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Voya International High Dividend Low Volatility Portfolio (IFTIX) belongs to the Foreign Large Cap Equities category. Below you'll find alternative mutual funds from the same category, ranked by key criteria, plus funds that investors commonly compare with IFTIX. Use the tables to find lower-cost options, better risk-adjusted returns, or a closer substitute for your current allocation.

Cheapest Alternatives to IFTIX

IFTIX charges 0.72% annually. There are 129 mutual funds in the Foreign Large Cap Equities category with lower expense ratios, going as low as 0.01%.


Best Risk-Adjusted Alternatives to IFTIX

IFTIX has a PortfoliosLab risk / return rank of 42. There are 179 mutual funds in the Foreign Large Cap Equities category with higher risk-adjusted ranks, going as high as 94.


Top Performing IFTIX Alternatives (YTD)

IFTIX is at 7.36% YTD. There are 332 mutual funds in the Foreign Large Cap Equities category with higher YTD returns, going as high as 40.47%.


Lowest Volatility Alternatives to IFTIX

IFTIX has 12.15% 1-year volatility. There are 22 mutual funds in the Foreign Large Cap Equities category with lower 1-year volatility, going as low as 8.76%.


Lowest Drawdown Alternatives to IFTIX

IFTIX has a 1-year max drawdown of -8.44%. There are 19 mutual funds in the Foreign Large Cap Equities category with shallower 1-year drawdowns, going as shallow as -6.94%.


Other Mutual Funds from Voya

The 10 most viewed Voya mutual funds shown here include LEXCX, IRLNX, IEDAX and span 8 categories.


Often Compared With IFTIX

Investors most often compare IFTIX with FMIJX, INGIX, IGA. These 20 comparison targets span 16 categories, based on PortfoliosLab usage data.


SymbolNameCategoryRisk / Return RankYTD ReturnAUMInception
FMI International FundForeign Large Cap Equities
11
4.34%
Dec 2010IFTIX vs FMIJX
Voya U.S. Stock Index PortfolioLarge Cap Blend Equities
47
9.64%
May 2004IFTIX vs INGIX
Voya Global Advantage and Premium Opportunity FundGlobal Allocation
16
4.43%
Oct 2005IFTIX vs IGA
VY Baron Growth PortfolioMid Cap Growth Equities
0
-15.91%
May 2002IFTIX vs IBGIX
Voya High Yield Bond FundHigh Yield Bonds
36
1.02%
Dec 1998IFTIX vs IHYAX
Voya Balanced Income PortfolioDiversified Portfolio
7
4.63%
Apr 2006IFTIX vs IIFIX
VY BlackRock Inflation Protected Bond PortfolioInflation-Protected Bonds
13
1.55%
Apr 2007IFTIX vs IBRIX
Voya Solution 2030 PortfolioTarget Retirement Date
74
7.41%
Oct 2011IFTIX vs ISNGX
Voya Global Bond FundGlobal Bonds
3
-1.70%
Jun 2006IFTIX vs IGBIX
Voya Growth and Income PortfolioLarge Cap Blend Equities
24
9.46%
Dec 1979IFTIX vs IIVGX
Voya Large-Cap Growth FundLarge Cap Growth Equities
24
6.77%
Jul 1997IFTIX vs NLCAX
Voya Solution Aggressive PortfolioDiversified Portfolio
71
10.85%
Apr 2013IFTIX vs IAVIX
Voya Senior Income FundBank Loan
37
0.62%
Apr 2001IFTIX vs XSIAX
VY JPMorgan Small Cap Core Equity PortfolioSmall Cap Blend Equities
43
16.30%
May 2002IFTIX vs IJSSX
VY JPMorgan Emerging Markets Equity PortfolioEmerging Markets Diversified
94
35.61%
Feb 1998IFTIX vs IJPIX
Voya Target In-Retirement FundTarget Retirement Date
78
4.85%
Dec 2012IFTIX vs ISOLX
Voya Global Equity Dividend and Premium Opportunit...Global Equity Income
58
13.22%
Mar 2005IFTIX vs IGD
Voya Index Plus MidCap PortfolioMid Cap Blend Equities
37
15.63%
Dec 1997IFTIX vs IPMIX
Voya Target Retirement 2060 FundTarget Retirement Date
81
12.85%
Dec 2015IFTIX vs VRSAX
Voya Global High Dividend Low Volatility PortfolioGlobal Equities
33
5.15%
Jan 2008IFTIX vs IGHAX

Compare IFTIX with Any Fund or Stock

Compare IFTIX with any ETF, mutual fund, or stock using PortfoliosLab's comparison tool.


 

Diversifiers

Pair IFTIX with funds that move differently

Voya International High Dividend Low Volatility Portfolio alternatives help with substitution. Diversifiers are the next step when you want funds with lower historical correlation to IFTIX.

Explore IFTIX Diversifiers