PortfoliosLab logo
Tools
Performance Analysis
Risk Analysis
Optimization
Factor Model
See All Tools
Portfolio Analysis
Portfolios
Lazy PortfoliosUser Portfolios
Discussions

Here you can find all mutual funds issued by Voya and compare their essential indicators like expense ratio or rate of return to see which one suits your portfolio best.

Click on any fund in the list to see complete information, including risk and performance analysis.


Issuer: Voya
SymbolFull NameCategoryInceptionExpense RatioYTD Return10Y Return (Annualized)Dividend YieldMax. DrawdownSharpe RatioSortino RatioOmega RatioMartin RatioCalmar RatioUlcer Index
ATLAX
Atlas U.S. Tactical Income FundDiversified PortfolioSep 29, 20151.18%
0.89%
4.58%
VY American Century Small-Mid Cap Value PortfolioMid Cap Value EquitiesMay 1, 20020.85%
4.20%
9.28%
14.84%
Voya Solution Moderately Aggressive PortfolioDiversified PortfolioApr 29, 20100.27%
5.70%
7.87%
8.76%
Voya Solution Aggressive PortfolioDiversified PortfolioApr 30, 20130.36%
6.99%
8.39%
6.19%
VY Baron Growth PortfolioMid Cap Growth EquitiesMay 1, 20020.99%
-0.79%
10.49%
5.27%
Voya Balanced PortfolioDiversified PortfolioApr 2, 19890.69%
-0.40%
5.59%
0.00%
VY BlackRock Inflation Protected Bond PortfolioInflation-Protected BondsApr 29, 20070.58%
0.04%
1.51%
3.82%
Voya Solution Conservative PortfolioDiversified PortfolioApr 29, 20100.24%
0.93%
3.56%
4.62%
VY Columbia Small Cap Value II PortfolioSmall Cap Value EquitiesApr 28, 20060.92%
4.59%
8.07%
7.34%
Voya Index Solution 2030 PortfolioTarget Retirement DateOct 2, 20110.20%
4.32%
6.66%
6.98%
Voya Index Solution 2040 PortfolioTarget Retirement DateOct 2, 20110.20%
6.45%
7.90%
7.71%
Voya Index Solution 2050 PortfolioTarget Retirement DateOct 2, 20110.22%
6.89%
8.26%
7.79%
Voya Large Cap Value FundLarge Cap Value EquitiesDec 18, 20071.10%
9.12%
9.16%
9.99%
Voya Large Cap Growth PortfolioLarge Cap Growth EquitiesMay 3, 20040.92%
15.04%
13.55%
0.00%
Voya Emerging Markets Index PortfolioEmerging Markets DiversifiedDec 18, 20110.57%
0.81%
1.68%
0.00%
Voya Floating Rate FundBank LoanAug 16, 20100.81%
3.14%
3.07%
10.71%
Voya International High Dividend Low Volatility Po...Foreign Large Cap EquitiesJan 2, 20060.72%
7.05%
3.05%
4.13%
Voya Global Bond FundGlobal BondsJun 29, 20060.65%
-2.62%
0.08%
4.75%
Voya Global High Dividend Low Volatility PortfolioGlobal EquitiesJan 27, 20081.10%
5.13%
5.90%
1.95%
VY Invesco Oppenheimer Global PortfolioGlobal EquitiesApr 30, 20020.80%
3.66%
8.60%
10.74%

1–20 of 107

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.

0%Annualized Volatility0%Annualized Return

Loading data...