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Voya VACS Series MCV Fund (VVJEX) is an MF managed by Voya. Its largest position is BLACKROCK LIQUIDITY FUNDS (TFDXX), representing 2.54% of fund assets.

Voya VACS Series MCV Fund Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
VVJEX
Type:
MF
Manager:
Voya
Total Assets:
—
Report Date:
Feb 28, 2026
Filing Date:
Apr 28, 2026
Showing 50 out of 347 holdings
Holding Weight Market Value Shares
-
BLACKROCK LIQUIDITY FUNDS
2.54% $2,864,720.48 2,864,720
-
LABCORP HOLDINGS INC.
1.70% $1,916,287.36 6,628
-
US Foods Holding Corp.
1.67% $1,883,122.12 19,492
-
ALLIANT ENERGY CORP
1.56% $1,757,934.34 24,301
-
PACKAGING CORP OF AMERICA
1.45% $1,638,908.40 7,060
-
HARTFORD INSURANCE GROUP, INC.
1.33% $1,502,233.61 10,667
-
Keysight Technologies, Inc.
1.33% $1,498,233.75 4,875
-
LINCOLN ELECTRIC HOLDINGS INC
1.30% $1,466,251.40 5,108
-
CMS ENERGY CORP
1.28% $1,437,893.26 18,418
-
Archer-Daniels-Midland Co
1.23% $1,386,806.48 20,087
-
QUEST DIAGNOSTICS INC
1.19% $1,345,628.50 6,350
-
CSX CORP
1.19% $1,344,735.00 31,500
-
RPM INTERNATIONAL INC/DE/
1.18% $1,332,351.00 11,675
-
BORGWARNER INC
1.18% $1,331,018.40 23,120
-
NNN REIT, INC.
1.18% $1,326,380.44 29,267
-
LAMAR ADVERTISING CO/NEW
1.17% $1,315,417.00 9,550
-
MICROCHIP TECHNOLOGY INC
1.13% $1,278,210.00 17,125
-
COTERRA ENERGY INC
1.13% $1,276,979.55 41,745
-
CF Industries Holdings, Inc.
1.11% $1,248,132.06 12,539
-
DEVON ENERGY CORP/DE
1.11% $1,245,741.54 28,618
-
L3HARRIS TECHNOLOGIES, INC. /DE/
1.10% $1,237,613.30 3,395
-
Knight-Swift Transportation Holdings Inc.
1.09% $1,224,360.28 19,459
-
LOWES COMPANIES INC
1.09% $1,223,636.25 4,625
-
OLD REPUBLIC INTERNATIONAL CORP
1.05% $1,187,627.61 27,703
-
Xylem Inc.
1.05% $1,180,162.04 9,109
-
TRUIST FINANCIAL CORP
1.04% $1,169,879.75 23,725
-
APTARGROUP, INC.
1.04% $1,169,511.98 8,138
-
EQUITY LIFESTYLE PROPERTIES INC
1.04% $1,167,979.56 17,391
-
HUBBELL INC
1.03% $1,158,841.95 2,265
-
American Water Works Company, Inc.
1.01% $1,141,291.70 8,390
-
STEEL DYNAMICS INC
1.01% $1,139,660.13 5,901
-
RAYMOND JAMES FINANCIAL INC
1.01% $1,135,700.52 7,419
-
AMERICAN FINANCIAL GROUP INC
0.96% $1,084,850.84 8,158
-
MOLINA HEALTHCARE, INC.
0.93% $1,043,688.75 6,775
-
WILLIS TOWERS WATSON PLC
0.91% $1,029,948.75 3,375
-
ESTEE LAUDER COMPANIES INC
0.91% $1,026,281.25 9,375
-
CARRIER GLOBAL Corp
0.90% $1,019,130.00 15,825
-
CACI INTERNATIONAL INC /DE/
0.90% $1,017,763.56 1,668
-
HOLOGIC INC.
0.89% $1,007,337.12 13,367
-
REGAL REXNORD CORP
0.88% $994,410.00 4,500
-
AUTOZONE INC
0.87% $976,450.80 260
-
DuPont de Nemours, Inc.
0.86% $967,323.24 19,331
-
EXPAND ENERGY Corp
0.85% $957,790.00 8,875
-
Baker Hughes Co
0.82% $920,361.78 14,103
-
FTI CONSULTING, INC
0.81% $912,531.00 5,550
-
Texas Roadhouse, Inc.
0.81% $909,778.25 4,975
-
IQVIA HOLDINGS INC.
0.79% $889,579.75 4,975
-
StandardAero, Inc.
0.79% $887,810.00 28,825
-
TORO CO
0.78% $878,371.10 8,885
-
AKAMAI TECHNOLOGIES INC
0.78% $876,359.73 8,907
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