IRVAX Holdings — Voya Russelltm Large Cap Value Index Portfolio

All 160 reported holdings of Voya Russelltm Large Cap Value Index Portfolio (IRVAX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Berkshire Hathaway Inc.4.25%$12.36M
JPMorgan Chase & Co.3.84%$11.18M
Exxon Mobil Corp.3.45%$10.03M
Alphabet Inc.2.85%$8.30M
Johnson & Johnson2.83%$8.23M
Amazon.com, Inc.2.64%$7.68M
Walmart Inc2.34%$6.81M
Alphabet Inc.2.32%$6.74M
Chevron Corp.1.86%$5.42M
Micron Technology Inc.1.81%$5.28M
The Procter & Gamble Co.1.63%$4.75M
Cisco Systems, Inc.1.48%$4.32M
Merck & Co., Inc1.44%$4.18M
Bank of America Corp.1.42%$4.12M
Caterpillar Inc1.38%$4.02M
RTX Corp.1.24%$3.61M
Philip Morris International Inc.1.24%$3.60M
Wells Fargo & Co.1.19%$3.45M
UnitedHealth Group Inc.1.18%$3.44M
iShares Trust1.14%$3.32M
Goldman Sachs Group, Inc.1.13%$3.29M
Linde PLC1.12%$3.26M
International Business Machines Corp.1.08%$3.15M
Meta Platforms Inc1.07%$3.12M
Verizon Communications Inc.1.02%$2.97M
McDonald's Corp.1.01%$2.93M
AT&T Inc0.96%$2.80M
Intel Corporation0.94%$2.72M
Applied Materials Inc.0.93%$2.72M
NextEra Energy Inc0.93%$2.71M
Morgan Stanley0.90%$2.61M
Thermo Fisher Scientific Inc0.89%$2.60M
Pepsico Inc0.88%$2.57M
Abbott Laboratories0.85%$2.49M
Walt Disney Company0.82%$2.39M
ConocoPhillips0.79%$2.28M
Citigroup Inc.0.78%$2.26M
Pfizer Inc.0.77%$2.23M
Analog Devices Inc.0.75%$2.18M
Coca-Cola Co (The)0.73%$2.12M
Salesforce Inc.0.73%$2.11M
Blackrock Inc.0.71%$2.05M
Honeywell International Inc.0.69%$2.01M
The Charles Schwab Corporation0.69%$2.00M
Eaton Corporation PLC0.67%$1.96M
Deere & Company0.66%$1.93M
Advanced Micro Devices Inc.0.65%$1.90M
Welltower Inc.0.65%$1.90M
Union Pacific Corporation0.64%$1.87M
Lowes Companies, Inc.0.64%$1.85M
Boeing Co.0.62%$1.81M
S&P Global Inc0.62%$1.80M
Gilead Sciences Inc.0.61%$1.77M
Prologis Inc.0.59%$1.72M
Accenture PLC0.59%$1.71M
Danaher Corporation0.57%$1.67M
Newmont Corporation0.57%$1.66M
Chubb Ltd. Switzerland0.57%$1.66M
Parker-Hannifin Corp.0.54%$1.58M
Capital One Financial Corp.0.54%$1.57M
Altria Group, Inc.0.54%$1.56M
Medtronic PLC0.53%$1.55M
The Progressive Corporation0.53%$1.54M
American Express Company0.53%$1.54M
Southern Co.0.51%$1.49M
QUALCOMM Inc.0.51%$1.49M
CME Group Inc.0.51%$1.49M
Texas Instruments Inc.0.50%$1.46M
Comcast Corporation0.50%$1.45M
Duke Energy Corp0.49%$1.42M
T-Mobile US Inc0.49%$1.42M
Bristol-Myers Squibb Company0.48%$1.40M
Equinix, Inc.0.46%$1.34M
Northrop Grumman Corporation0.44%$1.28M
CVS Health Corp0.43%$1.26M
Lockheed Martin Corporation0.43%$1.26M
Intercontinental Exchange Inc0.43%$1.26M
The TJX Companies Inc.0.43%$1.25M
Starbucks Corp.0.42%$1.24M
Constellation Energy Corp.0.42%$1.22M
General Dynamics Corporation0.42%$1.21M
Freeport-McMoRan Inc.0.40%$1.18M
Stryker Corporation0.40%$1.18M
Williams Companies Inc. (The)0.40%$1.17M
U.S. Bancorp.0.39%$1.14M
PNC Financial Services Group Inc.0.39%$1.13M
Johnson Controls International PLC0.39%$1.12M
EOG Resources Inc.0.38%$1.11M
Regeneron Pharmaceuticals, Inc.0.38%$1.10M
Marvell Technology Inc0.37%$1.09M
Home Depot Inc.0.37%$1.09M
CSX Corporation0.37%$1.08M
Boston Scientific Corporation0.37%$1.07M
FedEx Corporation0.37%$1.07M
Mondelez International Inc.0.36%$1.04M
Marsh & McLennan Companies, Inc.0.36%$1.04M
Emerson Electric Co.0.35%$1.03M
United Parcel Service, Inc.0.35%$1.01M
Slb Ltd.0.34%$992.91K
Crh PLC0.34%$986.13K
American Electric Power Co, Inc.0.34%$980.87K
General Motors Company0.32%$941.98K
Morgan Stanley Institutional Liquidity Funds0.31%$915.00K
Elevance Health Inc.0.31%$910.75K
3M Company0.31%$908.99K
Norfolk Southern Corporation0.31%$906.63K
The Cigna Group0.31%$904.82K
Air Products & Chemicals, Inc.0.31%$902.55K
Sempra0.30%$887.16K
Travelers Companies, Inc.0.30%$885.54K
Nike, Inc.0.30%$864.56K
HCA Healthcare Inc0.29%$845.68K
Paccar Inc0.29%$832.64K
Truist Financial Corp.0.28%$812.15K
Target Corp.0.26%$770.59K
Transdigm Group, Inc.0.25%$739.42K
Dominion Energy Inc0.25%$737.95K
Aflac Incorporated0.25%$722.22K
Gallagher Aj &Co0.25%$721.43K
Illinois Tool Works Inc.0.24%$709.55K
Ecolab Inc.0.24%$700.96K
Amgen Inc.0.24%$694.55K
Autozone, Inc.0.23%$665.42K
KKR & Co Inc.0.23%$658.69K
Edwards Lifesciences Corporation0.22%$644.64K
Becton, Dickinson and Company0.22%$629.08K
Republic Services, Inc.0.21%$620.48K
Dell Technologies Inc0.21%$618.61K
Carrier Global Corporation0.21%$618.40K
Paypal Holdings Inc.0.20%$592.69K
Motorola Solutions Inc0.20%$585.43K
American International Group Inc.0.20%$567.76K
MetLife Inc.0.19%$550.41K
Roper Technologies Inc0.18%$531.50K
Public Storage0.18%$519.55K
Strategy Inc.0.18%$514.43K
Colgate-Palmolive Co.0.17%$503.96K
Keurig Dr Pepper Inc0.16%$476.94K
Interactive Brokers Group Inc0.13%$379.82K
Fiserv Inc.0.10%$301.60K
Kimberly-Clark Corporation0.10%$286.13K
Synopsys Inc0.10%$281.50K
Marriott International, Inc.0.08%$238.11K
Southern Copper Corporation0.07%$202.00K
Apollo Global Management Inc0.07%$198.10K
Solstice Advanced Materials Inc.0.06%$169.38K
Brookfield Asset Management Ltd0.05%$154.73K
Zoetis Inc.0.05%$148.35K
Booking Holdings Inc0.04%$117.89K
Mckesson Corp.0.04%$115.96K
The Sherwin-Williams Company0.03%$97.13K
O'Reilly Automotive Inc.0.03%$88.53K
Automatic Data Processing, Inc.0.03%$83.91K
Versant Media Group, Inc.0.03%$74.67K
Aon PLC0.03%$72.63K
Copart Inc0.01%$27.99K
Chubb Ltd. Switzerland0.00%$4.24K
Rbc Dominion Securities Inc.0.00%$199
National Bank Financial Inc.0.00%$13
Chicago Mercantile Exchange Inc.-0.01%$-22.87K

IRVAX overview: performance, fees, allocation and SEC filings