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VOYA INDEX PLUS MIDCAP PORTFOLIO (IPMSX) is an MF managed by Voya. Its largest position is MSILF GOVERNMENT PORTFOLIO (MVRXX), representing 1.92% of fund assets.

VOYA INDEX PLUS MIDCAP PORTFOLIO Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
IPMSX
Type:
MF
Manager:
Voya
Total Assets:
—
Report Date:
Mar 31, 2026
Filing Date:
Jun 1, 2026
Showing 50 out of 329 holdings
Holding Weight Market Value Shares
-
MSILF GOVERNMENT PORTFOLIO
1.92% $14,285,000.00 14,285,000
-
CURTISS WRIGHT CORP
1.20% $8,914,498.56 13,088
-
US Foods Holding Corp.
1.10% $8,210,470.61 89,041
-
nVent Electric plc
0.94% $6,981,831.84 59,028
-
TechnipFMC plc
0.94% $6,974,525.70 100,890
-
Everpure, Inc.
0.88% $6,521,027.04 110,451
-
FLEX LTD.
0.85% $6,347,721.66 96,971
-
JONES LANG LASALLE INC
0.79% $5,880,375.36 19,323
-
Brixmor Property Group Inc.
0.77% $5,738,832.00 199,265
-
APPLIED INDUSTRIAL TECHNOLOGIES INC
0.77% $5,736,218.40 21,620
-
NEW YORK TIMES CO
0.76% $5,671,032.90 67,730
-
ITT INC.
0.75% $5,612,442.21 29,457
-
Nextpower Inc.
0.74% $5,521,431.10 45,802
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ANTERO RESOURCES Corp
0.74% $5,494,027.76 129,454
-
RANGE RESOURCES CORP
0.73% $5,447,759.22 120,579
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ATI INC
0.73% $5,444,567.80 37,430
-
Unum Group
0.72% $5,351,054.16 73,272
-
Jazz Pharmaceuticals plc
0.71% $5,300,394.85 28,037
-
FIVE BELOW, INC
0.71% $5,280,401.28 23,111
-
WATTS WATER TECHNOLOGIES INC
0.70% $5,230,735.51 18,019
-
ZIONS BANCORPORATION, NATIONAL ASSOCIATION /UT/
0.69% $5,157,681.44 89,512
-
FLOWSERVE CORP
0.69% $5,157,608.62 70,162
-
RYDER SYSTEM INC
0.68% $5,023,788.11 24,541
-
NEUROCRINE BIOSCIENCES INC
0.67% $4,966,861.48 37,702
-
TOPBUILD CORP
0.66% $4,926,982.50 14,025
-
BORGWARNER INC
0.66% $4,893,329.58 90,183
-
NATIONAL FUEL GAS CO
0.66% $4,880,752.20 51,945
-
ILLUMINA, INC.
0.65% $4,836,229.36 39,236
-
UNITED THERAPEUTICS Corp
0.64% $4,795,429.26 8,087
-
WESCO INTERNATIONAL INC
0.64% $4,791,907.06 17,513
-
COMMERCE BANCSHARES INC /MO/
0.63% $4,653,975.60 94,593
-
Fabrinet
0.62% $4,622,753.28 8,864
-
KIRBY CORP
0.62% $4,585,555.92 34,509
-
ACUITY INC. (DE)
0.62% $4,578,234.36 16,338
-
REGAL REXNORD CORP
0.61% $4,572,140.16 24,416
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ROYAL GOLD INC
0.61% $4,571,912.85 17,965
-
FIRST INDUSTRIAL REALTY TRUST INC
0.61% $4,531,737.60 78,336
-
EXELIXIS, INC.
0.60% $4,492,427.27 104,743
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TENET HEALTHCARE CORP
0.60% $4,428,268.86 23,466
-
AECOM
0.59% $4,361,953.32 51,426
-
HANCOCK WHITNEY CORP
0.58% $4,341,607.25 68,275
-
Travel & Leisure Co.
0.58% $4,337,867.05 62,695
-
CIRRUS LOGIC, INC.
0.58% $4,310,399.10 29,805
-
Core & Main, Inc.
0.58% $4,280,658.20 86,653
-
AVNET INC
0.57% $4,246,973.64 68,922
-
Evercore Inc.
0.57% $4,231,379.25 14,175
-
Sabra Health Care REIT, Inc.
0.57% $4,228,850.07 219,909
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COPT DEFENSE PROPERTIES
0.57% $4,220,199.00 137,915
-
Talen Energy Corp
0.56% $4,200,109.11 13,157
-
RAMBUS INC
0.56% $4,179,423.43 48,581
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