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Holdings (Monthly) Guide ↗

Voya Global Bond Portfolio

· Voya Partners Inc
Monthly Holdings $85M AUM 67 positions Period Jun 2026 Filed Aug 21, 2026 EDGAR ↗ ← All Funds
All 250 New 6 Added 190 Reduced 67 Exited · Jun 2026 vs Mar 2026
# Name Ticker Since Shares Shares Δ Value Val Δ% % Port Cat
Federal National Mortgage Association 01F022642 1,857,000 SOLD $1.6M
United States Treasury Notes 91282CPZ8 1,412,600 SOLD $1.4M
United States Treasury Bonds 912810UT3 1,210,500 SOLD $1.2M
Federal National Mortgage Association 01F032641 1,238,000 SOLD $1.1M
Federal National Mortgage Association 01F030645 1,238,000 SOLD $1.1M
McCormick & Company, Incorporated 57978DD14 1,000,000 SOLD $1.0M
General Mills, Inc. 3703E1D21 1,000,000 SOLD $1.0M
Duke Energy Corp 26244JD89 1,000,000 SOLD $1.0M
Mondelez International Inc. 60920WDQ0 1,000,000 SOLD $1.0M
The Sherwin-Williams Company 82434UDT1 1,000,000 SOLD $1.0M
Constellation Energy Generation LLC 21038QEN0 1,000,000 SOLD $1.0M
Simon Property Group LP 82880XEV8 1,000,000 SOLD $1.0M
United States Treasury Bonds 912810UP1 734,900 SOLD $0.7M
United States Treasury Notes 91282CQF1 646,500 SOLD $0.7M
FS TRUST 2026-HULA 30345AAA6 500,000 SOLD $0.5M
United States Treasury Notes 91282CQE4 495,900 SOLD $0.5M
Federal National Mortgage Association 01F050643 490,000 SOLD $0.5M
United States Treasury Notes 91282CQD6 466,500 SOLD $0.5M
BX TRUST 2021-LBA 05609BAM1 450,000 SOLD $0.4M
Morgan Stanley 61772BAB9 434,000 SOLD $0.4M
Federal National Mortgage Association 207941AB1 300,000 SOLD $0.3M
Micron Technology Inc. 595112CH4 95,000 SOLD $0.1M
IBM International Capital Pte. Ltd. 449276AD6 100,000 SOLD $0.1M
United States Treasury Notes 91282CQG9 90,000 SOLD $0.1M
JPMorgan Chase & Co. 46647PFK7 68,000 SOLD $0.1M
South Jersey Industries Inc 838518AA6 70,000 SOLD $0.1M
COLUMBIA PIPELINES HOLDING CO LLC 19828AAB3 57,000 SOLD $0.1M
Sealed Air Corp. 81211KAZ3 52,000 SOLD $0.1M
U.S. Bancorp. 91159HJY7 50,000 SOLD $0.0M
Charter Communications Operating, LLC/Charter Communications Operating Capital Corp. 161175CQ5 45,000 SOLD $0.0M
Bank of America Corp. 06051GHX0 40,000 SOLD $0.0M
Hewlett Packard Enterprise Co. 42824CBU2 36,000 SOLD $0.0M
CVS Health Corp 126650EK2 35,000 SOLD $0.0M
Marriott International, Inc. 571903BX0 35,000 SOLD $0.0M
The Campbells Co. 134429BN8 34,000 SOLD $0.0M
JPMorgan Chase & Co. 46647PFJ0 35,000 SOLD $0.0M
General Motors Financial Company Inc 37045XDE3 38,000 SOLD $0.0M
Broadcom Inc 11135FBV2 31,000 SOLD $0.0M
Cisco Systems, Inc. 17275RBS0 29,000 SOLD $0.0M
Meta Platforms Inc 30303MAB8 30,000 SOLD $0.0M
Micron Technology Inc. 595112CE1 27,000 SOLD $0.0M
LPL Holdings Inc. 50212YAL8 28,000 SOLD $0.0M
American Honda Finance Corporation 02665WFU0 28,000 SOLD $0.0M
Bank of America Corp. 06051GMQ9 27,000 SOLD $0.0M
Goldman Sachs Group, Inc. 38145GAS9 28,000 SOLD $0.0M
Morgan Stanley 61747YFD2 27,000 SOLD $0.0M
Morgan Stanley 61747YEV3 26,000 SOLD $0.0M
Bank of America Corp. 06051GMD8 25,000 SOLD $0.0M
Idaho Power Company 45138LBM4 21,000 SOLD $0.0M
Royal Bank of Canada 78017DAM0 20,000 SOLD $0.0M
NextEra Energy Capital Holdings Inc 65339KDE7 19,000 SOLD $0.0M
Union Pacific Corporation 907818GG7 19,000 SOLD $0.0M
American Homes 4 Rent L P 02666TAG2 19,000 SOLD $0.0M
Mckesson Corp. 581557BY0 17,000 SOLD $0.0M
Ovintiv Inc 69047QAB8 13,000 SOLD $0.0M
AbbVie Inc. 00287YCA5 14,000 SOLD $0.0M
National Grid PLC 636274AF9 12,000 SOLD $0.0M
Comcast Corporation 20030NDN8 12,000 SOLD $0.0M
CVS Health Corp 126650DT4 10,000 SOLD $0.0M
AbbVie Inc. 00287YDU0 9,000 SOLD $0.0M
Solventum Corp. 83444MAR2 8,000 SOLD $0.0M
Occidental Petroleum Corp. 674599EK7 7,000 SOLD $0.0M
Eversource Energy 30040WAX6 6,000 SOLD $0.0M
Morgan Stanley 61747YFZ3 5,000 SOLD $0.0M
NSTAR Electric Company 67021CAV9 4,000 SOLD $0.0M
Targa Resources Corp. 87612GAK7 4,000 SOLD $0.0M
GSR MORTGAGE LOAN TRUST 362341RW1 187 SOLD $0.0M