MMA Capital (MMAC) Stock Analysis
NASDAQFinancial ServicesFinancial - Mortgages
What MMA Capital does
MMA Capital Holdings, Inc. primarily engages in debt investments related to renewable energy infrastructure and real estate. Based in Baltimore, Maryland, the company employs 216 full-time individuals. Its operations are structured into three distinct segments: U.S. Operations, International Operations, and Corporate Operations. The U.S. Operations segment encompasses three specific business lines: Leveraged Bonds, Low-Income Housing Tax Credits (LIHTC), and Energy Capital and Other Investments. Under the Leveraged Bonds line, the firm acquires and manages bonds that fund housing and infrastructure initiatives within the United States. Its LIHTC activities involve owning and overseeing both limited and general partner investments in affordable housing communities across the U.S. Furthermore, the Energy Capital and Other Investments business line supplies essential project capital for the development and construction of renewable energy systems. The International Operations segment is administered through its subsidiary, International Housing Solutions S.a r.l. (IHS).
Key metrics
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PortView Portfolio Insights
PortView analyzes how MMAC fits your actual portfolio — position weight, portfolio concentration, unrealized gain/loss, contribution to return, sector exposure, indirect exposure through the ETFs you hold, and correlation with your other holdings. Connect a portfolio to see your personalized figures; PortView never shows another user's private holdings.
Analyze MMAC in PortView →Frequently asked questions
- What is the ticker symbol for MMA Capital?
- MMA Capital trades under the ticker MMAC on NASDAQ.
- Which exchange is MMAC listed on?
- MMAC is listed on NASDAQ.
- What sector does MMA Capital operate in?
- MMA Capital is classified in the Financial Services sector (Financial - Mortgages industry).
- How can PortView help analyze MMAC in a portfolio?
- PortView shows MMAC's weight in your portfolio, its contribution to return and risk, sector exposure, indirect exposure through ETFs you own, and correlation with your other holdings.
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