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MMRHX Holdings List NMFQS:MMRHX

Allocation--50% to 70% Equity | MainStay
$13.48
↑ $0.03 (0.22%)
Last Updated: Feb 17, 2026

MainStay Moderate Allocation Class R3 (MMRHX) is a Allocation--50% to 70% Equity fund with $730.92 Million in assets. The fund allocates 61.70% of its portfolio to its top 10 holdings. It primarily invests in averagemarketcap cap stocks , with a focus on the cash and equivalents sector.

The largest holding in the fund is MainStay MacKay Total Return Bond R6 at 14.61 of total assets. This is followed by IQ MacKay ESG Core Plus Bond ETF ( 6.61) and IQ Candriam ESG US Equity ETF ( 5.70).

MMRHX Holdings

Name Weight Owned Change
MainStay MacKay Total Return Bond R6 14.61 12,153,475 -1,662,815
IQ MacKay ESG Core Plus Bond ETF 6.61 2,348,138 1,402,699
IQ Candriam ESG US Equity ETF 5.70 1,275,086 -22,372
MainStay Winslow Large Cap Growth R6 5.56 4,260,280 -66,442
MainStay WMC Growth R6 5.48 1,237,298 -17,490
MainStay Floating Rate R6 5.28 4,685,771 12,586
MainStay Epoch US Equity Yield R6 4.77 1,926,016 -33,924
MainStay MacKay Short Dur Hi Yld I 4.75 3,993,634 54,465
MainStay WMC Value R6 4.54 1,191,612 2,155
IQ Chaikin US Large Cap ETF 4.40 1,085,108 -12,577
MainStay WMC Enduring Capital R6 4.35 1,115,301 -18,714
MainStay MacKay High Yield Corp Bd R6 4.16 6,380,979 146,851
IQ 500 International ETF 2.53 675,970 -2,141
IQ Candriam ESG International Equity ETF 2.49 765,849 -10,033
MainStay Candriam Emerging Mkts Eq R6 2.43 1,870,614 19,075
MainStay WMC Small Companies I 2.18 733,651 -17,206
IQ 50 Percent Hedged FTSE Intl ETF 2.06 723,678 -16,014
IQ Chaikin US Small Cap ETF 1.86 465,982 -11,754
MainStay Epoch International Choice I 1.82 423,862 -1,744
MainStay WMC Intl Research Eq I 1.78 2,091,635 -24,382
MainStay MacKay International Equity R6 1.74 852,576 -25,058
MainStay S&P 500 Index I 1.48 223,363 -5,077
MainStay Epoch Capital Growth I 0.35 251,706 -852

Asset Allocation

Bond 31.34%
Cash 11.84%
Non US Stock 16.05%
Not Classified 0.23%
Other 0.47%
US Stock 40.07%

Market Cap

AverageMarketCap 69964.41%
Giant 19.65%
Large 17.49%
Medium 13.09%
Micro 1.75%
Small 4.33%

Sector Weights

Cash and Equivalents 1.68%
Corporate 1.68%
Derivative 1.68%
Government 1.68%
Municipal 1.68%
Securitized 1.68%
Basic Materials 3.94%
Consumer Cyclical 11.46%
Financial Services 15.43%
Real Estate 6.58%
Consumer Defensive 5.34%
Healthcare 12.20%
Utilities 1.68%
Communication Services 5.91%
Energy 3.02%
Industrials 12.63%
Technology 21.82%

World Regions

Latin America 0.83%
North America 72.16%
Asia Developed 2.65%
Asia Emerging 2.50%
Australasia 0.95%
Japan 4.78%
Africa/Middle East 0.41%
Europe Developed 11.13%
Europe Emerging 0.20%
United Kingdom 4.39%