VOYA INTERNATIONAL HIGH DIVIDEND LOW VOLATILITY FUND

VOYA INTERNATIONAL HIGH DIVIDEND LOW VOLATILITY FUND is a registered fund series of Voya Mutual Funds (series S000055623). Net assets $3.4M as of 2024-01-31.

Profile

Advisers

Top holdings (176 reported)

Showing 15 of 176 holdings by value.

HoldingTickerValue% of fund
Novartis AG$110K327.67%
Sanofi SA$68K202.03%
Allianz SE$68K200.54%
BP PLC$63K186.68%
HSBC Holdings PLC$61K180.33%
GSK PLC$56K166.11%
BHP Group Ltd$53K156.21%
Shell PLC$52K155.53%
Zurich Insurance Group AG$50K149.23%
Roche Holding AG$47K139.37%
British American Tobacco PLC$44K130.86%
Intesa Sanpaolo SpA$43K127.97%
National Grid PLC$42K124.47%
ANZ Group Holdings Ltd$41K121.34%
Takeda Pharmaceutical Co Ltd$38K113.35%

Net asset history

Report dateNet assets
2024-01-31$3.4M
2023-10-31$10.6M
2023-07-31$11.4M
2023-04-28$11.3M
2023-01-31$10.8M
2022-10-31$9.1M
2022-07-29$10.2M
2022-04-29$10.6M

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