NasdaqGM - Delayed Quote USD

Voya Index Solution 2065 Portfo (0P0001J9KN)

12.65 +0.09 (+0.72%)
At close: April 5 at 4:00 PM EDT
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DELL
  • Previous Close 12.56
  • YTD Return 7.76%
  • Expense Ratio 0.37%
  • Category Target-Date 2065+
  • Last Cap Gain 5.00
  • Morningstar Rating
  • Morningstar Risk Rating High
  • Sustainability Rating --
  • Net Assets 109.51M
  • Beta (5Y Monthly) 1.31
  • Yield 0.00%
  • 5y Average Return --
  • Holdings Turnover 108.00%
  • Last Dividend 0.17
  • Inception Date Jul 29, 2020

Under normal market conditions, the Portfolio invests at least 80% of its net assets (plus borrowings for investment purposes) in a combination of underlying funds which are passively managed index funds. The underlying funds invest in U.S. stocks, international stocks, U.S. bonds, and other fixed-income instruments and the Portfolio uses an asset allocation strategy designed for investors expecting to retire around the year 2065.

Voya

Fund Family

Target-Date 2065+

Fund Category

109.51M

Net Assets

2020-07-29

Inception Date

Performance Overview: 0P0001J9KN

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Trailing returns as of 4/4/2024. Category is Target-Date 2065+.

YTD Return

0P0001J9KN
7.76%
Category
0.00%
 

1-Year Return

0P0001J9KN
21.71%
Category
0.00%
 

3-Year Return

0P0001J9KN
6.18%
Category
0.00%
 

5-Year Return

0P0001J9KN
0.00%
Category
0.00%
 

Holdings: 0P0001J9KN

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Top 8 Holdings (99.89% of Total Assets)

SymbolCompany% Assets
VVIPX
Voya VACS Index S 55.54%
VVIIX
VOYA VACS Index Series I Portfolio 24.10%
VVIMX
Voya VACS Index MC 6.02%
VVIEX
VOYA VACS Index Series EM Portfolio 5.75%
VVICX
VOYA VACS Index Series SC Portfolio 3.89%
UNIY
WisdomTree Voya Yield Enchanced USD Universal Bond Fund 1.74%
VGLT
Vanguard Long-Term Treasury Index Fund ETF Shares 1.69%
ILBAX
Voya US Bond Index Port I 1.17%

Sector Weightings

Sector0P0001J9KN
Technology   23.69%
Healthcare   12.11%
Industrials   11.28%
Energy   4.11%
Real Estate   2.82%
Utilities   2.55%

Recent News: 0P0001J9KN

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Research Reports: 0P0001J9KN

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