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
40110X Genomics Inc 7,080150.3K $0.08 %
402Trustmark Corp 3,560150K $0.08 %
403Marex Group PLC 3,360149.8K $0.08 %
404Madison Square Garden Entertainment Corp 2,535149.3K $0.08 %
405RXO Inc 10,193149K $0.08 %
406Dyne Therapeutics Inc 8,219149K $0.08 %
407Alpha Metallurgical Resources Inc 725148.8K $0.08 %
408WaFd Inc 4,739148.8K $0.08 %
409First Bancorp/Southern Pines NC 2,640148.8K $0.08 %
410Perdoceo Education Corp 3,991148.5K $0.08 %
411Perpetua Resources Corp 5,279148.4K $0.08 %
412Bel Fuse Inc 746147.7K $0.08 %
413BancFirst Corp 1,360147.6K $0.08 %
414Centuri Holdings Inc 5,033147K $0.08 %
415Atlanta Braves Holdings Inc 3,440146.9K $0.08 %
416LeMaitre Vascular Inc 1,340146.3K $0.08 %
417Mercury General Corp 1,657146.1K $0.08 %
418Verra Mobility Corp 10,196145.7K $0.08 %
419Andersons Inc/The 2,029145.6K $0.08 %
420Beam Therapeutics Inc 6,100145.4K $0.08 %
421OneSpaWorld Holdings Ltd 6,319145K $0.08 %
422NBT Bancorp Inc 3,396144.6K $0.08 %
423Northwest Natural Holding Co 2,716144.5K $0.08 %
424Minerals Technologies Inc 2,028143.8K $0.08 %
425Tango Therapeutics Inc 6,863143.6K $0.08 %
426ABM Industries Inc 3,726143.5K $0.08 %
427Photronics Inc 3,540143.1K $0.08 %
428Oscar Health Inc 12,417142.4K $0.08 %
429Vita Coco Co Inc/The 2,963142K $0.08 %
430ImmunityBio Inc 18,502141.9K $0.08 %
431GEO Group Inc/The 8,424141.6K $0.08 %
432SiriusPoint Ltd 6,550141.1K $0.07 %
433Bancorp Inc/The 2,623140.9K $0.07 %
434Knowles Corp 5,444139.8K $0.07 %
435DNOW Inc 11,673139K $0.07 %
436Artisan Partners Asset Management Inc 3,803138.4K $0.07 %
437ArcBest Corp 1,406138.3K $0.07 %
438Huron Consulting Group Inc 1,084138.2K $0.07 %
439Bank of NT Butterfield & Son Ltd/The 2,632138.1K $0.07 %
440NetScout Systems Inc 4,335137.8K $0.07 %
441Vishay Intertechnology Inc 7,653137.8K $0.07 %
442Newmark Group Inc 9,160137.3K $0.07 %
443Banc of California Inc 7,810137.3K $0.07 %
444Immunome Inc 6,276137.3K $0.07 %
445Helios Technologies Inc 2,116136.9K $0.07 %
446Upstart Holdings Inc 5,336136.9K $0.07 %
447Customers Bancorp Inc 1,969136.7K $0.07 %
448BioCryst Pharmaceuticals Inc 14,342136.5K $0.07 %
449Chefs' Warehouse Inc/The 2,293136.3K $0.07 %
450First Busey Corp 5,387136.1K $0.07 %
451FB Financial Corp 2,618136K $0.07 %
452Cleanspark Inc 15,955135.8K $0.07 %
453Celldex Therapeutics Inc 4,280135.8K $0.07 %
454Kinetik Holdings Inc 2,799135.5K $0.07 %
455Edgewise Therapeutics Inc 4,292135.2K $0.07 %
456Green Brick Partners Inc 2,095135K $0.07 %
457Alarm.com Holdings Inc 3,086133.3K $0.07 %
458SPS Commerce Inc 2,394133.3K $0.07 %
459Hub Group Inc 3,689133K $0.07 %
460ADMA Biologics Inc 14,742132.8K $0.07 %
461Enterprise Financial Services Corp 2,447132.4K $0.07 %
462CSG Systems International Inc 1,655132.3K $0.07 %
463Talos Energy Inc 8,394132.3K $0.07 %
464HNI Corp 3,939131.5K $0.07 %
465Ambarella Inc 2,538130.6K $0.07 %
466Benchmark Electronics Inc 2,327130.5K $0.07 %
467Adaptive Biotechnologies Corp 9,382130.2K $0.07 %
468Legence Corp 2,303130K $0.07 %
469Capri Holdings Ltd 7,377130K $0.07 %
470National HealthCare Corp 812129.7K $0.07 %
471Warby Parker Inc 6,141129.4K $0.07 %
472Baldwin Insurance Group Inc/The 5,864128.7K $0.07 %
473Neogen Corp 13,813128.3K $0.07 %
474Dynex Capital Inc 10,052128.3K $0.07 %
475Astronics Corp 1,922128.3K $0.07 %
476Sable Offshore Corp 7,758128.2K $0.07 %
477Tenable Holdings Inc 7,559127.9K $0.07 %
478Braze Inc 5,411127.8K $0.07 %
479Banner Corp 2,100127.4K $0.07 %
480Rush Street Interactive Inc 5,837127K $0.07 %
481Veeco Instruments Inc 3,742126.7K $0.07 %
482ePlus Inc 1,683126.6K $0.07 %
483Intuitive Machines Inc 6,803126.3K $0.07 %
484Lionsgate Studios Corp 13,121125.8K $0.07 %
485National Vision Holdings Inc 4,855125.7K $0.07 %
486Agios Pharmaceuticals Inc 3,710125.5K $0.07 %
487Syndax Pharmaceuticals Inc 5,366125.3K $0.07 %
488H2O America 2,135125.3K $0.07 %
489CoreCivic Inc 6,615125.1K $0.07 %
490ACM Research Inc 3,173124.9K $0.07 %
491Rogers Corp 1,163124.8K $0.07 %
492Atkore Inc 2,103123.9K $0.07 %
493Pathward Financial Inc 1,386123.7K $0.07 %
494Insight Enterprises Inc 1,835123K $0.07 %
495Enerpac Tool Group Corp 3,364122.7K $0.07 %
496Central Garden & Pet Co 3,781122.6K $0.07 %
497Extreme Networks Inc 8,088122K $0.06 %
498EVERTEC Inc 4,275120.6K $0.06 %
499Immunovant Inc 4,844120.3K $0.06 %
500Kaiser Aluminum Corp 997120.1K $0.06 %

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Sector breakdown

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

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 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 are computed on the fund's equities only.

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