VOYA Investment Management

VOYA Investment Management Portfolio holdings

AUM $100B
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
WBCO
2326
DELISTED
WASHINGTON BANKING CO
WBCO
$268K ﹤0.01% +18,857 New +$268K
SGYP
2327
DELISTED
Synergy Pharmaceuticals, Inc Common Stock
SGYP
$267K ﹤0.01% +61,742 New +$267K
PVA
2328
DELISTED
PENN VIRGINIA CORP
PVA
$267K ﹤0.01% +56,893 New +$267K
GTIV
2329
DELISTED
GENTIVA HEALTH SERVICES INC
GTIV
$267K ﹤0.01% +26,777 New +$267K
GTN icon
2330
Gray Television
GTN
$626M
$266K ﹤0.01% +36,936 New +$266K
DXM
2331
DELISTED
DEX MEDIA INC NEW COM STK (DE)
DXM
$266K ﹤0.01% +15,055 New +$266K
IDIX
2332
DELISTED
IDENIX PHARMACEUTICALS INC
IDIX
$266K ﹤0.01% +73,658 New +$266K
AGX icon
2333
Argan
AGX
$3.11B
$265K ﹤0.01% +16,989 New +$265K
AMED
2334
DELISTED
Amedisys
AMED
$265K ﹤0.01% +22,790 New +$265K
HY icon
2335
Hyster-Yale Materials Handling
HY
$665M
$264K ﹤0.01% +4,211 New +$264K
RPRX
2336
DELISTED
Repros Therapeutics Inc.
RPRX
$264K ﹤0.01% +14,308 New +$264K
COKE icon
2337
Coca-Cola Consolidated
COKE
$10.2B
$263K ﹤0.01% +4,300 New +$263K
SRI icon
2338
Stoneridge
SRI
$232M
$263K ﹤0.01% +22,606 New +$263K
POWR
2339
DELISTED
POWERSECURE INTL INC COM STK (DE)
POWR
$263K ﹤0.01% +17,527 New +$263K
PBF icon
2340
PBF Energy
PBF
$3.16B
$262K ﹤0.01% +10,112 New +$262K
TSRO
2341
DELISTED
TESARO, Inc.
TSRO
$262K ﹤0.01% +8,004 New +$262K
AUB icon
2342
Atlantic Union Bankshares
AUB
$5.09B
$261K ﹤0.01% +12,670 New +$261K
KAI icon
2343
Kadant
KAI
$3.81B
$261K ﹤0.01% +8,640 New +$261K
QMCO icon
2344
Quantum Corp
QMCO
$99M
$261K ﹤0.01% +190,303 New +$261K
MHGC
2345
DELISTED
Morgans Hotel Group Co.
MHGC
$261K ﹤0.01% +32,381 New +$261K
NES
2346
DELISTED
NUVERRA ENVIRONMENTAL INC NEW COM STK (DE)
NES
$261K ﹤0.01% +89,880 New +$261K
EGY icon
2347
Vaalco Energy
EGY
$405M
$260K ﹤0.01% +45,370 New +$260K
LFVN icon
2348
LifeVantage
LFVN
$165M
$260K ﹤0.01% +111,929 New +$260K
OCFC icon
2349
OceanFirst Financial
OCFC
$1.06B
$260K ﹤0.01% +16,739 New +$260K
UNIS
2350
DELISTED
Unilife Corporation
UNIS
$260K ﹤0.01% +81,911 New +$260K