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VOYA INVESTMENT MANAGEMENT CO

Changes: All | New | Increased | Decreased | Sold Out

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
Apple Inc. AAPLCommon1,891,501-114,049855,109,000-213,911,0002.43  Hist 03/31/2013
Walmart Inc. WMTCommon950,197-2,643,47671,056,000-174,140,0000.20  Hist 03/31/2013
ABBOTT LABORATORIES ABTCommon4,796,436-173,190166,004,000-159,507,0000.47  Hist 03/31/2013
iSHARES TRUST EEMMSCI EMERG MKT9,185-2,725,277392,000-120,881,0000.00  Hist 03/31/2013
ELI LILLY & Co LLYCommon552,355-2,017,75831,136,000-95,622,0000.09  Hist 03/31/2013
HARLEY-DAVIDSON, INC. HOGCommon867,018-1,887,54745,796,000-88,710,0000.130.38 Hist 03/31/2013
ANALOG DEVICES INC ADICommon905,895-2,113,22341,444,000-85,540,0000.12  Hist 03/31/2013
Travel & Leisure Co. WYNDCommon1,147,952-1,769,46373,516,000-81,720,0000.210.82 Hist 03/31/2013
US BANCORP \DE\ USBCommon2,065,881-2,638,44769,744,000-80,512,0000.200.11 Hist 03/31/2013
J M SMUCKER Co SJMCommon1,321,263-897,109128,572,000-62,741,0000.37  Hist 03/31/2013
BIOGEN INC. BIIBCommon116,675-443,53621,314,000-60,851,0000.06  Hist 03/31/2013
COCA-COLA REFRESHMENTS USA, INC. CCEcommon5,232,922-2,784,753194,090,000-60,311,0000.55  Hist 03/31/2013
GENERAL ELECTRIC CO GECommon9,329,870-3,683,443215,521,000-57,628,0000.61  Hist 03/31/2013
SBA COMMUNICATIONS CORP SBACCommon61,975-719,2134,480,000-50,969,0000.01  Hist 03/31/2013
Shell plc RDS.ASPONS ADR A512,336-674,30833,363,000-48,456,0000.09  Hist 03/31/2013
EASTMAN CHEMICAL CO EMNCommon2,455,982-716,573169,635,000-46,258,0000.48  Hist 03/31/2013
QUALCOMM INC/DE QCOMCommon1,915,244-785,450127,709,000-39,356,0000.36  Hist 03/31/2013
COOPER COMPANIES, INC. COOCommon321,111-466,88734,275,000-38,599,0000.10  Hist 03/31/2013
VERIZON COMMUNICATIONS INC VZCommon3,957,712-1,396,237193,690,000-37,975,0000.55  Hist 03/31/2013
DENBURY INC DNRCommon417,643-2,280,7917,931,000-35,783,0000.020.11 Hist 03/31/2013
Scripps Networks Interactive, Inc. SNICommon74,612-572,0784,773,000-32,684,0000.01  Hist 03/31/2013
REINSURANCE GROUP OF AMERICA INC RGACommon117,220-597,6706,913,000-31,347,0000.02  Hist 03/31/2013
ATI INC ATICommon89,663-1,007,8602,848,000-30,474,0000.01  Hist 03/31/2013
LABORATORY CORP OF AMERICA HOLDINGS LHCommon83,418-335,4597,437,000-28,846,0000.02  Hist 03/31/2013
PACKAGING CORP OF AMERICA PKGCommon1,132,917-888,40650,347,000-27,413,0000.14  Hist 03/31/2013
iSHARES TRUST IWDETF54,320-372,5854,398,000-26,689,0000.01  Hist 03/31/2013
UDR, Inc. UDRCommon217,883-1,104,3925,260,000-26,184,0000.01  Hist 03/31/2013
SUNTRUST BANKS INC STICommon828,290-929,01523,639,000-26,181,0000.07  Hist 03/31/2013
EOG RESOURCES INC EOGCommon1,865,371-326,626239,141,000-25,630,0000.68  Hist 03/31/2013
JUNIPER NETWORKS INC JNPRCommon6,011,788-868,940112,240,000-23,104,0000.32  Hist 03/31/2013
TECK RESOURCES LTD TCKCommon194,631-589,1765,508,000-22,983,0000.02  Hist 03/31/2013
MYLAN INC. MYLCommon346,214-847,0219,950,000-22,804,0000.03  Hist 03/31/2013
TRUIST FINANCIAL CORP BBTCommon346,283-677,45210,832,000-18,968,0000.03  Hist 03/31/2013
UNIVERSAL HEALTH SERVICES INC UHSCommon169,569-419,22010,916,000-17,552,0000.03  Hist 03/31/2013
Beam Suntory Inc. BEAMCOM798,942-277,61449,998,000-15,769,0000.14  Hist 03/31/2013
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