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Nasdaq - Delayed Quote USD

Voya Global Insights Portfolio ADV (IGMAX)

6.61
-0.44
(-6.24%)
At close: April 4 at 8:01:13 PM EDT

Performance Overview

Morningstar Return Rating --
YTD Return -11.51%
5y Average Return 11.34%
Number of Years Up 17
Number of Years Down 5
Best 1Y Total Return (Apr 4, 2025) 35.82%
Worst 1Y Total Return (Apr 4, 2025) --
Best 3Y Total Return 35.82%
Worst 3Y Total Return -0.93%

Trailing Returns (%) Vs. Benchmarks

Monthly Total Returns
IGMAX
Category
YTD
-2.14%
9.95%
1-Month
-4.44%
2.98%
3-Month
-2.14%
8.22%
1-Year
2.29%
40.81%
3-Year
4.34%
19.17%
5-Year
12.29%
18.49%
10-Year
7.47%
11.83%
Last Bull Market
13.84%
21.12%
Last Bear Market
-18.86%
-20.34%

Annual Total Return (%) History

Year
IGMAX
Category
2025
--
--
2024
8.75%
--
2023
32.04%
--
2022
-32.28%
--
2021
14.80%
--
2020
27.19%
32.67%
2019
31.10%
30.40%
2018
-13.62%
-7.79%

2017
35.82%
30.22%
2016
-0.29%
2.42%
2015
3.56%
1.26%
2014
1.85%
2.65%
2013
26.46%
26.44%
2012
21.18%
18.01%
2011
-8.60%
-6.80%
2010
15.42%
15.68%
2009
39.04%
39.03%
2008
-40.65%
-41.58%
2007
6.04%
12.98%
2006
17.36%
18.96%
2005
13.07%
11.74%
2004
14.72%
12.56%
2003
31.50%
34.32%
2002
--
-21.99%

Past Quarterly Returns

YearQ1Q2Q3Q4
2025 -2.14% -- -- --
2024 4.04% 1.47% 3.53% -0.50%
2023 13.87% 8.16% -4.87% 12.70%
2022 -16.21% -18.86% -9.35% 9.90%
2021 0.89% 10.32% 0.24% 2.89%
2020 -22.16% 26.10% 10.47% 17.30%
2019 16.71% 3.87% -4.30% 13.01%
2018 -0.09% 1.68% 1.28% -16.04%
2017 10.25% 8.56% 5.96% 7.10%
2016 -6.59% -1.79% 8.70% 0.00%

2015 7.36% 2.71% -11.03% 5.55%
2014 0.66% 3.75% -2.04% -0.44%
2013 6.99% 0.64% 9.22% 7.53%
2012 13.91% -8.02% 7.73% 7.35%
2011 5.72% 1.69% -20.02% 6.30%
2010 5.66% -12.80% 15.13% 8.81%
2009 -8.98% 23.10% 18.22% 4.97%
2008 -10.32% -3.95% -12.24% -21.50%
2007 1.17% 7.13% 2.50% -4.55%
2006 7.36% -3.36% 4.31% 8.44%
2005 -3.28% 2.23% 9.69% 4.25%
2004 2.54% 0.09% -2.01% 14.06%
2003 -5.13% 15.47% 5.88% 13.37%
2002 -14.35% 4.75% -- --

Rank in Category (By Total Return)

YTD 34
1-Month 29
3-Month 34
1-Year 49
3-Year 56
5-Year 65

Load Adjusted Returns

1-Year 2.29%
3-Year 4.34%
5-Year 12.29%
10-Year 7.47%

Performance & Risk

YTD Return -11.51%
5y Average Return 11.34%
Rank in Category (ytd) 34
% Rank in Category (ytd) --
Beta (5Y Monthly) 1.23
Morningstar Risk Rating

Fund Overview

Category World Large-Stock Growth
Fund Family Voya
Net Assets 1.04B
YTD Return -2.14%
Yield 0.00%
Morningstar Rating
Inception Date May 01, 2002

Fund Summary

Under normal market conditions, the Portfolio invests mainly in common stocks of U.S. and foreign (non-U.S.) companies and normally will invest in at least three countries. It is not required to allocate any set percentage of its investments in any particular country and can invest, without limit, in foreign (non-U.S.) securities of any country, including countries with developing or emerging markets. The Portfolio may invest in real estate-related securities, including real estate investment trusts (“REITs”).

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