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
301Vishay Intertechnology Inc 12,735229.2K $0.08 %
302CNB Financial Corp/PA 7,907229K $0.08 %
303Box Inc 9,658228.3K $0.08 %
304Capricor Therapeutics Inc 7,508228.2K $0.08 %
305Cipher Digital Inc 17,730228.2K $0.08 %
306Firefly Aerospace Inc 8,014228.2K $0.08 %
307Applied Optoelectronics Inc 2,692227.7K $0.08 %
308Vita Coco Co Inc/The 4,747227.4K $0.08 %
309Oil States International Inc 19,516227.2K $0.08 %
310United Natural Foods Inc 5,041227.1K $0.08 %
311Lionsgate Studios Corp 23,625226.6K $0.08 %
312Patrick Industries Inc 2,036226.1K $0.08 %
313Zeta Global Holdings Corp 14,122224.8K $0.08 %
314StoneCo Ltd 15,843223.7K $0.08 %
315Old Second Bancorp Inc 11,075223.3K $0.08 %
316Progyny Inc 13,023221.1K $0.08 %
317A10 Networks Inc 9,540220.6K $0.08 %
318Haemonetics Corp 3,897219.6K $0.08 %
319Green Brick Partners Inc 3,372217.3K $0.08 %
320Banc of California Inc 12,332216.8K $0.08 %
321Brink's Co/The 2,091216.7K $0.08 %
322Erasca Inc 13,265214.6K $0.08 %
323National Energy Services Reunited Corp 9,974214.1K $0.08 %
324US Physical Therapy Inc 2,838212.7K $0.08 %
325Ranger Energy Services Inc 12,357211.8K $0.08 %
326Q2 Holdings Inc 4,465211.2K $0.08 %
327First Merchants Corp 5,446210.9K $0.08 %
328Krystal Biotech Inc 807208.5K $0.08 %
329Mercantile Bank Corp 4,116207.9K $0.08 %
330TransMedics Group Inc 2,086207.4K $0.08 %
331NETSTREIT Corp 10,978206.7K $0.07 %
332Financial Institutions Inc 6,518206.7K $0.07 %
333ACV Auctions Inc 48,692206.5K $0.07 %
334Atkore Inc 3,496205.9K $0.07 %
335KB Home 3,972205.6K $0.07 %
336Workiva Inc 3,436204.9K $0.07 %
337Hut 8 Corp 4,354204.2K $0.07 %
338Lantheus Holdings Inc 2,673202.7K $0.07 %
339Atea Pharmaceuticals Inc 37,653202.6K $0.07 %
340CRISPR Therapeutics AG 4,256202.5K $0.07 %
341Macerich Co/The 10,652201.3K $0.07 %
342AtriCure Inc 7,019200.3K $0.07 %
343Magnolia Oil & Gas Corp 6,304199K $0.07 %
344Dole PLC 13,793197.1K $0.07 %
345Consensus Cloud Solutions Inc 8,275196.4K $0.07 %
346Halozyme Therapeutics Inc 2,999193.8K $0.07 %
347BlackLine Inc 5,222193.2K $0.07 %
348ASGN Inc 4,975192.6K $0.07 %
349Boise Cascade Co 2,537192.4K $0.07 %
350GATX Corp 1,122191.6K $0.07 %
351ACADIA Pharmaceuticals Inc 8,540190.1K $0.07 %
352Calumet Inc 5,293190K $0.07 %
353Hanmi Financial Corp 7,199189.8K $0.07 %
354Figs Inc 12,828189.5K $0.07 %
355Clearfield Inc 7,149189.2K $0.07 %
356Core Scientific Inc 12,567188K $0.07 %
357Kennametal Inc 5,176187K $0.07 %
358Biohaven Ltd 22,010186.2K $0.07 %
359Fidelis Insurance Holdings Ltd 9,728185.9K $0.07 %
360Ecovyst Inc 14,440185.7K $0.07 %
361Xenia Hotels & Resorts Inc 12,458184.8K $0.07 %
362Zevra Therapeutics Inc 19,765184.2K $0.07 %
363BioCryst Pharmaceuticals Inc 19,337184.1K $0.07 %
364Hims & Hers Health Inc 8,845183.6K $0.07 %
365Diebold Nixdorf Inc 2,427183.1K $0.07 %
366BrightSpring Health Services Inc 4,291182.8K $0.07 %
367PTC Therapeutics Inc 2,679182.5K $0.07 %
368Meritage Homes Corp 2,950182.4K $0.07 %
369ConnectOne Bancorp Inc 6,814182.4K $0.07 %
370Fastly Inc 6,276182.4K $0.07 %
371SOUTHSTATE BANK CORP 1,969182.2K $0.07 %
372Winnebago Industries Inc 5,862181.7K $0.07 %
373Liquidia Corp 4,802181.2K $0.07 %
374Sonos Inc 13,524181.2K $0.07 %
375American Public Education Inc 3,155179.5K $0.06 %
376ProPetro Holding Corp 12,416178.9K $0.06 %
377Mirion Technologies Inc 9,617178.8K $0.06 %
378Phinia Inc 2,612178.8K $0.06 %
379Viasat Inc 3,870177.2K $0.06 %
380Kite Realty Group Trust 7,181176.3K $0.06 %
381Blue Bird Corp 3,103176.2K $0.06 %
382BETA TECHNOLOGIES INC 11,966175.9K $0.06 %
383American Eagle Outfitters Inc 10,514175.6K $0.06 %
384United Parks & Resorts Inc 5,363175.2K $0.06 %
385Freshworks Inc 21,731174.5K $0.06 %
386Celcuity Inc 1,521173.6K $0.06 %
387Park Aerospace Corp 6,320173K $0.06 %
388SoundHound AI Inc 25,152172.8K $0.06 %
389Replimune Group Inc 22,467171.9K $0.06 %
390Ligand Pharmaceuticals Inc 856170.9K $0.06 %
391Clearway Energy Inc 4,345170.7K $0.06 %
392Axsome Therapeutics Inc 1,010170.7K $0.06 %
393Excelerate Energy Inc 5,087170K $0.06 %
394Ocular Therapeutix Inc 20,052169.8K $0.06 %
395Brinker International Inc 1,184169K $0.06 %
396SkyWest Inc 1,836168.6K $0.06 %
397Arko Corp 30,217168K $0.06 %
398Sphere Entertainment Co 1,431168K $0.06 %
399Innodata Inc 4,350168K $0.06 %
400Boot Barn Holdings Inc 1,146167.7K $0.06 %

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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 assigns each company to a sector, one by one. The unassigned share stays visible, under "Unattributed".

Currency breakdown

  • USD 100.0 %

Each line is counted in its quoted currency, as the fund declares it.

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 are computed on the fund's equities only.

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