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Voya Credit Income Fund (XSIAX) is an CEF managed by Voya. Its largest position is LS GROUP OPCO ACQUISITION LLC (LS GROUP PROPCO ACQUISITION LLC) (null), representing 0.84% of fund assets.

Voya Credit Income Fund Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
XSIAX
Type:
CEF
Manager:
Voya
Total Assets:
—
Report Date:
Feb 28, 2026
Filing Date:
Apr 28, 2026
Showing 50 out of 265 holdings
Holding Weight Market Value Shares
-
LS GROUP OPCO ACQUISITION LLC (LS GROUP PROPCO ACQUISITION LLC)
0.84% $770,098.54 768,898
-
OSAIC HOLDINGS INC (F/K/A ADVISOR GROUP HOLDINGS INC)
0.76% $702,646.08 725,000
-
AI AQUA MERGER 07/21/2028
0.73% $672,890.63 675,000
-
AEGION 01/27/2033
0.65% $598,367.64 604,412
-
BOOTS GROUP BIDCO LTD
0.64% $586,584.18 585,000
-
DG INVESTMENT INTERMEDIATE HOLDINGS 2, INC.
0.62% $575,000.00 575,000
-
CHARIOT BUYER LLC
0.62% $568,051.02 569,157
-
HILCORP ENERGY I LP
0.60% $549,570.50 548,200
-
COTIVITI CORPORATION
0.58% $533,743.42 598,871
-
CHOBANI, LLC 10/23/2032
0.58% $532,650.00 530,000
-
GRANT THORNTON ADVISORS LLC
0.56% $512,531.25 550,000
-
ELMWOOD CLO 33 LTD
0.54% $494,810.00 500,000
-
SYMPHONY CLO LTD
0.54% $494,743.00 500,000
-
BENEFIT STREET PARTNERS CLO XXVII LTD
0.54% $494,085.00 500,000
-
WEBER-STEPHEN 09/17/2032
0.53% $490,816.83 490,000
-
BAIN CAPITAL CREDIT CLO 2024-5 LTD
0.53% $490,401.00 500,000
-
APPLIED SYSTEMS INC
0.53% $483,548.63 492,537
-
PROJECT BOOST PURCHASER LLC
0.52% $478,762.55 500,885
-
VIZIENT, INC. 07/18/2031
0.52% $476,666.88 475,478
-
ARES LV CLO LTD / ARES LV CLO LLC
0.52% $474,950.50 500,000
-
JANE STREET GROUP LLC
0.51% $473,716.68 489,314
-
ION PLATFORM FINANCE US INC
0.51% $471,437.31 570,000
-
SMYRNA READY MIX CONCRETE LLC
0.51% $468,813.22 467,644
-
GREAT OUTDOORS GROUP LLC
0.51% $467,038.21 466,601
-
HARMONY-PEACE PARK CLO LTD.
0.51% $466,207.50 500,000
-
FOCUS FINANCIAL PARTNERS LLC
0.50% $462,580.18 487,889
-
IMC FINANCING LLC
0.49% $452,208.75 449,400
-
WHITEWATER MATTERHORN
0.49% $448,703.72 449,125
-
WORLD WIDE TEC 03/01/2030
0.49% $448,309.69 447,750
-
NEUBERGER BERMAN CLO LTD
0.49% $447,347.70 450,000
-
LATHAM POOL PRODUCTS INC
0.48% $442,931.95 443,672
-
SAMSONITE 11/30/2032
0.47% $437,356.40 435,000
-
LSF12 CROWN US 12/02/2031
0.47% $432,734.51 432,329
-
PRO MACH GROUP INC
0.47% $430,417.96 430,000
-
NOURISH BUYER I INC
0.47% $429,997.31 428,925
-
NORD ANGLIA ED 01/09/2032
0.47% $429,800.28 431,960
-
CPI HOLDCO B LLC
0.47% $429,156.52 432,809
-
EDELMAN FINANCIAL ENGINES CENTER LLC (THE)
0.47% $429,145.89 431,393
-
EG GROUP (EURO 01/29/2031
0.46% $420,853.02 420,000
-
QUIKRETE HOLDINGS, INC.
0.44% $407,207.41 406,925
-
ARCHES BUYER INC
0.44% $404,326.89 405,626
-
EPICOR SOFTWARE CORPORATION
0.44% $404,209.48 415,773
-
ENSONO LP
0.44% $402,686.21 425,560
-
ARDONAGH GROUP FINCO PTY LTD
0.43% $397,643.32 403,955
-
SOUTHERN VETERINARY PARTNERS LLC
0.43% $397,405.50 398,003
-
Qnity Electronics, Inc.
0.43% $396,851.76 395,000
-
ICON PARENT I 11/13/2031
0.43% $396,814.42 418,802
-
JENNMAR 11/30/2032
0.43% $395,137.50 410,000
-
GARDA WORLD SE 02/01/2029
0.43% $393,266.28 394,005
-
BROOKFIELD RETAIL HOLDINGS VII SUB 3 LLC
0.42% $389,311.16 388,050
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