Investment Management

Prices & Performance

Past performance is no guarantee of future results. The performance quoted represents past performance. Investment return and principal value of an investment will fluctuate, and shares, when redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted.

Voya Global Equity Portfolio historical performance shown for Class I shares reflects the historical performance of Class S shares for those periods prior to the inception date of Class I (represented by italicized text). Historical performance of Class I shares likely would have been different based on difference in share class expense ratios.

Global and International Portfolios - Class I Shares

  Net Asset Value as of Aug 31, 2017 Expense Ratios
Cumulative Returns (%) Average Annual Total Returns (%)
Variable Portfolios YTD 1 MO 1 YR 3 YR 5 YR 10 YR Inception Gross Net
Voya Emerging Markets Index Portfolio +28.36 +2.37 +23.83 +1.85 +4.17 +4.80 (12/19/2011) 0.82% 0.55% f
VY Templeton Foreign Equity Portfolio +15.59 -1.35 +16.86 +1.45 +7.30 +1.90 +4.18 (01/03/2006) 0.96% 0.91% f

Fixed Income Portfolios - Class I Shares

  Net Asset Value as of Aug 31, 2017 Expense Ratios
Cumulative Returns (%) Average Annual Total Returns (%)
Variable Portfolios YTD 1 MO 1 YR 3 YR 5 YR 10 YR Inception Gross Net
Voya Global Bond Portfolio +9.20 +1.01 +4.90 +1.96 +1.92 +4.13 +4.34 (11/08/2004) 0.69% 0.63% f
Voya Intermediate Bond Portfolio +4.87 +0.82 +2.31 +3.47 +3.75 +4.77 +7.57 (05/23/1973) 0.54% 0.54% f
Voya Limited Maturity Bond Portfolio +1.48 +0.17 +1.32 +1.31 +1.22 +2.21 +2.52 (04/29/2005) 0.28% 0.28% f
VY BlackRock Inflation Protected Bond Portfolio +1.87 +0.74 +0.08 +0.14 -0.36 +3.51 +3.51 (04/30/2007) 0.56% 0.52% f

Index Plus Portfolios - Class I Shares

  Net Asset Value as of Aug 31, 2017 Expense Ratios
Cumulative Returns (%) Average Annual Total Returns (%)
Variable Portfolios YTD 1 MO 1 YR 3 YR 5 YR 10 YR Inception Gross Net
Voya Global Equity Portfolio +14.84 -0.19 +17.65 +4.83 +8.81 +3.06 (S - 01/28/2008) 0.61% 0.61% f

Domestic Equity Portfolios - Class I Shares

  Net Asset Value as of Aug 31, 2017 Expense Ratios
Cumulative Returns (%) Average Annual Total Returns (%)
Variable Portfolios YTD 1 MO 1 YR 3 YR 5 YR 10 YR Inception Gross Net
Voya Growth and Income Portfolio +11.84 +0.07 +16.04 +6.83 +12.14 +6.77 +10.38 (12/31/1979) 0.63% 0.58% f
Voya Large Cap Growth Portfolio +19.14 +2.03 +19.76 +11.09 +14.49 +11.02 +11.44 (05/02/2005) 0.67% 0.67% f
Voya Large Cap Value Portfolio +5.69 -1.48 +13.21 +5.18 +11.27 +5.94 +5.41 (05/11/2007) 0.75% 0.64% f
Voya MidCap Opportunities Portfolio +13.49 +0.08 +13.58 +8.43 +12.37 +9.56 +5.08 (05/05/2000) 0.78% 0.66% f
Voya Small Company Portfolio +1.42 -2.05 +11.72 +9.19 +13.80 +8.24 +10.16 (12/27/1996) 0.89% 0.89% f
Voya SmallCap Opportunities Portfolio +9.22 -0.94 +13.56 +8.24 +13.16 +8.98 +9.95 (05/06/1994) 0.88% 0.88% f

Specialty Portfolios - Class I Shares

  Net Asset Value as of Aug 31, 2017 Expense Ratios
Cumulative Returns (%) Average Annual Total Returns (%)
Variable Portfolios YTD 1 MO 1 YR 3 YR 5 YR 10 YR Inception Gross Net
Voya High Yield Portfolio +5.33 -0.18 +7.56 +4.69 +5.87 +7.67 +7.50 (04/29/2005) 0.49% 0.48% f
Voya U.S. Stock Index Portfolio +11.72 +0.27 +15.95 +9.24 +14.04 +7.34 +8.17 (05/03/2004) 0.27% 0.27% f

Target-Date Portfolios - Class I Shares

  Net Asset Value as of Aug 31, 2017 Expense Ratios
Cumulative Returns (%) Average Annual Total Returns (%)
Variable Portfolios YTD 1 MO 1 YR 3 YR 5 YR 10 YR Inception Gross Net
Voya Index Solution 2020 Portfolio +8.03 +0.42 +8.48 +4.72 +7.47 +9.07 (10/03/2011) 0.52% 0.39% f
Voya Index Solution 2025 Portfolio +9.41 +0.39 +10.40 +4.82 +8.37 +5.82 (03/10/2008) 0.46% 0.39% f
Voya Index Solution 2030 Portfolio +10.55 +0.29 +11.87 +5.55 +9.38 +11.31 (10/03/2011) 0.52% 0.39% f
Voya Index Solution 2035 Portfolio +11.32 +0.34 +13.32 +5.62 +10.03 +6.44 (03/10/2008) 0.45% 0.39% f
Voya Index Solution 2040 Portfolio +11.78 +0.25 +13.93 +5.77 +10.48 +12.73 (10/03/2011) 0.58% 0.39% f
Voya Index Solution 2045 Portfolio +12.26 +0.19 +14.32 +5.84 +10.74 +6.54 (03/10/2008) 0.43% 0.39% f
Voya Index Solution 2050 Portfolio +12.36 +0.19 +14.59 +5.98 +10.82 +12.98 (10/03/2011) 0.71% 0.39% f
Voya Index Solution 2055 Portfolio +12.62 +0.24 +14.69 +5.92 +10.82 +9.64 (03/08/2010) 0.44% 0.39% f
Voya Index Solution 2060 Portfolio +12.68 +0.26 +14.86 +7.31 (02/09/2015) 1.58% 0.39% f
Voya Index Solution Income Portfolio +6.48 +0.62 +5.74 +3.61 +5.37 +5.06 (03/10/2008) 0.46% 0.39% f
Voya Solution 2020 Portfolio +8.58 +0.46 +9.20 +5.21 +7.68 +9.60 (10/03/2011) 0.98% 0.72% f
Voya Solution 2025 Portfolio +10.15 +0.50 +11.06 +5.36 +8.34 +4.44 +5.69 (04/29/2005) 0.90% 0.78% f
Voya Solution 2030 Portfolio +11.16 +0.43 +12.67 +6.04 +9.53 +11.67 (10/03/2011) 1.12% 0.79% f
Voya Solution 2035 Portfolio +12.30 +0.41 +13.96 +5.88 +9.69 +4.78 +6.22 (04/29/2005) 0.95% 0.83% f
Voya Solution 2040 Portfolio +12.71 +0.35 +14.80 +6.38 +10.67 +13.05 (10/03/2011) 1.25% 0.83% f
Voya Solution 2045 Portfolio +12.95 +0.28 +15.06 +6.06 +10.46 +4.82 +6.49 (04/29/2005) 0.96% 0.86% f
Voya Solution 2050 Portfolio +13.23 +0.31 +15.24 +6.50 +10.93 +13.26 (10/03/2011) 1.43% 0.86% f
Voya Solution 2055 Portfolio +13.19 +0.29 +15.31 +6.16 +10.58 +9.56 (03/08/2010) 0.96% 0.86% f
Voya Solution 2060 Portfolio +13.37 +0.36 +15.47 +7.40 (02/09/2015) 2.18% 0.87% f
Voya Solution Aggressive Portfolio +13.19 +0.26 +15.69 +6.13 +9.65 (05/01/2013) 1.25% 0.89% f

Asset Allocation/Target-Risk Portfolios - Class I Shares

  Net Asset Value as of Aug 31, 2017 Expense Ratios
Cumulative Returns (%) Average Annual Total Returns (%)
Variable Portfolios YTD 1 MO 1 YR 3 YR 5 YR 10 YR Inception Gross Net
Voya Retirement Conservative Portfolio +5.28 +0.55 +4.13 +3.17 +4.31 +3.69 (10/31/2007) 0.66% 0.66% f
Voya Retirement Growth Portfolio +10.53 +0.23 +11.72 +5.13 +8.98 +4.19 +4.62 (04/28/2006) 0.64% 0.64% f
Voya Retirement Moderate Growth Portfolio +9.45 +0.33 +10.08 +4.90 +8.12 +4.52 +4.90 (04/28/2006) 0.64% 0.64% f
Voya Retirement Moderate Portfolio +7.97 +0.44 +7.69 +3.99 +6.28 +4.20 +4.55 (04/28/2006) 0.66% 0.66% f
Voya Solution Balanced Portfolio +9.17 +0.31 +10.70 +5.12 +8.20 +4.56 +4.22 (07/02/2007) 0.94% 0.80% f
Voya Solution Conservative Portfolio +5.30 +0.43 +5.30 +3.52 +4.83 +5.23 (04/30/2010) 0.89% 0.66% f
Voya Solution Income Portfolio +6.77 +0.66 +6.30 +3.94 +5.34 +4.53 +4.87 (04/29/2005) 0.81% 0.68% f
Voya Solution Moderately Aggressive Portfolio +11.03 +0.11 +12.74 +5.31 +9.51 +8.51 (04/30/2010) 0.93% 0.88% f
Voya Solution Moderately Conservative Portfolio +6.90 +0.35 +7.35 +4.23 +6.16 +4.44 +4.23 (07/02/2007) 0.90% 0.74% f

Real Estate Portfolios - Class I Shares

  Net Asset Value as of Aug 31, 2017 Expense Ratios
Cumulative Returns (%) Average Annual Total Returns (%)
Variable Portfolios YTD 1 MO 1 YR 3 YR 5 YR 10 YR Inception Gross Net
VY Clarion Global Real Estate Portfolio +6.41 +0.33 -1.42 +2.15 +6.23 +2.81 +4.98 (01/03/2006) 0.96% 0.89% f
VY Clarion Real Estate Portfolio +3.21 -0.08 -3.33 +6.11 +8.16 +6.08 +11.37 (05/19/2003) 0.85% 0.71% f

Footnotes

Footnotes can be viewed by clicking on the "f" indicator in the Net Expense Ratio column, or by viewing this page with all footnotes.

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