IPLSX
VOYA INDEX PLUS LARGECAP PORTFOLIO
Voya VARIABLE PORTFOLIOS INC

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
226
Top-10 weight
37.20%
Effective holdings ?
47
Crowding ?
1643.1

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 NVIDIA CORP 378,389 $65.99M 7.93%
2 APPLE INC 200,913 $50.99M 6.12%
3 ALPHABET INC CL A 144,361 $41.51M 4.99%
4 MICROSOFT CORP 109,271 $40.45M 4.86%
5 AMAZON.COM INC 160,073 $33.34M 4.00%
6 BROADCOM INC 64,758 $20.04M 2.41%
7 META PLATFORMS INC CL A 32,472 $18.58M 2.23%
8 JOHNSON&JOHNSON 54,248 $13.26M 1.59%
9 MSILF-GOVT-INS MVRXX 13,060,000 $13.06M 1.57%
10 TESLA INC 31,853 $11.84M 1.42%
11 TJX COS INC 54,119 $8.64M 1.04%
12 CITIGROUP INC 72,302 $8.20M 0.98%
13 BERKSHIRE HATH-B 15,604 $7.48M 0.90%
14 APPLIED MATERIALS INC 20,522 $7.01M 0.84%
15 EXXON MOBIL CORP 40,451 $6.86M 0.82%
16 T-MOBILE US INC 32,653 $6.86M 0.82%
17 SCHWAB CHARLES CORP 72,489 $6.81M 0.82%
18 LAM RESEARCH CORP 31,864 $6.81M 0.82%
19 CME GROUP INC CL A 23,007 $6.80M 0.82%
20 MEDTRONIC PLC 72,832 $6.31M 0.76%
21 JPMORGAN CHASE and CO 21,190 $6.23M 0.75%
22 LILLY ELI and CO 6,515 $5.99M 0.72%
23 KLA CORP 4,059 $5.98M 0.72%
24 COLGATE-PALMOLIVE CO 69,125 $5.89M 0.71%
25 ALTRIA GROUP INC 87,432 $5.77M 0.69%
26 UBER TECHNOLOGIES INC 78,172 $5.62M 0.68%
27 MONSTER BEVERAGE CORP 76,164 $5.52M 0.66%
28 MCKESSON CORP 6,303 $5.45M 0.66%
29 QUALCOMM INC 41,528 $5.35M 0.64%
30 US FOODS HOLDING CORP 57,893 $5.34M 0.64%
31 EDISON INTL 72,716 $5.32M 0.64%
32 CBOE GLOBAL MARKETS INC 18,827 $5.29M 0.64%
33 MERCK & CO 43,754 $5.26M 0.63%
34 BRISTOL-MYERS SQUIBB CO 85,917 $5.21M 0.63%
35 NETFLIX INC 53,889 $5.18M 0.62%
36 PARKER HANNIFIN CORP 5,671 $5.08M 0.61%
37 THE BOOKING HOLDINGS INC 1,203 $5.07M 0.61%
38 INGERSOLL RAND INC 62,831 $5.03M 0.60%
39 PG&E CORP 283,417 $4.98M 0.60%
40 MICRON TECHNOLOGY INC 14,517 $4.90M 0.59%
41 HARTFORD INSURANCE GROUP INC/THE 36,185 $4.89M 0.59%
42 VALERO ENERGY CORP 19,734 $4.88M 0.59%
43 CINTAS CORP 27,445 $4.64M 0.56%
44 CARDINAL HEALTH INC 21,615 $4.57M 0.55%
45 ARISTA NETWORKS INC 36,499 $4.48M 0.54%
46 PEPSICO INC 28,470 $4.42M 0.53%
47 SIMON PROPERTY 23,372 $4.36M 0.52%
48 ADV MICRO DEVICE 20,999 $4.27M 0.51%
49 HONEYWELL INTL INC 17,863 $4.04M 0.48%
50 AMERIPRISE FINANCIAL INC 8,996 $4.00M 0.48%
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