

Share Classes

Name Class/Contract ID Ticker Monthly Returns (2 years)
Small Cap Growth Portfolio Class C000214169 Jun 22Jul 22Aug 22Sep 22Oct 22Nov 22Dec 22Jan 23Feb 23Mar 23Apr 23May 23Jun 23Jul 23Aug 2311.22% (Max)-9.04% (Min)

Holdings

From latest NPORT-P, filed November 16th, 2023 for period ending September 30th, 2023. Historic holdings data available from Fincoded.
Name Profile Category Country Value $USD # Shares % of Fund
ADDUS HOMECARE CORP 0.00000000 Long Equity-common US $138K 2K 1.37
ADVANCED ENERGY INDUSTRIES 0.00000000 Long Equity-common US $63K 609 0.62
ALKERMES PLC 0.00000000 Long Equity-common IE $42K 2K 0.42
ALTAIR ENGINEERING INC - A 0.00000000 Long Equity-common US $58K 926 0.58
AMICUS THERAPEUTICS INC 0.00000000 Long Equity-common US $49K 4K 0.48
AMN HEALTHCARE SERVICES INC 0.00000000 Long Equity-common US $87K 1K 0.87
AMPHASTAR PHARMACEUTICALS IN 0.00000000 Long Equity-common US $92K 2K 0.91
APELLIS PHARMACEUTICALS INC 0.00000000 Long Equity-common US $38K 998 0.38
ARROWHEAD PHARMACEUTICALS IN 0.00000000 Long Equity-common US $26K 961 0.26
ASANA INC - CL A 0.00000000 Long Equity-common US $30K 2K 0.30
ATI INC 0.00000000 Long Equity-common US $111K 3K 1.11
ATKORE INC 0.00000000 Long Equity-common US $112K 751 1.11
AVIENT CORP 0.00000000 Long Equity-common US $46K 1K 0.46
AXCELIS TECHNOLOGIES INC 0.00000000 Long Equity-common US $49K 298 0.48
AXSOME THERAPEUTICS INC 0.00000000 Long Equity-common US $61K 875 0.61
BJ'S WHOLESALE CLUB HOLDINGS 0.00000000 Long Equity-common US $77K 1K 0.77
BLACKLINE INC 0.00000000 Long Equity-common US $38K 694 0.38
BLOOM ENERGY CORP- A 0.00000000 Long Equity-common US $67K 5K 0.66
BLOOMIN' BRANDS INC 0.00000000 Long Equity-common US $132K 5K 1.31
BLUEPRINT MEDICINES CORP 0.00000000 Long Equity-common US $34K 678 0.34
BOSTON BEER COMPANY INC-A 0.00000000 Long Equity-common US $71K 183 0.71
C3.AI INC-A 0.00000000 Long Equity-common US $52K 2K 0.52
CALIX INC 0.00000000 Long Equity-common US $53K 1K 0.53
CASELLA WASTE SYSTEMS INC-A 0.00000000 Long Equity-common US $100K 1K 0.99
CHAMPIONX CORP 0.00000000 Long Equity-common US $154K 4K 1.53
CHART INDUSTRIES INC 0.00000000 Long Equity-common US $200K 1K 1.98
CHESAPEAKE ENERGY CORP 0.00000000 Long Equity-common US $83K 964 0.83
CHESAPEAKE UTILITIES CORP 0.00000000 Long Equity-common US $77K 789 0.77
COCA-COLA CONSOLIDATED INC 0.00000000 Long Equity-common US $61K 96 0.61
COLLEGIUM PHARMACEUTICAL INC 0.00000000 Long Equity-common US $60K 3K 0.59
CONMED CORP 0.00000000 Long Equity-common US $65K 641 0.64
CORCEPT THERAPEUTICS INC 0.00000000 Long Equity-common US $61K 2K 0.61
COUCHBASE INC 0.00000000 Long Equity-common US $34K 2K 0.34
CREDO TECHNOLOGY GROUP HOLDI 0.00000000 Long Equity-common KY $51K 3K 0.51
CYBERARK SOFTWARE LTD/ISRAEL 0.00000000 Long Equity-common IL $70K 430 0.70
DUCOMMUN INC 0.00000000 Long Equity-common US $41K 951 0.41
EASTGROUP PROPERTIES INC 0.00000000 Long Real estate US $52K 311 0.51
EMCOR GROUP INC 0.00000000 Long Equity-common US $182K 867 1.81
ESCO TECHNOLOGIES INC 0.00000000 Long Equity-common US $204K 2K 2.03
EVERI HOLDINGS INC 0.00000000 Long Equity-common US $89K 7K 0.88
EXLSERVICE HOLDINGS INC 0.00000000 Long Equity-common US $61K 2K 0.61
FABRINET 0.00000000 Long Equity-common KY $106K 637 1.05
FEDERAL SIGNAL CORP 0.00000000 Long Equity-common US $194K 3K 1.93
FIRST FINL BANKSHARES INC 0.00000000 Long Equity-common US $88K 4K 0.87
FIVE BELOW 0.00000000 Long Equity-common US $60K 372 0.59
FIVE9 INC 0.00000000 Long Equity-common US $90K 1K 0.89
FLYWIRE CORP-VOTING 0.00000000 Long Equity-common US $37K 1K 0.36
FOX FACTORY HOLDING CORP 0.00000000 Long Equity-common US $89K 900 0.89
FRANKLIN ELECTRIC CO INC 0.00000000 Long Equity-common US $113K 1K 1.12
FRESHPET INC 0.00000000 Long Equity-common US $97K 1K 0.96
GOLDEN ENTERTAINMENT INC 0.00000000 Long Equity-common US $133K 4K 1.32
GOOSEHEAD INSURANCE INC -A 0.00000000 Long Equity-common US $99K 1K 0.98
GRID DYNAMICS HOLDINGS INC 0.00000000 Long Equity-common US $43K 4K 0.43
HALOZYME THERAPEUTICS INC 0.00000000 Long Equity-common US $61K 2K 0.60
HARMONIC INC 0.00000000 Long Equity-common US $52K 5K 0.52
HEALTHEQUITY INC 0.00000000 Long Equity-common US $75K 1K 0.75
HOULIHAN LOKEY INC 0.00000000 Long Equity-common US $88K 823 0.88
HURON CONSULTING GROUP INC 0.00000000 Long Equity-common US $141K 1K 1.40
ICF INTERNATIONAL INC 0.00000000 Long Equity-common US $163K 1K 1.62
IDACORP INC 0.00000000 Long Equity-common US $57K 610 0.57
IMAX CORP 0.00000000 Long Equity-common CA $50K 3K 0.50
INDIE SEMICONDUCTOR INC-A 0.00000000 Long Equity-common US $52K 8K 0.51
INNOSPEC INC 0.00000000 Long Equity-common US $74K 722 0.73
INSMED INC 0.00000000 Long Equity-common US $58K 2K 0.57
INSPIRE MEDICAL SYSTEMS INC 0.00000000 Long Equity-common US $18K 89 0.18
INTRA-CELLULAR THERAPIES INC 0.00000000 Long Equity-common US $65K 1K 0.65
IRHYTHM TECHNOLOGIES INC 0.00000000 Long Equity-common US $55K 582 0.54
ISHARES MICRO-CAP ETF CL USD INC 0.00000000 Long Equity-common US $77K 765 0.76
ISHARES RUSSELL 2000 GROWTH ETF CL USD INC 0.00000000 Long Equity-common US $70K 311 0.69
JANUS INTERNATIONAL GROUP IN 0.00000000 Long Equity-common US $40K 4K 0.40
KARUNA THERAPEUTICS INC 0.00000000 Long Equity-common US $31K 184 0.31
KORN FERRY 0.00000000 Long Equity-common US $54K 1K 0.54
KRYSTAL BIOTECH INC 0.00000000 Long Equity-common US $54K 465 0.54
LAKELAND FINANCIAL CORP 0.00000000 Long Equity-common US $38K 805 0.38
LANTHEUS HOLDINGS INC 0.00000000 Long Equity-common US $81K 1K 0.81
LEMAITRE VASCULAR INC 0.00000000 Long Equity-common US $46K 852 0.46
LIVENT CORP 0.00000000 Long Equity-common US $35K 2K 0.35
MADRIGAL PHARMACEUTICALS INC 0.00000000 Long Equity-common US $45K 307 0.45
MARRIOTT VACATIONS WORLD 0.00000000 Long Equity-common US $34K 342 0.34
MASONITE INTERNATIONAL CORP 0.00000000 Long Equity-common CA $101K 1K 1.00
MATERION CORP 0.00000000 Long Equity-common US $39K 382 0.39
MAXIMUS INC 0.00000000 Long Equity-common US $56K 756 0.56
MAXLINEAR INC 0.00000000 Long Equity-common US $57K 3K 0.56
MERCURY SYSTEMS INC 0.00000000 Long Equity-common US $63K 2K 0.63
MODEL N INC 0.00000000 Long Equity-common US $36K 1K 0.36
MODIVCARE INC 0.00000000 Long Equity-common US $21K 656 0.21
MONTROSE ENVIRONMENTAL GROUP 0.00000000 Long Equity-common US $27K 936 0.27
MURPHY USA INC 0.00000000 Long Equity-common US $30K 88 0.30
NEOGEN CORP 0.00000000 Long Equity-common US $55K 3K 0.55
NEXTGEN HEALTHCARE INC 0.00000000 Long Equity-common US $90K 4K 0.89
NORTHERN OIL AND GAS INC 0.00000000 Long Equity-common US $215K 5K 2.13
NOVANTA INC 0.00000000 Long Equity-common CA $87K 607 0.86
OLLIE'S BARGAIN OUTLET HOLDI 0.00000000 Long Equity-common US $123K 2K 1.22
OMNICELL INC 0.00000000 Long Equity-common US $38K 833 0.37
ONTO INNOVATION INC 0.00000000 Long Equity-common US $96K 754 0.95
ORION SA 0.00000000 Long Equity-common LU $64K 3K 0.64
ORTHOPEDIATRICS CORP 0.00000000 Long Equity-common US $33K 1K 0.33
PDF SOLUTIONS INC 0.00000000 Long Equity-common US $85K 3K 0.84
PERFICIENT INC 0.00000000 Long Equity-common US $58K 995 0.57
PHILLIPS EDISON & COMPANY IN 0.00000000 Long Real estate US $45K 1K 0.44
PJT PARTNERS INC - A 0.00000000 Long Equity-common US $90K 1K 0.90
PRIMERICA INC 0.00000000 Long Equity-common US $84K 434 0.84
Q2 HOLDINGS INC 0.00000000 Long Equity-common US $38K 1K 0.38
QUALYS INC 0.00000000 Long Equity-common US $49K 322 0.49
RAMBUS INC 0.00000000 Long Equity-common US $76K 1K 0.76
RAPID7 INC 0.00000000 Long Equity-common US $83K 2K 0.83
ROIVANT SCIENCES LTD 0.00000000 Long Equity-common BM $34K 3K 0.34
RYMAN HOSPITALITY PROPERTIES 0.00000000 Long Real estate US $65K 784 0.65
SAIA INC 0.00000000 Long Equity-common US $91K 228 0.90
SELECTIVE INSURANCE GROUP 0.00000000 Long Equity-common US $85K 828 0.85
SHOCKWAVE MEDICAL INC 0.00000000 Long Equity-common US $28K 139 0.27
SILICON LABORATORIES INC 0.00000000 Long Equity-common US $43K 372 0.43
SILK ROAD MEDICAL INC 0.00000000 Long Equity-common US $25K 2K 0.25
SIMULATIONS PLUS INC 0.00000000 Long Equity-common US $66K 2K 0.65
SKYLINE CHAMPION CORP 0.00000000 Long Equity-common US $62K 973 0.62
SONIC AUTOMOTIVE INC-CLASS A 0.00000000 Long Equity-common US $65K 1K 0.65
SOUTHWESTERN ENERGY CO 0.00000000 Long Equity-common US $103K 16K 1.02
SPRINKLR INC-A 0.00000000 Long Equity-common US $26K 2K 0.26
STAAR SURGICAL CO 0.00000000 Long Equity-common US $24K 605 0.24
STEVEN MADDEN LTD 0.00000000 Long Equity-common US $48K 1K 0.47
SUPER MICRO COMPUTER INC 0.00000000 Long Equity-common US $142K 518 1.41
SUPERNUS PHARMACEUTICALS INC 0.00000000 Long Equity-common US $68K 2K 0.67
SYNAPTICS INC 0.00000000 Long Equity-common US $56K 626 0.56
TACTILE SYSTEMS TECHNOLOGY I 0.00000000 Long Equity-common US $34K 2K 0.34
TAYLOR MORRISON HOME CORP 0.00000000 Long Equity-common US $53K 1K 0.52
TENABLE HOLDINGS INC 0.00000000 Long Equity-common US $63K 1K 0.63
TENET HEALTHCARE CORP 0.00000000 Long Equity-common US $70K 1K 0.69
TREEHOUSE FOODS INC 0.00000000 Long Equity-common US $158K 4K 1.57
UFP INDUSTRIES INC 0.00000000 Long Equity-common US $110K 1K 1.10
VALVOLINE INC 0.00000000 Long Equity-common US $76K 2K 0.75
VARONIS SYSTEMS INC 0.00000000 Long Equity-common US $64K 2K 0.64
VERICEL CORP 0.00000000 Long Equity-common US $57K 2K 0.56
VIASAT INC 0.00000000 Long Equity-common US $29K 2K 0.28
VICOR CORP 0.00000000 Long Equity-common US $59K 1K 0.59
WORKIVA INC 0.00000000 Long Equity-common US $64K 630 0.63
XENCOR INC 0.00000000 Long Equity-common US $21K 1K 0.21
XPEL INC REG S 0.00000000 Long Equity-common US $94K 1K 0.93
ZIPRECRUITER INC-A 0.00000000 Long Equity-common US $18K 2K 0.18
ZUORA INC - CLASS A 0.00000000 Long Equity-common US $76K 9K 0.75

Address

Mutual of America Variable Insurance Portfolios, Inc.
320 Park Avenue
New York
New York
10022-6839
United States of America

Directors

William E. Whiston
Stanley E. Grayson
LaSalle D. Leffall, III
Margaret M. Smyth
Carolyn N. Dolan
John W. Sibal
Chris W. Festog

Transfer Agents

FIS Investor Services, LLC

Pricing Services

Refinitiv US LLC

Custodians

BROWN BROTHERS HARRIMAN & CO.

Shareholder Servicing Agents

N/A

Admins

Mutual of America Life Insurance Company
BROWN BROTHERS HARRIMAN & CO.

Brokers

Goldman Sachs & Co, LLC
ROYAL BANK OF CANADA
FIDELITY MANAGEMENT & RESEARCH COMPANY
MERRILL LYNCH, PIERCE, FENNER & SMITH INC.
STIFEL, NICOLAUS & COMPANY, INCORPORATED
Jefferies LLC
BNY MELLON CAPITAL MARKETS, LLC
INSTINET, LLC
MORGAN STANLEY & CO. LLC
CREDIT SUISSE SECURITIES (USA) LLC