Voya Global High Dividend Low Volatility PortfolioIWTTX

MUTUAL FUNDVoya
Type
Mutual fund
Peer group
Global equity
Net assets
$337.7M
Expense ratio
1.00%
1-year return
+11.3%
3 years, a year
+13.0%
5 years, a year
+9.1%
Holdings
254

What it aims to do.

The Portfolio seeks long-term capital growth and current income.

Top 10 holdings.

Holding% of fund
GOOGL Alphabet Inc.3.02%
JNJ Johnson & Johnson2.00%
META Meta Platforms Inc1.42%
ABBV AbbVie Inc.1.41%
KO Coca-Cola Co (The)1.29%
CSCO Cisco Systems, Inc.1.25%
PEP Pepsico Inc1.05%
PFE Pfizer Inc.1.03%
TJX The TJX Companies Inc.0.98%
INTU Intuit Inc0.92%

More on IWTTX.

Returns after fees, from the fund's SEC filings up to Mar 2026. Past returns are not a promise. Not financial advice.