VYCAX
VOYA CORPORATE LEADERS(R) 100 FUND
Voya Equity Trust

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.

Nov 30, 2025 → Feb 28, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
MSILF-GOVT-INS 0 14,016,000 14,016,000 1.06% $14.02M
DAIWA CAPITAL MARKETS AMERICA INC 0 3 3 0.00% $3
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
BlackRock Liquidity FedFund - Institutional Class 18,385,000 0 -18,385,000 0.00% -$18.38M
SALESFORCE INC 50,380 0 -50,380 0.00% -$11.61M
INTUIT INC 17,775 0 -17,775 0.00% -$11.27M
PAYPAL HOLDINGS 177,212 0 -177,212 0.00% -$11.11M
SERVICENOW INC 13,125 0 -13,125 0.00% -$10.66M
WALMART INC 3 0 -3 0.00% -$3
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
LOCKHEED MARTIN CORP 25,098 26,918 1,820 1.34% $6.22M
DEERE & CO 26,527 27,954 1,427 1.33% $5.28M
EXXON MOBIL CORP 108,110 108,574 464 1.25% $4.03M
COLGATE-PALMOLIVE CO 153,585 165,215 11,630 1.24% $4.03M
HONEYWELL INTL INC 59,003 66,900 7,897 1.23% $4.96M
VERIZON COMMUNICATIONS INC 285,503 322,758 37,255 1.22% $4.45M
CHEVRON CORP 79,104 86,248 7,144 1.22% $4.15M
TEXAS INSTRUMENTS INC 67,392 74,885 7,493 1.20% $4.54M
CONOCOPHILLIPS 128,828 139,600 10,772 1.20% $4.41M
ALTRIA GROUP INC 188,033 227,389 39,356 1.19% $4.60M
LINDE PLC 25,915 30,666 4,751 1.18% $4.95M
PEPSICO INC 88,093 91,124 3,031 1.17% $2.36M
COSTCO WHOLESALE CORP 13,468 15,175 1,707 1.16% $3.03M
NEXTERA ENERGY INC 162,029 163,123 1,094 1.16% $1.31M
COCA-COLA CO/THE 186,980 187,474 494 1.16% $1.62M
PROCTER & GAMBLE 80,428 91,192 10,764 1.15% $3.33M
PHILIP MORRIS INTL INC 75,761 81,113 5,352 1.15% $3.22M
STARBUCKS CORP 144,187 154,091 9,904 1.14% $2.54M
UNION PACIFIC CORP 52,283 56,365 4,082 1.13% $2.81M
AT&T INC 439,899 529,470 89,571 1.12% $3.38M
MONDELEZ INTL INC 197,161 239,670 42,509 1.12% $3.41M
EMERSON ELECTRIC CO 95,538 97,098 1,560 1.11% $1.89M
SOUTHERN CO 131,490 150,010 18,520 1.10% $2.63M
DUKE ENERGY CORP NEW 100,555 111,628 11,073 1.10% $2.14M
MCDONALDS CORP 40,755 42,647 1,892 1.10% $1.84M
PFIZER INC 517,739 525,657 7,918 1.10% $1.21M
HOME DEPOT INC 30,354 37,928 7,574 1.09% $3.61M
GENERAL ELECTRIC CO 42,053 42,132 79 1.09% $1.87M
SIMON PROPERTY 66,443 70,313 3,870 1.08% $1.95M
LOWES COS INC 48,746 54,019 5,273 1.08% $2.47M
AMERICAN TOWER CORP 63,470 74,334 10,864 1.08% $2.76M
T-MOBILE US INC 51,891 64,457 12,566 1.06% $3.15M
GENERAL DYNAMICS CORPORATION 37,174 38,696 1,522 1.04% $1.12M
BOEING CO/THE 56,884 60,121 3,237 1.03% $2.93M
COMCAST CORP CL A 392,123 438,310 46,187 1.03% $3.10M
NETFLIX INC 102,350 140,077 37,727 1.02% $2.47M
3M CO 80,142 81,507 1,365 1.02% -$313.69K
NIKE INC CL B 177,544 214,681 37,137 1.01% $1.87M
MEDTRONIC PLC 131,405 135,903 4,498 1.00% -$568.60K
ABBVIE INC 55,333 57,180 1,847 1.00% $671.01K
BERKSHIRE HATH-B 24,733 26,080 1,347 1.00% $461.03K
CVS HEALTH CORP 163,401 164,512 1,111 0.99% $13.60K
BLACKROCK INC 10,504 12,126 1,622 0.97% $1.89M
META PLATFORMS INC CL A 16,610 19,726 3,116 0.97% $2.02M
SCHWAB CHARLES CORP 127,445 130,644 3,199 0.94% $619.33K
NVIDIA CORP 67,904 70,047 2,143 0.94% $392.62K
ADV MICRO DEVICE 49,859 61,004 11,145 0.92% $1.37M
JPMORGAN CHASE and CO 39,115 40,618 1,503 0.92% -$48.54K
ABBOTT LABS 92,767 104,440 11,673 0.92% $193.93K
WALT DISNEY CO/T 107,581 114,438 6,857 0.92% $896.02K
UBER TECHNOLOGIES INC 124,014 159,964 35,950 0.91% $1.21M
VISA INC-CLASS A 36,301 37,149 848 0.90% -$247.63K
METLIFE INC 150,459 164,656 14,197 0.90% $347.62K
AMAZON.COM INC 55,580 56,493 913 0.90% -$1.10M
BANK OF AMERICA CORPORATION 235,561 237,631 2,070 0.90% -$796.69K
MASTERCARD INC CL A 21,735 22,749 1,014 0.89% -$199.76K
TESLA INC 27,861 28,908 1,047 0.88% -$349.21K
UNITEDHEALTH GRP 35,774 39,548 3,774 0.88% -$198.95K
QUALCOMM INC 74,701 75,649 948 0.81% -$1.79M
MICROSOFT CORP 23,996 26,948 2,952 0.80% -$1.22M
THE BOOKING HOLDINGS INC 2,264 2,421 157 0.78% -$863.39K
PALANTIR TECHNOLOGIES INC 69,039 72,641 3,602 0.75% -$1.66M
ADOBE INC 34,356 37,266 2,910 0.74% -$1.22M
ORACLE CORP 43,671 66,611 22,940 0.73% $865.88K
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
FEDEX CORP 52,195 45,134 -7,061 1.32% $3.08M
CATERPILLAR INC 26,183 22,750 -3,433 1.28% $1.82M
INTEL CORP 358,118 352,174 -5,944 1.21% $1.54M
GILEAD SCIENCES INC 109,645 106,644 -3,001 1.20% $2.09M
JOHNSON&JOHNSON 67,989 63,488 -4,501 1.19% $1.70M
AMGEN INC 45,071 39,966 -5,105 1.17% -$57.03K
TARGET CORP 139,009 134,829 -4,180 1.16% $2.75M
MERCK & CO 157,141 123,858 -33,283 1.16% -$1.14M
UNITED PARCEL SERVICE INC CL B 146,132 131,838 -14,294 1.16% $1.29M
BRISTOL-MYERS SQUIBB CO 279,683 242,323 -37,360 1.14% $1.35M
WALMART INC 119,792 117,373 -2,419 1.14% $1.78M
RTX CORP 75,464 71,389 -4,075 1.09% $1.27M
CISCO SYSTEMS INC 182,341 169,698 -12,643 1.02% -$545.11K
BANK OF NEW YORK MELLON CORP 112,512 112,403 -109 1.01% $774.60K
US BANCORP DEL 252,051 241,876 -10,175 1.00% $857.84K
ALPHABET INC CL C 50,533 41,762 -8,771 0.98% -$3.17M
LILLY ELI and CO 16,996 12,166 -4,830 0.97% -$5.48M
GOLDMAN SACHS GROUP INC 15,357 14,853 -504 0.97% $81.70K
APPLE INC 48,533 48,104 -429 0.96% -$825.31K
GENERAL MOTORS CO 202,031 159,557 -42,474 0.95% -$2.29M
CITIGROUP INC 119,700 112,076 -7,624 0.93% -$51.27K
AMERICAN INTERNATIONAL GROUP 158,514 152,519 -5,995 0.93% $203.83K
MORGAN STANLEY 76,620 73,355 -3,265 0.92% -$785.01K
BROADCOM INC 37,658 37,549 -109 0.91% -$3.18M
DANAHER CORP 66,367 56,949 -9,418 0.91% -$3.05M
THERMO FISHER SCIENTIFIC INC 26,726 22,515 -4,211 0.89% -$4.06M
INTUITIVE SURGICAL INC 28,114 22,940 -5,174 0.87% -$4.57M
WELLS FARGO & CO 145,874 139,289 -6,585 0.86% -$1.18M
AMERICAN EXPRESS CO 36,073 35,181 -892 0.82% -$2.31M
CAPITAL ONE FINANCIAL CORP 55,224 53,845 -1,379 0.80% -$1.56M
INTL BUS MACH CORP 44,132 43,491 -641 0.79% -$3.17M
ACCENTURE PLC CL A 49,992 48,653 -1,339 0.77% -$2.34M
XAV HEALTH CARE 54 44 -10 0.00% -$571.34K

No positions in this category.

Machine-readable: JSON · Markdown. Programmatic access via the agent surface.