Voya PARTNERS INC's Voya International High Dividend Low Volatility Portfolio (IFTAX) has disclosed 166 total holdings in their latest N-PORT filing with the SEC for the
portfolio date of 2024-09-30. The current portfolio value is calculated to be $319.00 Mil, only including common equities, preferred
equities, ETFs, options and warrants for equities. The turnover rate is 14%.
Voya International High Dividend Low Volatility Portfolio (IFTAX)'s
Total Assets is $337.24 Mil , Total Liabilities is $14.80 Mil , Net Assets is $322.45 Mil.
In Voya International High Dividend Low Volatility Portfolio (IFTAX)'s current portfolio as of 2024-09-30, the top 5 holdings are
Novartis AG (XSWX:NOVN), Shell PLC (LSE:SHEL), HSBC Holdings PLC (LSE:HSBA), Allianz SE (XTER:ALV) and iShares MSCI EAFE Value ETF (EFV),
not including call and put options.
Voya International High Dividend Low Volatility Portfolio (IFTAX) did not buy any new stocks in the current portfolio.
Please visit the "Current Portfolio" tab to see the mutual fund's current and past N-PORT holdings for Voya International High Dividend Low Volatility Portfolio (IFTAX), as well as holding map,
valuations for each stock, which positions are undervalued, have low PE Ratios, are considered high quality and recently traded at 52-week lows, etc.
Please visit the "Stock Picks" tab to see the mutual fund's latest trades and stock picks for Voya International High Dividend Low Volatility Portfolio (IFTAX), which include data from form N-PORT.
Please visit the "Summary" page to see the top 10 holdings, recent stock picks, performance, sector / industry breakdown details, as well as past holding history summary for Voya International High Dividend Low Volatility Portfolio.