Titelia

Holdings of Voya VACS Index Series S Portfolio

Voya Investors Trust · Original filing · Compare with another fund · Report an error

Net assets
4B $ including 3.9B $ in equities, 97.3 %
Positions
503 in 4 countries
Top ten
35.5 % of net assets
Filed on
Mar 31, 2026
Portfolio shape

Positions

RankCompanySharesValueWeight
101Corning Inc 55,0107.5M $0.18 %
102McKesson Corp 8,6307.5M $0.18 %
103Comcast Corp 252,8377.3M $0.18 %
104Starbucks Corp 80,2707.2M $0.18 %
105Duke Energy Corp 54,7947.2M $0.18 %
106Adobe Inc 28,9247M $0.17 %
107T-Mobile US Inc 33,3847M $0.17 %
108Crowdstrike Holdings Inc 17,7196.9M $0.17 %
109Equinix Inc 6,9236.8M $0.17 %
110Vertiv Holdings Co 26,9556.8M $0.17 %
111Sandisk Corp/DE 10,4006.6M $0.16 %
112Boston Scientific Corp 104,4936.6M $0.16 %
113Howmet Aerospace Inc 28,2506.5M $0.16 %
114Trane Technologies PLC 15,5956.5M $0.16 %
115Western Digital Corp 23,8886.5M $0.16 %
116CVS Health Corp 89,6276.4M $0.16 %
117Northrop Grumman Corp 9,4006.4M $0.16 %
118Intercontinental Exchange Inc 40,0146.3M $0.16 %
119Williams Cos Inc/The 86,0476.3M $0.15 %
120General Dynamics Corp 17,8826.1M $0.15 %
121Constellation Energy Corp. 21,9576.1M $0.15 %
122Blackstone Inc 52,7526.1M $0.15 %
123Seagate Technology Holdings PLC 15,3656M $0.15 %
124Waste Management Inc 26,1456M $0.15 %
125Freeport-McMoRan Inc 101,2656M $0.15 %
126PNC Financial Services Group Inc/The 28,4595.9M $0.15 %
127Marsh & McLennan Cos Inc 34,1115.9M $0.15 %
128Quanta Services Inc 10,5075.8M $0.14 %
129Automatic Data Processing Inc 28,3705.8M $0.14 %
130Bank of New York Mellon Corp/The 48,4935.8M $0.14 %
131US Bancorp 109,5255.7M $0.14 %
132American Tower Corp 32,9855.7M $0.14 %
133Johnson Controls International plc 43,1495.7M $0.14 %
134EOG Resources Inc 38,2315.5M $0.14 %
135Regeneron Pharmaceuticals, Inc. 7,1035.5M $0.14 %
136O'Reilly Automotive Inc 59,3215.5M $0.14 %
137FedEx Corp 15,2415.4M $0.13 %
138SLB Ltd 105,3605.4M $0.13 %
1393M Co 37,1115.4M $0.13 %
140CSX Corp 131,0245.4M $0.13 %
141Synopsys Inc 13,4805.3M $0.13 %
142Cadence Design Systems Inc 19,1795.3M $0.13 %
143Valero Energy Corp 21,4915.3M $0.13 %
144Cummins Inc 9,7355.2M $0.13 %
145HCA Healthcare Inc 11,0295.2M $0.13 %
146Sherwin-Williams Co/The 16,2445.2M $0.13 %
147Mondelez International Inc 90,3185.2M $0.13 %
148Emerson Electric Co. 39,5985.2M $0.13 %
149Phillips 66 28,3905.2M $0.13 %
150United Parcel Service Inc 52,0695.1M $0.13 %
151Marathon Petroleum Corp 20,7865.1M $0.13 %
152Marriott International Inc/MD 15,4975.1M $0.13 %
153Motorola Solutions Inc 11,6725.1M $0.13 %
154American Electric Power Co Inc 38,1095M $0.12 %
155CRH PLC 47,2275M $0.12 %
156Cigna Group/The 18,5645M $0.12 %
157Ross Stores Inc 22,7904.9M $0.12 %
158Hilton Worldwide Holdings Inc 16,1564.9M $0.12 %
159Aon PLC 15,1144.9M $0.12 %
160Royal Caribbean Cruises Ltd 17,7274.9M $0.12 %
161Colgate-Palmolive Co 56,7954.8M $0.12 %
162Illinois Tool Works Inc 18,4794.8M $0.12 %
163Warner Bros Discovery Inc 174,6274.8M $0.12 %
164Ecolab Inc 17,9614.8M $0.12 %
165General Motors Co 63,6934.7M $0.12 %
166Moody's Corp 10,8104.7M $0.12 %
167Kinder Morgan, Inc. 137,9454.6M $0.11 %
168TransDigm Group Inc 3,9764.6M $0.11 %
169Air Products and Chemicals Inc 15,6884.6M $0.11 %
170Elevance Health Inc 15,5514.6M $0.11 %
171L3Harris Technologies Inc 13,1604.5M $0.11 %
172Norfolk Southern Corp 15,8234.5M $0.11 %
173KKR & Co Inc 48,3654.5M $0.11 %
174Sempra 45,9884.5M $0.11 %
175Travelers Cos Inc/The 15,2364.4M $0.11 %
176NIKE Inc 83,9714.4M $0.11 %
177TE Connectivity PLC 20,6754.3M $0.11 %
178Cencora Inc 13,6894.3M $0.11 %
179PACCAR Inc 37,0194.3M $0.11 %
180Simon Property Group Inc 22,9154.3M $0.11 %
181Baker Hughes Co 69,6714.3M $0.11 %
182Digital Realty Trust Inc 22,7544.1M $0.10 %
183Truist Financial Corp 88,9534.1M $0.10 %
184Cintas Corp 23,9504.1M $0.10 %
185ONEOK Inc 44,3354M $0.10 %
186Corteva Inc 47,3864M $0.10 %
187Realty Income Corp 64,8164M $0.10 %
188DoorDash Inc 26,3404M $0.10 %
189AutoZone Inc 1,1673.9M $0.10 %
190Arthur J Gallagher & Co 18,1063.9M $0.10 %
191Target Corp 31,9053.9M $0.10 %
192Ciena Corp 9,9253.9M $0.10 %
193Robinhood Markets Inc 55,5203.8M $0.10 %
194Allstate Corp/The 18,3193.8M $0.09 %
195Targa Resources Corp 15,1253.8M $0.09 %
196Airbnb Inc 29,8453.8M $0.09 %
197Fastenal Co 80,9003.8M $0.09 %
198Monolithic Power Systems Inc 3,4323.8M $0.09 %
199Dominion Energy Inc 60,1663.7M $0.09 %
200Apollo Global Management Inc 32,7173.6M $0.09 %

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Sector breakdown

  • Technology 32.5 %
  • Financials 12.2 %
  • Communication 10.2 %
  • Consumer discretionary 9.7 %
  • Health care 9.2 %
  • Industrials 8.5 %
  • Consumer staples 5.0 %
  • Energy 3.2 %
  • Utilities 2.5 %
  • Materials 2.0 %
  • Real estate 1.5 %
  • Unattributed 3.4 %

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 99.6 %
  • Ireland 0.2 %
  • Netherlands 0.1 %
  • Bermuda 0.1 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1United States4983.9B $99.62 %
2Ireland27.6M $0.19 %
3Netherlands25M $0.13 %
4Bermuda12.4M $0.06 %
Cite this page

Titelia. "Holdings of Voya VACS Index Series S Portfolio". https://titelia.com/en/funds/S000079415