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VOYA INDEX PLUS LARGECAP PORTFOLIO (VIPAX) is an MF managed by Voya. Its largest position is NVIDIA CORP (NVDA), representing 7.93% of fund assets.

VOYA INDEX PLUS LARGECAP PORTFOLIO Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
VIPAX
Type:
MF
Manager:
Voya
Total Assets:
—
Report Date:
Mar 31, 2026
Filing Date:
Jun 1, 2026
Showing 50 out of 228 holdings
Holding Weight Market Value Shares
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NVIDIA CORP
7.93% $65,991,041.60 378,389
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Apple Inc.
6.12% $50,989,710.27 200,913
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Alphabet Inc.
4.99% $41,512,449.16 144,361
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MICROSOFT CORP
4.86% $40,448,846.07 109,271
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AMAZON COM INC
4.00% $33,338,403.71 160,073
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Broadcom Inc.
2.41% $20,043,248.58 64,758
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Meta Platforms, Inc.
2.23% $18,578,205.36 32,472
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JOHNSON & JOHNSON
1.59% $13,260,381.12 54,248
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MSILF GOVERNMENT PORTFOLIO
1.57% $13,060,000.00 13,060,000
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Tesla, Inc.
1.42% $11,841,352.75 31,853
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TJX COMPANIES INC /DE/
1.04% $8,642,804.30 54,119
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CITIGROUP INC
0.98% $8,199,769.82 72,302
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BERKSHIRE HATHAWAY INC
0.90% $7,477,436.80 15,604
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APPLIED MATERIALS INC /DE
0.84% $7,014,214.38 20,522
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ExxonMobil Holdings Corp
0.82% $6,862,916.66 40,451
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T-Mobile US, Inc.
0.82% $6,858,109.59 32,653
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SCHWAB CHARLES CORP
0.82% $6,812,516.22 72,489
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LAM RESEARCH CORP
0.82% $6,808,062.24 31,864
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CME GROUP INC.
0.82% $6,795,117.45 23,007
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Medtronic plc
0.76% $6,310,892.80 72,832
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JPMORGAN CHASE & CO
0.75% $6,233,250.40 21,190
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ELI LILLY & Co
0.72% $5,992,301.55 6,515
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KLA CORP
0.72% $5,976,512.19 4,059
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COLGATE PALMOLIVE CO
0.71% $5,891,523.75 69,125
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ALTRIA GROUP, INC.
0.69% $5,769,637.68 87,432
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Uber Technologies, Inc
0.68% $5,622,911.96 78,172
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Monster Beverage Corp
0.66% $5,518,843.44 76,164
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MCKESSON CORP
0.66% $5,454,364.08 6,303
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QUALCOMM INC/DE
0.64% $5,347,975.84 41,528
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US Foods Holding Corp.
0.64% $5,338,313.53 57,893
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EDISON INTERNATIONAL
0.64% $5,321,356.88 72,716
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Cboe Global Markets, Inc.
0.64% $5,291,704.89 18,827
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Merck & Co., Inc.
0.63% $5,263,168.66 43,754
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BRISTOL MYERS SQUIBB CO
0.63% $5,210,866.05 85,917
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NETFLIX INC
0.62% $5,181,427.35 53,889
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Parker-Hannifin Corp
0.61% $5,076,906.04 5,671
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Booking Holdings Inc.
0.61% $5,065,014.96 1,203
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Ingersoll Rand Inc.
0.60% $5,034,019.72 62,831
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PG&E Corp
0.60% $4,979,636.69 283,417
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MICRON TECHNOLOGY INC
0.59% $4,904,423.28 14,517
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HARTFORD INSURANCE GROUP, INC.
0.59% $4,893,297.55 36,185
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VALERO ENERGY CORP/TX
0.59% $4,875,876.72 19,734
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CINTAS CORP
0.56% $4,642,047.30 27,445
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CARDINAL HEALTH INC
0.55% $4,567,465.65 21,615
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Arista Networks, Inc.
0.54% $4,481,347.22 36,499
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PEPSICO INC
0.53% $4,421,106.30 28,470
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SIMON PROPERTY GROUP INC.
0.52% $4,359,579.16 23,372
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ADVANCED MICRO DEVICES INC
0.51% $4,271,826.57 20,999
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HONEYWELL INTERNATIONAL INC
0.48% $4,037,573.89 17,863
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AMERIPRISE FINANCIAL INC
0.48% $3,997,822.40 8,996
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