Titelia

Holdings of Voya VACS Index Series SC Portfolio

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

Net assets
188.4M $ including 183M $ in equities, 97.1 %
Positions
1,674 in 23 countries
Top ten
5.5 % of net assets
Filed on
Mar 31, 2026
Portfolio shape

Positions

RankCompanySharesValueWeight
201Kontoor Brands Inc 3,457243K $0.13 %
202Group 1 Automotive Inc 732242K $0.13 %
203Mirum Pharmaceuticals Inc 2,605240.6K $0.13 %
204Tri Pointe Homes Inc 5,147240.5K $0.13 %
205Mercury Systems Inc 3,297240.4K $0.13 %
206RadNet Inc 4,293239.9K $0.13 %
207Frontdoor Inc 4,529239.4K $0.13 %
208PriceSmart Inc 1,588239K $0.13 %
209Asbury Automotive Group Inc 1,222238.8K $0.13 %
210ServisFirst Bancshares Inc 3,276238.6K $0.13 %
211Lemonade Inc 3,802238.3K $0.13 %
212Dana Inc 7,069237.9K $0.13 %
213Patterson-UTI Energy Inc 21,795236K $0.13 %
214Cavco Industries Inc 486235.4K $0.13 %
215IRhythm Holdings Inc 1,994235.3K $0.12 %
216United Community Banks Inc/GA 7,442234.3K $0.12 %
217Academy Sports & Outdoors Inc 4,149234.2K $0.12 %
218SkyWest Inc 2,542233.4K $0.12 %
219Independent Bank Corp 3,103233.4K $0.12 %
220Apogee Therapeutics Inc 2,772233.3K $0.12 %
221Vicor Corp 1,439231.7K $0.12 %
222International Bancshares Corp 3,439231.4K $0.12 %
223AZZ Inc 1,842230.5K $0.12 %
224Sensient Technologies Corp 2,662230.1K $0.12 %
225Indivior Pharmaceuticals Inc 7,536229.7K $0.12 %
226UniFirst Corp/MA 912229.5K $0.12 %
227Stride Inc 2,591228.4K $0.12 %
228BGC Group Inc 23,179226.7K $0.12 %
229Helmerich & Payne Inc 6,237224.7K $0.12 %
230Patrick Industries Inc 2,019224.3K $0.12 %
231Crinetics Pharmaceuticals Inc 6,167224K $0.12 %
232StoneCo Ltd 15,824223.4K $0.12 %
233Oceaneering International Inc 6,291223.1K $0.12 %
234Franklin Electric Co Inc 2,416222.7K $0.12 %
235Independence Realty Trust Inc 14,865221.3K $0.12 %
236Fulton Financial Corp 10,807219.8K $0.12 %
237Spyre Therapeutics Inc 4,352219.5K $0.12 %
238Maximus Inc 3,421219.3K $0.12 %
239LivaNova PLC 3,431218.1K $0.12 %
240WSFS Financial Corp 3,324217.6K $0.12 %
241Commvault Systems Inc 2,781216.6K $0.12 %
242Kadant Inc 739216K $0.11 %
243COPT Defense Properties 7,047215.6K $0.11 %
244Broadstone Net Lease Inc 11,757214.8K $0.11 %
245Shake Shack Inc 2,425214.5K $0.11 %
246Bread Financial Holdings Inc 2,864214.5K $0.11 %
247Perimeter Solutions Inc 8,772214.2K $0.11 %
248Tutor Perini Corp 2,770213.8K $0.11 %
249Otter Tail Corp 2,435213.7K $0.11 %
250Graham Holdings Co 202213.6K $0.11 %
251HB Fuller Co 3,438212.1K $0.11 %
252Gulfport Energy Corp 1,002212K $0.11 %
253Renasant Corp 5,855211.5K $0.11 %
254Scorpio Tankers Inc 2,831211.4K $0.11 %
255Constellium SE 8,569210.6K $0.11 %
256Chemours Co/The 9,556210.5K $0.11 %
257Kulicke & Soffa Industries Inc 3,200210.3K $0.11 %
258Signet Jewelers Ltd 2,478209.7K $0.11 %
259Globalstar Inc 3,157209.7K $0.11 %
260WesBanco Inc 6,065209.2K $0.11 %
261TransMedics Group Inc 2,104209.2K $0.11 %
262Avient Corp 5,760209.1K $0.11 %
263Cal-Maine Foods Inc 2,640209K $0.11 %
264Exponent Inc 3,177207.3K $0.11 %
265Box Inc 8,756207K $0.11 %
266Korn Ferry 3,285206.8K $0.11 %
267Enova International Inc 1,522206.7K $0.11 %
268StepStone Group Inc 4,331206.7K $0.11 %
269First BanCorp/Puerto Rico 9,605205.2K $0.11 %
270M/I Homes Inc 1,674205K $0.11 %
271Cactus Inc 4,319204.6K $0.11 %
272Alignment Healthcare Inc 11,559203.7K $0.11 %
273Zeta Global Holdings Corp 12,793203.7K $0.11 %
274Avista Corp 5,068203.4K $0.11 %
275Herc Holdings Inc 2,043203.4K $0.11 %
276BankUnited Inc 4,500203.2K $0.11 %
277Genworth Financial Inc 24,957202.7K $0.11 %
278Crescent Energy Co 14,978202.2K $0.11 %
279Century Aluminum Co 3,431201.4K $0.11 %
280Palomar Holdings Inc 1,685201.4K $0.11 %
281NCR Atleos Corp 4,617201.2K $0.11 %
282Victoria's Secret & Co 4,330200.7K $0.11 %
283Cathay General Bancorp 4,022200.5K $0.11 %
284Brookdale Senior Living Inc 14,587199.6K $0.11 %
285Blackstone Mortgage Trust Inc 10,410199.4K $0.11 %
286Sphere Entertainment Co 1,696199.1K $0.11 %
287Diodes Inc 2,913198.8K $0.11 %
288Community Financial System Inc 3,389198.8K $0.11 %
289Advance Auto Parts Inc 3,763198.5K $0.11 %
290Archer Aviation Inc 38,379198.4K $0.11 %
291Qualys Inc 2,256198.2K $0.11 %
292PJT Partners Inc 1,418198.1K $0.11 %
293ICU Medical Inc 1,534198.1K $0.11 %
294KB Home 3,817197.5K $0.10 %
295Chesapeake Utilities Corp 1,555196.5K $0.10 %
296Par Pacific Holdings Inc 3,123195.6K $0.10 %
297Standex International Corp 760193.7K $0.10 %
298OPENLANE Inc 6,622193K $0.10 %
299Sunrun Inc 14,156192K $0.10 %
300MGE Energy Inc 2,469190.8K $0.10 %

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Sector breakdown

  • Industrials 1.4 %
  • Technology 1.1 %
  • Materials 0.7 %
  • Communication 0.5 %
  • Unattributed 96.3 %

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 94.2 %
  • Bermuda 1.3 %
  • Cayman Islands 1.2 %
  • Canada 1.0 %
  • United Kingdom 0.4 %
  • Ireland 0.3 %
  • Marshall Islands 0.3 %
  • Puerto Rico 0.2 %
  • Switzerland 0.2 %
  • British Virgin Islands 0.2 %
  • Guernsey 0.1 %
  • Monaco 0.1 %
  • Other countries 0.4 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1United States1,577172.4M $94.25 %
2Bermuda192.3M $1.26 %
3Cayman Islands162.2M $1.18 %
4Canada171.9M $1.03 %
5United Kingdom7788.9K $0.43 %
6Ireland5586.8K $0.32 %
7Marshall Islands5515.1K $0.28 %
8Puerto Rico3437.6K $0.24 %
9Switzerland3312.8K $0.17 %
10British Virgin Islands4302.1K $0.17 %
11Guernsey3228.8K $0.13 %
12Monaco1211.4K $0.12 %
Cite this page

Titelia. "Holdings of Voya VACS Index Series SC Portfolio". https://titelia.com/en/funds/S000079414