Voya International High Dividend Low Volatility Portfolio - Class I

Class ADV: IFTAX
Class I: IFTIX
Class R6: VYRJX
Class S: IFTSX
Class S2: ITFEX
For more information call 1 (800) 334-3444
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Voya International High Dividend Low Volatility Portfolio

A fundamentally guided, quantitative-selection driven strategy providing risk-adjusted yield

Product Facts

Ticker SymbolIFTIX
CUSIP92914H492
Inception Date
Dividends Paid

About this Product

  • Actively managed international equity strategy designed to deliver excess returns and high-dividend income at lower levels of volatility relative to the overall market
  • Unique approach uses fundamentally driven sector-specific models to identify the most attractive stocks within each sector
  • Stock selection is model driven

Investment Objective

The Portfolio seeks maximum total return.

Performance

Calendar Year Returns %

Past performance is no guarantee of future results. Returns are shown in %. These figures are for the year ended December 31 of each year. They do not reflect sales charges and would be lower if they did. The bar chart above shows the Fund's annual returns and long-term performance, and illustrates the variability of the Fund’s returns.

Portfolio

Information provided is not a recommendation to buy or sell any security. Portfolio data is subject to daily change.

Distributions

Payment Frequency:

Ex-Date
Ex-Date:

Date on which a stock begins trading without the benefit of the dividend. Typically, a stock’s price moves up by the dollar amount of the dividend as the ex-dividend date approaches, then falls by the amount of the dividend after that date.

Payable Date
Payable Date:

Date on which a declared stock dividend or a bond interest payment is scheduled to be paid.

Record Date
Record Date:

Date on which a shareholder must officially own shares in order to be entitled to a dividend. After the date of record, the stock is said to be ex-dividend.

Amount
$0.000000
Totals: $0.000000

Investment Team

Disclosures

Principal Risks

All investing involves risks of fluctuating prices and the uncertainties of rates of return and yield inherent in investing. Foreign Investing does pose special risks including currency fluctuation, economic and political risks not found in investments that are solely domestic. Emerging Market stocks may be especially volatile. The Fund may use Derivatives, such as options and futures, which can be illiquid, may disproportionately increase losses and have a potentially large impact on Fund performance. Affiliated Funds Risk may subject Voya Investments to potential conflicts of interest in selecting Underlying Funds because fees paid to by some Underlying Funds are higher than fees paid by other Underlying Funds. May Allocate Assets to a fund or market that underperforms other asset classes. May invest in Underlying Funds that invest in Small- and Mid-Sized Companies, which may be more susceptible to greater price volatility than large companies. Other risks of the Fund include but are not limited to: Convertible Securities Risks; Market Trends Risks; Other Investment Companies Risks; Price Volatility Risks. Investors should consult the Funds' Prospectus and Statements of Additional Information for a more detailed discussion of the Funds' risks.

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