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Voya Global Insights Portfolio I (IGMIX)
As of 8:05 AM EDT. Market Open.
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18.86 - YTD Return 0.00%
- Expense Ratio 1.25%
- Category World Large-Stock Growth
- Last Cap Gain 63.00
- Morningstar Rating
- Morningstar Risk Rating High
- Sustainability Rating
- Net Assets 1.11B
- Beta (5Y Monthly) 1.23
- Yield 0.05%
- 5y Average Return --
- Holdings Turnover 107.00%
- Last Dividend 0.01
- Inception Date May 1, 2002
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”).
Voya
Fund Family
World Large-Stock Growth
Fund Category
1.11B
Net Assets
2002-05-01
Inception Date
Performance Overview: IGMIX
Trailing returns as of 5/30/2024. Category is World Large-Stock Growth.
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Holdings: IGMIX
Top 10 Holdings (26.57% of Total Assets)
SymbolCompany% Assets
Sector Weightings
SectorIGMIX
Technology 18.37%
Industrials 16.20%
Consumer Cyclical 10.43%
Healthcare 10.31%
Financial Services 10.12%
Communication Services 9.43%
Basic Materials 8.59%
Energy 6.59%
Utilities 4.81%
Consumer Defensive 2.64%
Real Estate 2.52%
Recent News: IGMIX
Research Reports: IGMIX
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