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VOYA MULTI-MANAGER MID CAP VALUE FUND (IMCVX) is an MF managed by Voya. Its largest position is BLACKROCK LIQUIDITY FUNDS (TFDXX), representing 2.36% of fund assets.

VOYA MULTI-MANAGER MID CAP VALUE FUND Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
IMCVX
Type:
MF
Manager:
Voya
Total Assets:
—
Report Date:
Feb 28, 2026
Filing Date:
Apr 28, 2026
Showing 50 out of 343 holdings
Holding Weight Market Value Shares
-
BLACKROCK LIQUIDITY FUNDS
2.36% $3,594,489.62 3,594,490
-
LABCORP HOLDINGS INC.
1.71% $2,608,151.52 9,021
-
US Foods Holding Corp.
1.68% $2,568,183.63 26,583
-
ALLIANT ENERGY CORP
1.57% $2,392,934.86 33,079
-
PACKAGING CORP OF AMERICA
1.46% $2,230,633.26 9,609
-
HARTFORD INSURANCE GROUP, INC.
1.35% $2,052,033.93 14,571
-
Keysight Technologies, Inc.
1.34% $2,043,744.50 6,650
-
LINCOLN ELECTRIC HOLDINGS INC
1.31% $1,997,006.85 6,957
-
CMS ENERGY CORP
1.28% $1,956,043.85 25,055
-
Archer-Daniels-Midland Co
1.24% $1,887,622.64 27,341
-
QUEST DIAGNOSTICS INC
1.21% $1,840,226.44 8,684
-
CSX CORP
1.20% $1,833,535.50 42,950
-
RPM INTERNATIONAL INC/DE/
1.19% $1,814,508.00 15,900
-
BORGWARNER INC
1.19% $1,814,030.70 31,510
-
NNN REIT, INC.
1.18% $1,804,098.56 39,808
-
LAMAR ADVERTISING CO/NEW
1.17% $1,783,733.00 12,950
-
COTERRA ENERGY INC
1.14% $1,745,006.55 57,045
-
MICROCHIP TECHNOLOGY INC
1.14% $1,740,978.00 23,325
-
CF Industries Holdings, Inc.
1.11% $1,696,659.30 17,045
-
DEVON ENERGY CORP/DE
1.11% $1,696,581.75 38,975
-
L3HARRIS TECHNOLOGIES, INC. /DE/
1.11% $1,692,194.68 4,642
-
Knight-Swift Transportation Holdings Inc.
1.10% $1,672,916.96 26,588
-
LOWES COMPANIES INC
1.09% $1,666,791.00 6,300
-
OLD REPUBLIC INTERNATIONAL CORP
1.06% $1,616,156.13 37,699
-
Xylem Inc.
1.06% $1,610,301.24 12,429
-
TRUIST FINANCIAL CORP
1.05% $1,598,876.75 32,425
-
EQUITY LIFESTYLE PROPERTIES INC
1.04% $1,589,744.36 23,671
-
HUBBELL INC
1.04% $1,586,053.00 3,100
-
APTARGROUP, INC.
1.04% $1,580,522.58 10,998
-
STEEL DYNAMICS INC
1.02% $1,559,138.49 8,073
-
RAYMOND JAMES FINANCIAL INC
1.02% $1,555,445.88 10,161
-
American Water Works Company, Inc.
1.01% $1,542,444.17 11,339
-
AMERICAN FINANCIAL GROUP INC
0.97% $1,478,471.64 11,118
-
MOLINA HEALTHCARE, INC.
0.93% $1,424,962.50 9,250
-
AUTOZONE INC
0.92% $1,408,342.50 375
-
WILLIS TOWERS WATSON PLC
0.92% $1,403,782.00 4,600
-
ESTEE LAUDER COMPANIES INC
0.92% $1,398,479.25 12,775
-
CARRIER GLOBAL Corp
0.91% $1,387,820.00 21,550
-
HOLOGIC INC.
0.90% $1,372,833.12 18,217
-
REGAL REXNORD CORP
0.89% $1,359,027.00 6,150
-
EXPAND ENERGY Corp
0.88% $1,338,208.00 12,400
-
DuPont de Nemours, Inc.
0.86% $1,317,953.52 26,338
-
Baker Hughes Co
0.82% $1,254,492.98 19,223
-
FTI CONSULTING, INC
0.81% $1,241,206.58 7,549
-
Texas Roadhouse, Inc.
0.81% $1,234,372.50 6,750
-
CACI INTERNATIONAL INC /DE/
0.80% $1,225,831.53 2,009
-
IQVIA HOLDINGS INC.
0.79% $1,210,007.27 6,767
-
TOPBUILD CORP
0.78% $1,196,512.70 2,669
-
AKAMAI TECHNOLOGIES INC
0.78% $1,193,765.87 12,133
-
TORO CO
0.78% $1,192,152.74 12,059
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