IRLNX Holdings — Voya Russelltm Large Cap Growth Index Portfolio

All 115 reported holdings of Voya Russelltm Large Cap Growth Index Portfolio (IRLNX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp.14.51%$197.81M
Apple Inc.13.03%$177.69M
Microsoft Corp.9.84%$134.10M
Amazon.com, Inc.4.43%$60.34M
Broadcom Inc4.28%$58.35M
Alphabet Inc.3.90%$53.24M
Tesla Inc3.50%$47.68M
Meta Platforms Inc3.40%$46.29M
Alphabet Inc.3.17%$43.25M
Eli Lilly & Co.2.86%$39.00M
Visa Inc2.15%$29.26M
Costco Wholesale Corporation1.87%$25.44M
Netflix, Inc.1.72%$23.44M
MasterCard Incorporated1.70%$23.12M
AbbVie Inc.1.63%$22.16M
Palantir Technologies Inc1.35%$18.38M
GE Aerospace1.25%$16.98M
Lam Research Corporation1.13%$15.43M
Home Depot Inc.1.05%$14.35M
Oracle Corp.1.04%$14.24M
GE Vernova Inc.0.99%$13.56M
KLA Corp.0.82%$11.14M
Advanced Micro Devices Inc.0.81%$11.02M
iShares Trust0.72%$9.76M
Intuitive Surgical Inc.0.69%$9.36M
Amphenol Corporation0.65%$8.87M
Uber Technologies Inc0.61%$8.33M
Coca-Cola Co (The)0.61%$8.31M
Amgen Inc.0.59%$8.03M
Booking Holdings Inc0.54%$7.40M
Palo Alto Networks Inc0.54%$7.38M
Arista Networks Inc0.53%$7.29M
Intuit Inc0.50%$6.79M
Vertex Pharmaceuticals Incorporated0.48%$6.52M
Servicenow Inc0.46%$6.28M
Adobe Inc0.42%$5.73M
Mckesson Corp.0.42%$5.68M
Crowdstrike Holdings Inc0.41%$5.55M
Applovin Corp.0.40%$5.46M
Trane Technologies PLC0.39%$5.34M
The TJX Companies Inc.0.38%$5.14M
Blackstone Inc0.36%$4.91M
Waste Management, Inc.0.36%$4.89M
American Tower Corporation0.34%$4.64M
Applied Materials Inc.0.32%$4.42M
Automatic Data Processing, Inc.0.32%$4.37M
Cadence Design Systems, Inc.0.32%$4.36M
Spotify Technology SA0.31%$4.29M
Texas Instruments Inc.0.30%$4.15M
O'Reilly Automotive Inc.0.30%$4.11M
Moodys Corp.0.29%$3.90M
The Sherwin-Williams Company0.28%$3.86M
Aon PLC0.26%$3.60M
Cintas Corp.0.25%$3.34M
Marriott International, Inc.0.23%$3.20M
Synopsys Inc0.23%$3.20M
DoorDash Inc0.23%$3.16M
Morgan Stanley Institutional Liquidity Funds0.23%$3.14M
Walmart Inc0.23%$3.11M
American Express Company0.23%$3.08M
Airbnb Inc0.22%$3.03M
Autodesk Inc0.22%$2.93M
Fortinet Inc0.21%$2.91M
Monster Beverage Corp0.21%$2.91M
Snowflake Inc0.21%$2.88M
Nu Holdings Ltd.0.20%$2.76M
Gilead Sciences Inc.0.20%$2.69M
Chipotle Mexican Grill Inc0.18%$2.42M
Zoetis Inc.0.18%$2.39M
Caterpillar Inc0.17%$2.32M
Citigroup Inc.0.15%$2.02M
Lockheed Martin Corporation0.15%$2.00M
Colgate-Palmolive Co.0.14%$1.87M
Apollo Global Management Inc0.14%$1.87M
QUALCOMM Inc.0.13%$1.81M
Motorola Solutions Inc0.13%$1.75M
Pepsico Inc0.12%$1.68M
Stryker Corporation0.12%$1.67M
Workday Inc0.12%$1.58M
Copart Inc0.12%$1.57M
Bank of America Corp.0.11%$1.46M
Illinois Tool Works Inc.0.10%$1.42M
Bristol-Myers Squibb Company0.10%$1.37M
Boeing Co.0.09%$1.22M
Salesforce Inc.0.08%$1.10M
Ecolab Inc.0.07%$935.59K
HCA Healthcare Inc0.07%$933.23K
Boston Scientific Corporation0.07%$918.35K
KKR & Co Inc.0.07%$899.38K
The Charles Schwab Corporation0.06%$788.77K
Starbucks Corp.0.06%$775.22K
Goldman Sachs Group, Inc.0.06%$769.00K
McDonald's Corp.0.05%$722.59K
3M Company0.05%$716.71K
Kimberly-Clark Corporation0.05%$664.00K
Union Pacific Corporation0.05%$658.71K
Atlassian Corp.0.05%$651.04K
Transdigm Group, Inc.0.05%$644.38K
Marsh & McLennan Companies, Inc.0.04%$574.64K
Autozone, Inc.0.04%$510.04K
Fiserv Inc.0.03%$474.52K
Dell Technologies Inc0.03%$403.43K
Slb Ltd.0.03%$350.22K
Marvell Technology Inc0.02%$336.57K
Brookfield Asset Management Ltd0.02%$337.29K
The Progressive Corporation0.02%$335.22K
Public Storage0.02%$323.97K
The Cigna Group0.02%$321.17K
Williams Companies Inc. (The)0.02%$270.38K
Gallagher Aj &Co0.01%$192.32K
Strategy Inc.0.01%$124.05K
Interactive Brokers Group Inc0.01%$88.33K
Daiwa Capital Markets America Inc.0.00%$5
Rbc Dominion Securities Inc.0.00%$82
Chicago Mercantile Exchange Inc.-0.01%$-74.40K

IRLNX overview: performance, fees, allocation and SEC filings