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
501Amprius Technologies Inc 7,121120.1K $0.06 %
502Strategic Education Inc 1,441119.5K $0.06 %
503Amneal Pharmaceuticals Inc 9,613119.5K $0.06 %
504DiamondRock Hospitality Co 12,673118.7K $0.06 %
505Oruka Therapeutics Inc 2,414118.4K $0.06 %
506BlackLine Inc 3,192118.1K $0.06 %
507Greif Inc 1,760118K $0.06 %
508Stock Yards Bancorp Inc 1,780118K $0.06 %
509Agilysys Inc 1,655117.7K $0.06 %
510Callaway Golf Co 8,453117.3K $0.06 %
511Goodyear Tire & Rubber Co/The 17,680117.2K $0.06 %
512Global Net Lease Inc 12,508117.1K $0.06 %
513Pediatrix Medical Group Inc 5,435116.3K $0.06 %
514First Commonwealth Financial Corp 6,596116K $0.06 %
515Diebold Nixdorf Inc 1,531115.5K $0.06 %
516Horace Mann Educators Corp 2,703115.4K $0.06 %
517DXP Enterprises Inc/TX 824115.1K $0.06 %
518Aurinia Pharmaceuticals Inc 7,758115K $0.06 %
519GRAIL Inc 2,220114.7K $0.06 %
520Pagseguro Digital Ltd 11,379114K $0.06 %
521Marriott Vacations Worldwide Corp 1,746113.7K $0.06 %
522Dave Inc 650113.2K $0.06 %
523Definium Therapeutics Inc 5,986113.1K $0.06 %
524Getty Realty Corp 3,530112.3K $0.06 %
525Innospec Inc 1,532111.9K $0.06 %
526OFG Bancorp 2,764111.8K $0.06 %
527Xometry Inc 2,738111.8K $0.06 %
528ARMOUR Residential REIT Inc 6,696111.7K $0.06 %
529Blue Bird Corp 1,965111.6K $0.06 %
530Cohen & Steers Inc 1,774111K $0.06 %
531CECO Environmental Corp 1,862110.9K $0.06 %
532Ducommun Inc 907110.7K $0.06 %
533Arcus Biosciences Inc 5,105110.3K $0.06 %
534Northwest Bancshares Inc 8,681110.2K $0.06 %
535Navitas Semiconductor Corp 12,530109.9K $0.06 %
536Digi International Inc 2,278109.8K $0.06 %
537Quaker Chemical Corp 883109.7K $0.06 %
538Six Flags Entertainment Corp 6,180109.7K $0.06 %
539Super Group SGHC Ltd 10,148109.6K $0.06 %
540Teekay Tankers Ltd 1,493109.5K $0.06 %
541Pitney Bowes Inc 9,899109.4K $0.06 %
542Addus HomeCare Corp 1,165109.1K $0.06 %
543Universal Technical Institute Inc 3,017108.9K $0.06 %
544Stewart Information Services Corp 1,768108.9K $0.06 %
545WisdomTree Inc 7,453108.5K $0.06 %
546LiveRamp Holdings Inc 4,090108.5K $0.06 %
547Magnite Inc 9,129108.5K $0.06 %
548Select Medical Holdings Corp 6,653108.4K $0.06 %
549Peloton Interactive Inc 25,262108.4K $0.06 %
550S&T Bancorp Inc 2,589108.3K $0.06 %
551Stellar Bancorp Inc 2,956108.2K $0.06 %
552A10 Networks Inc 4,672108K $0.06 %
553Alamo Group Inc 649107.1K $0.06 %
554Thermon Group Holdings Inc 2,124107K $0.06 %
555Worthington Enterprises Inc 2,052107K $0.06 %
556Sunstone Hotel Investors Inc 11,874107K $0.06 %
557LTC Properties Inc 2,876106.9K $0.06 %
558German American Bancorp Inc 2,552106.6K $0.06 %
559Vericel Corp 3,314106.6K $0.06 %
560City Holding Co 890106.4K $0.06 %
561Day One Biopharmaceuticals Inc 4,958106.3K $0.06 %
562Hillman Solutions Corp 12,756106.1K $0.06 %
563NuScale Power Corp 9,765105.9K $0.06 %
564Spectrum Brands Holdings Inc 1,436105.8K $0.06 %
565Ziff Davis Inc 2,513105.4K $0.06 %
566LendingClub Corp 7,352105.3K $0.06 %
567Werner Enterprises Inc 3,575105.1K $0.06 %
568ASGN Inc 2,708104.8K $0.06 %
569CorVel Corp 1,898103.7K $0.06 %
570Disc Medicine Inc 1,613103.1K $0.05 %
571Interparfums Inc 1,131102.7K $0.05 %
572O-I Glass Inc 9,773102.7K $0.05 %
573IMAX Corp 2,695102.4K $0.05 %
574Adient PLC 5,060102.3K $0.05 %
575TriCo Bancshares 2,149102.2K $0.05 %
576Soleno Therapeutics Inc 3,048102K $0.05 %
577Freshworks Inc 12,674101.8K $0.05 %
578Buckle Inc/The 2,016101.5K $0.05 %
579Ocular Therapeutix Inc 11,878100.6K $0.05 %
580Nurix Therapeutics Inc 6,451100K $0.05 %
581Viridian Therapeutics Inc 5,10199.8K $0.05 %
582Sonos Inc 7,44099.7K $0.05 %
583Skyward Specialty Insurance Group Inc 2,27899.5K $0.05 %
584Apollo Commercial Real Estate Finance, Inc. 9,42099.5K $0.05 %
585Century Communities Inc 1,73099.3K $0.05 %
586Hilltop Holdings Inc 2,76699.1K $0.05 %
587Encore Capital Group Inc 1,40898.7K $0.05 %
588Ichor Holdings Ltd 2,11498.5K $0.05 %
589Greenbrier Cos Inc/The 1,87198.5K $0.05 %
590John Wiley & Sons Inc 2,58098.3K $0.05 %
591Veris Residential Inc 5,20798.3K $0.05 %
592Marqeta Inc 24,05798.2K $0.05 %
593Acadian Asset Management Inc 1,79497.6K $0.05 %
594Stoke Therapeutics Inc 2,98897.3K $0.05 %
595HCI Group Inc 62997.2K $0.05 %
596QCR Holdings Inc 1,13897.2K $0.05 %
597Albany International Corp 1,86097.1K $0.05 %
598Comstock Resources Inc 4,60197K $0.05 %
599NextNav Inc 6,04296.8K $0.05 %
600Arbor Realty Trust Inc 12,55096.8K $0.05 %

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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