IRLNX
VOYA RUSSELLTM LARGE CAP GROWTH INDEX PORTFOLIO
Voya VARIABLE PORTFOLIOS INC
Index fund

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
MSILF-GOVT-INS 0 3,139,000 3,139,000 0.23% $3.14M
USD/SEK FORWARD 0 82 82 0.00% $82
DAIWA CAPITAL MARKETS AMERICA INC 0 5 5 0.00% $5
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
BlackRock Liquidity FedFund - Institutional Class 2,961,000 0 -2,961,000 0.00% -$2.96M
WALMART INC 9 0 -9 0.00% -$9
USD/JPY FORWARD 1 0 -1 0.00% -$1
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
AMAZON.COM INC 274,104 289,707 15,603 4.43% -$2.93M
BROADCOM INC 169,940 188,525 18,585 4.28% -$465.86K
TESLA INC 123,846 128,250 4,404 3.50% -$8.02M
PALO ALTO NETWORKS INC 41,090 46,009 4,919 0.54% -$192.62K
STRATEGY INC CL A 908 994 86 0.01% -$13.92K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
NVIDIA CORP 1,160,186 1,134,252 -25,934 14.51% -$18.56M
APPLE INC 723,534 700,143 -23,391 13.03% -$19.01M
MICROSOFT CORP 369,196 362,277 -6,919 9.84% -$44.45M
ALPHABET INC CL A 189,471 185,157 -4,314 3.90% -$6.06M
META PLATFORMS INC CL A 82,274 80,911 -1,363 3.40% -$8.02M
ALPHABET INC CL C 154,275 150,762 -3,513 3.17% -$5.16M
LILLY ELI and CO 45,436 42,402 -3,034 2.86% -$9.83M
VISA INC-CLASS A 103,001 96,821 -6,180 2.15% -$6.86M
COSTCO WHOLESALE CORP 27,159 25,530 -1,629 1.87% $2.02M
NETFLIX INC 259,320 243,762 -15,558 1.72% -$876.13K
MASTERCARD INC CL A 49,223 46,270 -2,953 1.70% -$4.98M
ABBVIE INC 108,399 101,896 -6,503 1.63% -$2.61M
PALANTIR TECHNOLOGIES INC 133,655 125,636 -8,019 1.35% -$5.38M
GENERAL ELECTRIC CO 63,645 59,827 -3,818 1.25% -$2.63M
LAM RESEARCH CORP 76,826 72,217 -4,609 1.13% $2.28M
HOME DEPOT INC 46,429 43,643 -2,786 1.05% -$1.62M
ORACLE CORP 103,000 96,820 -6,180 1.04% -$5.83M
GE VERNOVA LLC 16,728 15,529 -1,199 0.99% $2.62M
KLA CORP 8,051 7,568 -483 0.82% $1.36M
ADV MICRO DEVICE 57,640 54,182 -3,458 0.81% -$1.32M
iShares Russell Top 200 Growth ETF 52,998 39,227 -13,771 0.72% -$4.92M
INTUITIVE SURGICAL INC 21,598 20,302 -1,296 0.69% -$2.87M
AMPHENOL CORPORATION CL A 74,660 70,181 -4,479 0.65% -$1.22M
UBER TECHNOLOGIES INC 123,190 115,799 -7,391 0.61% -$1.74M
COCA-COLA CO/THE 116,271 109,295 -6,976 0.61% $183.38K
AMGEN INC 24,277 22,820 -1,457 0.59% $83.11K
THE BOOKING HOLDINGS INC 1,870 1,757 -113 0.54% -$2.62M
ARISTA NETWORKS INC 63,122 59,335 -3,787 0.53% -$985.72K
INTUIT INC 16,707 15,704 -1,003 0.50% -$4.28M
VERTEX PHARMACEUTICALS INC 15,736 14,598 -1,138 0.48% -$615.48K
SERVICENOW INC 63,231 60,069 -3,162 0.46% -$3.41M
ADOBE INC 25,577 23,577 -2,000 0.42% -$3.22M
MCKESSON CORP 7,088 6,562 -526 0.42% -$135.72K
CROWDSTRIKE HOLDINGS INC 15,130 14,222 -908 0.41% -$1.54M
APPLOVIN CORP 14,588 13,713 -875 0.40% -$4.37M
TRANE TECHNOLOGIES PLC 13,641 12,822 -819 0.39% $34.36K
TJX COS INC 34,220 32,167 -2,053 0.38% -$119.46K
BLACKSTONE INC 45,385 42,662 -2,723 0.36% -$2.09M
WASTE MANAGEMENT INC 22,636 21,278 -1,358 0.36% -$83.88K
AMERICAN TOWER CORP 28,621 26,904 -1,717 0.34% -$381.90K
APPLIED MATERIALS INC 13,920 12,942 -978 0.32% $846.15K
AUTOMATIC DATA PROCESSING INC 23,116 21,504 -1,612 0.32% -$1.58M
CADENCE DESIGN SYSTEMS INC 16,695 15,694 -1,001 0.32% -$857.63K
SPOTIFY TECHNOLOGY SA 9,412 8,847 -565 0.31% -$1.18M
TEXAS INSTRUMENTS INC 22,752 21,387 -1,365 0.30% $204.83K
O'REILLY AUTOMOTIVE INC 47,373 44,531 -2,842 0.30% -$210.23K
MOODYS CORP 9,512 8,941 -571 0.29% -$958.69K
SHERWIN WILLIAMS CO 12,797 12,029 -768 0.28% -$290.72K
AON PLC 11,868 11,156 -712 0.26% -$587.05K
CINTAS CORP 21,037 19,775 -1,262 0.25% -$611.69K
MARRIOTT INTL-A 10,535 9,790 -745 0.23% -$66.36K
SYNOPSYS INC 8,290 8,060 -230 0.23% -$698.35K
DOORDASH INC-A 21,954 21,033 -921 0.23% -$1.81M
WALMART INC 26,599 25,003 -1,596 0.23% $143.98K
AMERICAN EXPRESS CO 10,835 10,185 -650 0.23% -$927.65K
AIRBNB INC CLASS A 26,021 24,022 -1,999 0.22% -$498.07K
AUTODESK INC 13,036 12,254 -782 0.22% -$925.18K
FORTINET INC 38,933 35,589 -3,344 0.21% -$183.34K
MONSTER BEVERAGE CORP 42,683 40,122 -2,561 0.21% -$365.27K
SNOWFLAKE INC CL A 20,090 19,074 -1,016 0.21% -$1.53M
NU HOLDINGS LTD/CAYMAN ISLANDS 204,671 192,391 -12,280 0.20% -$661.53K
GILEAD SCIENCES INC 20,515 19,284 -1,231 0.20% $169.60K
CHIPOTLE MEXICAN GRILL INC 80,547 75,714 -4,833 0.18% -$556.63K
ZOETIS INC CL A 21,782 20,228 -1,554 0.18% -$349.46K
CATERPILLAR INC 3,487 3,278 -209 0.17% $324.73K
CITIGROUP INC 19,385 17,797 -1,588 0.15% -$243.68K
LOCKHEED MARTIN CORP 3,513 3,302 -211 0.15% $296.56K
APOLLO GLOBAL MANAGEMENT INC 17,568 16,771 -797 0.14% -$674.52K
COLGATE-PALMOLIVE CO 23,313 21,915 -1,398 0.14% $25.62K
QUALCOMM INC 15,111 14,060 -1,051 0.13% -$774.09K
MOTOROLA SOLUTIONS INC 4,294 4,037 -257 0.13% $105.96K
PEPSICO INC 11,483 10,794 -689 0.12% $28.16K
STRYKER CORP 5,416 5,091 -325 0.12% -$230.71K
WORKDAY INC CL A 13,165 12,168 -997 0.12% -$1.25M
COPART INC 50,397 47,374 -3,023 0.12% -$400.23K
BANK OF AMERICA CORPORATION 32,333 30,018 -2,315 0.11% -$314.94K
ILLINOIS TOOL WORKS INC 5,804 5,456 -348 0.10% -$9.38K
BRISTOL-MYERS SQUIBB CO 23,991 22,552 -1,439 0.10% $73.70K
BOEING CO/THE 6,426 6,106 -320 0.09% -$179.94K
SALESFORCE INC 6,399 5,874 -525 0.08% -$598.66K
ECOLAB INC 3,741 3,517 -224 0.07% -$46.49K
HCA HEALTHCARE INC 2,098 1,972 -126 0.07% -$46.24K
BOSTON SCIENTIFIC CORP 15,569 14,635 -934 0.07% -$566.16K
KKR & CO INC 10,344 9,723 -621 0.07% -$419.28K
SCHWAB CHARLES CORP 9,125 8,393 -732 0.06% -$122.90K
STARBUCKS CORP 9,205 8,653 -552 0.06% $69
GOLDMAN SACHS GROUP INC 967 909 -58 0.06% -$80.99K
MCDONALDS CORP 2,473 2,325 -148 0.05% -$33.24K
3M CO 5,250 4,935 -315 0.05% -$123.81K
KIMBERLY CLARK CORP 7,323 6,883 -440 0.05% -$74.81K
UNION PACIFIC CORP 2,889 2,715 -174 0.05% -$9.57K
ATLASSIAN CORP PLC CLS A 10,147 9,539 -608 0.05% -$994.20K
TRANSDIGM GROUP INC 591 556 -35 0.05% -$141.56K
MARSH & MCLENNAN 3,581 3,313 -268 0.04% -$89.71K
AUTOZONE INC 160 151 -9 0.04% -$32.60K
FISERV INC 9,047 8,504 -543 0.03% -$133.16K
DELL TECHNOLOGIES INC CL C 2,668 2,458 -210 0.03% $67.58K
SLB LTD 7,250 6,815 -435 0.03% $71.97K
BROOKFIELD ASSET MANAGEMENT LTD A 8,073 7,588 -485 0.02% -$85.66K
MARVELL TECHNOLOGY INC 3,691 3,398 -293 0.02% $22.91K
PROGRESSIVE CORP OHIO 1,799 1,691 -108 0.02% -$74.44K
PUBLIC STORAGE 1,272 1,196 -76 0.02% -$6.11K
THE CIGNA GROUP 1,281 1,204 -77 0.02% -$31.40K
WILLIAMS COS INC 3,952 3,715 -237 0.02% $32.82K
ARTHUR J GALLAGHAR AND CO 945 888 -57 0.01% -$52.23K
INTERACTIVE BROKERS GROUP INC 1,401 1,317 -84 0.01% -$1.77K
XAV HEALTH CARE 11 10 -1 -0.01% -$55.50K

No positions in this category.

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