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Nasdaq - Delayed Quote USD

Voya Target Retirement 2030 R (VRRIX)

13.01
+0.03
+(0.23%)
At close: 6:07:20 PM EDT

Performance Overview

Morningstar Return Rating --
YTD Return -0.54%
5y Average Return 8.39%
Number of Years Up 5
Number of Years Down 1
Best 1Y Total Return (Apr 25, 2025) 20.03%
Worst 1Y Total Return (Apr 25, 2025) --
Best 3Y Total Return 20.03%
Worst 3Y Total Return 1.39%

Trailing Returns (%) Vs. Benchmarks

Monthly Total Returns
VRRIX
Category
YTD
0.00%
7.97%
1-Month
-2.47%
0.98%
3-Month
0.00%
5.18%
1-Year
5.17%
25.53%
3-Year
3.56%
11.28%
5-Year
9.88%
10.98%
10-Year
5.95%
8.54%
Last Bull Market
11.78%
17.21%
Last Bear Market
-12.19%
-15.52%

Annual Total Return (%) History

Year
VRRIX
Category
2025
--
--
2024
10.17%
--
2023
15.13%
--
2022
-17.84%
--
2021
12.84%
--
2020
13.95%
12.99%
2019
20.03%
20.07%
2018
--
-6.25%

Past Quarterly Returns

YearQ1Q2Q3Q4
2025 0.00% -- -- --
2024 4.75% 1.27% 5.90% -1.93%
2023 5.44% 3.38% -3.70% 9.69%
2022 -6.16% -12.19% -6.23% 6.33%
2021 2.62% 5.46% -0.67% 4.98%
2020 -16.32% 15.32% 5.94% 11.47%
2019 9.21% 3.12% 0.90% 5.63%
2018 2.95% -9.05% -- --

Rank in Category (By Total Return)

YTD 92
1-Month 93
3-Month 92
1-Year 68
3-Year 76
5-Year 44

Load Adjusted Returns

1-Year 5.17%
3-Year 3.56%
5-Year 9.88%
10-Year 5.95%

Performance & Risk

YTD Return -0.54%
5y Average Return 8.39%
Rank in Category (ytd) 92
% Rank in Category (ytd) --
Beta (5Y Monthly) 1.03
Morningstar Risk Rating

Fund Overview

Category Target-Date 2030
Fund Family Voya
Net Assets 164.07M
YTD Return 0.00%
Yield 1.22%
Morningstar Rating
Inception Date Dec 20, 2012

Fund Summary

The fund invests primarily in a combination of underlying funds, which are actively managed funds or passively managed funds. The underlying funds invest in U.S. stocks, international stocks, U.S. bonds, and other debt instruments and the fund uses an asset allocation strategy designed for investors expecting to retire around the year 2030. The fund's current approximate target investment allocation among the underlying funds is as follows: 53% in equity securities and 47% in debt instruments.

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