Titelia

Holdings of VOYA INDEX PLUS SMALLCAP PORTFOLIO

Voya VARIABLE PORTFOLIOS INC · Original filing · Compare with another fund · Report an error

Net assets
358.3M $ including 351.2M $ in equities, 98.0 %
Positions
457 in 11 countries
Top ten
6.8 % of net assets
Filed on
Mar 31, 2026
Portfolio shape

Positions

RankCompanySharesValueWeight
201DoubleVerify Holdings Inc 74,597708.7K $0.20 %
202First Hawaiian Inc 28,750708.4K $0.20 %
203Sally Beauty Holdings Inc 50,897704.9K $0.20 %
204Hamilton Insurance Group Ltd 23,611704.3K $0.20 %
205International Seaways Inc 9,544695.6K $0.19 %
206US Foods Holding Corp 7,493690.9K $0.19 %
207QuinStreet Inc 57,166686.6K $0.19 %
208TransMedics Group Inc 6,804676.4K $0.19 %
209Avnet Inc 10,951674.8K $0.19 %
210Inspire Medical Systems Inc 13,064673.8K $0.19 %
211Saul Centers Inc 20,429665.6K $0.19 %
212Central Garden & Pet Co 17,975660.9K $0.18 %
213Adamas Trust Inc 89,549659.1K $0.18 %
214Banc of California Inc 37,221654.3K $0.18 %
215TPG Mortgage Investment Trust Inc 89,451653.9K $0.18 %
216S&T Bancorp Inc 15,571651.3K $0.18 %
217Rambus Inc 7,538648.5K $0.18 %
218Jones Lang LaSalle Inc 2,130648.2K $0.18 %
219Liberty Energy Inc 22,473647.2K $0.18 %
220Sabra Health Care REIT Inc 33,165637.8K $0.18 %
221Ralph Lauren Corp 1,854637.8K $0.18 %
222Ooma Inc 43,826637.7K $0.18 %
223Glaukos Corp 5,886633.7K $0.18 %
224Privia Health Group Inc 30,787633.3K $0.18 %
225Core Natural Resources Inc 5,992627.5K $0.18 %
226Myriad Genetics Inc 138,550623.5K $0.17 %
227Red River Bancshares Inc 6,859620.3K $0.17 %
228Federal Signal Corp 5,733620K $0.17 %
229Legalzoom.com Inc 109,079618.5K $0.17 %
230Navient Corp 75,601618.4K $0.17 %
231Apogee Enterprises Inc 18,386616.7K $0.17 %
232CBL & Associates Properties Inc 15,953613.1K $0.17 %
233Armstrong World Industries Inc 3,655602.3K $0.17 %
234Virtus Investment Partners Inc 4,444597.1K $0.17 %
235Allient Inc 9,984590K $0.16 %
236Watts Water Technologies Inc 2,022587K $0.16 %
237OneSpaWorld Holdings Ltd 25,567586.8K $0.16 %
238Popular Inc 4,371586.5K $0.16 %
239Phibro Animal Health Corp 10,521581.9K $0.16 %
240Viavi Solutions Inc 17,223573.2K $0.16 %
241PJT Partners Inc 4,069568.5K $0.16 %
242LKQ Corp 19,237565K $0.16 %
243ManpowerGroup Inc 19,115563.1K $0.16 %
244Bandwidth Inc 31,311558K $0.16 %
245Gentherm Inc 19,984555.2K $0.15 %
246HCI Group Inc 3,555549.6K $0.15 %
247Cal-Maine Foods Inc 6,910546.9K $0.15 %
248ADTRAN Holdings Inc 43,430546.3K $0.15 %
249Life Time Group Holdings Inc 20,210544.5K $0.15 %
250CoreCivic Inc 28,738543.4K $0.15 %
251Integer Holdings Corp 6,133539.7K $0.15 %
252Eastman Chemical Co 6,988533.3K $0.15 %
253Embecta Corp 60,301533.1K $0.15 %
254CTO Realty Growth Inc 28,744531.5K $0.15 %
255Vicor Corp 3,274527.1K $0.15 %
256MarketAxess Holdings Inc 3,186525.6K $0.15 %
257Installed Building Products Inc 1,969522.1K $0.15 %
258Cimpress PLC 7,149521.9K $0.15 %
259Cars.com Inc 63,833518.3K $0.14 %
260Energizer Holdings Inc 31,480516.9K $0.14 %
261LivaNova PLC 8,132516.9K $0.14 %
262Pediatrix Medical Group Inc 24,097515.4K $0.14 %
263Five Below Inc 2,251514.3K $0.14 %
264Acuity Inc 1,825511.4K $0.14 %
265DigitalOcean Holdings Inc 5,885504.8K $0.14 %
266Cleanspark Inc 59,204503.8K $0.14 %
267Newmark Group Inc 33,469501.7K $0.14 %
268Lithia Motors Inc 2,003500.2K $0.14 %
269Taboola.com Ltd 161,088499.4K $0.14 %
270Globe Life Inc 3,580498.2K $0.14 %
271Veeco Instruments Inc 14,696497.6K $0.14 %
272PROG Holdings Inc 17,139491.7K $0.14 %
273Exelixis Inc 11,375487.9K $0.14 %
274HNI Corp 14,564486.3K $0.14 %
275Sprinklr Inc 80,652483.9K $0.14 %
276First Financial Corp 7,636482.6K $0.13 %
277Match Group Inc 15,500476K $0.13 %
278Pacira BioSciences Inc 21,052475.8K $0.13 %
279Dorman Products Inc 4,480467.5K $0.13 %
280Phillips Edison & Co Inc 12,307460.5K $0.13 %
281Hawaiian Electric Industries Inc 30,485452.4K $0.13 %
282Travel + Leisure Co 6,521451.2K $0.13 %
283Roku Inc 4,699444.6K $0.12 %
284ADMA Biologics Inc 49,309444.3K $0.12 %
285Pathward Financial Inc 4,971443.6K $0.12 %
286GigaCloud Technology Inc 9,688439.6K $0.12 %
287Jackson Financial Inc 4,140437.7K $0.12 %
288LendingClub Corp 30,453436.1K $0.12 %
289Regal Rexnord Corp 2,316433.7K $0.12 %
290Sarepta Therapeutics Inc 19,857432.1K $0.12 %
291Allegiant Travel Co 5,239424.6K $0.12 %
292Freshworks Inc 52,511421.7K $0.12 %
293ATN International Inc 15,207413.9K $0.12 %
294Riley Exploration Permian Inc 11,308412.2K $0.12 %
295Sunrun Inc 30,376411.9K $0.12 %
296Regional Management Corp 12,580405.7K $0.11 %
297Northern Oil & Gas Inc 13,851404.9K $0.11 %
298Celanese Corp 6,135403.5K $0.11 %
299Ribbon Communications Inc 190,015402.8K $0.11 %
300Lindblad Expeditions Holdings Inc 23,121400K $0.11 %

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Sector breakdown

  • Consumer staples 0.2 %
  • Unattributed 99.8 %

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 95.4 %
  • Puerto Rico 1.1 %
  • Ireland 1.0 %
  • Bermuda 0.7 %
  • United Kingdom 0.6 %
  • Cayman Islands 0.4 %
  • Marshall Islands 0.3 %
  • Israel 0.2 %
  • Bahamas 0.2 %
  • Canada 0.1 %
  • Monaco 0.1 %

Shares are computed on the fund's equities only.

RankCountryLinesValueShare
1United States439335M $95.40 %
2Puerto Rico24M $1.14 %
3Ireland33.4M $0.97 %
4Bermuda22.5M $0.71 %
5United Kingdom22.1M $0.59 %
6Cayman Islands21.3M $0.37 %
7Marshall Islands21.1M $0.30 %
8Israel2815.7K $0.23 %
9Bahamas1586.8K $0.17 %
10Canada1216.1K $0.06 %
11Monaco1189.6K $0.05 %
Cite this page

Titelia. "Holdings of VOYA INDEX PLUS SMALLCAP PORTFOLIO". https://titelia.com/en/funds/S000008707