Titelia

Holdings of VOYA GLOBAL BOND PORTFOLIO

Voya Partners Inc · Original filing · Compare with another fund · Report an error

Net assets
81.4M $ including 10.3M $ in equities, 12.7 %
Positions
5 in 2 countries
Bond lines
363 from 176 companies
Top ten
12.7 % of net assets
Filed on
Mar 31, 2026
Portfolio shape

Positions

RankCompanySharesValueWeight
1Voya VACS Series HYB Fund 603,6226.1M $7.54 %
2Voya VACS Series EMHCD Fund 399,8084.2M $5.12 %
3RESOLUTE FOREST PRODUCTS INC 4,9887.1K $0.01 %
4Smurfit Westrock PLC 1204.8K $0.01 %
5Ingevity Corp 181.3K $0.00 %

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The bonds it holds

176 companies, 363 bond lines; the 100 largest follow. Only issuers whose shares this site already serves appear here.

RankCompanyBond linesValueWeight
1Morgan Stanley12767.9K $0.94 %
2Bank of America Corp15600.1K $0.74 %
3JPMorgan Chase & Co14524.1K $0.64 %
4Oracle Corp11485.6K $0.60 %
5Amazon.com Inc9282.8K $0.35 %
6Wells Fargo & Co7219.9K $0.27 %
7Meta Platforms Inc7202.1K $0.25 %
8Cigna Group/The3177.6K $0.22 %
9Royalty Pharma PLC2173.9K $0.21 %
10Alphabet Inc6169.3K $0.21 %
11Verizon Communications Inc6154.2K $0.19 %
12Salesforce Inc5143.2K $0.18 %
13Micron Technology Inc2131.3K $0.16 %
14AbbVie Inc5128.6K $0.16 %
15Essential Utilities Inc2127.6K $0.16 %
16Broadcom Inc6123.6K $0.15 %
17Ryder System Inc6119.8K $0.15 %
18Royal Bank of Canada5115.1K $0.14 %
19M&T Bank Corp1113.7K $0.14 %
20Crown Castle Inc5109.8K $0.13 %
21Marriott International Inc/MD4102.8K $0.13 %
22Eversource Energy5102.3K $0.13 %
23State Street Corp399.9K $0.12 %
24Equinor ASA298.3K $0.12 %
25O'Reilly Automotive Inc191.1K $0.11 %
26Cisco Systems, Inc.488.8K $0.11 %
27Public Service Enterprise Group Inc487.6K $0.11 %
28Black Hills Corp285.4K $0.10 %
29Thermo Fisher Scientific Inc283K $0.10 %
30Goldman Sachs Group Inc/The579.1K $0.10 %
31AT&T Inc378.4K $0.10 %
32Canadian National Railway Co278K $0.10 %
33Northern Trust Corp177.9K $0.10 %
34Huntington Bancshares Inc/OH177.1K $0.09 %
35Comcast Corp573.6K $0.09 %
36Exelon Corp269K $0.08 %
37General Mills, Inc.168.1K $0.08 %
38Honda Motor Co Ltd267.4K $0.08 %
39Philip Morris International Inc.363.8K $0.08 %
40Truist Financial Corp162.4K $0.08 %
41Corebridge Financial Inc360.8K $0.07 %
42AppLovin Corp260.5K $0.07 %
43Valero Energy Corp159.2K $0.07 %
44McKesson Corp357.6K $0.07 %
45Quest Diagnostics Inc457.6K $0.07 %
46Walmart Inc155.8K $0.07 %
47Elevance Health Inc354.8K $0.07 %
48Viatris Inc254.8K $0.07 %
49Toronto-Dominion Bank/The253.4K $0.07 %
50Energy Transfer LP252.3K $0.06 %
51Bank of Montreal152.1K $0.06 %
52Sealed Air Corp151.9K $0.06 %
53Centene Corp251.2K $0.06 %
54Assurant Inc151.2K $0.06 %
55Raymond James Financial Inc150.2K $0.06 %
56Hershey Co/The150.2K $0.06 %
57HEICO Corp150K $0.06 %
58Kenvue Inc349.6K $0.06 %
59US Bancorp149.3K $0.06 %
60CVS Health Corp348.1K $0.06 %
61S&P Global Inc245.3K $0.06 %
62CME Group Inc145.2K $0.06 %
63FirstEnergy Corp144.6K $0.05 %
64Intel Corp143.7K $0.05 %
65UnitedHealth Group Inc342.9K $0.05 %
66DTE Energy Co242.6K $0.05 %
67Becton Dickinson & Co142.2K $0.05 %
68Westinghouse Air Brake Technologies Corp142.1K $0.05 %
69Merck & Co Inc241.7K $0.05 %
70Motorola Solutions Inc241.7K $0.05 %
71Adobe Inc241.7K $0.05 %
72Ameren Corp241.2K $0.05 %
73Toyota Motor Corp.141.1K $0.05 %
74EOG Resources Inc140.5K $0.05 %
75Lowe's Cos Inc139.3K $0.05 %
76Abbott Laboratories239.2K $0.05 %
77Fortune Brands Innovations Inc239K $0.05 %
78Kyndryl Holdings Inc138.9K $0.05 %
79Johnson & Johnson337.5K $0.05 %
80Arrow Electronics Inc136.4K $0.04 %
81Southern Co/The136.3K $0.04 %
82Deere & Co136.3K $0.04 %
83Hewlett Packard Enterprise Co135.8K $0.04 %
84Xcel Energy Inc234.8K $0.04 %
85WSP Global Inc134.7K $0.04 %
86Targa Resources Corp334.7K $0.04 %
87American International Group Inc134.4K $0.04 %
88Campbell's Company/The134.3K $0.04 %
89Huntington Ingalls Industries, Inc.133.4K $0.04 %
90Solventum Corp232.8K $0.04 %
91Omnicom Group Inc132.2K $0.04 %
92Equifax Inc131.9K $0.04 %
93MPLX LP231.7K $0.04 %
94KeyCorp131.4K $0.04 %
95Constellation Software Inc/Canada131.1K $0.04 %
96Sumitomo Mitsui Financial Group Inc131K $0.04 %
97Coca-Cola Consolidated Inc130.7K $0.04 %
98American Express Co230.2K $0.04 %
99Norfolk Southern Corp329.9K $0.04 %
100Jacobs Solutions Inc229.4K $0.04 %

Sector breakdown

  • Unattributed 100.0 %

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 99.9 %
  • Canada 0.1 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1United States410.3M $99.93 %
2Canada17.1K $0.07 %
Cite this page

Titelia. "Holdings of VOYA GLOBAL BOND PORTFOLIO". https://titelia.com/en/funds/S000007598