VOYA Investment Management

VOYA Investment Management Portfolio holdings

AUM $100B
1-Year Return 30.07%
This Quarter Return
+3.12%
1 Year Return
+30.07%
3 Year Return
+120.64%
5 Year Return
+214.86%
10 Year Return
+564.47%
AUM
$36.1B
AUM Growth
Cap. Flow
+$36.1B
Cap. Flow %
100%
Top 10 Hldgs %
13.63%
Holding
2,550
New
2,550
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

1 Technology 13.38%
2 Financials 12.35%
3 Industrials 11.67%
4 Healthcare 11.57%
5 Consumer Discretionary 11.08%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
CSGP icon
1051
CoStar Group
CSGP
$36.8B
$2.05M 0.01%
+159,150
New +$2.05M
ULTI
1052
DELISTED
Ultimate Software Group Inc
ULTI
$2.05M 0.01%
+17,470
New +$2.05M
DLX icon
1053
Deluxe
DLX
$881M
$2.04M 0.01%
+58,936
New +$2.04M
GGG icon
1054
Graco
GGG
$14.2B
$2.04M 0.01%
+96,771
New +$2.04M
JCP
1055
DELISTED
J.C. Penney Company, Inc.
JCP
$2.04M 0.01%
+119,255
New +$2.04M
VMI icon
1056
Valmont Industries
VMI
$7.57B
$2.03M 0.01%
+14,187
New +$2.03M
URS
1057
DELISTED
URS CORP
URS
$2.03M 0.01%
+43,003
New +$2.03M
PNY
1058
DELISTED
PIEDMONT NATURAL GAS CO INC(NC
PNY
$2.03M 0.01%
+60,130
New +$2.03M
VALE.P
1059
DELISTED
Vale S A
VALE.P
$2.03M 0.01%
+166,808
New +$2.03M
ARE icon
1060
Alexandria Real Estate Equities
ARE
$14.5B
$2.02M 0.01%
+30,763
New +$2.02M
CRS icon
1061
Carpenter Technology
CRS
$12.2B
$2.01M 0.01%
+44,542
New +$2.01M
OC icon
1062
Owens Corning
OC
$13.1B
$2M 0.01%
+51,200
New +$2M
CNQR
1063
DELISTED
CONCUR TECHNOLOGIES INC
CNQR
$2M 0.01%
+24,584
New +$2M
NVRI icon
1064
Enviri
NVRI
$974M
$2M 0.01%
+86,209
New +$2M
LUFK
1065
DELISTED
LUFKIN IND INC
LUFK
$2M 0.01%
+22,582
New +$2M
OHI icon
1066
Omega Healthcare
OHI
$12.6B
$1.99M 0.01%
+64,271
New +$1.99M
MRVL icon
1067
Marvell Technology
MRVL
$57.7B
$1.99M 0.01%
+169,885
New +$1.99M
MANH icon
1068
Manhattan Associates
MANH
$13.1B
$1.98M 0.01%
+102,584
New +$1.98M
FXEN
1069
DELISTED
FX ENERGY INC
FXEN
$1.98M 0.01%
+615,800
New +$1.98M
AIT icon
1070
Applied Industrial Technologies
AIT
$10.1B
$1.95M 0.01%
+40,396
New +$1.95M
MSM icon
1071
MSC Industrial Direct
MSM
$5.12B
$1.94M 0.01%
+25,091
New +$1.94M
STC icon
1072
Stewart Information Services
STC
$2.09B
$1.94M 0.01%
+74,094
New +$1.94M
ATHN
1073
DELISTED
Athenahealth, Inc.
ATHN
$1.94M 0.01%
+22,848
New +$1.94M
SCI icon
1074
Service Corp International
SCI
$11.2B
$1.93M 0.01%
+107,075
New +$1.93M
INVX
1075
Innovex International, Inc.
INVX
$1.15B
$1.93M 0.01%
+21,370
New +$1.93M