Voya ETF List
Here you can find all ETFs issued by Voya and compare their essential indicators like expense ratio or rate of return to see which one suits your portfolio best.
- Number of ETFs
- 2
- Avg. Expense Ratio
- 0.35%
- Avg. 1 Year Return
- —
- Avg. 5 Year Return
- —
- Median Risk/Return Score
- —
Voya ETF List
2 results
| Symbol | Full Name | Category | Inception | Expense Ratio | YTD Return | 10Y Return (Annualized) | Dividend Yield | Risk / Return Rank | Max. Drawdown | Sharpe Ratio | Sortino Ratio | Omega Ratio | Martin Ratio | Calmar Ratio | Ulcer Index |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Voya Multi-Sector Income ETF | Multisector Bonds | Dec 2, 2025 | 0.45% | 1.17% | — | 2.34% | — | ||||||||
| Voya Ultra Short Income ETF | Ultrashort Bond | Nov 18, 2025 | 0.25% | 0.02% | — | 0.49% | — |
Explore top Voya ETF Categories and Asset Classes
Lowest-Cost Voya ETFs
The top Voya ETFs is VUSI (0.25%).
With an average expense ratio of 0.35%, Voya ETFs remain a low-cost option for investors seeking broad market exposure, sector allocations, and diversified portfolio building blocks.
| Symbol | Name | Expense Ratio | AUM | Inception |
|---|---|---|---|---|
| Voya Ultra Short Income ETF | 0.25% | 111.44M | Nov 2025 | |
| Voya Multi-Sector Income ETF | 0.45% | 108.68M | Dec 2025 |
Highest-Yield Voya ETFs
The top Voya ETFs is VMSB (2.34%).
Across the lineup, Voya ETFs show an average dividend yield of 1.41%, offering investors a steady stream of income through regular dividend payments, making them attractive for income-seeking portfolios.
| Symbol | Name | Dividend Yield | AUM | Inception |
|---|---|---|---|---|
| Voya Multi-Sector Income ETF | 2.34% | 108.68M | Dec 2025 | |
| Voya Ultra Short Income ETF | 0.49% | 111.44M | Nov 2025 |
Top ETFs Issuers
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Top ETFs Comparisons
Compare the top ETFs symbols based on PortfoliosLab usage data.
Risk vs. Return Scatterplot
The Risk vs. Return Scatterplot allows you to quickly compare funds, stocks, and ETFs in one view. It displays the yearly return of an instrument on one axis and the risk (volatility) on the other.
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5 Years