CIK 1068837
VOYA INVESTMENT MANAGEMENT LLC
Institutional 13F holdings & portfolio
Holdings
2,408
Portfolio Value
$1M+
Latest Report
Dec 31, 2025
Report Periods
4
Holdings
13F filings as of Dec 31, 2025 · Showing 1901–1950 of 2,408
| Ticker | Company | Shares | Value | Type |
|---|---|---|---|---|
| NTAP | NETAPP INC | 2K | $100K–$500K | SH |
| GO | GROCERY OUTLET HLDG CORP | 17K | $100K–$500K | SH |
| AHCO | ADAPTHEALTH CORP | 17K | $100K–$500K | SH |
| CPSS | CONSUMER PORTFOLIO SVCS INC | 18K | $100K–$500K | SH |
| CPAY | CORPAY INC | 570 | $100K–$500K | SH |
| WRB | BERKLEY W R CORP | 2K | $100K–$500K | SH |
| PTC | PTC INC | 977 | $100K–$500K | SH |
| IP | INTERNATIONAL PAPER CO | 4K | $100K–$500K | SH |
| LH | LABCORP HOLDINGS INC | 676 | $100K–$500K | SH |
| ESRT | EMPIRE ST RLTY TR INC | 26K | $100K–$500K | SH |
| JAMF | JAMF HLDG CORP | 13K | $100K–$500K | SH |
| SBAC | SBA COMMUNICATIONS CORP NEW | 869 | $100K–$500K | SH |
| XRAY | DENTSPLY SIRONA INC | 15K | $100K–$500K | SH |
| GDDY | GODADDY INC | 1K | $100K–$500K | SH |
| NVR | NVR INC | 23 | $100K–$500K | SH |
| DRVN | DRIVEN BRANDS HLDGS INC | 11K | $100K–$500K | SH |
| ANAB | ANAPTYSBIO INC | 3K | $100K–$500K | SH |
| VRSN | VERISIGN INC | 680 | $100K–$500K | SH |
| SW | SMURFIT WESTROCK PLC | 4K | $100K–$500K | SH |
| GLDD | GREAT LAKES DREDGE & DOCK CO | 13K | $100K–$500K | SH |
| CHD | CHURCH & DWIGHT CO INC | 2K | $100K–$500K | SH |
| LFVN | LIFEVANTAGE CORP | 27K | $100K–$500K | SH |
| CDW | CDW CORP | 1K | $100K–$500K | SH |
| JBI | JANUS INTERNATIONAL GROUP IN | 25K | $100K–$500K | SH |
| NTLA | INTELLIA THERAPEUTICS INC | 18K | $100K–$500K | SH |
| WST | WEST PHARMACEUTICAL SVSC INC | 586 | $100K–$500K | SH |
| STZ | CONSTELLATION BRANDS INC | 1K | $100K–$500K | SH |
| TYL | TYLER TECHNOLOGIES INC | 351 | $100K–$500K | SH |
| VTYX | VENTYX BIOSCIENCES INC | 17K | $100K–$500K | SH |
| PENN | PENN ENTERTAINMENT INC | 11K | $100K–$500K | SH |
| URGN | UROGEN PHARMA LTD | 7K | $100K–$500K | SH |
| IART | INTEGRA LIFESCIENCES HLDGS C | 13K | $100K–$500K | SH |
| AMCR | AMCOR PLC | 19K | $100K–$500K | SH |
| KEY | KEYCORP | 8K | $100K–$500K | SH |
| TE | T1 ENERGY INC | 23K | $100K–$500K | SH |
| FUBO | FUBOTV INC | 61K | $100K–$500K | SH |
| AMPX | AMPRIUS TECHNOLOGIES INC | 19K | $100K–$500K | SH |
| BRSP | BRIGHTSPIRE CAPITAL INC | 27K | $100K–$500K | SH |
| PFG | PRINCIPAL FINANCIAL GROUP IN | 2K | $100K–$500K | SH |
| KURA | KURA ONCOLOGY INC | 15K | $100K–$500K | SH |
| MDXG | MIMEDX GROUP INC | 22K | $100K–$500K | SH |
| TRMB | TRIMBLE INC | 2K | $100K–$500K | SH |
| DEC | DIVERSIFIED ENERGY CO | 10K | $100K–$500K | SH |
| ALIT | ALIGHT INC | 78K | $100K–$500K | SH |
| PK | PARK HOTELS & RESORTS INC | 14K | $100K–$500K | SH |
| PKG | PACKAGING CORP AMER | 729 | $100K–$500K | SH |
| ESPR | ESPERION THERAPEUTICS INC NE | 41K | $100K–$500K | SH |
| FLO | FLOWERS FOODS INC | 14K | $100K–$500K | SH |
| RAPP | RAPPORT THERAPEUTICS INC | 5K | $100K–$500K | SH |
| CHTR | CHARTER COMMUNICATIONS INC N | 717 | $100K–$500K | SH |