Titelia

Holdings of VY(R) JPMORGAN SMALL CAP CORE EQUITY PORTFOLIO

Voya Investors Trust · Original filing · Compare with another fund · Report an error

Net assets
276.3M $ including 267.3M $ in equities, 96.7 %
Positions
714 in 18 countries
Top ten
8.6 % of net assets
Filed on
Mar 31, 2026
Portfolio shape

Positions

RankCompanySharesValueWeight
201UMB Financial Corp 3,043343.2K $0.12 %
202Century Aluminum Co 5,760338.1K $0.12 %
203Encore Capital Group Inc 4,814337.6K $0.12 %
204Ladder Capital Corp 34,521337.3K $0.12 %
205Murphy Oil Corp 8,157336.5K $0.12 %
206Dana Inc 9,966335.4K $0.12 %
207Byline Bancorp Inc 10,598334.6K $0.12 %
208Resideo Technologies Inc 9,911334.1K $0.12 %
209Terex Corp 5,651334K $0.12 %
210Cytokinetics Inc 5,046332.6K $0.12 %
211M/I Homes Inc 2,714332.3K $0.12 %
212First BanCorp/Puerto Rico 15,455330.1K $0.12 %
213Terns Pharmaceuticals Inc 6,187326.2K $0.12 %
214Diodes Inc 4,748324.1K $0.12 %
215Ultra Clean Holdings Inc 5,168321.3K $0.12 %
216Marex Group PLC 7,158319.1K $0.12 %
217Viavi Solutions Inc 9,491315.9K $0.11 %
218InterDigital Inc 1,038313.5K $0.11 %
219D-Wave Quantum Inc 21,677312.8K $0.11 %
220nLight Inc 5,466311.7K $0.11 %
221Axos Financial Inc 3,601306.4K $0.11 %
222IES Holdings Inc 622296.4K $0.11 %
223Axogen Inc 8,930295.9K $0.11 %
224Forum Energy Technologies Inc 5,003293.5K $0.11 %
225Clearwater Analytics Holdings Inc 12,300290.9K $0.11 %
226Customers Bancorp Inc 4,183290.3K $0.11 %
227Hinge Health Inc 7,439286.8K $0.10 %
228Lumen Technologies Inc 40,843283.9K $0.10 %
229BGC Group Inc 28,951283.1K $0.10 %
230Thermon Group Holdings Inc 5,603282.4K $0.10 %
231Kura Sushi USA Inc 4,044282.2K $0.10 %
232Oceaneering International Inc 7,947281.9K $0.10 %
233Mercury Systems Inc 3,839279.9K $0.10 %
234Peabody Energy Corp 8,489279.7K $0.10 %
235Costamare Inc 16,457278.1K $0.10 %
236Origin Bancorp Inc 6,705278K $0.10 %
237Cogent Biosciences Inc 7,187276.6K $0.10 %
238EXPRO GROUP HOLDINGS NV 15,788274.9K $0.10 %
239HB Fuller Co 4,441273.9K $0.10 %
240First Financial Corp 4,314272.6K $0.10 %
241Essent Group Ltd 4,654272K $0.10 %
242Horizon Bancorp Inc/IN 16,407271.9K $0.10 %
243Capri Holdings Ltd 15,339270.3K $0.10 %
244Terreno Realty Corp 4,395269.9K $0.10 %
245Cavco Industries Inc 557269.7K $0.10 %
246SiTime Corp 772266.6K $0.10 %
247Enterprise Financial Services Corp 4,883264.2K $0.10 %
248OneSpaWorld Holdings Ltd 11,447262.7K $0.10 %
249Rhythm Pharmaceuticals Inc 3,007261.5K $0.09 %
250LCI Industries 2,123261.1K $0.09 %
251Maximus Inc 4,064260.5K $0.09 %
252Tetra Tech Inc 8,641260.3K $0.09 %
253Covista Inc 2,251259.4K $0.09 %
254Hilltop Holdings Inc 7,236259.2K $0.09 %
255Archrock Inc 7,443259K $0.09 %
256Braze Inc 10,967258.9K $0.09 %
257OceanFirst Financial Corp 14,200256.2K $0.09 %
258Knowles Corp 9,964255.9K $0.09 %
259Phibro Animal Health Corp 4,623255.7K $0.09 %
260Travere Therapeutics Inc 8,596255.4K $0.09 %
261Molina Healthcare Inc 1,911254.7K $0.09 %
262Kratos Defense & Security Solutions, Inc. 3,602254K $0.09 %
263Catalyst Pharmaceuticals Inc 10,225253.2K $0.09 %
264Laureate Education Inc 7,241252.3K $0.09 %
265Chesapeake Utilities Corp 1,995252.1K $0.09 %
266Rigetti Computing Inc 17,881251K $0.09 %
267Ooma Inc 17,177249.9K $0.09 %
268Nuvalent Inc 2,438249.8K $0.09 %
269Terawulf Inc 17,306249.7K $0.09 %
270Heritage Commerce Corp 19,965249.2K $0.09 %
271Nicolet Bankshares Inc 1,676249.1K $0.09 %
272CG oncology Inc 3,679249K $0.09 %
273Ceribell Inc 13,573248.8K $0.09 %
274Radian Group Inc 7,498248K $0.09 %
275Metropolitan Bank Holding Corp 2,961246.6K $0.09 %
276Mirum Pharmaceuticals Inc 2,667246.4K $0.09 %
277Urban Outfitters Inc 3,888246.3K $0.09 %
278Super Group SGHC Ltd 22,604244.1K $0.09 %
279HA Sustainable Infrastructure Capital Inc 6,581241.9K $0.09 %
280GigaCloud Technology Inc 5,328241.8K $0.09 %
281Option Care Health Inc 8,975241.6K $0.09 %
282Madison Square Garden Entertainment Corp 4,099241.5K $0.09 %
283Spyre Therapeutics Inc 4,770240.6K $0.09 %
284AeroVironment Inc 1,309239.6K $0.09 %
285Amneal Pharmaceuticals Inc 19,218238.9K $0.09 %
286Simmons First National Corp 12,273238.7K $0.09 %
287Gulfport Energy Corp 1,128238.7K $0.09 %
288InvenTrust Properties Corp 7,809237.9K $0.09 %
289Innospec Inc 3,256237.8K $0.09 %
290Riot Platforms Inc 19,178237K $0.09 %
291Applied Digital Corp 9,949236.2K $0.09 %
292Tanger Inc 6,912234.9K $0.09 %
293American Healthcare REIT Inc 4,979234.8K $0.09 %
294Peapack-Gladstone Financial Corp 6,627233.3K $0.08 %
295IRhythm Holdings Inc 1,960231.3K $0.08 %
296Hilton Grand Vacations Inc 5,898230.7K $0.08 %
297QCR Holdings Inc 2,698230.5K $0.08 %
298Curbline Properties Corp 8,938230.5K $0.08 %
299Avient Corp 6,342230.2K $0.08 %
300Impinj Inc 2,241230.2K $0.08 %

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Sector breakdown

  • Technology 1.3 %
  • Industrials 0.9 %
  • Consumer staples 0.6 %
  • Communication 0.3 %
  • Materials 0.2 %
  • Energy 0.1 %
  • Unattributed 96.5 %

Titelia classification, company by company. The unattributed share stays visible.

Currency breakdown

  • USD 100.0 %

The quoted currency of each line, as declared.

Country breakdown

  • United States 94.2 %
  • Cayman Islands 1.6 %
  • Canada 1.5 %
  • Bermuda 1.1 %
  • United Kingdom 0.3 %
  • France 0.3 %
  • British Virgin Islands 0.3 %
  • Ireland 0.2 %
  • Marshall Islands 0.1 %
  • Puerto Rico 0.1 %
  • Bahamas 0.1 %
  • Guernsey 0.1 %
  • Other countries 0.2 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1United States670251.7M $94.16 %
2Cayman Islands74.2M $1.57 %
3Canada64.1M $1.53 %
4Bermuda92.9M $1.09 %
5United Kingdom3871K $0.33 %
6France1703.2K $0.26 %
7British Virgin Islands3670.6K $0.25 %
8Ireland3414.6K $0.16 %
9Marshall Islands2379.9K $0.14 %
10Puerto Rico1330.1K $0.12 %
11Bahamas1262.7K $0.10 %
12Guernsey1244.1K $0.09 %
Cite this page

Titelia. "Holdings of VY(R) JPMORGAN SMALL CAP CORE EQUITY PORTFOLIO". https://titelia.com/en/funds/S000005624