IPYSX Holdings — Voya High Yield Portfolio

All 119 reported holdings of Voya High Yield Portfolio (IPYSX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
BlackRock Liquidity Funds5.30%$16.41M
Iron Mountain Inc.1.96%$6.06M
OneMain Financial Corporation1.54%$4.77M
Bombardier Inc.1.51%$4.68M
Fortress Transportation & Infrastructure Investors LLC1.49%$4.62M
Frontier Communications Holdings Llc1.47%$4.56M
Gen Digital Inc1.45%$4.50M
Crc Insurance Group LLC1.43%$4.44M
VMED O2 UK Financing I PLC1.41%$4.35M
Level 3 Financing, Inc.1.26%$3.91M
Sirius Xm Radio LLC1.26%$3.89M
Tenet Healthcare Corporation1.25%$3.87M
Talen Energy Supply LLC1.24%$3.83M
NRG Energy, Inc.1.22%$3.77M
Light & Wonder International Inc.1.22%$3.76M
Seagate Data Storage Technology Pte Ltd.1.21%$3.76M
Post Holdings Inc.1.21%$3.75M
Caesars Entertainment Inc.1.21%$3.74M
Cleveland-Cliffs Inc1.20%$3.72M
XPO Inc1.20%$3.71M
Herc Holdings Inc1.19%$3.69M
Builders Firstsource, Inc.1.05%$3.25M
WULF Compute LLC1.05%$3.24M
Mauser Packaging Solutions Holding Co.1.04%$3.22M
Versant Media Group Inc.1.03%$3.18M
NCL Corporation Ltd.1.02%$3.17M
Cipher Compute LLC1.02%$3.15M
Directv Financing LLC1.01%$3.14M
Shift4 Payments Llc / Shift4 Payments Finance Subordinated Incorporated1.01%$3.13M
Davita Inc1.01%$3.13M
Genmab AS And Genmab Finance LLC1.01%$3.13M
Axon Enterprise Inc1.01%$3.13M
TransDigm, Inc.1.01%$3.12M
Cco Holdings LLC1.01%$3.12M
Adient Global Holdings Ltd1.01%$3.12M
TransDigm, Inc.1.00%$3.10M
Oak-Eagle AcquireCo Inc.1.00%$3.10M
Rocket Companies Inc1.00%$3.09M
1011778 B.C. Unlimited Liability Company / New Red Finance, Inc.1.00%$3.09M
Advance Auto Parts Inc.0.99%$3.06M
Wesco Distribution, Inc.0.99%$3.06M
CNX Resources Corporation0.99%$3.05M
Concentra Health Services Inc.0.98%$3.04M
AAR Corp.0.98%$3.04M
Quikrete Holdings Inc0.98%$3.03M
Cloud Software Group Holdings, Inc.0.98%$3.02M
CITGO Petroleum Corporation0.97%$3.02M
Rocket Companies Inc0.97%$3.02M
Performance Food Group Inc0.97%$3.01M
Williams Scotsman Inc.0.97%$3.01M
Arsenal AIC Parent LLC0.97%$3.01M
Sunoco LP0.97%$3.01M
Cco Holdings LLC0.97%$3.00M
Clarios Global LP0.97%$3.00M
Anywhere Real Estate Group LLC/Anywhere Co-Issuer Corp.0.97%$2.99M
Snap Inc0.95%$2.93M
American Axle & Manufacturing, Inc.0.94%$2.92M
Newell Brands Inc.0.87%$2.71M
The Chemours Company LLC0.85%$2.62M
Ameritex Holdco Intermediate LLC0.82%$2.54M
Global Medical Response Incorporated0.81%$2.52M
Royal Caribbean Group0.78%$2.42M
Equipmentshare Com Inc.0.78%$2.41M
Apld Computeco 2 LLC0.77%$2.39M
McAfee Corp0.77%$2.39M
Northern Oil And Gas, Inc.0.77%$2.37M
GFL Environmental Inc.0.76%$2.36M
Nexstar Media Group, Inc.0.75%$2.33M
CACI International Inc.0.75%$2.33M
Celanese US Holdings Llc0.75%$2.32M
Commercial Metals Company0.75%$2.32M
Asurion LLC / Asurion Co-Issuer Inc.0.74%$2.29M
Avis Budget Car Rental LLC/Avis Budget Finance Inc.0.74%$2.29M
Permian Resources Operating, LLC0.74%$2.29M
Stonepeak Nile Parent LLC0.74%$2.28M
Insulet Corporation0.74%$2.28M
Goodyear Tire & Rubber Co. The0.74%$2.28M
Tenneco LLC0.73%$2.27M
Gray Media Inc.0.71%$2.21M
Owens Brockway Glass Container Inc.0.71%$2.19M
UKG Inc.0.71%$2.19M
Pennymac Financial Services Inc0.70%$2.15M
Waste Pro USA Inc0.69%$2.15M
Petco Health and Wellness Company Inc0.68%$2.10M
Venture Global Plaquemines Lng LLC0.65%$2.02M
Quikrete Holdings Inc0.52%$1.62M
Carnival Corporation0.52%$1.60M
SV RNO Property Owner 1 LLC0.52%$1.60M
SM Energy Co.0.51%$1.59M
Asurion LLC / Asurion Co-Issuer Inc.0.51%$1.57M
PRA Group Inc.0.51%$1.57M
SM Energy Co.0.51%$1.57M
Acushnet Co0.51%$1.57M
Churchill Downs Inc0.50%$1.56M
Venture Global LNG Inc.0.50%$1.55M
Station Casinos LLC0.50%$1.55M
Wayfair LLC0.50%$1.54M
Wesco Distribution, Inc.0.50%$1.54M
Garrett Motion Holdings Inc. / Garrett LX I S.a.r.l.0.50%$1.53M
Deluxe Corporation0.49%$1.53M
Lions Gate Television, Inc.0.49%$1.52M
Navient Corporation0.49%$1.51M
Northern Oil And Gas, Inc.0.49%$1.51M
Post Holdings Inc.0.48%$1.49M
OneMain Financial Corporation0.48%$1.49M
Bath & Body Works Inc0.48%$1.47M
Ormat Technologies Inc.0.38%$1.17M
Qwest Corp.0.35%$1.09M
Tandem Diabetes Care Inc0.32%$1.00M
Coinbase Global Inc0.26%$790.20K
Pennymac Financial Services Inc0.25%$767.67K
The Chemours Company LLC0.06%$191.18K
Ascent Class A Common Sto0.00%$5.09K
Option Care Health Inc0.00%$2.37K
Lehman Brothers Holdings0.00%$1.33K
Perseus Holdings Corporation0.00%$0
Perseus Holdings Corporation0.00%$0
Amplify Energy Corp0.00%$12
Gn Fld Eng Svcs Escrow0.00%$0

IPYSX overview: performance, fees, allocation and SEC filings