IWTTX Holdings — Voya Global Equity Portfolio

All 242 reported holdings of Voya Global Equity Portfolio (IWTTX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Microsoft Corp.6.12%$21.22M
Micron Technology, Inc.1.98%$6.86M
Abbvie, Inc.1.54%$5.35M
Johnson & Johnson1.53%$5.29M
Meta Platforms, Inc.1.33%$4.61M
Coca-Cola Company (the)1.31%$4.54M
Bank Of Nova Scotia (the)0.93%$3.23M
Union Pacific Corp.0.91%$3.16M
Altria Group, Inc.0.88%$3.06M
Pepsico, Inc.0.86%$3.00M
Citigroup, Inc.0.85%$2.95M
Pfizer, Inc.0.83%$2.89M
Procter & Gamble Company (the)0.83%$2.86M
US Bancorp0.82%$2.83M
Duke Energy Corp.0.77%$2.67M
Netapp, Inc.0.76%$2.65M
Bristol-Myers Squibb Company0.76%$2.63M
Axa SA0.75%$2.59M
Allstate Corp. (the)0.74%$2.58M
Colgate-Palmolive Company0.74%$2.56M
Kinder Morgan, Inc.0.73%$2.54M
Cardinal Health, Inc.0.70%$2.44M
Bnp Paribas SA0.69%$2.39M
Cvs Health Corp.0.69%$2.38M
Eog Resources, Inc.0.68%$2.36M
Canadian Natural Resources Ltd.0.66%$2.31M
Globe Life, Inc.0.66%$2.30M
Simon Property Group, Inc.0.66%$2.30M
Unum Group0.66%$2.29M
Medtronic PLC0.66%$2.29M
Hartford Insurance Group, Inc. (the)0.66%$2.28M
Verizon Communications, Inc.0.66%$2.28M
Kla Corp.0.65%$2.27M
Hanover Insurance Group, Inc. (the)0.65%$2.26M
Cigna Group (the)0.65%$2.25M
Danske Bank A/s0.65%$2.25M
Nisource, Inc.0.64%$2.21M
Marsh & Mclennan Companies, Inc.0.64%$2.20M
Suncor Energy, Inc.0.63%$2.18M
Oneok, Inc.0.62%$2.16M
Intuit, Inc.0.62%$2.16M
Nn Group NV0.62%$2.15M
Veralto Corp.0.62%$2.15M
Cme Group, Inc.0.61%$2.12M
Axis Capital Holdings Ltd.0.61%$2.12M
Exelon Corp.0.61%$2.11M
Ly Corp.0.61%$2.11M
Truist Financial Corp.0.60%$2.09M
Singapore Exchange Ltd.0.60%$2.08M
Assurant, Inc.0.60%$2.08M
Repsol SA0.60%$2.08M
Abb Ltd. (ch)0.60%$2.08M
Ametek, Inc.0.60%$2.08M
Popular, Inc.0.59%$2.05M
Applied Materials, Inc.0.59%$2.05M
Cencora, Inc.0.59%$2.05M
Kirin Holdings Company Ltd.0.59%$2.05M
Cintas Corp.0.59%$2.04M
Qualcomm, Inc.0.59%$2.03M
Koninklijke Kpn NV0.57%$1.96M
Dnb Bank Asa0.56%$1.94M
Avnet, Inc.0.55%$1.92M
Jack Henry & Associates, Inc.0.55%$1.90M
NVIDIA Corp.0.55%$1.90M
Primerica, Inc.0.55%$1.90M
Edison International0.55%$1.90M
Metlife, Inc.0.54%$1.89M
Mckesson Corp.0.54%$1.88M
Portland General Electric Company0.54%$1.88M
Broadridge Financial Solutions, Inc.0.54%$1.88M
T-Mobile US, Inc.0.54%$1.86M
Ul Solutions, Inc.0.53%$1.85M
Rolls-Royce Holdings PLC0.53%$1.83M
Asr Nederland NV0.52%$1.82M
Tjx Companies, Inc. (the)0.52%$1.82M
Pg&e Corp.0.52%$1.81M
Commerce Bancshares, Inc. (mo)0.51%$1.79M
Devon Energy Corp.0.51%$1.75M
Ross Stores, Inc.0.50%$1.73M
Alphabet, Inc.0.50%$1.73M
Aena Sme SA0.50%$1.72M
New York Times Company (the)0.50%$1.72M
Brixmor Property Group, Inc.0.49%$1.71M
Ss&c Technologies Holdings, Inc.0.49%$1.68M
Transurban Group0.48%$1.67M
Regency Centers Corp.0.47%$1.64M
Genpact Ltd.0.47%$1.64M
Natwest Group PLC0.47%$1.64M
Aptargroup, Inc.0.47%$1.64M
Japan Tobacco, Inc.0.47%$1.63M
Verisign, Inc.0.47%$1.62M
Bae Systems PLC0.46%$1.60M
Keyera Corp.0.46%$1.60M
Imperial Brands PLC0.45%$1.56M
Tradeweb Markets, Inc.0.44%$1.52M
British American Tobacco PLC0.44%$1.51M
Cboe Global Markets, Inc.0.44%$1.51M
L'air Liquide SA0.43%$1.50M
Synchrony Financial0.43%$1.49M
Ishares Trust0.43%$1.49M
Ck Hutchison Holdings Ltd.0.42%$1.47M
Ccl Industries, Inc.0.41%$1.44M
Astellas Pharma, Inc.0.41%$1.42M
Cna Financial Corp.0.40%$1.40M
Ameriprise Financial, Inc.0.40%$1.40M
Swedbank Ab0.40%$1.38M
Adt, Inc.0.39%$1.35M
Charles Schwab Corp. (the)0.39%$1.34M
Canadian Tire Corp. Ltd.0.39%$1.34M
Sabra Health Care REIT, Inc.0.39%$1.34M
Secom Company Ltd.0.38%$1.33M
Element Solutions, Inc.0.38%$1.32M
Deutsche Telekom AG0.38%$1.31M
Paypal Holdings, Inc.0.37%$1.29M
Unicredit Spa0.37%$1.28M
Scout24 SE0.37%$1.27M
Intesa Sanpaolo Spa0.36%$1.26M
Evergy, Inc.0.36%$1.25M
Travel Plus Leisure Company0.36%$1.24M
Eversource Energy0.35%$1.23M
Scentre Group Ltd.0.35%$1.22M
Leidos Holdings, Inc.0.35%$1.22M
Fresenius SE & Co. Kgaa0.35%$1.22M
Power Assets Holdings Ltd.0.35%$1.21M
Sage Group PLC (the)0.35%$1.21M
Keycorp0.34%$1.19M
Toronto Dominion Bank (the)0.34%$1.19M
Elevance Health, Inc.0.34%$1.18M
Digital Realty Trust, Inc.0.34%$1.17M
Suntory Beverage & Food Ltd.0.33%$1.15M
Carrefour SA0.33%$1.15M
Newmarket Corp.0.32%$1.12M
Nitto Denko Corp.0.32%$1.12M
Bank Of New York Mellon Corp. (the)0.32%$1.11M
Medibank Private Ltd.0.32%$1.10M
Daiwa House Industry Co. Ltd.0.32%$1.10M
Asahi Kasei Corp.0.31%$1.08M
Fox Corp.0.31%$1.07M
Hancock Whitney Corp.0.31%$1.07M
Telstra Group Ltd.0.30%$1.06M
Central Japan Railway Company0.30%$1.05M
Booking Holdings, Inc.0.30%$1.03M
State Of Wisconsin Investment Board0.29%$1.00M
Jefferies LLC0.29%$1.00M
Daiwa Capital Markets America Inc.0.29%$999.87K
Sanofi SA0.29%$997.23K
Philip Morris International, Inc.0.28%$985.42K
Regeneron Pharmaceuticals, Inc.0.28%$979.58K
Delta Air Lines, Inc.0.28%$976.03K
Ugi Corp.0.28%$969.99K
Copt Defense Properties0.28%$958.59K
Dolby Laboratories, Inc.0.27%$927.77K
Wh Group Ltd.0.27%$921.41K
Sgs SA0.26%$915.99K
Aib Group PLC0.26%$908.16K
Northern Trust Corp.0.26%$907.62K
Bank Leumi Le - Israel Bm0.26%$895.37K
Ally Financial, Inc.0.26%$895.06K
Watts Water Technologies, Inc.0.26%$892.90K
Stantec, Inc.0.26%$891.12K
Barclays PLC0.25%$871.82K
Valero Energy Corp.0.25%$859.97K
Viper Energy, Inc.0.25%$859.91K
Eni Spa0.25%$854.71K
Ventas, Inc.0.24%$827.97K
Ipsen SA0.24%$815.78K
Equinor Asa0.23%$798.61K
Morgan Stanley Institutional Liquidity Funds0.23%$792.00K
Engie SA0.23%$785.57K
Pbf Energy, Inc.0.21%$728.46K
Linde PLC0.21%$727.55K
Smiths Group PLC0.20%$698.59K
Hong Kong Exchanges And Clearing Ltd.0.20%$697.90K
Raymond James Financial, Inc.0.20%$684.59K
General Dynamics Corp.0.19%$668.81K
Bureau Veritas SA0.19%$667.00K
Las Vegas Sands Corp.0.19%$663.98K
Emerson Electric Company0.19%$656.77K
Acuity, Inc.0.19%$650.87K
Steris PLC0.19%$648.13K
Zions Bancorp Na0.19%$646.23K
General Motors Company0.18%$613.17K
Prologis, Inc.0.17%$602.84K
Ishares Trust0.17%$584.08K
Sandoz Group AG0.16%$551.34K
Fortive Corp.0.16%$540.89K
Eneos Holdings, Inc.0.15%$535.19K
Smith & Nephew PLC0.15%$532.41K
News Corp.0.15%$524.06K
Viatris, Inc.0.15%$517.29K
Fisher & Paykel Healthcare Corp. Ltd.0.14%$499.11K
Japan Exchange Group, Inc.0.14%$494.85K
Computershare Ltd.0.14%$485.38K
Danone SA0.14%$475.39K
Citizens Financial Group, Inc.0.13%$451.39K
Williams Companies, Inc. (the)0.13%$437.04K
Slm Corp. (sallie Mae)0.12%$432.96K
Terna - Rete Elettrica Nazionale Spa0.12%$432.62K
Marzetti Company (the)0.12%$431.30K
Automatic Data Processing, Inc.0.12%$429.54K
Honeywell International, Inc.0.12%$429.22K
Honeywell Aerospace, Inc.0.12%$423.81K
American Electric Power Company, Inc.0.12%$420.69K
Onemain Holdings, Inc.0.12%$419.41K
Daiichi Sankyo Company Ltd.0.12%$414.87K
Telia Company Ab0.12%$407.70K
Totalenergies SE0.11%$377.81K
Sap SE0.11%$369.65K
Galderma Group AG0.11%$366.19K
Henkel AG & Co. Kgaa0.10%$361.29K
Sampo PLC0.10%$345.75K
Paycom Software, Inc.0.10%$339.08K
Mowi Asa0.09%$324.07K
Aon PLC0.09%$317.10K
Nnn REIT, Inc.0.09%$308.87K
Nec Corp.0.09%$309.02K
Accenture PLC0.09%$297.41K
Orix Corp.0.09%$297.11K
Rpm International, Inc.0.08%$291.77K
Expedia Group, Inc.0.08%$281.21K
Flowserve Corp.0.07%$256.89K
Chord Energy Corp.0.07%$250.89K
Ringcentral, Inc.0.07%$245.85K
Heineken Holding NV0.07%$236.98K
Gsk PLC0.07%$225.64K
Next PLC0.07%$225.55K
Dupont De Nemours, Inc.0.06%$212.01K
Mercedes-Benz Group AG0.06%$208.34K
Tyson Foods, Inc.0.06%$196.08K
Ing Groep NV0.06%$191.21K
Astrazeneca PLC0.05%$172.70K
Wsp Global, Inc.0.04%$154.86K
Host Hotels & Resorts, Inc.0.04%$153.69K
Trane Technologies PLC0.04%$142.93K
Ntt, Inc.0.04%$136.19K
Domino's Pizza, Inc.0.03%$99.17K
Ecolab, Inc.0.03%$98.63K
Heineken NV0.03%$97.23K
Telenor Asa0.02%$76.33K
Lamar Advertising Company0.02%$64.89K
MSCI, Inc.0.02%$56.00K
Expand Energy Corp.0.01%$30.64K

IWTTX overview: performance, fees, allocation and SEC filings