Top 125 Voya Funds

Welcome to MutualFunds.com

Please help us personalize your experience and select the one that best describes you.

Your personalized experience is almost ready.

Join other Individual Investors receiving FREE personalized market updates and research. Join other Institutional Investors receiving FREE personalized market updates and research. Join other Financial Advisors receiving FREE personalized market updates and research.

Thank you!

Check your email and confirm your subscription to complete your personalized experience.

Thank you for your submission

We hope you enjoy your experience

Channels

Find the latest content and information here about the 2019 Charles Schwab Impact Conference.

Advisors

Receive email updates about fund flows, news, upcoming CE accredited webcasts from industry thought leaders and more.

Content focused on helping financial advisors build successful client relationships and grow their business.

Content geared towards helping financial advisors build better client portfolios.

Get insights on the industry trends and investment news from leading fund managers and experts.

Voya Funds

  • Net Assets
  • $99.7 B
  • Oldest Fund Launched In
  • 1935
  • # of Funds | Share Classes
  • 141 | 607
  • AVG Manager Tenure
  • 7.8 years
  • Expense range
  • 0.2% to 2.9% AVG: 0.8%
  • % of no load funds
  • 88%

Net Assets

Min ($M USD)

Max ($M USD)

YTD

Min (%)

Max (%)

YTD Rank

Min (%)

Max (%)

1 Year Return

Min (%)

Max (%)

1 Year Rank

Min (%)

Max (%)

3 Year Return

Min (%)

Max (%)

3 Year Rank

Min (%)

Max (%)

5 Year Return

Min (%)

Max (%)

5 Year Rank

Min (%)

Max (%)

10 Year Return

Min (%)

Max (%)

10 Year Rank

Min (%)

Max (%)

Selected Filters:

By default, the Primary share class filter is selected ?

We use proprietary Primary share classes for easier table navigation. This way you’ll only see one row for each fund.

No filters applied

Reset

Filter by

Net Assets

Min ($M USD)

Max ($M USD)

YTD

Min (%)

Max (%)

YTD Rank

Min (%)

Max (%)

1 Year Return

Min (%)

Max (%)

1 Year Rank

Min (%)

Max (%)

3 Year Return

Min (%)

Max (%)

3 Year Rank

Min (%)

Max (%)

5 Year Return

Min (%)

Max (%)

5 Year Rank

Min (%)

Max (%)

10 Year Return

Min (%)

Max (%)

10 Year Rank

Min (%)

Max (%)

Expense Ratio

Max (%)

No load funds only

No 12-B1 fees

Dividend Yield

Min (%)

Max (%)

Primary Manager Tenure

Min (yrs)

Search by Primary Manager
Standard Minimum Investment

Min ($ USD)

Max ($ USD)

IRA Minimum Investment

Min ($ USD)

Max ($ USD)

Overview

This is a list of Voya Funds with some key metrics, such as their net assets under management (in millions), 1-year return, 1-year return rank in primary category, expense ratio, and primary manager tenure. The lower the 1-year return rank in the primary category the better.

Short-Term Returns

In this table you will find short term historical return data, including 1-year returns and 3-year returns on Voya Funds. The table also includes the 1-year and 3-year returns ranks. The lower the rank percentage the better.

Long-Term Returns

This table presents long term historical returns data for Voya Funds. Long term includes 5-year and 10-year returns. The table also includes the 5-year and 10-year returns ranks. The lower the rank percentage the better.

Expenses

This list includes all management costs and other fee information for Voya Funds.

Dividend

This page includes relevant dividend information on Voya Funds.

Managers

The table below illustrates valuable information regarding the primary fund manager for Voya Funds. You can use this table to compare the performance of the funds with the tenure of each manager. The manager with the longest tenure in each fund is considered the primary manager.

Minimums

This list includes the retirement (IRA) and standard minimum amounts required to invest in Voya Funds.

Asset Allocation

This list includes asset allocation proportions of the underlying holdings for Voya Funds.

Fund Name Share Class & Symbol Primary Category Net Assets ($M USD) 1 Year Return 1 Year Rank in Primary Category Exp Ratio Primary Manager Tenure (yrs)
Voya Intermediate Bond Fund A (IIBAX) U.S. Investment-Grade Bond $9,032.28 1.50% 30.49% 0.70% 9.58
VY® T. Rowe Price Capital Appreciation Portfolio S (ITCSX) North America $7,176.77 -12.44% 59.29% 0.89% 13.59
Voya U.S. Stock Index Portfolio Inst (INGIX) U.S. Large-Cap Blend Equity $6,230.45 -18.28% 49.17% 0.27% 7.84
Voya Large Cap Growth Portfolio S (IEOSX) U.S. Large-Cap Growth Equity $5,446.46 -21.86% 87.05% 0.92% 9.73
Voya Intermediate Bond Portfolio Inst (IPIIX) U.S. Investment-Grade Bond $3,610.37 1.51% 30.27% 0.53% 9.58
Voya U.S. Bond Index Portfolio Inst (ILBAX) U.S. Investment-Grade Bond $3,277.80 6.57% 3.85% 0.38% 8.03
Voya Strategic Income Opportunities Fund Inst (IISIX) Nontraditional Bond $3,204.32 -10.10% 68.29% 0.61% 7.33
Voya Growth and Income Portfolio Inst (IIVGX) U.S. Large-Cap Blend Equity $2,848.48 -23.13% 75.12% 0.63% 6.67
Voya Retirement Growth Portfolio Inst (IIRGX) Retirement Income $2,387.15 -19.07% 92.70% 0.26% 12.17
Voya International Index Portfolio Inst (IIIIX) International and Foreign Large-Cap Blend Equity $2,114.95 -21.59% 53.39% 0.53% 7.84
Voya MidCap Opportunities Portfolio Inst (IIMOX) U.S. Mid-Cap Growth Equity $1,826.73 -22.33% 58.45% 0.79% 14.59
Voya Retirement Moderate Growth Portfolio Inst (IRGMX) Retirement Income $1,670.13 -15.54% 86.07% 0.27% 12.17
VY® T. Rowe Price Growth Equity Portfolio Inst (ITGIX) U.S. Large-Cap Growth Equity $1,612.86 -28.09% 95.17% 0.73% 6.12
VY® Invesco Oppenheimer Global Portfolio Inst (IGMIX) FAANG Equity $1,345.17 -32.14% 97.55% 0.75% 2.92
Voya Russell Mid Cap Index Portfolio Inst (IIRMX) U.S. Mid-Cap Blend Equity $1,259.21 -38.18% 92.75% 0.45% 7.84
Voya Securitized Credit Fund Other (VSCFX) Multi-Sector Bond $1,223.65 -14.15% 84.64% 0.68% 5.57
Voya GNMA Income Fund A (LEXNX) Intermediate-Term Government Bond $1,213.64 3.00% 86.34% 0.97% 10.79
VY® Invesco Equity and Income Portfolio Inst (IUAIX) North America $1,197.12 -22.27% 92.12% 0.67% 15.34
Voya Global Real Estate Fund Class P3 Other (VGRPX) Global Real Estate $1,195.86 0.00% 3.85% N/A N/A
Voya Index Solution 2025 Portfolio Inst (ISDIX) Target Date $1,070.53 -11.59% 38.51% 0.25% 11.98
Fund Name YTD YTD Rank in Primary Category 1 Year Return 1 Year Rank in Primary Category 3 Year Return 3 Year Rank in Primary Category
Fund Name 5 Year Return 5 Year Rank in Primary Category 10 Year Return 10 Year Rank in Primary Category Inception Date
Fund Name Exp Ratio Management Fee 12b-1 Admin Fee Front Load Deferred Load Max Redemption Fee Turnover
Fund Name Div Yield Last Dividend Date Last Dividend Amount Dividend Frequency Net Income Ratio
Fund Name YTD Primary Manager Start Date Primary Manager Tenure (yrs) Tenure Rank
Fund Name IRA Minimum Standard Minimum
Fund Name Stocks Bonds Convertible Bonds Preferred Stocks Cash

Voya is a company that sells mutual funds with $99,667M in assets under management. The average expense ratio from all mutual funds is 0.83%. 88.47% of all the mutual funds are no load funds. The oldest fund launched was in 1935. The average manager tenure for all managers at Voya is 7.77 years. The company offers investors 141 mutual funds, in terms of the number of individual fund symbols.


Get Updates About Voya Funds

Sign up for Advisor Access to receive email updates about Voya best performers, news, CE accredited webcasts and more.