
VOYA INVESTMENT MANAGEMENT LLC is an institutional investment manager that files quarterly 13F reports with the SEC. As of Q4 2025, the fund manages $101.4B in reported equity holdings across 2408 positions. The largest holdings are NVDA (5.7%), MSFT (4.7%), AAPL (4.2%), BMY (3.1%), GOOG (3.1%). The portfolio is concentrated in Other (84.3%), Communication Services (5.7%), Technology (4.0%). Data sourced from SEC EDGAR 13F filings (CIK 1068837).
