Titelia

Holdings of Voya RussellTM Mid Cap Index Portfolio

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

Net assets
636.6M $ including 634.3M $ in equities, 99.6 %
Positions
807 in 12 countries
Top ten
7.1 % of net assets
Filed on
Mar 31, 2026
Portfolio shape

Positions

RankCompanySharesValueWeight
301Clean Harbors Inc 2,529725.1K $0.11 %
302TALEN ENERGY CORP 2,265723.1K $0.11 %
303API Group Corp 17,834722.6K $0.11 %
304Medline Inc 16,182720.1K $0.11 %
305Jones Lang LaSalle Inc 2,355716.7K $0.11 %
306IDEX Corp 3,774715.4K $0.11 %
307Pentair PLC 8,167711.4K $0.11 %
308Mid-America Apartment Communities, Inc. 5,810709.5K $0.11 %
309Nordson Corp 2,657706.9K $0.11 %
310Astera Labs Inc 6,442706K $0.11 %
311SS&C Technologies Holdings Inc 10,447705.9K $0.11 %
312Graco Inc 8,289701.7K $0.11 %
313Zscaler Inc 4,988699.8K $0.11 %
314Cooper Cos Inc/The 9,747696.9K $0.11 %
315Carlisle Cos Inc 2,068689.9K $0.11 %
316Tradeweb Markets Inc 5,821684.9K $0.11 %
317Regency Centers Corp 9,019682.4K $0.11 %
318DT Midstream Inc 5,066682.2K $0.11 %
319Everest Group Ltd 2,071676.9K $0.11 %
320TransUnion 9,733673.4K $0.11 %
321Reinsurance Group of America Inc 3,293672.3K $0.11 %
322RenaissanceRe Holdings Ltd 2,261672K $0.11 %
323New York Times Co/The 8,012670.8K $0.11 %
324Rocket Cos Inc 47,009669.9K $0.11 %
325TKO Group Holdings Inc 3,314668.3K $0.11 %
326Lincoln Electric Holdings Inc 2,676666.5K $0.10 %
327Avery Dennison Corp 3,840663.1K $0.10 %
328Okta Inc 8,356657.7K $0.10 %
329Host Hotels & Resorts Inc 34,239656K $0.10 %
330WESCO International Inc 2,392654.5K $0.10 %
331Performance Food Group Co 7,619652.6K $0.10 %
332Ralph Lauren Corp 1,895651.9K $0.10 %
333Hasbro Inc 6,961651.5K $0.10 %
334Omega Healthcare Investors Inc 14,730645.5K $0.10 %
335TD SYNNEX Corp 3,812643.1K $0.10 %
336BJ's Wholesale Club Holdings Inc 6,526642.3K $0.10 %
337Toll Brothers Inc 4,706642.2K $0.10 %
338Pinnacle Financial Partners Inc 7,438640.7K $0.10 %
339Viking Holdings Ltd 8,702639.4K $0.10 %
340McCormick & Co Inc/MD 12,642637.7K $0.10 %
341Neurocrine Biosciences Inc 4,835637K $0.10 %
342Guidewire Software Inc 4,238633.8K $0.10 %
343Watsco Inc 1,738632.3K $0.10 %
344Carlyle Group Inc/The 13,058631.9K $0.10 %
345RPM International Inc 6,347630.9K $0.10 %
346Clorox Co/The 6,082630.3K $0.10 %
347Lattice Semiconductor Corp 6,789629.7K $0.10 %
348Affirm Holdings Inc 13,724628.8K $0.10 %
349Dick's Sporting Goods Inc 3,160626.6K $0.10 %
350Masco Corp 10,373626.2K $0.10 %
351Allegion plc 4,297624.3K $0.10 %
352QXO Inc 32,134624K $0.10 %
353Penumbra Inc 1,892621.3K $0.10 %
354HubSpot Inc 2,539619.8K $0.10 %
355Best Buy Co Inc 9,651619.6K $0.10 %
356Regal Rexnord Corp 3,297617.4K $0.10 %
357Five Below Inc 2,688614.2K $0.10 %
358Antero Resources Corp 14,466613.9K $0.10 %
359Toast Inc 23,127613.1K $0.10 %
360Roku Inc 6,435608.9K $0.10 %
361Unum Group 8,292605.6K $0.10 %
362Fox Corp 10,305601.8K $0.09 %
363Gaming and Leisure Properties Inc 13,557601.5K $0.09 %
364Mueller Industries Inc 5,414599.9K $0.09 %
365Pinnacle West Capital Corp. 5,948599.3K $0.09 %
366Equity LifeStyle Properties Inc 9,593598.8K $0.09 %
367Rivian Automotive Inc 39,668597K $0.09 %
368Fidelity National Financial Inc 12,842595.6K $0.09 %
369Ionis Pharmaceuticals Inc 7,896592.9K $0.09 %
370CACI International Inc 1,084589.6K $0.09 %
371Elanco Animal Health Inc 24,571588K $0.09 %
372Roivant Sciences Ltd 21,200587.2K $0.09 %
373Super Micro Computer Inc 25,637583.8K $0.09 %
374HEICO Corp 2,119581K $0.09 %
375Crown Holdings Inc 5,779579.3K $0.09 %
376Align Technology Inc 3,354575K $0.09 %
377BorgWarner Inc 10,595574.9K $0.09 %
378Jack Henry & Associates Inc 3,625572.9K $0.09 %
379Healthpeak Properties Inc 34,610568.6K $0.09 %
380Exelixis Inc 13,157564.3K $0.09 %
381Essential Utilities Inc 14,003563.9K $0.09 %
382Generac Holdings Inc 2,885563.5K $0.09 %
383Domino's Pizza Inc 1,566561.9K $0.09 %
384Service Corp International/US 6,809561.8K $0.09 %
385UDR Inc 16,495557.2K $0.09 %
386Webster Financial Corp 8,002555.5K $0.09 %
387GoDaddy Inc 6,715555.1K $0.09 %
388Gartner Inc 3,499554K $0.09 %
389AGNC Investment Corp 55,214553.8K $0.09 %
390Globe Life Inc 3,974553.1K $0.09 %
391Jazz Pharmaceuticals PLC 2,908549.8K $0.09 %
392Evercore Inc 1,840549.3K $0.09 %
393Stanley Black & Decker Inc 7,717548.4K $0.09 %
394Stifel Financial Corp 7,403547.2K $0.09 %
395First Horizon Corp 24,013546.5K $0.09 %
396AECOM 6,437546K $0.09 %
397Lamar Advertising Co 4,310545.9K $0.09 %
398Texas Roadhouse Inc 3,305545.8K $0.09 %
399Assurant Inc 2,491542.6K $0.09 %
400Coca-Cola Consolidated Inc 2,829542.4K $0.09 %

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Sector breakdown

  • Industrials 12.5 %
  • Technology 8.9 %
  • Financials 7.6 %
  • Energy 6.1 %
  • Consumer discretionary 6.0 %
  • Utilities 5.7 %
  • Health care 5.7 %
  • Materials 4.4 %
  • Real estate 3.5 %
  • Consumer staples 2.9 %
  • Communication 2.1 %
  • Funds 0.9 %
  • Unattributed 33.7 %

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 97.1 %
  • Bermuda 0.7 %
  • United Kingdom 0.7 %
  • Ireland 0.5 %
  • Netherlands 0.2 %
  • Cayman Islands 0.2 %
  • Singapore 0.2 %
  • Canada 0.2 %
  • Luxembourg 0.1 %
  • Jersey 0.1 %
  • Switzerland 0.1 %
  • Guernsey 0.1 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1United States774615.8M $97.09 %
2Bermuda84.4M $0.69 %
3United Kingdom44.2M $0.67 %
4Ireland43M $0.47 %
5Netherlands21.5M $0.24 %
6Cayman Islands51.4M $0.22 %
7Singapore11.2M $0.19 %
8Canada21.2M $0.18 %
9Luxembourg2472.6K $0.07 %
10Jersey3438K $0.07 %
11Switzerland1383.7K $0.06 %
12Guernsey1346.2K $0.05 %
Cite this page

Titelia. "Holdings of Voya RussellTM Mid Cap Index Portfolio". https://titelia.com/en/funds/S000021223