Dividend Seeker.
Fund holdings lookup
Request failed

VOYA INDEX PLUS SMALLCAP PORTFOLIO (IPSSX) is an MF managed by Voya. Its largest position is MSILF GOVERNMENT PORTFOLIO (MVRXX), representing 1.76% of fund assets.

VOYA INDEX PLUS SMALLCAP PORTFOLIO Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
IPSSX
Type:
MF
Manager:
Voya
Total Assets:
—
Report Date:
Mar 31, 2026
Filing Date:
Jun 1, 2026
Showing 50 out of 465 holdings
Holding Weight Market Value Shares
-
MSILF GOVERNMENT PORTFOLIO
1.76% $6,297,000.00 6,297,000
-
Element Solutions Inc
0.84% $3,011,796.66 88,219
-
CITADEL SECURITIES LP
0.78% $2,785,098.00 2,785,098
-
RBC DOMINION SECURITIES INC.
0.73% $2,617,992.00 2,617,992
-
GRANITE CONSTRUCTION INC
0.72% $2,576,940.48 21,496
-
California Resources Corp
0.70% $2,513,308.98 36,309
-
PIPER SANDLER COMPANIES
0.70% $2,501,654.00 32,680
-
ESCO TECHNOLOGIES INC
0.68% $2,445,668.04 8,692
-
Enpro Inc.
0.67% $2,390,198.40 9,536
-
FIRST BANCORP /PR/
0.65% $2,344,260.00 109,750
-
FRANKLIN ELECTRIC CO INC
0.63% $2,265,262.09 24,577
-
Alkermes plc.
0.63% $2,261,378.08 63,953
-
CARMAX INC
0.62% $2,217,087.18 53,321
-
Zurn Elkay Water Solutions Corp
0.62% $2,206,352.20 49,205
-
BGC Group, Inc.
0.59% $2,127,668.34 217,553
-
PATTERSON UTI ENERGY INC
0.59% $2,099,915.34 193,898
-
STATE OF WISCONSIN INVESTMENT BOARD
0.58% $2,062,712.00 2,062,712
-
M/I HOMES, INC.
0.57% $2,059,241.65 16,817
-
Covista Inc.
0.57% $2,048,799.25 17,777
-
AVISTA CORP
0.56% $2,002,986.00 49,900
-
SM Energy Co
0.55% $1,961,128.46 62,897
-
URBAN OUTFITTERS INC
0.54% $1,928,627.40 30,444
-
Enova International, Inc.
0.52% $1,872,144.89 13,783
-
Gates Industrial Corp Ltd.
0.52% $1,869,417.41 82,681
-
OUTFRONT Media Inc.
0.52% $1,852,694.50 69,913
-
BLACKSTONE MORTGAGE TRUST, INC.
0.52% $1,849,104.85 96,559
-
DELUXE CORP
0.51% $1,842,701.40 66,910
-
HELIX ENERGY SOLUTIONS GROUP, INC.
0.51% $1,841,290.53 186,177
-
Northwest Natural Holding Co
0.49% $1,757,856.60 33,030
-
SKYWEST INC
0.49% $1,755,973.26 19,122
-
NMI Holdings, Inc.
0.49% $1,746,128.01 46,551
-
CSW INDUSTRIALS, INC.
0.49% $1,744,583.10 6,695
-
Moelis & Co
0.48% $1,732,572.00 30,396
-
MINERALS TECHNOLOGIES INC
0.48% $1,720,235.52 24,256
-
DAIWA CAPITAL MARKETS AMERICA INC.
0.48% $1,716,910.00 1,716,910
-
Crescent Energy Co
0.48% $1,716,741.00 127,166
-
BANNER CORP
0.48% $1,710,933.28 28,196
-
Lyft, Inc.
0.47% $1,696,428.30 127,551
-
COHU INC
0.47% $1,695,827.46 55,383
-
OSI SYSTEMS INC
0.47% $1,695,281.35 6,385
-
MERCURY SYSTEMS INC
0.47% $1,686,554.12 23,132
-
Andersons, Inc.
0.47% $1,681,661.84 23,428
-
LEMAITRE VASCULAR INC
0.47% $1,668,990.96 15,288
-
OFG BANCORP
0.46% $1,662,137.26 41,081
-
Cushman & Wakefield Ltd.
0.46% $1,657,674.60 135,210
-
Millrose Properties, Inc.
0.46% $1,656,340.00 59,155
-
ENCORE CAPITAL GROUP INC
0.46% $1,643,612.80 23,440
-
StoneX Group Inc.
0.46% $1,640,501.65 20,341
-
WESTAMERICA BANCORPORATION
0.45% $1,625,776.25 31,175
-
PTC THERAPEUTICS, INC.
0.45% $1,620,608.31 23,787
Advertisement (320x50)