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%
| Stock | Weight | Value | Since Jun 30 | Shares change | Action |
|---|---|---|---|---|---|
| 4.9% | $5.71B | +13.62% | -7.40% | Trim | |
| 3.2% | $3.67B | +13.92% | -19.42% | Trim | |
| 2.8% | $3.27B | -4.49% | -11.58% | Trim | |
| 2.6% | $2.97B | -5.95% | -10.59% | Trim | |
| 2.3% | $2.63B | -7.66% | -9.67% | Trim | |
| 2.1% | $2.40B | +3.60% | +1.62% | Add | |
| 1.7% | $1.94B | +36.62% | -24.20% | Trim | |
| 1.4% | $1.65B | -25.19% | -4.57% | Trim | |
| 1.3% | $1.47B | -22.37% | -3.00% | Trim | |
| 1.2% | $1.43B | -1.17% | +4.94% | Add | |
| 1.2% | $1.35B | +4.73% | +86.71% | Add | |
| 1.2% | $1.34B | -4.76% | +10.08% | Add | |
| 1.1% | $1.26B | +2.43% | +4.77% | Add | |
| 1.1% | $1.22B | -16.08% | +1.72% | Add | |
| 1.0% | $1.18B | -29.18% | -12.78% | Trim | |
| 1.0% | $1.17B | -4.27% | -9.91% | Trim | |
| 0.9% | $1.06B | -4.53% | +50.00% | Add | |
| 0.9% | $1.01B | -9.78% | +298.86% | Add | |
| 0.9% | $1.00B | +31.27% | -12.84% | Trim | |
| 0.8% | $966.37M | -29.76% | +0.67% | Add | |
| 0.8% | $960.15M | -23.86% | -29.30% | Trim | |
| 0.8% | $902.06M | -7.79% | +197.19% | Add | |
| 0.8% | $901.92M | -65.54% | -4.99% | Trim | |
| 0.8% | $895.16M | -25.89% | +1.78% | Add | |
| 0.7% | $837.43M | -18.08% | -1.73% | Trim |
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
Largest sells in 2026 Q2
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.