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VOYA INVESTMENT MANAGEMENT LLC

13F filer · CIK 1068837 · Atlanta, GA

Summary
VOYA INVESTMENT MANAGEMENT LLC reported $115.63B across 2,484 positions in its 13F for 2026 Q2, filed Aug 12, 2026. The largest holdings are NVDA (4.9%), AAPL (3.2%), GOOGL (2.8%). Versus 2026 Q1, leaving options aside, it opened 260 new positions, added to 1,383, trimmed 825 and sold out of 124.
Reported value$115.63B
Positions2,484
Report period2026 Q2
FiledAug 12, 2026
New positions260
Added1,383
Trimmed825
Sold out124

Top 25 holdings

By reported value, options listed separately · change vs 2026 Q1

Weight 4.9%Value $5.71BPrice $227.21Shares 28.58M -7.40%Since Jun 30 +13.62%
Weight 3.2%Value $3.67BPrice $329.40Shares 12.69M -19.42%Since Jun 30 +13.92%
Weight 2.8%Value $3.27BPrice $340.92Shares 9.16M -11.58%Since Jun 30 -4.49%
Weight 2.6%Value $2.97BPrice $355.10Shares 7.86M -10.59%Since Jun 30 -5.95%
Weight 2.3%Value $2.63BPrice $1065Shares 2.28M -9.67%Since Jun 30 -7.66%
Weight 2.1%Value $2.40BPrice $246.67Shares 10.07M +1.62%Since Jun 30 +3.60%
Weight 1.7%Value $1.94BPrice $508.96Shares 5.22M -24.20%Since Jun 30 +36.62%
Weight 1.4%Value $1.65BPrice $323.86Shares 3.80M -4.57%Since Jun 30 -25.19%
Weight 1.3%Value $1.47BPrice $826.64Shares 1.38M -3.00%Since Jun 30 -22.37%
Weight 1.2%Value $1.43BPrice $1185Shares 1.19M +4.94%Since Jun 30 -1.17%
Weight 1.2%Value $1.35BPrice $607.57Shares 2.33M +86.71%Since Jun 30 +4.73%
Weight 1.2%Value $1.34BPrice $46.09Shares 27.75M +10.08%Since Jun 30 -4.76%
Weight 1.1%Value $1.26BPrice $334.98Shares 3.86M +4.77%Since Jun 30 +2.43%
Weight 1.1%Value $1.22BPrice $352.84Shares 2.90M +1.72%Since Jun 30 -16.08%
Weight 1.0%Value $1.18BPrice $512.01Shares 1.63M -12.78%Since Jun 30 -29.18%
Weight 1.0%Value $1.17BPrice $456.94Shares 2.46M -9.91%Since Jun 30 -4.27%
Weight 0.9%Value $1.06BPrice $337.32Shares 3.00M +50.00%Since Jun 30 -4.53%
Weight 0.9%Value $1.01BPrice $374.94Shares 2.42M +298.86%Since Jun 30 -9.78%
Weight 0.9%Value $1.00BPrice $738.79Shares 1.78M -12.84%Since Jun 30 +31.27%
Weight 0.8%Value $966.37MPrice $113.83Shares 5.96M +0.67%Since Jun 30 -29.76%
Weight 0.8%Value $960.15MPrice $1730Shares 423K -29.30%Since Jun 30 -23.86%
Weight 0.8%Value $902.06MPrice $192.76Shares 4.32M +197.19%Since Jun 30 -7.79%
Weight 0.8%Value $901.92MPrice $262.74Shares 1.18M -4.99%Since Jun 30 -65.54%
Weight 0.8%Value $895.16MPrice $292.21Shares 2.27M +1.78%Since Jun 30 -25.89%
Weight 0.7%Value $837.43MPrice $962.49Shares 713K -1.73%Since Jun 30 -18.08%

Weight is the share of the reported 13F value, including options at notional value. “Since Jun 30” compares the latest close with the quarter-end price implied by the filing (value ÷ shares).

Largest buys in 2026 Q2

ALPHABET INCNo ticker match≈ $761.75MNew
ALPHABET INCNo ticker match≈ $632.88MNew
MSMSMORGAN STANLEY≈ $598.52MAdd

Largest sells in 2026 Q2

AAPLAAPLAPPLE INC≈ $775.08MTrim
MSFTMSFTMICROSOFT CORP≈ $616.19MTrim
NFLXNFLXNETFLIX INC.≈ $413.55MTrim
NVDANVDANVIDIA CORPORATION≈ $397.93MTrim

Source: SEC Form 13F, values as reported by the filer. Filings lag up to 45 days after quarter end and cover only certain long positions. Research only, not investment advice.

Original filing All 13F filings on EDGAR