IVGIX
VY(R) INVESCO GROWTH AND INCOME PORTFOLIO
Voya Investors Trust

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
77
Top-10 weight
24.83%
Effective holdings ?
62
Crowding ?
1280.5

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 BlackRock Liquidity FedFund - Institutional Class TFDXX 5,522,388 $5.52M 3.42%
2 WELLS FARGO & CO 57,649 $4.59M 2.85%
3 AMAZON.COM INC 21,812 $4.54M 2.82%
4 BANK OF AMERICA CORPORATION 84,549 $4.12M 2.56%
5 ALPHABET INC CL A 13,770 $3.96M 2.45%
6 CONOCOPHILLIPS 29,856 $3.94M 2.44%
7 PHILIP MORRIS INTL INC 22,339 $3.69M 2.29%
8 MICROSOFT CORP 9,459 $3.50M 2.17%
9 JOHNSON&JOHNSON 14,172 $3.46M 2.15%
10 JOHNSON CONTROLS INTERNATIONAL PLC 26,240 $3.44M 2.13%
11 CITIZENS FINANCIAL GROUP INC 55,307 $3.32M 2.06%
12 SCHWAB CHARLES CORP 35,225 $3.31M 2.05%
13 CHEVRON CORP 15,538 $3.21M 1.99%
14 PARKER HANNIFIN CORP 3,528 $3.16M 1.96%
15 MERCK & CO 26,037 $3.13M 1.94%
16 US FOODS HOLDING CORP 33,892 $3.13M 1.94%
17 WILLIS TOWERS WATSON PLC 9,610 $2.79M 1.73%
18 WALT DISNEY CO/T 28,490 $2.75M 1.70%
19 MICROCHIP TECHNOLOGY 41,526 $2.68M 1.66%
20 PPL CORPORATION 70,151 $2.68M 1.66%
21 FEDEX CORP 7,429 $2.65M 1.64%
22 EXXON MOBIL CORP 15,493 $2.63M 1.63%
23 COHERENT CORP 10,846 $2.58M 1.60%
24 CBRE GROUP INC - CL A 18,620 $2.52M 1.56%
25 SYSCO CORP 33,930 $2.42M 1.50%
26 STARBUCKS CORP 26,919 $2.41M 1.50%
27 NVIDIA CORP 13,612 $2.37M 1.47%
28 MEDTRONIC PLC 26,991 $2.34M 1.45%
29 PNC FINANCIAL SERVICES GRP INC 10,952 $2.28M 1.41%
30 SLB LTD 42,783 $2.20M 1.36%
31 SHELL PLC 46,797 $2.17M 1.34%
32 NIKE INC CL B 38,786 $2.05M 1.27%
33 CVS HEALTH CORP 27,980 $2.01M 1.25%
34 Sanofi SA 20,470 $1.98M 1.23%
35 META PLATFORMS INC CL A 3,412 $1.95M 1.21%
36 RTX CORP 10,107 $1.95M 1.21%
37 GOLDMAN SACHS GROUP INC 2,297 $1.94M 1.20%
38 REGENERON PHARMACEUTICALS INC 2,488 $1.92M 1.19%
39 VERTIV HOLDINGS CO 7,662 $1.92M 1.19%
40 FERGUSON ENTERPRISES INC 8,229 $1.92M 1.19%
41 GENERAL MOTORS CO 25,505 $1.90M 1.18%
42 BRISTOL-MYERS SQUIBB CO 30,641 $1.86M 1.15%
43 EMERSON ELECTRIC CO 14,032 $1.84M 1.14%
44 SEMPRA ENERGY 18,876 $1.83M 1.14%
45 FORTIVE CORP 32,793 $1.81M 1.12%
46 CISCO SYSTEMS INC 22,972 $1.78M 1.10%
47 UNITEDHEALTH GRP 6,574 $1.78M 1.10%
48 AMERICAN INTERNATIONAL GROUP 23,165 $1.74M 1.08%
49 ESTEE LAUDER COS INC CL A 23,587 $1.69M 1.05%
50 T-MOBILE US INC 8,058 $1.69M 1.05%
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