HoldingsChannel.com
Voya Investment Management LLC Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
MICROSOFT CORP 11,304,730 +553,136 $1,782,869
     MSFT11,304,730+553,136$1,782,869
AMAZON COM INC 682,744 +38,315 $1,331,160
     AMZN682,744+38,315$1,331,160
APPLE INC 4,637,139 -128,347 $1,179,178
     AAPL4,637,139-128,347$1,179,178
FACEBOOK INC 4,376,485 -131,451 $729,997
     FB4,376,485-131,451$729,997
ALPHABET INC 513,494 +25,187 $596,654
     GOOGL513,494+25,187$596,654
VISA INC 3,390,556 +28,571 $546,286
     V3,390,556+28,571$546,286
SCHWAB STRATEGIC TR 9,465,821 -1,656,913 $544,379
     SCHP9,465,821-1,656,913$544,379
MERCK & CO. INC 5,885,640 -1,421 $452,841
     MRK5,885,640-1,421$452,841
FISERV INC 4,725,387 +543,147 $448,864
     FISV4,725,387+543,147$448,864
INTUIT 1,685,138 +5,314 $387,581
     INTU1,685,138+5,314$387,581
JOHNSON & JOHNSON 2,844,380 -84,677 $372,984
     JNJ2,844,380-84,677$372,984
PROCTER & GAMBLE CO 3,081,987 +210,381 $339,019
     PG3,081,987+210,381$339,019
LAM RESEARCH CORP 1,395,624 +80,571 $334,950
     LRCX1,395,624+80,571$334,950
AMERICAN TOWER CORP NEW 1,479,207 -51,154 $322,098
     AMT1,479,207-51,154$322,098
PHILIP MORRIS INTL INC 4,345,699 -265,871 $317,062
     PM4,345,699-265,871$317,062
ADVANCED MICRO DEVICES INC 6,860,434 +448,228 $312,012
     AMD6,860,434+448,228$312,012
JPMORGAN CHASE & CO 3,359,481 -229,568 $302,455
     JPM3,359,481-229,568$302,455
ABBVIE INC 3,770,585 +524,524 $287,281
     ABBV3,770,585+524,524$287,281
ROPER TECHNOLOGIES INC 906,524 +93,417 $282,663
     ROP906,524+93,417$282,663
MOTOROLA SOLUTIONS INC 2,126,543 -298,728 $282,660
     MSI2,126,543-298,728$282,660
O REILLY AUTOMOTIVE INC NEW 911,647 -165,480 $274,452
     ORLY911,647-165,480$274,452
LILLY ELI & CO 1,976,754 -352,055 $274,216
     LLY1,976,754-352,055$274,216
ISHARES TR (LQD) 2,218,065 +2,218,065 $273,953
     LQD2,218,065+2,218,065$273,953
VERIZON COMMUNICATIONS INC 5,046,607 +2,885,812 $271,155
     VZ5,046,607+2,885,812$271,155
UNION PAC CORP 1,884,119 -17,765 $265,736
     UNP1,884,119-17,765$265,736
L3HARRIS TECHNOLOGIES INC 1,437,305 +250,592 $258,888
     LHX1,437,305+250,592$258,888
HUMANA INC 793,963 -18,388 $249,320
     HUM793,963-18,388$249,320
BERKSHIRE HATHAWAY INC DEL      $248,887
     BRK.B1,361,303-40,928$248,887
CHEVRON CORP NEW 3,403,567 +499,011 $246,623
     CVX3,403,567+499,011$246,623
VERTEX PHARMACEUTICALS INC 1,025,420 -28,399 $243,998
     VRTX1,025,420-28,399$243,998
BK OF AMERICA CORP 11,034,071 -1,479,473 $234,253
     BAC11,034,071-1,479,473$234,253
PROGRESSIVE CORP OHIO 3,079,706 +222,345 $227,406
     PGR3,079,706+222,345$227,406
CONSTELLATION BRANDS INC 1,553,801 +18,001 $222,753
     STZ1,553,801+18,001$222,753
BURLINGTON STORES INC 1,395,179 +508,579 $221,080
     BURL1,395,179+508,579$221,080
GLOBAL PMTS INC 1,522,349 +673,593 $219,568
     GPN1,522,349+673,593$219,568
AUTODESK INC 1,373,790 +1,281,042 $214,449
     ADSK1,373,790+1,281,042$214,449
TRANE TECHNOLOGIES PLC 2,564,841 +2,564,841 $211,830
     TT2,564,841+2,564,841$211,830
AMETEK INC 2,825,427 -443,190 $203,487
     AME2,825,427-443,190$203,487
MONDELEZ INTL INC 3,990,594 -77,693 $199,848
     MDLZ3,990,594-77,693$199,848
S&P GLOBAL INC 811,103 +112,103 $198,760
     SPGI811,103+112,103$198,760
BOSTON SCIENTIFIC CORP 5,997,866 -986,775 $195,711
     BSX5,997,866-986,775$195,711
ADOBE INC 612,095 -8,633 $194,793
     ADBE612,095-8,633$194,793
CSX CORP 3,284,455 -534,352 $188,199
     CSX3,284,455-534,352$188,199
BAXTER INTL INC 2,241,412 -725,476 $181,980
     BAX2,241,412-725,476$181,980
BRISTOL MYERS SQUIBB CO      $169,474
     BMY3,038,062+412,312$169,341
     RIGHT 99 99 999934,959-542$133
DEXCOM INC 621,404 -499,087 $167,325
     DXCM621,404-499,087$167,325
DISNEY WALT CO 1,678,702 -115,331 $162,163
     DIS1,678,702-115,331$162,163
VANGUARD SCOTTSDALE FDS (VONG) 1,041,335 -94,728 $161,074
     VONG1,041,335-94,728$161,074
ALTICE USA INC 7,156,225 -2,006,314 $159,512
     ATUS7,156,225-2,006,314$159,512
CDW CORP 1,685,521 +77,036 $157,209
     CDW1,685,521+77,036$157,209

See Full List: All Stocks Held By Voya Investment Management LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Voya Investment Management LLC

Size ($ in 1000's)
At 03/31/2020: $37,170,278
At 12/31/2019: $48,379,007

Combined Holding Report Includes:
Voya Investment Management LLC
Voya Investment Management Co. LLC
Voya Investment Trust Co.
Voya Investments LLC
Voya Financial Inc

Voya Investment Management LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Voya Investment Management LLC 13F filings. Link to 13F filings: SEC filings

Voya Investment Management LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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