IASCX Holdings — Voya Small Company Portfolio

All 173 reported holdings of Voya Small Company Portfolio (IASCX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Mueller Water Products, Inc.2.60%$4.72M
Caretrust Reit Inc2.16%$3.92M
Flowserve Corporation1.69%$3.07M
Arrowhead Pharmaceuticals Inc1.58%$2.88M
Bloom Energy Corporation1.33%$2.42M
Alignment Healthcare Inc1.29%$2.34M
Slide Insurance Holdings Inc.1.26%$2.30M
Applied Industrial Technologies Inc.1.23%$2.24M
TTM Technologies Inc1.22%$2.22M
iShares Trust1.22%$2.21M
Black Hills Corporation1.21%$2.20M
Hancock Whitney Corporation1.20%$2.18M
Super Group (sghc) Ltd.1.17%$2.12M
Hecla Mining Company1.16%$2.11M
Rambus Inc.1.14%$2.07M
Kohl's Corp.1.13%$2.05M
Daiwa Capital Markets America Inc.1.11%$2.02M
Rbc Dominion Securities Inc.1.11%$2.02M
Genworth Financial Inc.1.09%$1.98M
First Bancorp (puerto Rico)1.09%$1.98M
State Of Wisconsin Investment Board1.07%$1.94M
Valley National Bancorp.1.06%$1.93M
BioCryst Pharmaceuticals Inc.0.99%$1.79M
Avista Corporation0.95%$1.72M
Healthequity Inc0.93%$1.69M
GEO Group Inc0.93%$1.68M
ACI Worldwide Inc0.91%$1.66M
Tronox Holdings PLC0.91%$1.65M
BGC Group Inc0.90%$1.63M
Coeur Mining Inc0.90%$1.63M
Portland General Electric Company0.89%$1.62M
EchoStar Corp.0.88%$1.61M
Corecivic Inc0.88%$1.60M
United Community Banks Inc.(South Carolina)0.87%$1.58M
Photronics Inc.0.86%$1.57M
Travere Therapeutics Inc0.86%$1.56M
Mineralys Therapeutics, Inc.0.84%$1.53M
Element Solutions Inc0.83%$1.51M
Mirum Pharmaceuticals Inc.0.83%$1.50M
Excelerate Energy Inc.0.82%$1.49M
Acadia Realty Trust0.81%$1.48M
Allison Transmission Holdings Inc0.81%$1.47M
Credo Technology Group Holding Ltd0.81%$1.46M
Littelfuse Inc.0.80%$1.45M
Fulton Financial Corporation0.79%$1.44M
NiSource Inc.0.79%$1.44M
Savara Inc0.79%$1.43M
DNOW Inc.0.78%$1.42M
Progyny Inc0.78%$1.41M
Qiagen NV0.74%$1.35M
Lincoln Electric Holdings Inc.0.74%$1.35M
The Manitowoc Company, Inc.0.72%$1.31M
Tanger Inc.0.71%$1.29M
Kennametal Inc0.70%$1.28M
Red Rock Resorts Inc0.70%$1.27M
Enerpac Tool Group Corp0.69%$1.25M
Tango Therapeutics, Inc.0.68%$1.24M
DiamondRock Hospitality Co.0.68%$1.23M
Hawaiian Electric Industries, Inc.0.67%$1.23M
Payoneer Global Inc.0.67%$1.22M
Guardant Health Inc0.67%$1.21M
Atmus Filtration Technologies, Inc.0.67%$1.21M
Cohu Inc0.66%$1.21M
Tandem Diabetes Care Inc0.66%$1.20M
Praxis Precision Medicines Inc0.66%$1.20M
Connectone Bancorp Inc.0.65%$1.19M
Cleveland-Cliffs Inc0.65%$1.18M
Sonos Inc0.65%$1.18M
Aveanna Healthcare Holdings Inc0.65%$1.17M
Uranium Energy Corp.0.63%$1.14M
Extreme Networks Inc.0.61%$1.11M
First Industrial Realty Trust, Inc.0.60%$1.09M
Cantor Fitzgerald Securities0.60%$1.09M
Rubrik Inc.0.60%$1.09M
Uniti Group, Inc.0.60%$1.08M
Northwest Natural Holding Company0.59%$1.07M
Pacs Group, Inc.0.59%$1.07M
Victory Capital Holdings, Inc.0.58%$1.06M
WisdomTree, Inc.0.57%$1.04M
Arrow Financial Corp.0.57%$1.03M
Xeris Biopharma Holdings Inc0.56%$1.02M
Knowles Corporation0.55%$992.94K
Lumen Technologies Inc0.54%$981.27K
Box Inc.0.53%$957.28K
Asgn Incorporated0.52%$949.75K
A10 Networks Inc0.51%$935.16K
Avepoint, Inc.0.51%$932.87K
Cargurus Inc0.51%$927.28K
Bio-Techne Corp0.51%$925.32K
Cogent Biosciences, Inc.0.50%$908.75K
Yelp Inc0.49%$899.52K
Erasca Inc0.48%$873.40K
CTS Corporation0.47%$862.59K
Simmons First National Corp0.47%$861.07K
Hilltop Holdings Inc0.47%$858.28K
Redwood Trust Inc0.47%$849.67K
Hope Bancorp Inc0.47%$849.05K
Monarch Casino & Resort Inc0.46%$839.65K
Ingram Micro Holding Corporation0.46%$835.94K
Balchem Corp0.45%$814.52K
Fortrea Holdings Inc.0.45%$814.24K
Vestis Corp.0.45%$812.60K
Bruker Corporation0.45%$811.07K
Franklin Electric Co Inc0.44%$806.58K
First Commonwealth Financial Corp PA0.44%$801.23K
Ladder Capital Corporation0.44%$797.34K
Yext Inc0.43%$784.47K
Xp, Inc.0.42%$769.86K
Medical Properties Trust Inc.0.42%$758.37K
Zeta Global Holdings Corp0.41%$745.93K
TETRA Technologies Inc.0.40%$734.25K
Tripadvisor Inc0.40%$730.01K
Origin Bancorp Inc0.40%$726.34K
Dole PLC0.40%$726.16K
Rayonier Advanced Materials Inc0.40%$724.86K
Arlo Technologies Inc0.39%$708.73K
Vistance Networks Inc.0.39%$708.49K
First Horizon Corporation0.39%$702.76K
Cathay General Bancorp0.38%$696.29K
LTC Properties Inc0.38%$693.03K
Farmers National Banc Corp.0.38%$692.69K
Cerus Corp0.38%$683.70K
Ridgepost Capital, Inc.0.37%$678.58K
Magnite Inc0.37%$675.75K
Summit Hotel Properties, Inc.0.36%$660.21K
Pagseguro Digital Ltd0.36%$655.92K
HighPeak Energy Inc0.36%$655.20K
Compass Therapeutics Inc0.36%$654.30K
LegalZoom.Com Inc.0.36%$650.53K
Oklo, Inc.0.35%$631.53K
Oscar Health Inc0.35%$627.97K
Neogenomics Inc0.34%$626.16K
Apogee Enterprises Inc.0.34%$625.76K
Amplitude Inc0.34%$618.05K
Cadre Holdings Inc.0.31%$561.01K
Olema Pharmaceuticals, Inc.0.31%$558.30K
Sabra Health Care REIT, Inc.0.31%$555.29K
National Bank Financial Inc.0.30%$547.87K
Clean Energy Fuels Corp.0.30%$547.98K
Taysha Gene Therapies, Inc.0.30%$545.76K
ZipRecruiter Inc0.30%$545.62K
BCB Bancorp Inc.0.30%$538.47K
Teladoc Health Inc0.28%$515.77K
Banc Of California Inc.0.28%$513.37K
NBT Bancorp Inc0.28%$506.32K
MFA Financial Inc.0.28%$500.39K
Sprinklr Inc0.28%$499.98K
Hallador Energy Co0.27%$498.43K
FIGS Inc0.27%$495.34K
Sanfilippo(John B)0.27%$491.29K
Morgan Stanley Institutional Liquidity Funds0.26%$477.00K
Mechanics Bancorp0.26%$475.85K
Trinet Group Inc0.26%$465.87K
Hut 8 Corp.0.25%$456.95K
Garrett Motion Inc0.25%$449.65K
Core Scientific Inc0.25%$446.65K
10X Genomics Inc0.24%$441.14K
8X8 Inc.0.24%$440.68K
Dropbox Inc0.24%$437.66K
OPKO Health, Inc.0.24%$430.97K
Upwork Inc0.23%$426.91K
Riot Platforms Inc0.23%$424.48K
Orthofix Medical Inc0.23%$421.88K
Cipher Digital Inc.0.23%$417.63K
Cerence Inc0.22%$391.47K
Aebi Schmidt Holding AG0.21%$381.68K
Toronto-Dominion Bank/the (toronto Branch)0.12%$210.00K
Royal Bank Of Canada (toronto Branch)0.12%$210.00K
Mizuho Bank Ltd. (new York Branch)0.12%$210.00K
Canadian Imperial Bank Of Commerce (toronto Branch)0.11%$200.00K
Societe Generale (new York Branch)0.11%$200.00K
Landesbank Hessen Thueringen Girozentrale(new York Branch)0.11%$200.00K
Dz Bank AG (new York Branch)0.08%$140.00K

IASCX overview: performance, fees, allocation and SEC filings