Dividend Seeker.
Fund holdings lookup
Request failed

Voya VACS Index Series SC Portfolio (VVICX) is an MF managed by Voya. Its largest position is MSILF GOVERNMENT PORTFOLIO (MVRXX), representing 3.09% of fund assets.

Voya VACS Index Series SC Portfolio Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
VVICX
Type:
MF
Manager:
Voya
Total Assets:
—
Report Date:
Mar 31, 2026
Filing Date:
Jun 1, 2026
Showing 50 out of 1688 holdings
Holding Weight Market Value Shares
-
MSILF GOVERNMENT PORTFOLIO
3.09% $5,812,000.00 5,812,000
-
Bloom Energy Corp
0.98% $1,846,593.21 13,629
-
DAIWA CAPITAL MARKETS AMERICA INC.
0.67% $1,266,742.00 1,266,742
-
CANTOR FITZGERALD SECURITIES
0.67% $1,266,742.00 1,266,742
-
RBC DOMINION SECURITIES INC.
0.67% $1,266,742.00 1,266,742
-
Coeur Mining, Inc.
0.63% $1,192,608.26 63,538
-
Fabrinet
0.62% $1,174,984.56 2,253
-
Nextpower Inc.
0.58% $1,097,366.65 9,103
-
SATS LTD.
0.53% $989,943.92 8,456
-
Credo Technology Group Holding Ltd
0.50% $940,952.88 10,024
-
KRATOS DEFENSE & SECURITY SOLUTIONS, INC.
0.42% $795,705.35 11,285
-
STERLING INFRASTRUCTURE, INC.
0.40% $758,744.01 1,863
-
ADVANCED ENERGY INDUSTRIES INC
0.40% $757,077.66 2,346
-
HECLA MINING CO/DE/
0.39% $739,182.51 39,677
-
BridgeBio Pharma, Inc.
0.39% $737,104.76 9,926
-
Guardant Health, Inc.
0.38% $712,172.70 7,710
-
MODINE MANUFACTURING CO
0.38% $707,341.44 3,264
-
ENSIGN GROUP, INC
0.37% $701,421.50 3,481
-
NOMURA SECURITIES INTERNATIONAL, INC.
0.36% $668,774.00 668,774
-
TTM TECHNOLOGIES INC
0.33% $622,611.22 6,391
-
IonQ, Inc.
0.33% $619,153.08 21,476
-
SPX Technologies, Inc.
0.32% $601,819.40 3,010
-
DYCOM INDUSTRIES INC
0.32% $595,645.56 1,758
-
RAMBUS INC
0.31% $579,498.08 6,736
-
CHART INDUSTRIES INC
0.30% $564,014.00 2,728
-
MADRIGAL PHARMACEUTICALS, INC.
0.30% $560,112.90 1,070
-
ARROWHEAD PHARMACEUTICALS, INC.
0.28% $526,993.50 8,405
-
Praxis Precision Medicines, Inc.
0.27% $516,148.38 1,602
-
CareTrust REIT, Inc.
0.27% $513,539.80 14,012
-
MOOG INC-CLASS A
0.27% $512,120.00 1,750
-
UMB FINANCIAL CORP
0.27% $502,592.24 4,456
-
American Healthcare REIT, Inc.
0.26% $496,641.96 10,531
-
CYTOKINETICS INC
0.26% $492,149.97 7,467
-
WATTS WATER TECHNOLOGIES INC
0.26% $489,719.23 1,687
-
InterDigital, Inc.
0.26% $488,636.00 1,618
-
SM Energy Co
0.26% $485,503.78 15,571
-
Primoris Services Corp
0.26% $484,762.56 3,389
-
SITIME Corp
0.25% $479,345.80 1,388
-
OLD NATIONAL BANCORP /IN/
0.25% $474,641.70 21,477
-
FORMFACTOR INC
0.25% $471,759.36 4,864
-
FLUOR CORP
0.25% $469,252.35 10,059
-
Planet Labs PBC
0.25% $467,938.90 16,742
-
FirstCash Holdings, Inc.
0.25% $467,180.00 2,485
-
VIAVI SOLUTIONS INC.
0.25% $463,823.36 13,937
-
ARGAN INC
0.24% $457,506.00 840
-
ESCO TECHNOLOGIES INC
0.24% $457,226.25 1,625
-
Vaxcyte, Inc.
0.24% $453,839.10 7,810
-
Axsome Therapeutics, Inc.
0.23% $441,649.26 2,613
-
Jackson Financial Inc.
0.23% $441,486.72 4,176
-
HEALTHEQUITY, INC.
0.23% $439,494.63 5,259
Advertisement (320x50)