VOYA: Voya Financial, Inc.

Stock

About

Voya Financial, Inc. is a retirement, investment, and insurance company, which engages in the provision of financial services. It operates through the following segments: Retirement, Investment Management, and Employee Benefits. The Retirement segment offers tax-deferred, employer-sponsored retirement savings plans and administrative services. The Investment Management segment includes domestic and international fixed income, equity, multi-asset and alternative investment products and solutions. The Employee Benefits segment consists of stop loss, group life, voluntary employee-paid, and disability products to mid-sized and large businesses. The company was founded on April 7, 1999 and is headquartered in New York, NY.

Year Founded
1999
Employees
9,000
Sector
Financials
HQ Location
New York City, NY

Current Value

$80.21

1 Year Return

$9.74
13.82%

Key Details

Market Cap

$7.69B

P/E Ratio

12.72

1Y Stock Return

13.25%

1Y Revenue Growth

11.00%

Dividend Yield

1.64%

Price to Book

1.6

Strategies that include
VOYA

High risk

$14,000

Financial Sector

speculation
maximum growth

Double's Financial Sector Strategy invests in financial sector companies, including banks, insurance companies, and financial services firms. Providing exposure to the financial industry's performance, it plays a crucial role in diversified portfolios.

Top Sector

Financials

Top Holdings

Return

+12.69%

Expense Ratio

0.00%

Holdings

373

Medium risk

$33,000

US 1000

growth
balanced
growth income

This strategy tracks a market-cap-weighted index of the 1000-largest US companies. It offers broad exposure to the US equity market, encompassing a diverse range of sectors and industries. By investing in this fund, you gain access to the performance of large and well-established companies within the US economy.

Top Sector

Information Technology

Top Holdings

Return

+15.03%

Expense Ratio

0.00%

Holdings

995

Medium risk

$5,000

US Mid Cap

growth
balanced
growth income

This strategy tracks a market-cap-weighted index of mid-cap US companies. This strategy offers targeted exposure to the growth potential of mid-sized businesses within the US market. With a diversified portfolio of holdings, it provides investors with a comprehensive approach to capturing the mid-cap segment's performance.

Top Sector

Industrials

Top Holdings

Return

+11.00%

Expense Ratio

0.00%

Holdings

400

Create your own
strategy with

VOYA
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Stock's related to
VOYA

Correlated Stocks

NameCorrelationMarket CapReturn % (1 Year)Div Yield %
EQH69.61%$14.60B+65.31%1.98%
BHF61.77%$2.97B+0.52%0.00%
PRU61.25%$44.36B+32.25%5.15%
AMP59.98%$54.58B+61.67%1.03%
MET59.83%$57.21B+32.74%2.60%
PFG59.79%$19.25B+16.58%3.30%
FNB59.77%$5.89B+40.69%2.94%
ASB59.50%$3.95B+48.10%3.36%
PIPR58.92%$5.96B+121.67%0.73%
FBP58.75%$3.37B+37.39%3.01%
ONB58.36%$6.69B+43.24%2.68%
OCFC58.28%$1.18B+47.18%4.00%
JPM58.27%$684.38B+58.91%1.89%
LNC57.98%$5.82B+45.21%5.25%
IBOC57.91%$4.40B+55.95%1.88%
CNO57.84%$4.02B+51.36%1.60%
KMT57.65%$2.17B+21.08%2.88%
CADE57.57%$6.82B+53.20%2.64%
FRST57.40%$302.36M+21.93%3.29%
HWC57.35%$4.92B+42.32%2.46%

Uncorrelated Stocks

NameCorrelationMarket CapReturn % (1 Year)Div Yield %
FAT-0.12%$89.30M-11.53%10.73%
RDWR-0.15%$960.27M+53.82%0.00%
SYRS-0.31%$7.43M-90.46%0.00%
VHC-0.38%$19.06M-38.36%0.00%
TLPH-0.39%$11.41M+9.85%0.00%
NHTC-0.52%$61.83M+0.19%14.81%
DXCM0.53%$29.25B-31.28%0.00%
CYCN-0.60%$4.77M-16.19%0.00%
CLX-0.72%$20.81B+20.66%2.88%
EDSA0.76%$7.11M-21.79%0.00%
KMB-0.77%$45.22B+11.57%3.58%
NAPA-0.86%$1.63B+9.61%0.00%
ACRS-0.88%$327.87M+415.67%0.00%
ACHV0.89%$149.25M-17.65%0.00%
GAN-0.89%$83.39M+21.19%0.00%
BCAN-0.91%$72.87M-99.75%0.00%
API-0.98%$299.01M+33.12%0.00%
VSTA-1.02%$204.94M-39.33%0.00%
BEST1.02%$31.65M+3.88%0.00%
NTIC1.16%$132.27M+24.98%2.02%

Inversely Correlated Stocks

NameCorrelationMarket CapReturn % (1 Year)Div Yield %
HUSA-14.16%$16.69M-11.56%0.00%
SMCI-11.58%$16.55B-2.47%0.00%
CHD-11.24%$27.18B+19.50%1.03%
MAGN-11.11%$638.97M-3.42%0.00%
NOVA-10.76%$429.84M-67.33%0.00%
COR-9.98%$47.48B+21.20%0.86%
SMG-9.48%$4.24B+35.01%3.52%
ASPS-9.33%$22.36M-80.26%0.00%
K-8.90%$27.77B+52.50%2.79%
CPNG-8.83%$43.51B+49.69%0.00%
ALAB-8.68%$15.10B+164.39%0.00%
PG-8.20%$402.15B+14.14%2.33%
PULM-8.18%$19.83M+202.98%0.00%
TTEK-7.94%$10.90B+23.97%2.70%
INGR-7.93%$9.25B+37.70%2.22%
PPC-7.74%$12.38B+100.96%0.00%
BTCT-7.34%$42.61M+353.33%0.00%
CYD-7.29%$364.46M-2.94%4.26%
MCK-7.13%$78.15B+35.51%0.42%
VMEO-6.37%$1.07B+75.96%0.00%

ETF's related to
VOYA

News

SeekingAlpha

For Q3 2024, the Fidelity Select Financials Portfolio Fund gained 11.15%, matching the MSCI U.S. IMI Financials 5% Capped Linked Index. Click here to read the full commentary.

Yahoo

SCOTTSDALE, Ariz., November 16, 2024--Voya Investment Management, the asset management business of Voya Financial, Inc. (NYSE: VOYA), announced today the distributions on the common shares of five of its closed-end funds: Voya Global Advantage and Premium Opportunity Fund (NYSE: IGA), Voya Global Equity Dividend and Premium Opportunity Fund (NYSE: IGD), Voya Infrastructure, Industrials and Materials Fund (NYSE: IDE), Voya Asia Pacific High Dividend Equity Income Fund (NYSE: IAE), and Voya Emergi

Yahoo

SCOTTSDALE, Ariz., November 16, 2024--Voya Global Advantage and Premium Opportunity Fund (NYSE: IGA) and Voya Infrastructure, Industrials and Materials Fund (NYSE: IDE) (the "Funds") today announced important information concerning the Funds’ distributions declared in October 2024. This press release is issued as required by the Funds’ Managed Distribution Plan (the "Plan") and an exemptive order received from the U.S. Securities and Exchange Commission. The Board of Trustees has approved the im

Finnhub

STATEMENT AS OF SEPTEMBER 30, 2024 OF THE VOYA RETIREMENT INSURANCE AND ANNUITY COMPANY ASSETS ...

Finnhub

STATEMENT AS OF SEPTEMBER 30, 2024 OF THE RELIASTAR LIFE INSURANCE COMPANY ASSETS ...

Finnhub

STATEMENT AS OF SEPTEMBER 30, 2024 OF THE RELIASTAR LIFE INSURANCE COMPANY OF NEW YORK ASSETS ...

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