Voya Financial Advisors
WINDSOR, CTfiles as Voya Financial Advisors, Inc.
$1.1bn in 208 US stocks at the end of 30 June 2026. The top 10 are 75.6% of the money. It changed about 6.3% of the portfolio this quarter.
Value
$1.1bn
Stocks
208
Top 10 share
75.6%
Turnover
6.3%
What changed this quarter
New
Bought for the first time this quarter.
- Intercontinental ExchangeICE<0.1% of the fund
- Arthur J. GallagherAJG<0.1% of the fund
- Ishares TRIGV<0.1% of the fund
- Thermo Fisher ScientificTMO<0.1% of the fund
- Otis WorldwideOTIS<0.1% of the fund
- Spdr Index SHS FDSSPEM<0.1% of the fund
- Dominos PizzaDPZ<0.1% of the fund
- AmphenolAPH<0.1% of the fund
- DatadogDDOG<0.1% of the fund
- Arista NetworksANET<0.1% of the fund
- Carrier GlobalCARR<0.1% of the fund
- HeicoHEI-A<0.1% of the fund
- NXP SemiconductorsNXPI<0.1% of the fund
- PoolPOOL<0.1% of the fund
- Cadence Design SystemsCDNS<0.1% of the fund
- Viking HoldingsVIK<0.1% of the fund
Added
Bought more of a stock they already held.
- Vanguard Index FDSVV23.5% of the fund+8%
- Vanguard BD Index FDSBND16.0% of the fund+14%
- Vanguard Intl Equity Index FVEU12.2% of the fund+13%
- Spdr Series TrustSPTL3.8% of the fund+3%
- Vanguard BD Index FDSBSV3.5% of the fund+15%
- Ishares TRHYG1.5% of the fund+23%
- Vanguard Whitehall FDSVYM1.1% of the fund+14%
- Vanguard Intl Equity Index FVSS0.9% of the fund+96%
- Lockheed MartinLMT0.4% of the fund+3%
- Booking HoldingsBKNG0.4% of the fund+29%
- Elevance HealthELV0.3% of the fund+12%
- Ishares TRMBB0.3% of the fund+42%
- Vanguard Intl Equity Index FVWO0.3% of the fund+21%
- Ishares TRTLT0.2% of the fund+19%
- Spdr Series TrustSPYG0.2% of the fund+19%
- Spdr Series TrustPSK0.2% of the fund+20%
- Ishares TRIGIB0.2% of the fund+43%
- Vanguard Tax-Managed FDSVEA0.2% of the fund+4%
- Spdr Index SHS FDSSPDW0.1% of the fund+6%
- S&P GlobalSPGI<0.1% of the fund+58%
- Uber TechnologiesUBER<0.1% of the fund+37%
- Fidelity National Information ServicesFIS<0.1% of the fund+21%
- AccentureACN<0.1% of the fund+169%
- DexcomDXCM<0.1% of the fund+9%
- StrykerSYK<0.1% of the fund+122%
Cut
Sold some of their stake.
- Ishares TRIVV3.4% of the fund-5%
- Ishares TRIJR3.2% of the fund-8%
- Vanguard Index FDSVXF3.1% of the fund-21%
- Ishares TRIJH3.1% of the fund-6%
- ExxonMobil HoldingsXOM0.7% of the fund-11%
- Applied MaterialsAMAT0.6% of the fund-18%
- MicrosoftMSFT0.6% of the fund-9%
- Amazon.comAMZN0.5% of the fund-10%
- AlphabetGOOGL0.5% of the fund-18%
- JPMorgan ChaseJPM0.4% of the fund-15%
- Philip Morris InternationalPM0.4% of the fund-12%
- Vanguard Index FDSVNQ0.4% of the fund-17%
- Charles SchwabSCHW0.4% of the fund-6%
- Meta PlatformsMETA0.4% of the fund-7%
- Taiwan Semiconductor ManufacturingTSM0.4% of the fund-13%
- AlphabetGOOG0.3% of the fund-18%
- NvidiaNVDA0.3% of the fund-18%
- Wells Fargo & CompanyWFC0.3% of the fund-12%
- Berkshire HathawayBRK-B0.3% of the fund-7%
- Iqvia HoldingsIQV0.3% of the fund-6%
- Analog DevicesADI0.2% of the fund-21%
- Becton DickinsonBDX0.2% of the fund-2%
- MedtronicMDT0.2% of the fund-3%
- EnbridgeENB0.2% of the fund-7%
- Omnicom GroupOMC0.2% of the fund-7%
Sold out
Sold their entire stake.
- DiageoDEO-100%
- Ishares TRIGSB-100%
- WatersWAT-100%
- Costar GroupCSGP-100%
- Delta Air LinesDAL-100%
- YUM BrandsYUM-100%
- Lowe's CompaniesLOW-100%
- DOWDOW-100%
- eBayEBAY-100%
- TotalEnergies SETTE-100%
- PultegroupPHM-100%
- SAP SESAP-100%
- Broadridge Financial SolutionsBR-100%
- SamsaraIOT-100%
- Brookfield Renewable EnergyBEP-100%
- Guidewire SoftwareGWRE-100%
- Hillman SolutionsHLMN-100%
Holdings
- Vanguard Index FDSVV
- Share
- 23.5%
- Value
- $267m
- Shares
- 783,877
+8%
- Vanguard BD Index FDSBND
- Share
- 16.0%
- Value
- $182m
- Shares
- 2,467,039
+14%
- Vanguard Intl Equity Index FVEU
- Share
- 12.2%
- Value
- $139m
- Shares
- 1,668,213
+13%
- Spdr Series TrustSPTL
- Share
- 3.8%
- Value
- $43m
- Shares
- 1,614,118
+3%
- Ishares TRUSIG
- Share
- 3.8%
- Value
- $43m
- Shares
- 826,967
Held
- Vanguard BD Index FDSBSV
- Share
- 3.5%
- Value
- $39m
- Shares
- 502,763
+15%
- Ishares TRIVV
- Share
- 3.4%
- Value
- $39m
- Shares
- 52,167
-5%
- Ishares TRIJR
- Share
- 3.2%
- Value
- $37m
- Shares
- 248,639
-8%
- Vanguard Index FDSVXF
- Share
- 3.1%
- Value
- $36m
- Shares
- 145,505
-21%
- Ishares TRIJH
- Share
- 3.1%
- Value
- $36m
- Shares
- 464,001
-6%
- Ishares TRHYG
- Share
- 1.5%
- Value
- $17m
- Shares
- 218,419
+23%
- Vanguard Whitehall FDSVYM
- Share
- 1.1%
- Value
- $12m
- Shares
- 76,113
+14%
- Vanguard Intl Equity Index FVSS
- Share
- 0.9%
- Value
- $10m
- Shares
- 67,996
+96%
- Vanguard Index FDSVNQ
- Share
- 0.4%
- Value
- $5m
- Shares
- 47,161
-17%
- Vanguard Index FDSVTI
- Share
- 0.4%
- Value
- $4m
- Shares
- 11,091
Held
- Ishares TRMBB
- Share
- 0.3%
- Value
- $3m
- Shares
- 36,816
+42%
- Vanguard Intl Equity Index FVWO
- Share
- 0.3%
- Value
- $3m
- Shares
- 52,467
+21%
- Ishares TRTLT
- Share
- 0.2%
- Value
- $3m
- Shares
- 31,010
+19%
- Ishares TRAGG
- Share
- 0.2%
- Value
- $3m
- Shares
- 25,648
Held
- Spdr Series TrustSPYG
- Share
- 0.2%
- Value
- $2m
- Shares
- 21,015
+19%
- Spdr Series TrustPSK
- Share
- 0.2%
- Value
- $2m
- Shares
- 67,137
+20%
- Ishares TRIGIB
- Share
- 0.2%
- Value
- $2m
- Shares
- 34,310
+43%
- Vanguard Tax-Managed FDSVEA
- Share
- 0.2%
- Value
- $2m
- Shares
- 24,959
+4%
- GSKGSK
- Share
- 0.1%
- Value
- $2m
- Shares
- 31,519
-6%
- Spdr Index SHS FDSSPDW
- Share
- 0.1%
- Value
- $2m
- Shares
- 31,515
+6%
- UnileverUL
- Share
- 0.1%
- Value
- $1m
- Shares
- 23,772
-11%
- Lloyds Banking GroupLYG
- Share
- 0.1%
- Value
- $1m
- Shares
- 241,490
-6%
- Ishares TRIEF
- Share
- 0.1%
- Value
- $1m
- Shares
- 12,879
-65%
- Select Sector Spdr TRXLV
- Share
- <0.1%
- Value
- $891,785
- Shares
- 5,548
-20%
| Company | Share of fund | Value | Shares | Change |
|---|---|---|---|---|
| Vanguard Index FDSVV | 23.5% | $267m | 783,877 | +8% |
| Vanguard BD Index FDSBND | 16.0% | $182m | 2,467,039 | +14% |
| Vanguard Intl Equity Index FVEU | 12.2% | $139m | 1,668,213 | +13% |
| Spdr Series TrustSPTL | 3.8% | $43m | 1,614,118 | +3% |
| Ishares TRUSIG | 3.8% | $43m | 826,967 | Held |
| Vanguard BD Index FDSBSV | 3.5% | $39m | 502,763 | +15% |
| Ishares TRIVV | 3.4% | $39m | 52,167 | -5% |
| Ishares TRIJR | 3.2% | $37m | 248,639 | -8% |
| Vanguard Index FDSVXF | 3.1% | $36m | 145,505 | -21% |
| Ishares TRIJH | 3.1% | $36m | 464,001 | -6% |
| Ishares TRHYG | 1.5% | $17m | 218,419 | +23% |
| Vanguard Whitehall FDSVYM | 1.1% | $12m | 76,113 | +14% |
| Vanguard Intl Equity Index FVSS | 0.9% | $10m | 67,996 | +96% |
| ExxonMobil HoldingsXOM | 0.7% | $8m | 61,839 | -11% |
| Applied MaterialsAMAT | 0.6% | $7m | 10,498 | -18% |
| MicrosoftMSFT | 0.6% | $7m | 18,004 | -9% |
| Amazon.comAMZN | 0.5% | $6m | 26,001 | -10% |
| AlphabetGOOGL | 0.5% | $6m | 16,153 | -18% |
| JPMorgan ChaseJPM | 0.4% | $5m | 14,585 | -15% |
| Philip Morris InternationalPM | 0.4% | $5m | 25,774 | -12% |
| Vanguard Index FDSVNQ | 0.4% | $5m | 47,161 | -17% |
| Charles SchwabSCHW | 0.4% | $5m | 49,992 | -6% |
| Meta PlatformsMETA | 0.4% | $4m | 7,606 | -7% |
| Lockheed MartinLMT | 0.4% | $4m | 8,377 | +3% |
| Taiwan Semiconductor ManufacturingTSM | 0.4% | $4m | 8,952 | -13% |
| Vanguard Index FDSVTI | 0.4% | $4m | 11,091 | Held |
| Booking HoldingsBKNG | 0.4% | $4m | 22,003 | +29% |
| VisaV | 0.3% | $4m | 11,338 | Held |
| Elevance HealthELV | 0.3% | $4m | 9,641 | +12% |
| AlphabetGOOG | 0.3% | $4m | 10,620 | -18% |
| Ishares TRMBB | 0.3% | $3m | 36,816 | +42% |
| NvidiaNVDA | 0.3% | $3m | 16,427 | -18% |
| Wells Fargo & CompanyWFC | 0.3% | $3m | 37,670 | -12% |
| Vanguard Intl Equity Index FVWO | 0.3% | $3m | 52,467 | +21% |
| Berkshire HathawayBRK-B | 0.3% | $3m | 5,895 | -7% |
| Iqvia HoldingsIQV | 0.3% | $3m | 15,003 | -6% |
| Ishares TRTLT | 0.2% | $3m | 31,010 | +19% |
| Analog DevicesADI | 0.2% | $3m | 6,551 | -21% |
| Ishares TRAGG | 0.2% | $3m | 25,648 | Held |
| Spdr Series TrustSPYG | 0.2% | $2m | 21,015 | +19% |
| Becton DickinsonBDX | 0.2% | $2m | 15,189 | -2% |
| MedtronicMDT | 0.2% | $2m | 28,582 | -3% |
| EnbridgeENB | 0.2% | $2m | 40,819 | -7% |
| Spdr Series TrustPSK | 0.2% | $2m | 67,137 | +20% |
| Omnicom GroupOMC | 0.2% | $2m | 27,761 | -7% |
| StarbucksSBUX | 0.2% | $2m | 19,401 | -36% |
| ComcastCMCSA | 0.2% | $2m | 82,366 | -9% |
| Air Products & ChemicalsAPD | 0.2% | $2m | 6,763 | -6% |
| Ishares TRIGIB | 0.2% | $2m | 34,310 | +43% |
| MastercardMA | 0.2% | $2m | 3,579 | -8% |
| General DynamicsGD | 0.2% | $2m | 5,111 | -10% |
| Vanguard Tax-Managed FDSVEA | 0.2% | $2m | 24,959 | +4% |
| Bank of New York MellonBNY | 0.2% | $2m | 12,195 | -23% |
| Walt DisneyDIS | 0.1% | $2m | 17,143 | -3% |
| GSKGSK | 0.1% | $2m | 31,519 | -6% |
| Spdr Index SHS FDSSPDW | 0.1% | $2m | 31,515 | +6% |
| Novartis AGNVS | 0.1% | $2m | 10,020 | -22% |
| ConocoPhillipsCOP | 0.1% | $2m | 14,752 | -10% |
| American TowerAMT | 0.1% | $2m | 8,944 | -7% |
| AppleAAPL | 0.1% | $1m | 5,288 | -20% |
| UnileverUL | 0.1% | $1m | 23,772 | -11% |
| BroadcomAVGO | 0.1% | $1m | 3,901 | -17% |
| Truist FinancialTFC | 0.1% | $1m | 28,372 | -11% |
| Lloyds Banking GroupLYG | 0.1% | $1m | 241,490 | -6% |
| AirbnbABNB | 0.1% | $1m | 9,403 | -4% |
| Duke EnergyDUK | 0.1% | $1m | 10,121 | -19% |
| QualcommQCOM | 0.1% | $1m | 6,776 | -19% |
| Coca-ColaKO | 0.1% | $1m | 15,320 | -7% |
| MascoMAS | 0.1% | $1m | 15,216 | -4% |
| Ishares TRIEF | 0.1% | $1m | 12,879 | -65% |
| SyscoSYY | 0.1% | $1m | 14,345 | -8% |
| RTXRTX | 0.1% | $1m | 6,171 | -15% |
| AmgenAMGN | <0.1% | $1m | 3,137 | -9% |
| EntergyETR | <0.1% | $1m | 9,491 | -20% |
| S&P GlobalSPGI | <0.1% | $1m | 2,688 | +58% |
| United Parcel ServiceUPS | <0.1% | $1m | 9,795 | -9% |
| Intercontinental ExchangeICE | <0.1% | $1m | 8,499 | New |
| Texas InstrumentsTXN | <0.1% | $1m | 3,639 | -11% |
| SalesforceCRM | <0.1% | $1m | 6,560 | -6% |
| WEC Energy GroupWEC | <0.1% | $1m | 8,720 | -5% |
| Genuine PartsGPC | <0.1% | $1m | 8,794 | -16% |
| BlackRockBLK | <0.1% | $1m | 1,074 | -6% |
| Uber TechnologiesUBER | <0.1% | $1m | 13,399 | +37% |
| Eli LillyLLY | <0.1% | $990,094 | 805 | -23% |
| MckessonMCK | <0.1% | $981,133 | 1,313 | -21% |
| Check Point Software TechnologiesCHKP | <0.1% | $976,968 | 7,587 | Held |
| Fidelity National Information ServicesFIS | <0.1% | $942,071 | 24,349 | +21% |
| CencoraCOR | <0.1% | $932,149 | 3,309 | -4% |
| Select Sector Spdr TRXLV | <0.1% | $891,785 | 5,548 | -20% |
| Huntington Ingalls IndustriesHII | <0.1% | $862,683 | 3,109 | -6% |
| AbbVieABBV | <0.1% | $862,111 | 3,390 | -18% |
| HeicoHEI | <0.1% | $855,424 | 2,441 | -24% |
| PfizerPFE | <0.1% | $849,355 | 34,853 | -9% |
| Verizon CommunicationsVZ | <0.1% | $839,951 | 19,048 | -7% |
| Cisco SystemsCSCO | <0.1% | $835,788 | 7,101 | -26% |
| Veeva SystemsVEEV | <0.1% | $831,265 | 4,718 | -13% |
| OracleORCL | <0.1% | $820,216 | 5,551 | -12% |
| AutodeskADSK | <0.1% | $808,684 | 4,142 | -18% |
| AccentureACN | <0.1% | $795,218 | 6,375 | +169% |
| DexcomDXCM | <0.1% | $785,316 | 11,222 | +9% |
Showing the largest 100 of 208.
Over time and by industry
Value over time
Jun '25
Dec '25
Jun '26
Value is up 14.6% since 30 June 2025.
Where the money is
Technology3.5%
Financial services2.9%
Health care2.4%
Media & telecom1.9%
Industrials1.8%
Retail & consumer1.5%
Energy1.2%
Everyday goods0.8%
Utilities0.6%
Materials0.3%
Real estate0.2%
Other83.0%
From the fund's 13F filings. They list US stocks and options only, 45 days after each quarter, and leave out cash, bonds, shorts and foreign shares.