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
701JetBlue Airways Corp 18,47481.7K $0.04 %
702Carter's Inc 2,28181.6K $0.04 %
703Healthcare Services Group Inc 4,38881.4K $0.04 %
704Smartstop Self Storage REIT Inc 2,67881.1K $0.04 %
705Tandem Diabetes Care Inc 4,23081.1K $0.04 %
706Mineralys Therapeutics Inc 2,98580.9K $0.04 %
707Ivanhoe Electric Inc / US 6,81380.5K $0.04 %
708Winmark Corp 18880.4K $0.04 %
709World Kinect Corp 3,48080.3K $0.04 %
710ICF International Inc 1,22980.2K $0.04 %
711TripAdvisor Inc 7,52580.2K $0.04 %
712Simply Good Foods Co/The 5,58780.2K $0.04 %
713Donnelley Financial Solutions Inc 1,69780K $0.04 %
714Tennant Co 1,19479.3K $0.04 %
715Two Harbors Investment Corp 6,93179.2K $0.04 %
716Harmony Biosciences Holdings Inc 2,82379.1K $0.04 %
717Cimpress PLC 1,08279K $0.04 %
718Enact Holdings Inc 1,93278.8K $0.04 %
719Peoples Bancorp Inc/OH 2,39578.7K $0.04 %
720Alphatec Holdings Inc 7,22878.6K $0.04 %
721Live Oak Bancshares Inc 2,37878.6K $0.04 %
722J & J Snack Foods Corp 98978.4K $0.04 %
723Ladder Capital Corp 8,01478.3K $0.04 %
724Monarch Casino & Resort Inc 81477.8K $0.04 %
725Lincoln Educational Services Corp 1,91177.7K $0.04 %
726Gibraltar Industries Inc 1,94777.6K $0.04 %
727Nordic American Tankers Ltd 13,21177.4K $0.04 %
728Nabors Industries Ltd 89877.3K $0.04 %
729Amylyx Pharmaceuticals Inc 5,54277K $0.04 %
730UMH Properties Inc 5,32476.8K $0.04 %
731Innodata Inc 1,98376.6K $0.04 %
732Tronox Holdings PLC 7,83876.6K $0.04 %
733AdaptHealth Corp 6,43476.6K $0.04 %
734Deluxe Corp 2,77976.5K $0.04 %
735Novavax Inc 9,30275.7K $0.04 %
736Merchants Bancorp/IN 1,76475.7K $0.04 %
737Tompkins Financial Corp 95975.6K $0.04 %
738GeneDx Holdings Corp 1,17775.6K $0.04 %
739Five9 Inc 4,95875.2K $0.04 %
740Great Lakes Dredge & Dock Corp 4,38574.5K $0.04 %
741Fidelis Insurance Holdings Ltd 3,90074.5K $0.04 %
742Community Trust Bancorp Inc 1,22774.5K $0.04 %
743Allegiant Travel Co 91874.4K $0.04 %
744PROG Holdings Inc 2,58874.2K $0.04 %
745Phibro Animal Health Corp 1,33874K $0.04 %
746NPK International Inc 5,08673.7K $0.04 %
747XPEL Inc 1,66573.7K $0.04 %
748Iovance Biotherapeutics Inc 20,93273.5K $0.04 %
749First Mid Bancshares Inc 1,78173.4K $0.04 %
750Univest Financial Corp 2,13873.2K $0.04 %
751Ellington Financial Inc 6,14472.8K $0.04 %
752Slide Insurance Holdings Inc 4,04472.8K $0.04 %
753Byline Bancorp Inc 2,30372.7K $0.04 %
754US Physical Therapy Inc 96972.6K $0.04 %
755Novocure Ltd 6,65072.5K $0.04 %
756Preferred Bank/Los Angeles CA 79371.9K $0.04 %
757CONMED Corp 2,03271.9K $0.04 %
758Safety Insurance Group Inc 98371.4K $0.04 %
759Stepan Co 1,41770.8K $0.04 %
760Tecnoglass Inc 1,58970.8K $0.04 %
761QuidelOrtho Corp 4,29370.5K $0.04 %
762TriNet Group Inc 1,93070.3K $0.04 %
763Harrow Inc 1,99470.3K $0.04 %
764Green Plains Inc 4,27270.3K $0.04 %
765PennyMac Mortgage Investment Trust 6,02570.3K $0.04 %
766Alkami Technology Inc 4,45269.8K $0.04 %
767Pennant Group Inc/The 2,28169.5K $0.04 %
768Perella Weinberg Partners 3,82569.5K $0.04 %
769PDF Solutions Inc 2,11969.3K $0.04 %
770Chimera Investment Corp 5,49368.9K $0.04 %
771Aehr Test Systems 1,85868.9K $0.04 %
772Shoals Technologies Group Inc 10,46868.9K $0.04 %
773Progress Software Corp 2,68568.9K $0.04 %
774CRA International Inc 42468.6K $0.04 %
775Voyager Technologies Inc 2,92468.4K $0.04 %
776Array Technologies Inc 9,44768.3K $0.04 %
777ProAssurance Corp 2,76268.3K $0.04 %
778Willdan Group Inc 88367.6K $0.04 %
779TriMas Corp 1,88067.6K $0.04 %
780C3.ai Inc 8,01067.4K $0.04 %
781CVR Energy Inc 2,00367.4K $0.04 %
782Trevi Therapeutics Inc 5,64767.4K $0.04 %
783AnaptysBio Inc 1,20766.9K $0.04 %
784OceanFirst Financial Corp 3,70966.9K $0.04 %
785Goosehead Insurance Inc 1,56766.8K $0.04 %
786Sonic Automotive Inc 97266.7K $0.04 %
787TETRA Technologies Inc 7,79666.4K $0.04 %
788MFA Financial Inc 6,92666.4K $0.04 %
789Papa John's International Inc 2,03966.1K $0.04 %
790RLJ Lodging Trust 8,90366.1K $0.04 %
791Harmonic Inc 7,33765.9K $0.04 %
792Southside Bancshares Inc 2,11865.8K $0.04 %
793Dole PLC 4,60565.8K $0.03 %
794USA TODAY Co Inc 9,33365.8K $0.03 %
795Worthington Steel Inc 2,16565.7K $0.03 %
796Coastal Financial Corp/WA 86365.7K $0.03 %
797GigaCloud Technology Inc 1,44765.7K $0.03 %
798United States Antimony Corp 7,51465.6K $0.03 %
799Douglas Dynamics Inc 1,55865.6K $0.03 %
800Astrana Health Inc 2,67365.5K $0.03 %

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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