Form NPORT-P - Monthly Portfolio Investments Report on Form N-PORT (Public)
30 7월 2024 - 5:18AM
Edgar (US Regulatory)
PORTFOLIO
OF
INVESTMENTS
as
of
May
31,
2024
(unaudited)
Voya
Emerging
Markets
High
Dividend
Equity
Fund
Shares
RA
Value
Percentage
of
Net
Assets
COMMON
STOCK
:
93.2%
Brazil
:
2.8%
49,600
Banco
do
Brasil
SA
$
257,309
0.2
11,453
BB
Seguridade
Participacoes
SA
70,124
0.1
18,800
Caixa
Seguridade
Participacoes
S/A
52,488
0.1
29,400
CCR
SA
67,468
0.1
172,731
Cia
Siderurgica
Nacional
SA
431,589
0.4
135,521
Cosan
SA
354,101
0.3
41,800
JBS
S/A
230,139
0.2
13,900
Rumo
SA
52,176
0.0
38,664
Telefonica
Brasil
SA
323,323
0.3
113,419
TIM
SA/Brazil
343,655
0.3
70,671
Vale
SA
-
Foreign
849,387
0.8
3,031,759
2.8
Chile
:
0.5%
57,706
Cencosud
SA
108,364
0.1
165,391
(1)
Falabella
SA
501,032
0.4
609,396
0.5
China
:
23.9%
43,700
37
Interactive
Entertainment
Network
Technology
Group
Co.
Ltd.
-
Class
A
87,625
0.1
18,500
AAC
Technologies
Holdings,
Inc.
57,134
0.1
232,100
Alibaba
Group
Holding
Ltd.
2,266,349
2.1
14,700
Anhui
Gujing
Distillery
Co.
Ltd.
-
Class
B
228,386
0.2
6,818
Autohome,
Inc.,
ADR
193,631
0.2
699,000
AviChina
Industry
&
Technology
Co.
Ltd.
-
Class
H
317,171
0.3
1,468,000
Bank
of
China
Ltd.
-
Class
H
695,895
0.6
204,600
Bank
of
Jiangsu
Co.
Ltd.
-
Class
A
233,473
0.2
14,500
Beijing
Tiantan
Biological
Products
Corp.
Ltd.
-
Class
A
56,801
0.1
27,000
BYD
Co.
Ltd.
-
Class
H
757,601
0.7
73,900
By-health
Co.
Ltd.
-
Class
A
154,147
0.1
505,000
China
CITIC
Bank
Corp.
Ltd.
-
Class
H
308,864
0.3
800,000
China
Communications
Services
Corp.
Ltd.
-
Class
H
384,836
0.3
1,159,000
China
Construction
Bank
Corp.
-
Class
H
822,570
0.7
94,000
China
Longyuan
Power
Group
Corp.
Ltd.
-
Class
H
85,892
0.1
272,000
China
Minsheng
Banking
Corp.
Ltd.
-
Class
H
103,036
0.1
422,000
China
Oilfield
Services
Ltd.
-
Class
H
451,016
0.4
554,000
China
Railway
Group
Ltd.
-
Class
H
298,506
0.3
Shares
RA
Value
Percentage
of
Net
Assets
COMMON
STOCK:
(continued)
China
(continued)
68,599
China
Railway
Signal
&
Communication
Corp.
Ltd.
-
Class
A
$
51,979
0.0
157,500
(2)
China
Resources
Pharmaceutical
Group
Ltd.
116,820
0.1
73,100
China
State
Construction
Engineering
Corp.
Ltd.
-
Class
A
56,822
0.1
2,772,000
(2)
China
Tower
Corp.
Ltd.
-
Class
H
327,322
0.3
92,100
China
XD
Electric
Co.
Ltd.
-
Class
A
86,246
0.1
51,400
China
Yangtze
Power
Co.
Ltd.
-
Class
A
188,812
0.2
294,000
CMOC
Group
Ltd.
-
Class
H
272,001
0.2
141,500
COSCO
SHIPPING
Holdings
Co.
Ltd.
-
Class
H
236,949
0.2
75,360
CSPC
Pharmaceutical
Group
Ltd.
64,069
0.1
42,300
Dong-E-E-Jiao
Co.
Ltd.
-
Class
A
395,531
0.4
242,500
Fosun
International
Ltd.
136,222
0.1
185,500
Goldwind
Science
&
Technology
Co.
Ltd.
-
Class
A
199,670
0.2
136,000
Great
Wall
Motor
Co.
Ltd.
-
Class
H
235,432
0.2
212,100
GRG
Banking
Equipment
Co.
Ltd.
-
Class
A
315,518
0.3
620,000
Guangzhou
Automobile
Group
Co.
Ltd.
-
Class
H
258,295
0.2
144,600
(2)
Huatai
Securities
Co.
Ltd.
-
Class
H
165,005
0.1
28,200
Hubei
Jumpcan
Pharmaceutical
Co.
Ltd.
-
Class
A
148,306
0.1
256,592
Industrial
&
Commercial
Bank
of
China
Ltd.
-
Class
H
145,369
0.1
116,000
Inner
Mongolia
Yitai
Coal
Co.
Ltd.
-
Class
B
213,310
0.2
22,102
JD.com,
Inc.
-
Class
A
327,630
0.3
70,000
Jiangsu
Expressway
Co.
Ltd.
-
Class
H
72,869
0.1
32,499
Jiangsu
Zhongtian
Technology
Co.
Ltd.
-
Class
A
67,549
0.1
23,000
Jiangxi
Copper
Co.
Ltd.
-
Class
H
49,755
0.0
81,100
Joincare
Pharmaceutical
Group
Industry
Co.
Ltd.
-
Class
A
139,496
0.1
51,000
Jointown
Pharmaceutical
Group
Co.
Ltd.
-
Class
A
52,152
0.0
116,600
Kingsoft
Corp.
Ltd.
374,323
0.3
346,000
Lenovo
Group
Ltd.
498,416
0.5
20,800
Livzon
Pharmaceutical
Group,
Inc.
-
Class
A
111,152
0.1
PORTFOLIO
OF
INVESTMENTS
as
of
May
31,
2024
(unaudited)
(continued)
Voya
Emerging
Markets
High
Dividend
Equity
Fund
Shares
RA
Value
Percentage
of
Net
Assets
COMMON
STOCK:
(continued)
China
(continued)
7,300
Luzhou
Laojiao
Co.
Ltd.
-
Class
A
$
175,659
0.2
35,920
(1)(2)
Meituan
-
Class
B
489,453
0.4
23,400
MINISO
Group
Holding
Ltd.
132,093
0.1
17,600
NARI
Technology
Co.
Ltd.
-
Class
A
54,609
0.0
36,400
NetEase,
Inc.
647,330
0.6
22,800
(2)
Nongfu
Spring
Co.
Ltd.
-
Class
H
121,400
0.1
66,900
Offshore
Oil
Engineering
Co.
Ltd.
-
Class
A
56,772
0.1
1,119,000
People's
Insurance
Co.
Group
of
China
Ltd.
-
Class
H
389,993
0.4
528,000
PetroChina
Co.
Ltd.
-
Class
H
541,389
0.5
372,000
PICC
Property
&
Casualty
Co.
Ltd.
-
Class
H
484,779
0.4
105,000
Ping
An
Insurance
Group
Co.
of
China
Ltd.
-
Class
H
534,058
0.5
138,500
Shanghai
Baosight
Software
Co.
Ltd.
-
Class
B
301,368
0.3
817,600
Shanghai
Construction
Group
Co.
Ltd.
-
Class
A
262,986
0.2
211,900
Shanghai
Pharmaceuticals
Holding
Co.
Ltd.
-
Class
H
314,604
0.3
5,200
Shenzhen
Mindray
Bio-
Medical
Electronics
Co.
Ltd.
-
Class
A
208,150
0.2
7,400
Sieyuan
Electric
Co.
Ltd.
-
Class
A
72,007
0.1
82,800
Sinopharm
Group
Co.
Ltd.
-
Class
H
225,326
0.2
152,500
Sinotruk
Hong
Kong
Ltd.
354,673
0.3
27,900
TBEA
Co.
Ltd.
-
Class
A
57,494
0.1
102,700
Tencent
Holdings
Ltd.
4,764,622
4.3
113,600
Tian
Di
Science
&
Technology
Co.
Ltd.
-
Class
A
110,912
0.1
64,000
Tingyi
Cayman
Islands
Holding
Corp.
78,183
0.1
63,600
(1)
Tongcheng
Travel
Holdings
Ltd.
145,617
0.1
374,000
(2)
Topsports
International
Holdings
Ltd.
244,115
0.2
68,000
TravelSky
Technology
Ltd.
-
Class
H
89,569
0.1
23,609
Trina
Solar
Co.
Ltd.
-
Class
A
72,128
0.1
18,005
Vipshop
Holdings
Ltd.,
ADR
289,340
0.3
123,000
Weichai
Power
Co.
Ltd.
-
Class
H
220,949
0.2
94,500
Western
Mining
Co.
Ltd.
-
Class
A
242,944
0.2
3,700
Wuliangye
Yibin
Co.
Ltd.
-
Class
A
74,697
0.1
192,000
Xinyi
Solar
Holdings
Ltd.
127,053
0.1
Shares
RA
Value
Percentage
of
Net
Assets
COMMON
STOCK:
(continued)
China
(continued)
88,000
(2)
Yadea
Group
Holdings
Ltd.
$
140,797
0.1
39,000
Yankuang
Energy
Group
Co.
Ltd.
-
Class
H
97,477
0.1
9,420
YongXing
Special
Materials
Technology
Co.
Ltd.
-
Class
A
55,946
0.1
120,000
Yutong
Bus
Co.
Ltd.
-
Class
A
404,142
0.4
37,400
Zhejiang
Dahua
Technology
Co.
Ltd.
-
Class
A
84,740
0.1
412,000
Zhejiang
Expressway
Co.
Ltd.
-
Class
H
269,029
0.2
82,500
Zhuzhou
CRRC
Times
Electric
Co.
Ltd.
-
Class
H
323,095
0.3
52,800
(1)
ZTE
Corp.
-
Class
H
108,999
0.1
26,178,450
23.9
Colombia
:
0.3%
61,660
Interconexion
Electrica
SA
ESP
303,247
0.3
Czechia
:
0.1%
18,185
(2)
Moneta
Money
Bank
AS
79,645
0.1
Egypt
:
0.1%
188,718
Eastern
Co.
SAE
110,318
0.1
Greece
:
1.5%
237,145
(1)
Alpha
Services
and
Holdings
SA
400,763
0.4
143,811
(1)
Eurobank
Ergasias
Services
and
Holdings
SA
313,956
0.3
4,759
Jumbo
SA
136,323
0.1
21,721
OPAP
SA
345,275
0.3
46,364
(1)
Piraeus
Financial
Holdings
SA
182,143
0.2
21,767
(1)
Public
Power
Corp.
SA
265,581
0.2
1,644,041
1.5
Hong
Kong
:
1.1%
17,500
Beijing
Enterprises
Holdings
Ltd.
61,688
0.0
276,000
Bosideng
International
Holdings
Ltd.
159,699
0.1
155,500
China
Overseas
Land
&
Investment
Ltd.
294,681
0.3
48,000
China
Resources
Land
Ltd.
175,164
0.2
353,000
Far
East
Horizon
Ltd.
283,469
0.2
178,000
Geely
Automobile
Holdings
Ltd.
216,666
0.2
184,000
Sino
Biopharmaceutical
Ltd.
67,144
0.1
1,258,511
1.1
Hungary
:
0.7%
14,613
MOL
Hungarian
Oil
&
Gas
PLC
113,525
0.1
2,457
OTP
Bank
Nyrt
118,649
0.1
20,437
Richter
Gedeon
Nyrt
517,852
0.5
750,026
0.7
PORTFOLIO
OF
INVESTMENTS
as
of
May
31,
2024
(unaudited)
(continued)
Voya
Emerging
Markets
High
Dividend
Equity
Fund
Shares
RA
Value
Percentage
of
Net
Assets
COMMON
STOCK:
(continued)
India
:
17.5%
2,558
ABB
India
Ltd.
$
254,866
0.2
17,540
Adani
Ports
&
Special
Economic
Zone
Ltd.
302,649
0.3
1,799
Apollo
Hospitals
Enterprise
Ltd.
126,049
0.1
18,414
Aurobindo
Pharma
Ltd.
261,781
0.2
75,590
Axis
Bank
Ltd.
1,053,817
1.0
2,482
Bajaj
Auto
Ltd.
270,317
0.2
7,477
Bajaj
Finance
Ltd.
600,265
0.5
58,493
Bank
of
Baroda
186,132
0.2
10,401
Cholamandalam
Investment
and
Finance
Co.
Ltd.
154,844
0.1
8,768
Cipla
Ltd./India
152,309
0.1
10,956
Colgate-Palmolive
India
Ltd.
349,042
0.3
8,671
DLF
Ltd.
84,935
0.1
1,549
Dr
Reddy's
Laboratories
Ltd.
107,601
0.1
41,520
HCL
Technologies
Ltd.
660,081
0.6
28,306
HDFC
Bank
Ltd.
519,948
0.5
76,140
Hindalco
Industries
Ltd.
630,772
0.6
129,027
ICICI
Bank
Ltd.
1,734,258
1.6
19,399
IndusInd
Bank
Ltd.
340,114
0.3
19,748
Infosys
Ltd.
334,751
0.3
99,395
ITC
Ltd.
508,295
0.5
15,239
JSW
Steel
Ltd.
161,100
0.1
16,647
Kotak
Mahindra
Bank
Ltd.
335,671
0.3
25,679
Larsen
&
Toubro
Ltd.
1,130,134
1.0
4,862
Lupin
Ltd.
92,310
0.1
4,171
Maruti
Suzuki
India
Ltd.
620,614
0.6
180,154
Oil
&
Natural
Gas
Corp.
Ltd.
572,092
0.5
10,258
PI
Industries
Ltd.
435,639
0.4
113,803
Power
Finance
Corp.
Ltd.
672,978
0.6
177,055
Power
Grid
Corp.
of
India
Ltd.
658,820
0.6
97,487
REC
Ltd.
629,258
0.6
25,307
Reliance
Industries
Ltd.
868,180
0.8
76,366
Samvardhana
Motherson
International
Ltd.
138,904
0.1
19,942
Shriram
Finance
Ltd.
563,340
0.5
1,660
Supreme
Industries
Ltd.
105,212
0.1
25,479
Tata
Consultancy
Services
Ltd.
1,122,781
1.0
25,299
Tata
Motors
Ltd.
280,264
0.3
313,907
Tata
Steel
Ltd.
629,672
0.6
11,464
Torrent
Pharmaceuticals
Ltd.
370,749
0.3
158,094
Union
Bank
of
India
Ltd.
303,915
0.3
9,328
UPL
Ltd.
56,893
0.1
135,612
Vedanta
Ltd.
730,180
0.7
18,478
Wipro
Ltd.
97,041
0.1
19,208,573
17.5
Indonesia
:
0.7%
961,800
Aneka
Tambang
Tbk
86,817
0.1
93,400
Bank
Central
Asia
Tbk
PT
53,142
0.0
1,913,400
Bank
Rakyat
Indonesia
Persero
Tbk
PT
512,867
0.5
Shares
RA
Value
Percentage
of
Net
Assets
COMMON
STOCK:
(continued)
Indonesia
(continued)
226,200
Indah
Kiat
Pulp
&
Paper
Tbk
PT
$
127,008
0.1
779,834
0.7
Ireland
:
1.2%
8,669
(1)
PDD
Holdings,
Inc.,
ADR
1,298,443
1.2
Kuwait
:
0.2%
134,613
Mobile
Telecommunications
Co.
KSCP
198,244
0.2
Luxembourg
:
0.1%
5,514
Reinet
Investments
SCA
138,961
0.1
Malaysia
:
1.9%
368,300
CIMB
Group
Holdings
Bhd
536,242
0.5
379,500
Genting
Bhd
384,031
0.4
722,800
Genting
Malaysia
Bhd
407,686
0.4
21,800
Hong
Leong
Bank
Bhd
89,287
0.1
67,800
Malayan
Banking
Bhd
143,070
0.1
552,300
Public
Bank
Bhd
481,270
0.4
2,041,586
1.9
Mexico
:
2.4%
37,139
Arca
Continental
SAB
de
CV
380,726
0.3
34,500
(2)
Banco
del
Bajio
SA
119,463
0.1
10,100
Coca-Cola
Femsa
SAB
de
CV
94,324
0.1
313,478
Fibra
Uno
Administracion
SA
de
CV
443,431
0.4
12,400
Grupo
Financiero
Banorte
SAB
de
CV
-
Class
O
117,791
0.1
165,509
Kimberly-Clark
de
Mexico
SAB
de
CV
-
Class
A
348,060
0.3
158,262
Operadora
De
Sites
Mexicanos
SAB
de
CV
-
Class
1
163,985
0.2
38,363
Promotora
y
Operadora
de
Infraestructura
SAB
de
CV
421,311
0.4
153,614
Wal-Mart
de
Mexico
SAB
de
CV
577,190
0.5
2,666,281
2.4
Philippines
:
0.4%
222,300
Ayala
Land,
Inc.
99,969
0.1
215,220
Metropolitan
Bank
&
Trust
Co.
228,459
0.2
3,875
PLDT,
Inc.
98,011
0.1
426,439
0.4
Poland
:
0.6%
1,340
Bank
Polska
Kasa
Opieki
SA
54,578
0.0
47
L.P.
SA
207,588
0.2
32,842
Powszechny
Zaklad
Ubezpieczen
SA
417,981
0.4
680,147
0.6
Qatar
:
1.3%
67,568
Barwa
Real
Estate
Co.
52,467
0.0
165,139
Commercial
Bank
PSQC
175,979
0.2
610,998
Mesaieed
Petrochemical
Holding
Co.
290,722
0.3
PORTFOLIO
OF
INVESTMENTS
as
of
May
31,
2024
(unaudited)
(continued)
Voya
Emerging
Markets
High
Dividend
Equity
Fund
Shares
RA
Value
Percentage
of
Net
Assets
COMMON
STOCK:
(continued)
Qatar
(continued)
111,396
Ooredoo
QPSC
$
287,781
0.3
77,292
Qatar
Electricity
&
Water
Co.
QSC
318,775
0.3
54,471
Qatar
Islamic
Bank
SAQ
258,335
0.2
1,384,059
1.3
Russia
:
—%
354,185
(3)
Alrosa
PJSC
—
—
10,144,776
(3)
Inter
RAO
UES
PJSC
—
—
15,442
(3)
Lukoil
PJSC
—
—
9,459
(3)
Magnit
PJSC
—
—
116,758
(3)
Mobile
TeleSystems
PJSC
—
—
4,585
(1)(3)
Severstal
PAO
—
—
130,134
(3)
Surgutneftegas
PJSC
—
—
125,422
(3)
Tatneft
PJSC
—
—
—
—
Saudi
Arabia
:
2.4%
20,369
Arab
National
Bank
107,382
0.1
47,709
Etihad
Etisalat
Co.
597,394
0.5
24,577
Riyad
Bank
160,312
0.1
41,053
Sahara
International
Petrochemical
Co.
326,721
0.3
39,848
Saudi
Awwal
Bank
407,466
0.4
19,923
Saudi
Basic
Industries
Corp.
404,566
0.4
27,493
Saudi
Electricity
Co.
122,787
0.1
116,171
Saudi
Investment
Bank
387,629
0.4
15,408
Yanbu
National
Petrochemical
Co.
148,830
0.1
2,663,087
2.4
Singapore
:
0.4%
54,500
(2)
BOC
Aviation
Ltd.
404,850
0.4
South
Africa
:
2.1%
60,851
Absa
Group
Ltd.
483,212
0.4
26,851
Exxaro
Resources
Ltd.
260,128
0.2
160,442
FirstRand
Ltd.
556,627
0.5
30,166
Impala
Platinum
Holdings
Ltd.
155,396
0.1
959
Naspers
Ltd.
-
Class
N
190,105
0.2
5,345
Nedbank
Group
Ltd.
65,011
0.1
25,263
Sasol
Ltd.
167,847
0.2
11,280
Shoprite
Holdings
Ltd.
149,975
0.1
123,814
Sibanye
Stillwater
Ltd.
156,272
0.1
5,833
Standard
Bank
Group
Ltd.
55,723
0.1
27,448
Woolworths
Holdings
Ltd./
South
Africa
79,560
0.1
2,319,856
2.1
South
Korea
:
9.3%
1,924
Amorepacific
Corp.
270,262
0.2
1,254
CJ
CheilJedang
Corp.
317,553
0.3
4,507
DB
Insurance
Co.
Ltd.
337,788
0.3
1,373
Doosan
Bobcat,
Inc.
57,413
0.1
5,237
GS
Holdings
Corp.
165,340
0.1
9,330
Hankook
Tire
&
Technology
Co.
Ltd.
295,638
0.3
7,635
HD
Hyundai
Co.
Ltd.
380,496
0.3
4,006
(1)
HD
Korea
Shipbuilding
&
Offshore
Engineering
Co.
Ltd.
378,497
0.3
Shares
RA
Value
Percentage
of
Net
Assets
COMMON
STOCK:
(continued)
South
Korea
(continued)
3,107
Hyundai
Mobis
Co.
Ltd.
$
484,428
0.4
3,297
Hyundai
Motor
Co.
605,012
0.6
5,983
Hyundai
Steel
Co.
128,500
0.1
7,915
KB
Financial
Group,
Inc.
455,036
0.4
8,410
Kia
Corp.
717,846
0.7
7,853
Korea
Investment
Holdings
Co.
Ltd.
370,394
0.3
7,503
KT
Corp.
200,327
0.2
1,241
LG
Chem
Ltd.
317,173
0.3
4,940
LG
Electronics,
Inc.
375,755
0.3
434
LG
H&H
Co.
Ltd.
131,284
0.1
372
LG
Innotek
Co.
Ltd.
66,738
0.1
14,198
LG
Uplus
Corp.
99,153
0.1
1,862
NAVER
Corp.
230,514
0.2
40,162
NH
Investment
&
Securities
Co.
Ltd.
356,696
0.3
22,115
Samsung
Electronics
Co.
Ltd.
1,171,715
1.1
1,991
Samsung
Fire
&
Marine
Insurance
Co.
Ltd.
502,638
0.5
12,002
Shinhan
Financial
Group
Co.
Ltd.
411,748
0.4
5,300
SK
hynix,
Inc.
730,278
0.7
5,848
SK
Telecom
Co.
Ltd.
215,802
0.2
3,209
SK,
Inc.
409,870
0.4
10,183,894
9.3
Taiwan
:
17.1%
130,000
Acer,
Inc.
213,258
0.2
1,000
Alchip
Technologies
Ltd.
89,343
0.1
73,000
ASE
Technology
Holding
Co.
Ltd.
354,449
0.3
41,000
Asustek
Computer,
Inc.
652,735
0.6
77,000
Cheng
Shin
Rubber
Industry
Co.
Ltd.
144,930
0.1
143,000
China
Steel
Corp.
104,955
0.1
285,000
Compal
Electronics,
Inc.
327,278
0.3
48,000
Delta
Electronics,
Inc.
483,672
0.4
242,000
Hon
Hai
Precision
Industry
Co.
Ltd.
1,288,771
1.2
160,000
Inventec
Corp.
266,439
0.3
38,000
MediaTek,
Inc.
1,455,176
1.3
74,000
Micro-Star
International
Co.
Ltd.
439,572
0.4
11,000
Novatek
Microelectronics
Corp.
202,790
0.2
43,000
President
Chain
Store
Corp.
358,781
0.3
41,000
Quanta
Computer,
Inc.
348,352
0.3
22,000
Realtek
Semiconductor
Corp.
371,445
0.3
379,962
Taiwan
Semiconductor
Manufacturing
Co.
Ltd.
9,730,046
8.9
48,000
Uni-President
Enterprises
Corp.
118,671
0.1
486,000
United
Microelectronics
Corp.
827,379
0.8
26,000
Wistron
Corp.
90,570
0.1
2,000
Wiwynn
Corp.
153,069
0.1
322,000
Yuanta
Financial
Holding
Co.
Ltd.
315,550
0.3
PORTFOLIO
OF
INVESTMENTS
as
of
May
31,
2024
(unaudited)
(continued)
Voya
Emerging
Markets
High
Dividend
Equity
Fund
Shares
RA
Value
Percentage
of
Net
Assets
COMMON
STOCK:
(continued)
Taiwan
(continued)
114,000
Zhen
Ding
Technology
Holding
Ltd.
$
431,451
0.4
18,768,682
17.1
Thailand
:
2.2%
480,700
Bangkok
Dusit
Medical
Services
PCL
-
Class
F
353,095
0.3
31,100
Bumrungrad
Hospital
PCL
204,746
0.2
400,800
(1)
Charoen
Pokphand
Foods
PCL
248,424
0.2
465,400
Indorama
Ventures
PCL
-
Foreign
292,964
0.3
79,800
Kasikornbank
PCL
-
Foreign
284,596
0.2
428,900
Krung
Thai
Bank
PCL
200,767
0.2
19,300
PTT
Exploration
&
Production
PCL
81,156
0.1
436,600
PTT
Global
Chemical
PCL
413,672
0.4
135,100
SCB
X
PCL
-
Foreign
390,102
0.3
2,469,522
2.2
Turkey
:
0.2%
7,289
BIM
Birlesik
Magazalar
AS
108,578
0.1
11,863
KOC
Holding
AS
87,693
0.1
196,271
0.2
United
Arab
Emirates
:
2.2%
242,642
Abu
Dhabi
Commercial
Bank
PJSC
515,662
0.5
226,236
Aldar
Properties
PJSC
338,764
0.3
198,450
Dubai
Islamic
Bank
PJSC
298,238
0.3
314,292
Emaar
Properties
PJSC
655,443
0.6
134,772
Emirates
NBD
Bank
PJSC
570,563
0.5
2,378,670
2.2
Total
Common
Stock
(Cost
$92,056,897)
102,172,792
93.2
EXCHANGE-TRADED
FUNDS
:
1.5%
39,949
iShares
MSCI
Emerging
Markets
ETF
1,669,469
1.5
Total
Exchange-Traded
Funds
(Cost
$1,640,214)
1,669,469
1.5
PREFERRED
STOCK
:
4.2%
Brazil
:
1.7%
32,800
Centrais
Eletricas
Brasileiras
SA
245,427
0.2
321,409
Cia
Energetica
de
Minas
Gerais
609,043
0.6
129,875
Petroleo
Brasileiro
SA
961,157
0.9
1,815,627
1.7
South
Korea
:
2.5%
62,096
Samsung
Electronics
Co.
Ltd.
2,709,317
2.5
Total
Preferred
Stock
(Cost
$3,474,760)
4,524,944
4.2
Shares
RA
Value
Percentage
of
Net
Assets
PREFERRED
STOCK:
(continued)
South
Korea
(continued)
Total
Long-Term
Investments
(Cost
$97,171,871)
$
108,367,205
98.9
SHORT-TERM
INVESTMENTS
:
0.7%
Mutual
Funds
:
0.7%
800,000
(4)
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
(Institutional
Share
Class),
5.230%
(Cost
$800,000)
$
800,000
0.7
Total
Short-Term
Investments
(Cost
$800,000)
800,000
0.7
Total
Investments
in
Securities
(Cost
$97,971,871)
$
109,167,205
99.6
Assets
in
Excess
of
Other
Liabilities
482,655
0.4
Net
Assets
$
109,649,860
100.0
ADR
American
Depositary
Receipt
(1)
Non-income
producing
security.
(2)
Securities
with
purchases
pursuant
to
Rule
144A
or
section
4(a)(2),
under
the
Securities
Act
of
1933
and
may
not
be
resold
subject
to
that
rule
except
to
qualified
institutional
buyers.
(3)
For
fair
value
measurement
disclosure
purposes,
security
is
categorized
as
Level
3,
whose
value
was
determined
using
significant
unobservable
inputs.
(4)
Rate
shown
is
the
7-day
yield
as
of
May
31,
2024.
Sector
Diversification
Percentage
of
Net
Assets
Information
Technology
24.0
%
Financials
21.2
Consumer
Discretionary
12.1
Communication
Services
8.4
Materials
7.1
Industrials
7.0
Consumer
Staples
4.8
Energy
4.5
Health
Care
3.7
Utilities
2.6
Real
Estate
2.0
Exchange-Traded
Funds
1.5
Short-Term
Investments
0.7
Assets
in
Excess
of
Other
Liabilities
0.4
Net
Assets
100.0%
Portfolio
holdings
are
subject
to
change
daily.
PORTFOLIO
OF
INVESTMENTS
as
of
May
31,
2024
(unaudited)
(continued)
Voya
Emerging
Markets
High
Dividend
Equity
Fund
Fair
Value
Measurements
The
following
is
a
summary
of
the
fair
valuations
according
to
the
inputs
used
as
of
May
31,
2024
in
valuing
the
assets
and
liabilities:
Quoted
Prices
in
Active
Markets
for
Identical
Investments
(Level
1)
Significant
Other
Observable
Inputs
#
(Level
2)
Significant
Unobservable
Inputs
(Level
3)
Fair
Value
at
May
31,
2024
Asset
Table
Investments,
at
fair
value
Common
Stock
Brazil
$
3,031,759
$
—
$
—
$
3,031,759
Chile
609,396
—
—
609,396
China
671,783
25,506,667
—
26,178,450
Colombia
303,247
—
—
303,247
Czechia
—
79,645
—
79,645
Egypt
—
110,318
—
110,318
Greece
795,554
848,487
—
1,644,041
Hong
Kong
283,469
975,042
—
1,258,511
Hungary
631,377
118,649
—
750,026
India
—
19,208,573
—
19,208,573
Indonesia
—
779,834
—
779,834
Ireland
1,298,443
—
—
1,298,443
Kuwait
—
198,244
—
198,244
Luxembourg
138,961
—
—
138,961
Malaysia
—
2,041,586
—
2,041,586
Mexico
2,666,281
—
—
2,666,281
Philippines
—
426,439
—
426,439
Poland
—
680,147
—
680,147
Qatar
175,979
1,208,080
—
1,384,059
Russia
—
—
—
—
Saudi
Arabia
326,721
2,336,366
—
2,663,087
Singapore
—
404,850
—
404,850
South
Africa
627,783
1,692,073
—
2,319,856
South
Korea
—
10,183,894
—
10,183,894
Taiwan
—
18,768,682
—
18,768,682
Thailand
—
2,469,522
—
2,469,522
Turkey
196,271
—
—
196,271
United
Arab
Emirates
1,863,008
515,662
—
2,378,670
Total
Common
Stock
13,620,032
88,552,760
—
102,172,792
Exchange-Traded
Funds
1,669,469
—
—
1,669,469
Preferred
Stock
1,815,627
2,709,317
—
4,524,944
Short-Term
Investments
800,000
—
—
800,000
Total
Investments,
at
fair
value
$
17,905,128
$
91,262,077
$
—
$
109,167,205
Liabilities
Table
Other
Financial
Instruments+
Written
Options
$
—
$
(188,455)
$
—
$
(188,455)
Total
Liabilities
$
—
$
(188,455)
$
—
$
(188,455)
#
The
earlier
close
of
the
foreign
markets
gives
rise
to
the
possibility
that
significant
events,
including
broad
market
moves,
may
have
occurred
in
the
interim
and
may
materially
affect
the
value
of
those
securities.
To
account
for
this,
the
Fund
may
frequently
value
many
of
its
foreign
equity
securities
using
fair
value
prices
based
on
third
party
vendor
modeling
tools
to
the
extent
available.
Accordingly,
a
portion
of
the
Fund’s
investments
are
categorized
as
Level
2
investments.
+
Other
Financial
Instruments
may
include
open
forward
foreign
currency
contracts,
futures,
centrally
cleared
swaps,
OTC
swaps
and
written
options.
Forward
foreign
currency
contracts,
futures
and
centrally
cleared
swaps
are
fair
valued
at
the
unrealized
appreciation
(depreciation)
on
the
instrument.
OTC
swaps
and
written
options
are
valued
at
the
fair
value
of
the
instrument.
PORTFOLIO
OF
INVESTMENTS
as
of
May
31,
2024
(unaudited)
(continued)
Voya
Emerging
Markets
High
Dividend
Equity
Fund
At
May
31,
2024,
the
following
OTC
written
equity
options
were
outstanding
for
Voya
Emerging
Markets
High
Dividend
Equity
Fund:
Description
Counterparty
Put/
Call
Expiration
Date
Exercise
Price
Number
of
Contracts
Notional
Amount
Premiums
Received
Fair
Value
iShares
MSCI
Emerging
Markets
ETF
Bank
of
America
N.A.
Call
06/21/24
USD
43.790
255,766
USD
10,688,461
$
165,762
$
(9,149)
iShares
MSCI
Emerging
Markets
ETF
JPMorgan
Chase
Bank
N.A.
Call
07/05/24
USD
41.790
263,221
USD
11,000,006
179,306
(179,306)
$
345,068
$
(188,455)
Currency
Abbreviations:
USD
—
United
States
Dollar
Net
unrealized
appreciation
consisted
of:
Gross
Unrealized
Appreciation
$
22,328,305
Gross
Unrealized
Depreciation
(11,132,970)
Net
Unrealized
Appreciation
$
11,195,335
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