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Holdings of VOYA U.S. BOND INDEX PORTFOLIO

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

Net assets
514.3M $
Bond lines
2,469 from 548 companies

The bonds it holds

548 companies, 2,469 bond lines; the 100 largest follow. Only issuers whose shares this site already serves appear here.

RankCompanyBond linesValueWeight
1JPMorgan Chase & Co193.3M $0.65 %
2Bank of America Corp482.9M $0.56 %
3Morgan Stanley422.1M $0.41 %
4Goldman Sachs Group Inc/The402M $0.40 %
5Citigroup Inc401.7M $0.33 %
6Wells Fargo & Co311.6M $0.32 %
7Oracle Corp351.5M $0.29 %
8Verizon Communications Inc331.1M $0.22 %
9UnitedHealth Group Inc151.1M $0.22 %
10AT&T Inc61.1M $0.21 %
11HSBC Holdings PLC41.1M $0.21 %
12Boeing Co/The23890K $0.17 %
13Comcast Corp11880.4K $0.17 %
14Sumitomo Mitsui Financial Group Inc11860.6K $0.17 %
15Amazon.com Inc22849.4K $0.17 %
16Amgen Inc14832.8K $0.16 %
17CVS Health Corp6820.4K $0.16 %
18Banco Santander SA4795.1K $0.15 %
19Pfizer Inc6774.5K $0.15 %
20Mitsubishi UFJ Financial Group Inc7773.5K $0.15 %
21Barclays PLC4771.9K $0.15 %
22Meta Platforms Inc7763K $0.15 %
23Home Depot Inc/The10746.6K $0.15 %
24AbbVie Inc10734.2K $0.14 %
25Freddie Mac2721K $0.14 %
26Lloyds Banking Group PLC4715.4K $0.14 %
27Mizuho Financial Group Inc2695.4K $0.14 %
28Apple Inc9687K $0.13 %
29Elevance Health Inc8680K $0.13 %
30American Tower Corp5678.9K $0.13 %
31Broadcom Inc11667.2K $0.13 %
32US Bancorp4646.2K $0.13 %
33Intel Corp15633.7K $0.12 %
34Capital One Financial Corp25630.2K $0.12 %
35NatWest Group PLC4626.9K $0.12 %
36Bank of New York Mellon Corp/The11604.8K $0.12 %
37Ford Motor Co9585.6K $0.11 %
38Energy Transfer LP2584.7K $0.11 %
39Fannie Mae2576.1K $0.11 %
40Bristol-Myers Squibb Co5558.8K $0.11 %
41PepsiCo Inc9548.5K $0.11 %
42Alphabet Inc3544.1K $0.11 %
43Alibaba Group Holding Ltd3538.1K $0.10 %
44Merck & Co Inc5521.8K $0.10 %
45Lowe's Cos Inc28472.9K $0.09 %
46Walmart Inc29471.9K $0.09 %
47American Express Co13464.2K $0.09 %
48Procter & Gamble Co/The4462.9K $0.09 %
49ONEOK Inc33461.7K $0.09 %
50Johnson & Johnson5461.6K $0.09 %
51Cigna Group/The6457.8K $0.09 %
52Toronto-Dominion Bank/The15439.2K $0.09 %
53Coca-Cola Co/The7432K $0.08 %
54Williams Cos Inc/The4430K $0.08 %
55Walt Disney Co/The5428.4K $0.08 %
56Royal Bank of Canada15428K $0.08 %
57Westpac Banking Corp18426K $0.08 %
58Eli Lilly & Co19415.1K $0.08 %
59PNC Financial Services Group Inc/The5414.9K $0.08 %
60Truist Financial Corp16408.8K $0.08 %
61Duke Energy Corp3398.9K $0.08 %
62Abbott Laboratories4385K $0.07 %
63United Parcel Service Inc12384K $0.07 %
64MPLX LP16380.7K $0.07 %
65Microsoft Corp5377.3K $0.07 %
66RTX Corp5364.5K $0.07 %
67Crown Castle Inc4341.6K $0.07 %
68Fiserv Inc2338K $0.07 %
69Charles Schwab Corp/The19336.5K $0.07 %
70Exelon Corp2332.9K $0.06 %
71International Business Machines Corp.3331.6K $0.06 %
72AstraZeneca PLC2327.9K $0.06 %
73Exxon Mobil Corp11310.6K $0.06 %
74ING Groep NV1307.6K $0.06 %
75Altria Group, Inc.15302.4K $0.06 %
76Target Corp11301.1K $0.06 %
77Lockheed Martin Corp4297.9K $0.06 %
78Marsh & McLennan Cos Inc10297.5K $0.06 %
79Realty Income Corp2295.7K $0.06 %
80Union Pacific Corp5289.7K $0.06 %
81McDonald's Corp.4286.7K $0.06 %
82Philip Morris International Inc.4285.3K $0.06 %
83General Motors Co5282.4K $0.05 %
84Bank of Nova Scotia/The12281.5K $0.05 %
85Waste Management Inc19277.5K $0.05 %
86Kinder Morgan, Inc.5276.5K $0.05 %
87Mastercard Inc7267.1K $0.05 %
88Marriott International Inc/MD4266.4K $0.05 %
89Prudential Financial, Inc.19253.3K $0.05 %
90Thermo Fisher Scientific Inc15252K $0.05 %
91Gilead Sciences Inc5250.9K $0.05 %
92Intercontinental Exchange Inc6250.8K $0.05 %
93Sherwin-Williams Co/The5244.1K $0.05 %
94Cisco Systems, Inc.2241.6K $0.05 %
95Centene Corp6240.7K $0.05 %
96Kroger Co/The11240.4K $0.05 %
97Allstate Corp/The5239.2K $0.05 %
98QUALCOMM Inc3235.5K $0.05 %
99Nomura Holdings Inc2231.5K $0.05 %
100Texas Instruments Inc17227K $0.04 %
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Titelia. "Holdings of VOYA U.S. BOND INDEX PORTFOLIO". https://titelia.com/en/funds/S000021221