Titelia

Holdings of VOYA RUSSELLTM LARGE CAP VALUE INDEX PORTFOLIO

Voya VARIABLE PORTFOLIOS INC · 155 declared positions · as of Mar 31, 2026

Original filing · Net assets 291M $ · Ten largest lines: 28.3 % of the equity sleeve

Sector breakdown

  • Financials 21.2 %
  • Health care 13.2 %
  • Industrials 10.7 %
  • Technology 10.7 %
  • Communication 10.1 %
  • Consumer staples 8.1 %
  • Consumer discretionary 6.8 %
  • Energy 5.4 %
  • Utilities 3.3 %
  • Materials 3.0 %
  • Real estate 1.7 %
  • Unattributed 6.0 %

Sector is not declared in Form N-PORT: this is a Titelia classification, decided company by company. The unattributed share is counted as such rather than spread over the others.

Currency breakdown

  • USD 100.0 %

The currency each line is denominated in, as declared. It does not follow the country: a French company listed in the United States is declared in dollars.

Country breakdown

  • US 99.6 %
  • IE 0.4 %

Shares computed on the equity sleeve, the only part this site carries.

CountryLinesValueShare
US154289.1M $99.61 %
IE11.1M $0.39 %

Positions

CompanySharesValueWeight
Berkshire Hathaway Inc 25,79912.4M $4.25 %
JPMorgan Chase & Co 37,99811.2M $3.84 %
Exxon Mobil Corp 59,09410M $3.45 %
Alphabet Inc 28,8598.3M $2.85 %
Johnson & Johnson 33,6608.2M $2.83 %
Amazon.com Inc 36,8897.7M $2.64 %
Walmart Inc 54,7756.8M $2.34 %
Alphabet Inc 23,4996.7M $2.32 %
Chevron Corp 26,2055.4M $1.86 %
Micron Technology Inc 15,6295.3M $1.81 %
Procter & Gamble Co/The 32,8554.7M $1.63 %
Cisco Systems, Inc. 55,6734.3M $1.48 %
Merck & Co Inc 34,7624.2M $1.44 %
Bank of America Corp 84,5644.1M $1.42 %
Caterpillar Inc 5,6794M $1.38 %
RTX Corp 18,7143.6M $1.24 %
Philip Morris International Inc. 21,7933.6M $1.24 %
Wells Fargo & Co 43,3193.4M $1.19 %
UnitedHealth Group Inc 12,7283.4M $1.18 %
iShares Trust 35,8223.3M $1.14 %
Goldman Sachs Group Inc/The 3,8893.3M $1.13 %
Linde PLC 6,5683.3M $1.12 %
International Business Machines Corp. 13,0143.2M $1.08 %
Meta Platforms Inc 5,4473.1M $1.07 %
Verizon Communications Inc 59,0763M $1.02 %
McDonald's Corp. 9,4342.9M $1.01 %
AT&T Inc 96,6712.8M $0.96 %
Intel Corp 61,7202.7M $0.94 %
Applied Materials Inc 7,9492.7M $0.93 %
NextEra Energy Inc 29,1812.7M $0.93 %
Morgan Stanley 15,8692.6M $0.90 %
Thermo Fisher Scientific Inc 5,2822.6M $0.89 %
PepsiCo Inc 16,5422.6M $0.88 %
Abbott Laboratories 24,2202.5M $0.85 %
Walt Disney Co/The 24,8492.4M $0.82 %
ConocoPhillips 17,3082.3M $0.79 %
Citigroup Inc 19,9162.3M $0.78 %
Pfizer Inc 79,4632.2M $0.77 %
Analog Devices Inc 6,8372.2M $0.75 %
Coca-Cola Co/The 27,8162.1M $0.73 %
Salesforce Inc 11,3252.1M $0.73 %
Blackrock Inc 2,1342.1M $0.71 %
Honeywell International Inc 8,8952M $0.69 %
Charles Schwab Corp/The 21,3182M $0.69 %
Eaton Corp PLC 5,4822M $0.67 %
Deere & Co 3,4181.9M $0.66 %
Advanced Micro Devices Inc 9,3491.9M $0.65 %
Welltower Inc 9,6181.9M $0.65 %
Union Pacific Corp 7,7051.9M $0.64 %
Lowe's Cos Inc 7,8391.9M $0.64 %
Boeing Co/The 9,0841.8M $0.62 %
S&P Global Inc 4,2401.8M $0.62 %
Gilead Sciences Inc 12,7301.8M $0.61 %
Prologis Inc 12,9751.7M $0.59 %
Accenture PLC 8,6061.7M $0.59 %
Danaher Corp 8,8081.7M $0.57 %
Chubb Ltd 5,1121.7M $0.57 %
Newmont Corp 15,3671.7M $0.57 %
Parker-Hannifin Corp 1,7691.6M $0.54 %
Capital One Financial Corp 8,5951.6M $0.54 %
Altria Group, Inc. 23,5951.6M $0.54 %
Medtronic PLC 17,9371.6M $0.53 %
Progressive Corp/The 7,7851.5M $0.53 %
American Express Co 5,0771.5M $0.53 %
Southern Co/The 15,4131.5M $0.51 %
QUALCOMM Inc 11,5381.5M $0.51 %
CME Group Inc 5,0301.5M $0.51 %
Texas Instruments Inc 7,5111.5M $0.50 %
Comcast Corp 50,5561.5M $0.50 %
Duke Energy Corp 10,8821.4M $0.49 %
T-Mobile US Inc 6,7401.4M $0.49 %
Bristol-Myers Squibb Co 23,0211.4M $0.48 %
Equinix Inc 1,3671.3M $0.46 %
Northrop Grumman Corp 1,8701.3M $0.44 %
Lockheed Martin Corp 2,0821.3M $0.43 %
CVS Health Corp 17,5191.3M $0.43 %
Intercontinental Exchange Inc 7,9801.3M $0.43 %
TJX Cos Inc/The 7,8231.2M $0.43 %
Starbucks Corp 13,8051.2M $0.43 %
Constellation Energy Corp. 4,3701.2M $0.42 %
General Dynamics Corp 3,5351.2M $0.42 %
Freeport-McMoRan Inc 20,0061.2M $0.40 %
Stryker Corp 3,5761.2M $0.40 %
Williams Cos Inc/The 16,1321.2M $0.40 %
US Bancorp 21,8461.1M $0.39 %
PNC Financial Services Group Inc/The 5,4461.1M $0.39 %
Johnson Controls International plc 8,5621.1M $0.39 %
EOG Resources Inc 7,6441.1M $0.38 %
Regeneron Pharmaceuticals, Inc. 1,4191.1M $0.38 %
Marvell Technology Inc 11,0141.1M $0.37 %
Home Depot Inc/The 3,3131.1M $0.37 %
CSX Corp 26,2561.1M $0.37 %
Boston Scientific Corp 17,0871.1M $0.37 %
FedEx Corp 2,9981.1M $0.37 %
Mondelez International Inc 18,1221M $0.36 %
Marsh & McLennan Cos Inc 5,9891M $0.36 %
Emerson Electric Co. 7,8841M $0.36 %
United Parcel Service Inc 10,2661M $0.35 %
SLB Ltd 19,321992.9K $0.34 %
CRH PLC 9,381986.1K $0.34 %
American Electric Power Co Inc 7,483980.9K $0.34 %
General Motors Co 12,644942K $0.32 %
Elevance Health Inc 3,111910.7K $0.31 %
3M Co 6,259909K $0.31 %
Norfolk Southern Corp 3,159906.6K $0.31 %
Cigna Group/The 3,392904.8K $0.31 %
Air Products and Chemicals Inc 3,107902.6K $0.31 %
Sempra 9,130887.2K $0.30 %
Travelers Cos Inc/The 3,036885.5K $0.30 %
NIKE Inc 16,368864.6K $0.30 %
HCA Healthcare Inc 1,787845.7K $0.29 %
PACCAR Inc 7,209832.6K $0.29 %
Truist Financial Corp 17,667812.2K $0.28 %
Target Corp 6,358770.6K $0.26 %
TransDigm Group Inc 638739.4K $0.25 %
Dominion Energy Inc 11,937737.9K $0.25 %
Aflac Inc 6,583722.2K $0.25 %
Arthur J Gallagher & Co 3,331721.4K $0.25 %
Illinois Tool Works Inc 2,726709.6K $0.24 %
Ecolab Inc 2,635701K $0.24 %
Amgen Inc 1,974694.6K $0.24 %
AutoZone Inc 197665.4K $0.23 %
KKR & Co Inc 7,121658.7K $0.23 %
Edwards Lifesciences Corp 8,050644.6K $0.22 %
Becton Dickinson & Co 4,001629.1K $0.22 %
Republic Services Inc 2,833620.5K $0.21 %
Dell Technologies Inc 3,769618.6K $0.21 %
Carrier Global Corp 10,982618.4K $0.21 %
PayPal Holdings Inc 13,104592.7K $0.20 %
Motorola Solutions Inc 1,349585.4K $0.20 %
American International Group Inc 7,545567.8K $0.20 %
MetLife Inc 7,783550.4K $0.19 %
Roper Technologies Inc 1,502531.5K $0.18 %
Public Storage 1,918519.5K $0.18 %
Strategy Inc 4,122514.4K $0.18 %
Colgate-Palmolive Co 5,913504K $0.17 %
Keurig Dr Pepper Inc 18,114476.9K $0.16 %
Interactive Brokers Group Inc 5,663379.8K $0.13 %
Fiserv Inc 5,405301.6K $0.10 %
Kimberly-Clark Corp 2,966286.1K $0.10 %
Synopsys Inc 710281.5K $0.10 %
Marriott International Inc/MD 728238.1K $0.08 %
Southern Copper Corp 1,174202K $0.07 %
Apollo Global Management Inc 1,778198.1K $0.07 %
Solstice Advanced Materials Inc 2,224169.4K $0.06 %
Brookfield Asset Management Ltd 3,481154.7K $0.05 %
Zoetis Inc 1,255148.4K $0.05 %
Booking Holdings Inc 28117.9K $0.04 %
McKesson Corp 134116K $0.04 %
Sherwin-Williams Co/The 30397.1K $0.03 %
O'Reilly Automotive Inc 95988.5K $0.03 %
Automatic Data Processing Inc 41383.9K $0.03 %
Versant Media Group Inc 2,01774.7K $0.03 %
Aon PLC 22572.6K $0.03 %
Copart Inc 84328K $0.01 %