C000175111 Holdings — Voya International High Dividend Low Volatility Fund

All 176 reported holdings of Voya International High Dividend Low Volatility Fund (C000175111) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Novartis AG3.28%$110.45K
Sanofi SA2.02%$68.10K
Allianz SE2.01%$67.60K
Bp PLC1.87%$62.92K
HSBC Holdings PLC1.80%$60.78K
Gsk PLC1.66%$55.99K
BHP Group Ltd1.56%$52.65K
Shell PLC1.56%$52.42K
Zurich Insurance Group AG1.49%$50.30K
Roche Holding AG1.39%$46.98K
British American Tobacco PLC1.31%$44.11K
Intesa Sanpaolo SpA1.28%$43.13K
National Grid PLC1.24%$41.96K
ANZ Group Holdings Ltd1.21%$40.90K
Takeda Pharmaceutical Co Ltd1.13%$38.21K
Holcim AG1.06%$35.75K
Japan Tobacco Inc1.02%$34.26K
Danone SA1.00%$33.84K
Eni SpA0.96%$32.44K
Imperial Brands PLC0.87%$29.41K
MS&AD Insurance Group Holdings0.86%$28.91K
Bayerische Motoren Werke AG0.85%$28.61K
Japan Post Bank Co Ltd0.83%$28.08K
Daiwa House Industry Co Ltd0.83%$27.83K
Deutsche Telekom AG0.79%$26.61K
Santos Ltd0.78%$26.27K
Orange SA0.78%$26.14K
Subaru Corp0.77%$25.93K
ENEOS Holdings Inc0.75%$25.44K
Swiss Re AG0.75%$25.19K
Danske Bank A/S0.75%$25.13K
Central Japan Railway Co0.74%$24.99K
NN Group NV0.74%$24.88K
DNB Bank ASA0.74%$24.86K
Sekisui House Ltd0.74%$24.83K
Mediobanca Banca di Credito Fi0.73%$24.65K
Sumitomo Mitsui Trust Holdings0.73%$24.59K
Swisscom AG0.73%$24.53K
Ferrovial SE0.72%$24.37K
Asahi Kasei Corp0.72%$24.27K
Aviva PLC0.72%$24.17K
Leonardo SpA0.70%$23.69K
JFE Holdings Inc0.70%$23.68K
CaixaBank SA0.70%$23.50K
ASR Nederland NV0.70%$23.47K
Terna - Rete Elettrica Naziona0.69%$23.42K
Osaka Gas Co Ltd0.69%$23.16K
SoftBank Corp0.67%$22.59K
ABN AMRO Bank NV0.66%$22.39K
Koninklijke KPN NV0.66%$22.26K
Koninklijke Ahold Delhaize NV0.66%$22.25K
Wolters Kluwer NV0.65%$21.97K
Secom Co Ltd0.65%$21.77K
Bridgestone Corp0.64%$21.67K
Sage Group PLC/The0.64%$21.56K
ACS Actividades de Construccio0.63%$21.07K
Ampol Ltd0.62%$21.00K
West Japan Railway Co0.62%$20.82K
Chubu Electric Power Co Inc0.62%$20.76K
Oji Holdings Corp0.61%$20.72K
Tosoh Corp0.61%$20.63K
BAE Systems PLC0.60%$20.20K
Mercedes-Benz Group AG0.60%$20.12K
Thales SA0.59%$20.04K
Redeia Corp SA0.59%$19.90K
Mitsubishi Chemical Group Corp0.59%$19.90K
Basf SE0.59%$19.84K
Brambles Ltd0.59%$19.81K
Smiths Group PLC0.59%$19.78K
Iberdrola SA0.59%$19.77K
Otsuka Holdings Co Ltd0.58%$19.65K
Obayashi Corp0.58%$19.44K
Bank of Ireland Group PLC0.58%$19.44K
UniCredit SpA0.58%$19.42K
Henkel AG & Co KGaA0.57%$19.32K
Relx PLC0.57%$19.19K
BOC Hong Kong Holdings Ltd0.57%$19.17K
Evonik Industries AG0.57%$19.17K
Munich Re0.57%$19.16K
Medibank Pvt Ltd0.57%$19.10K
QBE Insurance Group Ltd0.56%$18.96K
Poste Italiane SpA0.55%$18.44K
Hankyu Hanshin Holdings Inc0.54%$18.36K
M&g PLC0.54%$18.12K
Ntt0.53%$17.96K
Snam SpA0.53%$17.90K
McDonald's Japan0.53%$17.81K
Reckitt Benckiser Group PLC0.53%$17.79K
Credit Agricole SA0.51%$17.35K
Kirin Holdings Co Ltd0.51%$17.25K
USS Co Ltd0.50%$17.02K
ING Groep NV0.50%$16.74K
Nitto Denko Corp0.49%$16.59K
Bouygues SA0.49%$16.56K
Assicurazioni Generali SpA0.49%$16.55K
Oci NV0.49%$16.40K
Swiss Prime Site AG0.48%$16.31K
Suncorp Group Ltd0.48%$16.28K
Pearson PLC0.48%$16.24K
Ono Pharmaceutical Co Ltd0.48%$16.22K
Jardine Matheson Holdings Ltd0.48%$16.11K
New World Development Co Ltd0.47%$15.93K
Getlink SE0.45%$15.32K
Elbit Systems Ltd0.45%$15.26K
Orion Oyj0.45%$15.19K
Engie SA0.44%$14.97K
Inpex Corp0.44%$14.95K
Dai Nippon Printing Co Ltd0.43%$14.47K
Tryg A/S0.42%$14.32K
TOPPAN Holdings Inc0.41%$13.78K
Eiffage SA0.41%$13.71K
Aurizon Holdings Ltd0.41%$13.67K
Enagas SA0.40%$13.35K
Tobu Railway Co Ltd0.39%$13.24K
Telstra Group Ltd0.39%$13.20K
Hikma Pharmaceuticals PLC0.39%$13.05K
Helvetia Holding AG0.35%$11.84K
Power Assets Holdings Ltd0.35%$11.71K
Nordea Bank Abp0.33%$11.29K
CK Asset Holdings Ltd0.33%$11.28K
Elisa Oyj0.33%$11.25K
Insurance Australia Group Ltd0.32%$10.78K
Oversea-Chinese Banking Corp L0.31%$10.52K
Kuehne + Nagel International A0.31%$10.51K
Rio Tinto Ltd0.30%$10.24K
Erste Group Bank AG0.30%$10.21K
Repsol SA0.30%$10.13K
SCSK Corp0.29%$9.82K
HKT Trust & HKT Ltd0.29%$9.61K
Aker BP ASA0.27%$9.24K
SITC International Holdings Co0.27%$9.10K
Telefonica SA0.27%$9.07K
MSILF Government Portfolio0.27%$9.00K
Spark New Zealand Ltd0.26%$8.90K
Phoenix Group Holdings PLC0.25%$8.40K
Hang Lung Properties Ltd0.24%$8.13K
Banque Cantonale Vaudoise0.24%$8.07K
CLP Holdings Ltd0.24%$7.95K
Oracle Corp Japan0.23%$7.88K
Honda Motor Co Ltd0.23%$7.82K
Dassault Aviation SA0.23%$7.77K
Axa SA0.23%$7.62K
Kajima Corp0.21%$7.14K
Daiwa House Residential Invest0.21%$7.07K
Bkw AG0.20%$6.67K
Sino Land Co Ltd0.19%$6.27K
Heineken Holding NV0.18%$6.13K
Bureau Veritas SA0.18%$6.09K
Baloise Holding AG0.18%$6.07K
Hongkong Land Holdings Ltd0.18%$5.93K
Nintendo Co Ltd0.17%$5.59K
Nomura Real Estate Holdings In0.16%$5.47K
ST Engineering0.16%$5.26K
Syensqo SA0.15%$5.17K
Scout24 SE0.15%$5.01K
MTR Corp Ltd0.14%$4.88K
Banco BPM SpA0.14%$4.80K
Hannover Rueck SE0.14%$4.55K
Industria de Diseno Textil SA0.13%$4.53K
Air Liquide SA0.13%$4.49K
Kansai Electric Power Co Inc/T0.12%$4.09K
Shimizu Corp0.12%$4.02K
Aena SME SA0.12%$3.89K
Centrica PLC0.11%$3.74K
Vinci SA0.10%$3.54K
Tokyu Corp0.10%$3.52K
Computershare Ltd0.10%$3.49K
Bank Leumi Le-Israel BM0.10%$3.26K
Bank Hapoalim BM0.09%$3.16K
Endesa SA0.09%$3.13K
Hang Seng Bank Ltd0.09%$3.12K
Dcc PLC0.09%$3.13K
Auckland International Airport0.09%$3.02K
Solvay SA0.04%$1.45K
Iberdola I-240.01%$337
ACS Actividades de Construccio0.01%$245

C000175111 overview: performance, fees, allocation and SEC filings