IOSIX
VOYA GLOBAL BOND PORTFOLIO
Voya Partners Inc

Allocation breakdown

As of March 31, 2026 · N-PORT

By asset class

By country

By sector

By industry (SIC code)

As of March 31, 2026 · N-PORT

How we map holdings to the sectors above: each holding's issuer carries a U.S. SIC industry code in its EDGAR filer record, and each SIC code rolls up to a sector. Expand a sector to see its industries, and click a SIC code to list this fund's positions in that industry. Bonds and foreign or private issuers with no SEC filer record fall into Unclassified.

Security & Commodity Brokers, Dealers, Exchanges & Services 0.70%
Federal & Federally-Sponsored Credit Agencies 0.34%
Finance Services 0.33%
Commercial Banks, NEC 0.16%
Security Brokers, Dealers & Flotation Companies 0.06%
State Commercial Banks 0.05%
National Commercial Banks 0.04%
Life Insurance 0.04%
Insurance Agents, Brokers & Service 0.04%
Electric & Other Services Combined 0.07%
Electric Services 0.05%
Gas & Other Services Combined 0.01%
Sugar & Confectionery Products 0.06%
Cigarettes 0.03%
Radio & Tv Broadcasting & Communications Equipment 0.03%
Semiconductors & Related Devices 0.03%
Optical Instruments & Lenses 0.01%
Wholesale-Electronic Parts & Equipment, NEC 0.04%
Wholesale-Groceries & Related Products 0.01%
Real Estate Investment Trusts 0.05%
Crude Petroleum & Natural Gas 0.02%
Paperboard Containers & Boxes 0.01%
Electromedical & Electrotherapeutic Apparatus 0.01%
Unclassified 97.83%

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