Voya International High Dividend Low Volatility PortfolioIFTIX
Type
Mutual fund
Peer group
International equity
Net assets
$171.5M
Expense ratio
0.76%
1-year return
+25.8%
3 years, a year
+18.9%
5 years, a year
+11.3%
Holdings
180
What it aims to do.
The Portfolio seeks maximum total return.
Top 10 holdings.
| Holding | % of fund |
|---|---|
| JOBY HSBC Holdings PLC | 2.96% |
| JOBY Shell PLC | 2.40% |
| JOBY Allianz SE | 2.00% |
| iShares Trust | 1.69% |
| JOBY Iberdrola, S.A. | 1.60% |
| JOBY Zurich Insurance Group AG | 1.44% |
| JOBY Enel S.p.A. | 1.38% |
| JOBY British American Tobacco PLC | 1.38% |
| JOBY Bp Plc | 1.29% |
| JOBY Intesa Sanpaolo S.p.A. | 1.28% |
More on IFTIX.
- IFTIX overview
- IFTIX holdings
- IFTIX risk
- IFTIX costs
- IFTIX money in and out
- IFTIX share classes
- Compare IFTIX with other funds
Returns after fees, from the fund's SEC filings up to Mar 2026. Past returns are not a promise. Not financial advice.