ICISX
VY(R) COLUMBIA SMALL CAP VALUE II PORTFOLIO
Voya Partners Inc

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Dec 31, 2025 → Mar 31, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
CALIFORNIA RESOU 0 14,550 14,550 1.60% $1.01M
RAYONIER INC REIT 0 45,422 45,422 1.48% $936.60K
CAESARS ENTERTAINMENT INC 0 32,840 32,840 1.37% $867.96K
OPENLANE INC 0 27,830 27,830 1.29% $811.24K
KODIAK GAS SERVICES INC 0 12,812 12,812 1.18% $747.20K
SOLARIS OIL IN-A 0 12,350 12,350 1.11% $697.90K
DARLING INGREDIENTS INC 0 11,260 11,260 1.10% $696.43K
AVIENT CORP 0 17,480 17,480 1.01% $634.52K
LIONSGATE STUDIOS CORP 0 66,130 66,130 1.00% $634.19K
GLOBAL NET LEASE INC 0 65,220 65,220 0.97% $610.46K
CROCS INC 0 7,060 7,060 0.93% $586.12K
UFP INDUSTRIES INC 0 6,230 6,230 0.91% $573.91K
HUB GROUP INC CL A 0 15,580 15,580 0.89% $561.50K
BROADSTONE NET LEASE INC 0 26,507 26,507 0.77% $484.28K
CHEMOURS CO/ THE 0 21,980 21,980 0.77% $484.22K
CONMED CORP 0 10,560 10,560 0.59% $373.40K
Precision Drilling Corporation 0 3,240 3,240 0.51% $318.82K
CARTERS INC 0 8,900 8,900 0.50% $318.26K
ARDENT HEALTH PA 0 36,340 36,340 0.49% $311.07K
RYERSON HOLDING CORP 0 13,814 13,814 0.49% $310.54K
STEPAN CO 0 5,790 5,790 0.46% $289.38K
GOLD.COM INC 0 6,850 6,850 0.43% $274.55K
NEOGEN CORP 0 13,035 13,035 0.19% $121.10K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
ASSURED GUARANTY LTD 10,980 0 -10,980 0.00% -$986.77K
POTLATCHDELTIC CORP REIT 24,778 0 -24,778 0.00% -$985.67K
PENNYMAC FINANCIAL SERVICES INC 7,180 0 -7,180 0.00% -$946.61K
COUSINS PROPERTIES INC 35,010 0 -35,010 0.00% -$902.56K
KORN FERRY 12,590 0 -12,590 0.00% -$831.19K
MOOG INC-CLASS A 3,082 0 -3,082 0.00% -$750.62K
VISTEON CORP 7,101 0 -7,101 0.00% -$675.31K
CYTOKINETICS INC 10,220 0 -10,220 0.00% -$649.38K
UGI CORP NEW 16,260 0 -16,260 0.00% -$608.61K
ALASKA AIR GROUP INC 10,659 0 -10,659 0.00% -$536.15K
CAVCO INDUSTRIES INC 880 0 -880 0.00% -$519.85K
MODINE MFG CO 3,850 0 -3,850 0.00% -$514.01K
RYDER SYSTEM INC 2,679 0 -2,679 0.00% -$512.73K
TOPGOLF CALLAWAY BRANDS CORP 43,660 0 -43,660 0.00% -$509.51K
TIDEWATER INC 9,700 0 -9,700 0.00% -$489.95K
OMNICELL INC 10,460 0 -10,460 0.00% -$473.84K
WORLD KINECT CORP 16,970 0 -16,970 0.00% -$397.61K
N-ABLE INC 48,390 0 -48,390 0.00% -$361.96K
GENTHERM INC 9,400 0 -9,400 0.00% -$341.88K
PENGUIN SOLUTIONS INC 17,450 0 -17,450 0.00% -$341.32K
SAVERS VALUE VILLAGE INC 35,850 0 -35,850 0.00% -$334.84K
AMERICAN ASSETS TRUST INC 16,940 0 -16,940 0.00% -$320.67K
MIMEDX GROUP INC 34,561 0 -34,561 0.00% -$233.98K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
PHILLIPS EDISON and CO INC 26,330 35,490 9,160 2.10% $391.48K
BANKUNITED INC 25,320 25,520 200 1.83% $23.97K
STONEX GROUP INC 8,930 13,495 4,565 1.72% $238.86K
ESSENT GROUP LTD 18,280 18,480 200 1.71% -$108.41K
FULTON FINANCIAL CORP 51,590 51,990 400 1.68% $60.24K
POLARIS INC 15,250 17,480 2,230 1.51% -$11.90K
PORTLAND GENERAL ELECTRIC CO 17,800 18,000 200 1.50% $95.64K
AMNEAL PHARM INC 74,643 75,643 1,000 1.49% -$259
NMI HOLDINGS INC A 16,770 24,810 8,040 1.47% $246.57K
LAUREATE EDUCATION INC CL A 26,240 26,540 300 1.46% $41.15K
REYNOLDS CONSUMER PRODUCTS INC 30,870 43,110 12,240 1.45% $205.53K
TAYLOR MORRISON HOME CORP 14,110 15,198 1,088 1.40% $54.48K
DIODES INC 12,750 12,950 200 1.40% $254.88K
GULFPORT ENERGY CORP 4,030 4,130 100 1.38% $35.58K
NEWMARK GROUP INC CL A 56,727 57,127 400 1.36% -$127.31K
Hamilton Insurance Group Ltd., Class B 19,260 28,560 9,300 1.35% $314.59K
MACERICH COMPANY 44,680 44,780 100 1.34% $21.55K
KONTOOR BRANDS INC 7,520 11,680 4,160 1.30% $361.59K
Teekay Tankers Ltd., Class A 10,980 11,080 100 1.29% $225.83K
CABOT CORP 8,270 10,060 1,790 1.20% $209.48K
BANK OF NT BUTTERFIELD & SON LTD/THE 13,668 13,868 200 1.15% $46.85K
NETSCOUT SYSTEMS INC 22,540 22,840 300 1.15% $116.15K
ARCBEST CORP 7,270 7,370 100 1.15% $185.55K
BANC OF CALIFORNIA INC 40,560 40,860 300 1.14% -$64.08K
WORTHINGTON INDUSTRIES INC 13,569 13,769 200 1.14% $18.16K
RESIDEO TECHNOLOGIES INC 19,631 19,831 200 1.06% -$20.94K
NATIONAL VISION HOLDINGS INC 23,000 23,100 100 0.95% $4.43K
HNI CORP 12,660 17,650 4,990 0.93% $57.11K
CENTRAL GARDEN and PET CO CL A 17,883 18,083 200 0.93% $64.25K
MCGRATH RENTCORP 5,190 5,290 100 0.92% $38.79K
HORACE MANN EDUCATORS CORP 13,456 13,556 100 0.92% -$42.83K
NOW INC 23,503 47,043 23,540 0.89% $248.87K
Banco Latinoamericano de Comercio Exterior SA, Class E 10,700 10,900 200 0.88% $79.55K
DYNEX CAPITAL 42,850 43,150 300 0.87% -$49.73K
PEDIATRIX MEDICAL GROUP INC 24,020 24,320 300 0.82% $6.42K
DIAMONDROCK HOSPITALITY CO 54,100 54,500 400 0.81% $25.93K
VONTIER CORP W/I 14,060 14,160 100 0.80% -$20.50K
NEPTUNE INSURANCE HOLDINGS INC 18,286 20,313 2,027 0.78% -$41.85K
ADAPTHEALTH CORP 40,060 40,360 300 0.76% $81.29K
ASTEC INDUSTRIES INC 8,552 8,752 200 0.75% $100.74K
GREENBRIER COS 8,810 8,910 100 0.74% $57.33K
THERMON GROUP HOLDINGS INC 9,050 9,150 100 0.73% $124.86K
URBAN OUTFITTERS 7,110 7,210 100 0.72% -$78.35K
FRESH DEL MONTE PRODUCE INC 10,920 11,020 100 0.70% $54.59K
PEBBLEBROOK HOTEL TRUST 32,480 32,680 200 0.65% $45.07K
ECOVYST INC 27,170 32,010 4,840 0.65% $147.28K
SILA REALTY TRUST INC 17,070 17,170 100 0.64% $8.68K
XENIA HOTELS & R 26,900 27,100 200 0.64% $21.53K
DORIAN LPG LTD 11,220 11,320 100 0.61% $114.05K
NAVIGATOR HOLDINGS LTD 19,715 20,015 300 0.61% $45.43K
HEALTHCARE SERVS 19,190 19,490 300 0.57% -$5.37K
SUNRUN INC 24,500 24,700 200 0.53% -$115.87K
iShares Trust RUSSELL 2000 VALUE ETF 1,700 1,710 10 0.51% $16.14K
SHOALS TECHNOLOGIES GROUP INC 42,380 42,680 300 0.44% -$79.40K
PIEDMONT REALTY TRUST INC 39,690 39,990 300 0.42% -$68.28K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
COMMERCIAL METALS CO 17,890 16,040 -1,850 1.56% -$253.01K
PBF ENERGY INC CL A 27,070 19,840 -7,230 1.50% $210.64K
RUSH ENTERPRISES INC CL A 16,821 11,171 -5,650 1.17% -$168.81K
CUSHMAN and WAKEFIELD LTD 66,970 56,640 -10,330 1.10% -$389.84K
PATRICK INDUSTRIES INC 8,181 5,740 -2,441 1.01% -$249.52K
VICTORIA'S SECRET and CO 18,022 12,680 -5,342 0.93% -$388.41K
SYNAPTICS INC 8,071 7,971 -100 0.88% -$39.13K
NATL FUEL GAS CO 8,110 5,920 -2,190 0.88% -$93.04K
TOREX GOLD RESOU 16,560 11,260 -5,300 0.82% -$273.93K
FIRSTCASH HOLDINGS INC 3,660 2,710 -950 0.81% -$73.85K
CRANE NXT CO 13,375 10,935 -2,440 0.70% -$185.71K
NETSTREIT CORP 29,510 23,501 -6,009 0.70% -$78.03K
BlackRock Liquidity FedFund - Institutional Class 753,977 438,657 -315,321 0.69% -$315.32K
HELIOS TECHNOLOGIES INC 9,580 5,980 -3,600 0.61% -$125.47K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
TEXAS CAPITAL BANCSHARES INC 11,574 11,574 0 1.74% $50.23K
LITTELFUSE INC 2,440 2,440 0 1.31% $210.89K
PACS GROUP INC 23,020 23,020 0 1.17% -$144.34K
ULTRA CLEAN HOLDINGS INC 10,430 10,430 0 1.03% $384.35K
BENCHMARK ELECTRONICS INC 9,890 9,890 0 0.88% $131.54K
DIGI INTL INC 10,270 10,270 0 0.78% $50.43K
ANI PHARMACEUTICALS INC 5,320 5,320 0 0.65% -$10.85K
ORIGIN BANCORP INC 8,540 8,540 0 0.56% $32.88K
CTS CORP 7,054 7,054 0 0.53% $34.49K

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