Investment Management

Voya GNMA Income Fund - Class A

Portfolio Management Team

Voya Investments, LLC

Investment Adviser

Voya Investments, LLC., serves as the investment adviser to each of the Funds. Voya Investments has overall responsibility for the management of the Funds. Voya Investments provides or oversees all investment advisory and portfolio management services for each Fund, and assists in managing and supervising all aspects of the general day-to-day business activities and operations of the Funds, including custodial, transfer agency, dividend disbursing, accounting, auditing, compliance and related services.

Voya Investment Management Co. LLC

Investment Sub-Adviser

Voya Investment Management Co. LLC (“Voya IM” or “Sub-Adviser”), a Delaware limited liability company, was founded in 1972 and is registered with the SEC as an investment adviser. Voya IM is an indirect, wholly-owned subsidiary of Voya Financial, Inc. and is an affiliate of the Adviser. Voya IM has acted as adviser or sub-adviser to mutual funds since 1994 and has managed institutional accounts since 1972. The principal office of Voya IM is located at 230 Park Avenue, New York, New York 10169. As of December 31, 2016, Voya IM managed approximately $86.4 billion in assets.

Jeff Dutra, CFA

Portfolio Manager

Managed Fund since 2009

Jeff Dutra, CFA

Jeff Dutra is a senior portfolio manager for Voya Investment Management, primarily responsible for the mortgage-backed securities/collateralized mortgage obligation portfolios. Previously, he ran the operations and accounting groups at the firm, responsible for financial derivatives and mortgage derivatives. Jeff received a BA in mathematics from the University of South Florida and an MBA from the University of Tampa. He holds the Chartered Financial Analyst® designation.

Justin McWhorter, CFA, CPA

Portfolio Manager

Managed Fund since 2009

Justin McWhorter, CFA, CPA

Justin McWhorter is a senior portfolio manager at Voya Investment Management with the majority of his investment experience specializing in agency mortgage-backed securities and collateralized mortgage obligations. Currently he manages several mortgage-only funds in addition to the agency mortgage sleeves of multi-sector fixed income products for Voya. Current and previous areas of focus include mortgage derivatives, agency debentures, mortgage repurchase agreements, dollar rolls, and the mortgage financing desk. He has earned his BS and MA from the University of Georgia and holds both the Chartered Financial Analyst® and Certified Public Accountant designations.

Peter Guan, PhD

Portfolio Manager

Managed Fund since 2009

Peter Guan, PhD

Peter Guan is the head of the mortgage derivatives group at Voya Investment Management, which manages a multi-billion dollar suite of mortgage derivatives products for affiliated and external clients. Before joining the firm, Peter worked at Citi Alternative Investment group, where he managed a portfolio of mortgage products while designing a platform and strategy for a mortgage hedge fund. Prior to Citi he worked at the Clinton Group, a New York-based hedge fund, in research, trading and portfolio management, including mortgage derivatives and other mortgage products. Peter received a BA in mathematics from Ocean University of China, an MS in computational finance from Carnegie Mellon University and a PhD in mathematics from the University of South Florida.

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