VMCRX Holdings — Voya Midcap Opportunities Portfolio

All 83 reported holdings of Voya Midcap Opportunities Portfolio (VMCRX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Vertiv Holdings Co4.45%$38.33M
Howmet Aerospace Inc4.19%$36.05M
Royal Caribbean Cruises Ltd.4.05%$34.83M
Cencora Inc3.81%$32.81M
Hilton Worldwide Holdings Inc3.68%$31.67M
Cloudflare Inc3.43%$29.54M
Monolithic Power Systems Inc.3.20%$27.53M
Comfort Systems USA Inc.2.98%$25.64M
Vistra Corp2.63%$22.64M
IDEXX Laboratories Inc.2.55%$21.92M
W.w. Grainger Inc.2.24%$19.30M
Tractor Supply Co2.04%$17.60M
Roblox Corporation1.90%$16.37M
Alnylam Pharmaceuticals Inc.1.77%$15.23M
Axon Enterprise Inc1.71%$14.71M
Heico Corp1.68%$14.50M
LPL Financial Holdings Inc.1.63%$14.01M
Tapestry Inc1.62%$13.99M
Targa Resources Corp.1.62%$13.91M
Burlington Stores Inc.1.58%$13.61M
Welltower Inc.1.56%$13.47M
Assurant Inc.1.48%$12.73M
Sharkninja, Inc.1.45%$12.51M
Applied Industrial Technologies Inc.1.44%$12.38M
Datadog Inc1.44%$12.38M
Dutch Bros Inc1.41%$12.14M
Leonardo DRS Inc1.30%$11.23M
Waters Corporation1.26%$10.85M
TechnipFMC PLC1.24%$10.69M
Kratos Defense & Security Solutions, Inc.1.24%$10.64M
Vulcan Materials Company1.23%$10.63M
Expand Energy Corp.1.22%$10.49M
Onto Innovation Inc.1.18%$10.19M
Dollar Tree Inc1.13%$9.74M
Snowflake Inc1.09%$9.36M
Synchrony Financial1.04%$8.99M
Samsara Inc1.02%$8.80M
Align Technology Inc.1.01%$8.68M
Williams-Sonoma Inc.0.95%$8.22M
Quest Diagnostics Incorporated0.94%$8.09M
Morgan Stanley Institutional Liquidity Funds0.92%$7.95M
On Holding AG0.90%$7.73M
Stifel Financial Corporation0.83%$7.19M
Dycom Industries, Inc.0.80%$6.91M
Celsius Holdings, Inc.0.80%$6.85M
Carvana Co0.79%$6.83M
Robinhood Markets Inc0.78%$6.70M
Crowdstrike Holdings Inc0.76%$6.55M
Texas Roadhouse Inc0.76%$6.50M
Lazard Inc0.75%$6.48M
Dominos Pizza Inc.0.70%$6.04M
Saia Inc0.69%$5.99M
Rocket Companies Inc0.69%$5.91M
Repligen Corporation0.65%$5.58M
Reddit Inc0.62%$5.38M
Alcon AG0.61%$5.28M
Rocket Lab Corp.0.61%$5.22M
Insmed Inc0.57%$4.87M
Rambus Inc.0.56%$4.84M
Protagonist Therapeutics Inc0.56%$4.79M
MongoDB Inc.0.53%$4.59M
Coupang Inc.0.52%$4.51M
Wingstop Inc0.52%$4.51M
Maxlinear Inc0.52%$4.44M
Toast Inc0.51%$4.38M
Coherent Corp0.51%$4.36M
Astera Labs Inc0.51%$4.36M
Vera Therapeutics, Inc.0.50%$4.28M
Fair Isaac Corporation0.48%$4.12M
Veeva Systems Inc0.47%$4.01M
Natera, Inc.0.44%$3.80M
Sitime Corp.0.44%$3.80M
Affirm Holdings Inc0.43%$3.66M
Rubrik Inc.0.41%$3.57M
AST SpaceMobile Inc.0.38%$3.24M
Synaptics Incorporated0.35%$3.03M
Viridian Therapeutics Inc0.29%$2.48M
Core Scientific Inc0.27%$2.34M
Texas Pacific Land Corp.0.26%$2.22M
Rbc Dominion Securities Inc.0.12%$1.00M
State Of Wisconsin Investment Board0.12%$1.00M
Daiwa Capital Markets America Inc.0.09%$807.00K
National Bank Financial Inc.0.02%$179.70K

VMCRX overview: performance, fees, allocation and SEC filings