C000175116 Holdings — Voya U.s. High Dividend Low Volatility Fund

All 175 reported holdings of Voya U.s. High Dividend Low Volatility Fund (C000175116) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Johnson & Johnson2.14%$582.72K
Merck & Co Inc1.80%$489.10K
iShares Russell 1000 Value ETF1.74%$471.95K
Verizon Communications Inc1.45%$392.98K
Cisco Systems Inc1.38%$374.51K
Procter & Gamble Co/The1.34%$364.29K
Philip Morris International In1.30%$353.11K
Comcast Corp1.26%$341.54K
AT&T Inc1.19%$322.33K
Cigna Group/The0.99%$268.11K
T-Mobile US Inc0.98%$266.64K
Coca-Cola Co/The0.98%$266.01K
Colgate-Palmolive Co0.96%$259.64K
Altria Group Inc0.92%$251.37K
Wells Fargo & Co0.92%$250.23K
Citigroup Inc0.92%$249.61K
ConocoPhillips0.91%$247.75K
CME Group Inc0.90%$243.37K
Mondelez International Inc0.89%$242.80K
PepsiCo Inc0.88%$239.29K
UnitedHealth Group Inc0.88%$238.27K
Elevance Health Inc0.86%$234.78K
EOG Resources Inc0.86%$232.78K
QUALCOMM Inc0.85%$229.76K
Gilead Sciences Inc0.84%$228.74K
American Express Co0.82%$222.96K
Garmin Ltd0.82%$222.18K
IBM0.82%$222.08K
Bristol-Myers Squibb Co0.81%$220.82K
Westinghouse Air Brake Technol0.81%$219.83K
MetLife Inc0.81%$218.85K
Dow Inc0.80%$217.90K
Hartford Financial Services Gr0.79%$215.28K
McKesson Corp0.79%$214.74K
Leidos Holdings Inc0.78%$212.93K
Phillips 660.78%$210.75K
Prudential Financial Inc0.77%$209.53K
Allstate Corp/The0.76%$205.88K
Applied Materials Inc0.75%$204.97K
CVS Health Corp0.75%$204.19K
Valero Energy Corp0.75%$204.12K
NetApp Inc0.75%$204.01K
Sempra0.75%$202.82K
Travelers Cos Inc/The0.75%$202.76K
Kinder Morgan Inc0.74%$201.84K
Electronic Arts Inc0.74%$201.31K
Edison International0.74%$200.50K
AMETEK Inc0.74%$199.93K
Medtronic PLC0.73%$198.30K
Brown & Brown Inc0.72%$194.77K
Aon PLC0.71%$193.21K
Johnson Controls International0.71%$192.07K
Marathon Petroleum Corp0.70%$190.74K
Tradeweb Markets Inc0.70%$190.00K
Willis Towers Watson PLC0.70%$189.17K
Reinsurance Group of America I0.68%$184.20K
Kraft Heinz Co/The0.67%$182.33K
Unum Group0.67%$180.97K
Axis Capital Holdings Ltd0.67%$180.78K
NVIDIA Corp0.66%$179.80K
Loews Corp0.65%$176.79K
Marsh & McLennan Cos Inc0.65%$176.44K
Goldman Sachs Group Inc/The0.65%$176.22K
Equity Residential0.65%$175.84K
LyondellBasell Industries NV0.65%$175.58K
Cintas Corp0.64%$174.92K
Jacobs Solutions Inc0.64%$173.90K
MGIC Investment Corp0.64%$173.02K
DTE Energy Co0.64%$172.81K
Cboe Global Markets Inc0.63%$170.40K
Automatic Data Processing Inc0.62%$168.99K
Ameriprise Financial Inc0.62%$168.09K
Rithm Capital Corp0.62%$168.00K
VICI Properties Inc0.62%$167.90K
Chevron Corp0.61%$165.87K
Gentex Corp0.60%$162.12K
Donaldson Co Inc0.59%$161.73K
Atmos Energy Corp0.59%$161.24K
Fortive Corp0.59%$160.49K
Baker Hughes Co0.59%$160.20K
Cardinal Health Inc0.58%$158.83K
NiSource Inc0.58%$158.73K
SS&C Technologies Holdings Inc0.58%$158.66K
Cencora Inc0.57%$156.11K
Assurant Inc0.57%$155.78K
Essent Group Ltd0.56%$152.75K
PPG Industries Inc0.56%$150.86K
American Electric Power Co Inc0.55%$149.72K
Snap-on Inc0.55%$148.71K
H&R Block Inc0.55%$148.52K
Sherwin-Williams Co/The0.54%$147.04K
Ares Management Corp0.53%$143.95K
Paychex Inc0.53%$143.71K
Zoetis Inc0.53%$143.45K
Rollins Inc0.52%$142.23K
Synchrony Financial0.52%$141.87K
Parker-Hannifin Corp0.52%$140.85K
Waste Connections Inc0.51%$139.84K
Wendy's Co/The0.51%$138.90K
Gaming and Leisure Properties0.51%$138.83K
Evergy Inc0.51%$138.13K
Otis Worldwide Corp0.50%$136.90K
Regency Centers Corp0.50%$135.20K
MSC Industrial Direct Co Inc0.50%$134.86K
Brixmor Property Group Inc0.49%$133.89K
Amdocs Ltd0.49%$133.91K
CSX Corp0.49%$132.60K
General Motors Co0.48%$131.73K
AbbVie Inc0.48%$131.41K
Microsoft Corp0.48%$130.77K
Northwestern Energy Group Inc0.48%$130.00K
National Fuel Gas Co0.46%$126.09K
Owens Corning0.45%$122.22K
Diamondback Energy Inc0.44%$119.56K
XP Inc0.43%$116.96K
LKQ Corp0.42%$114.85K
Hewlett Packard Enterprise Co0.42%$114.34K
CNO Financial Group Inc0.42%$113.01K
RPM International Inc0.41%$112.44K
KLA Corp0.40%$109.37K
Viatris Inc0.40%$108.80K
OneMain Holdings Inc0.38%$102.81K
AvalonBay Communities Inc0.38%$102.12K
Ingredion Inc0.38%$102.06K
NIKE Inc0.37%$101.04K
Bank of New York Mellon Corp/T0.37%$99.43K
Verisk Analytics Inc0.36%$97.83K
International Bancshares Corp0.35%$95.47K
Sabra Health Care REIT Inc0.35%$94.29K
TJX Cos Inc/The0.34%$91.66K
Host Hotels & Resorts Inc0.34%$91.55K
MSILF Government Portfolio0.33%$91.00K
Iridium Communications Inc0.32%$87.29K
Aflac Inc0.31%$85.20K
Booking Holdings Inc0.31%$83.08K
Invitation Homes Inc0.30%$82.49K
Humana Inc0.30%$82.37K
General Mills Inc0.29%$80.16K
Acuity Brands Inc0.29%$77.62K
American Financial Group Inc/O0.28%$76.78K
Equitable Holdings Inc0.28%$74.81K
Amgen Inc0.27%$72.18K
Tapestry Inc0.26%$69.58K
Old Dominion Freight Line Inc0.25%$68.52K
3M Co0.25%$67.29K
Masco Corp0.25%$66.91K
Coterra Energy Inc0.24%$66.05K
Genpact Ltd0.24%$65.86K
ONE Gas Inc0.23%$63.11K
Broadridge Financial Solutions0.23%$62.84K
EastGroup Properties Inc0.23%$61.45K
Lear Corp0.22%$60.29K
Element Solutions Inc0.22%$60.27K
Black Hills Corp0.22%$60.01K
Watts Water Technologies Inc0.21%$57.95K
Nordson Corp0.21%$56.10K
Intuit Inc0.20%$55.34K
Curtiss-Wright Corp0.20%$53.17K
Capital One Financial Corp0.19%$50.65K
Dun & Bradstreet Holdings Inc0.18%$48.28K
Eli Lilly & Co0.17%$47.58K
Ralph Lauren Corp0.17%$45.79K
PG&E Corp0.17%$45.50K
United Rentals Inc0.16%$43.51K
Republic Services Inc0.16%$42.96K
Civitas Resources Inc0.16%$42.52K
Pentair PLC0.15%$41.67K
Ingersoll Rand Inc0.14%$37.96K
Molson Coors Beverage Co0.14%$37.98K
BorgWarner Inc0.11%$29.85K
Berry Global Group Inc0.11%$29.04K
SLM Corp0.10%$27.68K
Park Hotels & Resorts Inc0.09%$24.44K
Globe Life Inc0.07%$18.87K
Solventum Corp0.04%$10.56K

C000175116 overview: performance, fees, allocation and SEC filings