IIIIX — Voya International Index Portfolio

Data updated: 2026-06-01

IIIIX — Voya International Index Portfolio data: holdings, portfolio allocation, expenses, performance, cashflows, risk and SEC filings. Developed ex-US Industrials Equity · $590.52M AUM · 0.45% expense ratio · 22.3% 1-yr return. From SEC regulatory filings.

IIIIX Fund Overview

IIIIX — Voya International Index Portfolio is a US mutual fund managed by Voya VARIABLE PORTFOLIOS INC, categorised as Developed ex-US Industrials Equity. ABC INVEST provides holdings, performance, costs, cashflows, risk data, prospectus documents and SEC filings, sourced from SEC filings.

  • Type: US mutual fund
  • Manager: Voya VARIABLE PORTFOLIOS INC
  • Category: Developed ex-US Industrials Equity
  • Assets under management: $590.52M
  • 1-year return: 22.3%
  • Ticker: IIIIX
  • SEC CIK: 0001015965
  • SEC series ID: S000021220
  • Share class ID: C000060419

IIIIX Holdings

Top 10 holdings of Voya International Index Portfolio by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assets
ASML Holding N.V.2.45%
Morgan Stanley Institutional Liquidity Funds1.71%
AstraZeneca PLC1.44%
Novartis AG1.39%
HSBC Holdings PLC1.34%
Roche Holding AG1.33%
Rbc Dominion Securities Inc.1.32%
State Of Wisconsin Investment Board1.32%
Shell PLC1.25%
Nestle' Capital Markets SA1.20%

View all IIIIX holdings

IIIIX Portfolio Allocation

Asset-class allocation of Voya International Index Portfolio by percentage of net assets, from the latest SEC N-PORT filing.

Asset classAllocation
Equity97.0%
Cash & Equivalents7.6%

IIIIX Performance

Total returns for IIIIX (as of 2026-08-01), from SEC filings.

PeriodTotal return
YTD0.9%
1 year22.3%
3 years (annualised)13.9%
5 years (annualised)8.0%

IIIIX Risk Information

Risk metrics for IIIIX, derived from monthly returns in SEC filings.

  • 1-year volatility (annualised): 13.5%

IIIIX Costs and Fees

IIIIX costs about $45 per $10,000 invested per year in fund expenses.

  • Net expense ratio: 0.45%
  • Gross expense ratio: 0.58%
  • Portfolio turnover: 4%
  • Brokerage commissions: 2.04 bps of average net assets (SEC N-CEN)

IIIIX Cashflows

Over the 12 months to 2026-03, Voya International Index Portfolio had net outflows of $744.50M, from monthly SEC N-PORT filings.

MonthNet flow
2026-03$6.08M
2026-02−$9.21M
2026-01$936.51K
2025-12$562.82K
2025-11$3.46M
2025-10−$1.27M

IIIIX Debt Constituents

No individual debt constituents are reported in Voya International Index Portfolio's latest SEC N-PORT filing.

IIIIX Prospectus and SEC Filings

Official Voya International Index Portfolio filings on SEC EDGAR — prospectus, portfolio holdings and annual reports.

Related Funds

Other Developed ex-US Industrials Equity funds tracked on ABC INVEST:

Data Sources

ABC INVEST compiles this page from public filings made to the U.S. Securities and Exchange Commission (SEC) through EDGAR: portfolio holdings and monthly cashflows from Form N-PORT, expenses and returns from fund prospectuses (Form 485BPOS) and the SEC DERA Risk/Return Summary data sets, annual data from Form N-CEN, and shareholder reports from Form N-CSR.