VVJCX
Voya Short Duration High Income Fund
Voya Funds Trust

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
106
Top-10 weight
22.38%
Effective holdings ?
71
Crowding ?
144.0

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 BlackRock Liquidity FedFund - Institutional Class TFDXX 5,906,166 $5.91M 3.00%
2 NRG ENERGY INC REGD SER WI 5.75000000 NRG 4,750,000 $4.76M 2.42%
3 Provident Funding Associates L.P./ PFG Finance Corp. 4,500,000 $4.62M 2.35%
4 CORPBOND AGKLN 4,412,000 $4.51M 2.29%
5 HUB International Ltd. 4,250,000 $4.36M 2.21%
6 CONTOURGLOB PWR CONGLO 4,250,000 $4.30M 2.19%
7 SEE 6.125 02/01/28 144A SEE 4,100,000 $4.15M 2.11%
8 ESAB Corp. 4,064,000 $4.13M 2.10%
9 URI 6 12/15/29 144A URI 4,000,000 $4.07M 2.07%
10 Victra Holdings LLC / Victra Finance Corp 3,833,000 $3.98M 2.02%
11 GLOBAU 11.5 08/15/29 144A GLOBAU 3,950,000 $3.93M 2.00%
12 APU 9.375 06/01/28 144A APU 3,700,000 $3.80M 1.93%
13 Hilton Domestic Operating Co. Inc. 3,750,000 $3.79M 1.92%
14 GLOBAL PARTNERS LP SR UNSEC 6.875% 01-15-29 GLP 3,750,000 $3.76M 1.91%
15 VSTJET 9.5% Sr Unsecured Nts due 2028 144A VSTJET 3,750,000 $3.67M 1.86%
16 GTES 6.875 07/01/29 144A GTES 3,500,000 $3.60M 1.83%
17 AIR 6.75 03/15/29 144A AIR 3,500,000 $3.56M 1.81%
18 Summer (BC) Holdco B Sa rl 2024 USD Term Loan B 3,959,698 $3.39M 1.72%
19 LD HOLDINGS GROUP LLC REGD 144A P/P 8.75000000 LNDPT 3,400,000 $3.20M 1.63%
20 SUNOCO LP / SUNOCO FIN CORP 7% 09/15/2028 144A SUN 3,064,000 $3.14M 1.59%
21 MUSA 5 5/8 05/01/27 MUSA 3,118,000 $3.12M 1.59%
22 US FOODS INC REGD 144A P/P 6.87500000 USFOOD 3,000,000 $3.07M 1.56%
23 ION PLAT US/SARL IONPLA 3,250,000 $3.06M 1.56%
24 XHR LP 3,000,000 $3.03M 1.54%
25 Quikrete Term Loan B-3 (Incremental) 225 2032-01-23 QUIKHO 2,947,519 $2.94M 1.50%
26 CROSSCOUNTRY INTER SR UNSECURED 144A 10/30 6.5 CROSIN 3,000,000 $2.86M 1.45%
27 JETBLUE AIRW/LOY JBLU 3,000,000 $2.84M 1.44%
28 FREMOR 9.25 02/01/29 144A FREMOR 2,750,000 $2.79M 1.42%
29 STONEBRIAR ABF LLC SR UNSECURED 144A 12/30 8.125 STONEB 2,500,000 $2.59M 1.31%
30 Brink's Co. (The) 2,500,000 $2.54M 1.29%
31 WLSC 6.625 06/15/29 144A WLSC 2,500,000 $2.53M 1.29%
32 WESCO Distribution Inc 2,500,000 $2.52M 1.28%
33 IQVIA INC REGD 144A P/P 5.00000000 IQV 2,500,000 $2.49M 1.27%
34 Vail Resorts, Inc. 2,500,000 $2.48M 1.26%
35 Rocket Cos., Inc. 2,250,000 $2.27M 1.15%
36 GEN DIGITAL INC REGD 144A P/P 6.75000000 GEN 2,250,000 $2.25M 1.15%
37 CONSENSUS CLOUD SOLUTIONS INC COMPANY GUAR 144A 10/28 6.5 CCSI 2,200,000 $2.18M 1.11%
38 WLSC 6.625 04/15/30 144A WLSC 2,100,000 $2.13M 1.08%
39 MoneyGram International, Inc. MGI 2,950,000 $2.08M 1.06%
40 Tenet Healthcare Corp. 2,000,000 $2.05M 1.04%
41 RB Global Holdings Inc. 2,000,000 $2.03M 1.03%
42 FORD MOTOR CRED 2,000,000 $2.03M 1.03%
43 CVR ENERGY INC SR UNSECURED 144A 02/31 7.5 CVI 2,000,000 $2.02M 1.02%
44 DELEK LOG PT/FIN DKL 2,000,000 $2.01M 1.02%
45 MGM RESORTS INTL REGD 5.50000000 MGM 2,000,000 $2.01M 1.02%
46 SV RNO Property Owner 1 LLC 2,000,000 $1.98M 1.00%
47 Specialty Building Products Holdings LLC / SBP Finance Corp 2,250,000 $1.96M 0.99%
48 ASURION TERM B4 2LN 01/20/2029 BL367495 1,962,617 $1.95M 0.99%
49 AXON ENT. INC 6.125% AXON 1,900,000 $1.94M 0.98%
50 DAIWA CAPITAL MARKETS AMERICA INC 1,926,234 $1.93M 0.98%
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