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Voya Index Solution 2025 Portfolio

ISDAX:US
NASDAQ GM
10.53
USD
0.01
0.10%
As of 9:29 AM EDT 9/22/2017
Fund Type
Variable Annuity
52Wk Range
9.36 - 10.57
1 Yr Return
10.49%
YTD Return
10.04%
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Previous Close
10.52
52Wk Range
9.36 - 10.57
1 Yr Return
10.04%
YTD Return
10.04%
Fund Type
Variable Annuity
Objective
Target 2021-2025
Asset Class Focus
Mixed Allocation
Geographic Focus
U.S.
NAV (on 09/22/2017)
10.53
Total Assets (m USD) (on 09/22/2017)
773.790
Inception Date
03/10/2008
Last Dividend (on 08/04/2017)
0.1362
Dividend Indicated Gross Yield
1.29%
Fund Managers
HALVARD KVAALE
Front Load Fee
0.00%
Back Load Fee
0.00%
Redemption Fee
0.00%
12b-1 Fee
0.25%
Current Mgmt Fee
0.23%
Expense Ratio
0.63%
Profile
Voya Index Solution 2025 Portfolio is a variable annuity incorporated in the USA. The Portfolio aims to provide total return consistent with an asset allocation targeted at retirement in approximately 2020. The Portfolio invests in a combination of underlying funds which are based on U.S. stock, international stock, U.S. bond and other fixed-income investments.
Address
Voya Investment Management
151 Farmington Avenue
Hartford, CT 06156-8962
Phone
1-866-481-3653