Form NPORT-P - Monthly Portfolio Investments Report on Form N-PORT (Public)
2024年7月30日 - 5:18AM
Edgar (US Regulatory)
PORTFOLIO
OF
INVESTMENTS
as
of
May
31,
2024
(Unaudited)
Voya
Asia
Pacific
High
Dividend
Equity
Income
Fund
Shares
RA
Value
Percentage
of
Net
Assets
COMMON
STOCK
:
95.2%
Australia
:
15.9%
21,633
Ampol
Ltd.
$
501,640
0.6
60,208
ANZ
Group
Holdings
Ltd.
1,136,359
1.4
22,268
Aristocrat
Leisure
Ltd.
669,407
0.8
15,947
Aurizon
Holdings
Ltd.
39,187
0.0
45,466
BHP
Group
Ltd.
-
Class
DI
1,353,173
1.7
24,434
BlueScope
Steel
Ltd.
344,810
0.4
21,396
Brambles
Ltd.
203,380
0.2
3,249
Cochlear
Ltd.
700,133
0.9
59,401
Coles
Group
Ltd.
651,213
0.8
4,195
Commonwealth
Bank
of
Australia
335,303
0.4
12,932
Computershare
Ltd.
228,572
0.3
1,931
CSL
Ltd.
361,460
0.5
15,666
Endeavour
Group
Ltd./
Australia
51,934
0.1
22,246
Fortescue
Metals
Group
Ltd.
367,618
0.5
161,284
GPT
Group
452,451
0.6
117,170
Medibank
Pvt
Ltd.
291,172
0.4
23,010
National
Australia
Bank
Ltd.
521,165
0.7
24,493
Origin
Energy
Ltd.
166,685
0.2
64,096
QBE
Insurance
Group
Ltd.
762,044
1.0
532
REA
Group
Ltd.
66,531
0.1
7,143
Rio
Tinto
Ltd.
614,401
0.8
45,424
Santos
Ltd.
230,804
0.3
301,949
Scentre
Group
637,145
0.8
2,369
Seven
Group
Holdings
Ltd.
62,095
0.1
56,797
South32
Ltd.
-
Class
DI
150,486
0.2
35,810
Suncorp
Group
Ltd.
380,347
0.5
237,719
Telstra
Group
Ltd.
550,569
0.7
24,454
Transurban
Group
204,364
0.3
266,293
Vicinity
Ltd.
348,092
0.4
1,296
Wesfarmers
Ltd.
56,222
0.1
4,600
Woodside
Energy
Group
Ltd.
(WDS)
85,116
0.1
12,523,878
15.9
China
:
23.3%
49,600
37
Interactive
Entertainment
Network
Technology
Group
Co.
Ltd.
-
Class
A
99,455
0.1
102,000
Agricultural
Bank
of
China
Ltd.
-
Class
H
42,761
0.1
154,500
Alibaba
Group
Holding
Ltd.
1,508,621
1.9
11,600
Anhui
Gujing
Distillery
Co.
Ltd.
-
Class
B
180,223
0.2
7,093
Autohome,
Inc.,
ADR
201,441
0.3
531,000
AviChina
Industry
&
Technology
Co.
Ltd.
-
Class
H
240,941
0.3
1,067,000
Bank
of
China
Ltd.
-
Class
H
505,804
0.6
56,100
Bank
of
Jiangsu
Co.
Ltd.
-
Class
A
64,017
0.1
11,200
Beijing
Tiantan
Biological
Products
Corp.
Ltd.
-
Class
A
43,874
0.1
Shares
RA
Value
Percentage
of
Net
Assets
COMMON
STOCK:
(continued)
China
(continued)
13,500
BYD
Co.
Ltd.
-
Class
H
$
378,800
0.5
75,795
By-health
Co.
Ltd.
-
Class
A
158,100
0.2
374,000
China
CITIC
Bank
Corp.
Ltd.
-
Class
H
228,743
0.3
676,000
China
Communications
Services
Corp.
Ltd.
-
Class
H
325,187
0.4
1,045,960
China
Construction
Bank
Corp.
-
Class
H
742,343
0.9
19,000
China
Mengniu
Dairy
Co.
Ltd.
35,037
0.0
100,500
China
Minsheng
Banking
Corp.
Ltd.
-
Class
H
38,070
0.0
232,000
China
Oilfield
Services
Ltd.
-
Class
H
247,952
0.3
444,000
China
Railway
Group
Ltd.
-
Class
H
239,236
0.3
52,814
China
Railway
Signal
&
Communication
Corp.
Ltd.
-
Class
A
40,018
0.0
50,500
(1)
China
Resources
Pharmaceutical
Group
Ltd.
37,457
0.0
1,696,000
(1)
China
Tower
Corp.
Ltd.
-
Class
H
200,266
0.3
11,100
China
Yangtze
Power
Co.
Ltd.
-
Class
A
40,775
0.1
252,000
CMOC
Group
Ltd.
-
Class
H
233,144
0.3
276,000
COSCO
SHIPPING
Holdings
Co.
Ltd.
-
Class
H
462,176
0.6
50,480
CSPC
Pharmaceutical
Group
Ltd.
42,917
0.1
39,500
Dong-E-E-Jiao
Co.
Ltd.
-
Class
A
369,349
0.5
149,500
Fosun
International
Ltd.
83,980
0.1
121,155
Goldwind
Science
&
Technology
Co.
Ltd.
-
Class
A
130,410
0.2
113,500
Great
Wall
Motor
Co.
Ltd.
-
Class
H
196,482
0.2
108,000
GRG
Banking
Equipment
Co.
Ltd.
-
Class
A
160,660
0.2
620,000
Guangzhou
Automobile
Group
Co.
Ltd.
-
Class
H
258,295
0.3
34,200
(1)
Huatai
Securities
Co.
Ltd.
-
Class
H
39,026
0.0
23,300
Hubei
Jumpcan
Pharmaceutical
Co.
Ltd.
-
Class
A
122,537
0.2
498,414
Industrial
&
Commercial
Bank
of
China
Ltd.
-
Class
H
282,370
0.4
74,900
Inner
Mongolia
Yitai
Coal
Co.
Ltd.
-
Class
B
137,732
0.2
23,704
JD.com,
Inc.
-
Class
A
351,377
0.4
38,000
Jiangsu
Expressway
Co.
Ltd.
-
Class
H
39,557
0.0
78,800
Kingsoft
Corp.
Ltd.
252,973
0.3
PORTFOLIO
OF
INVESTMENTS
as
of
May
31,
2024
(Unaudited)
(continued)
Voya
Asia
Pacific
High
Dividend
Equity
Income
Fund
Shares
RA
Value
Percentage
of
Net
Assets
COMMON
STOCK:
(continued)
China
(continued)
234,000
Lenovo
Group
Ltd.
$
337,079
0.4
8,400
Livzon
Pharmaceutical
Group,
Inc.
-
Class
A
44,888
0.1
4,100
Luzhou
Laojiao
Co.
Ltd.
-
Class
A
98,658
0.1
20,730
(1)(2)
Meituan
-
Class
B
282,471
0.4
15,800
MINISO
Group
Holding
Ltd.
89,191
0.1
23,800
NetEase,
Inc.
423,254
0.5
7,200
(1)
Nongfu
Spring
Co.
Ltd.
-
Class
H
38,337
0.0
928,000
People's
Insurance
Co.
Group
of
China
Ltd.
-
Class
H
323,426
0.4
308,000
PetroChina
Co.
Ltd.
-
Class
H
315,810
0.4
306,000
PICC
Property
&
Casualty
Co.
Ltd.
-
Class
H
398,770
0.5
107,500
Ping
An
Insurance
Group
Co.
of
China
Ltd.
-
Class
H
546,773
0.7
119,525
Shanghai
Baosight
Software
Co.
Ltd.
-
Class
B
260,080
0.3
812,900
Shanghai
Construction
Group
Co.
Ltd.
-
Class
A
261,474
0.3
163,800
Shanghai
Pharmaceuticals
Holding
Co.
Ltd.
-
Class
H
243,191
0.3
1,003
Shenzhen
Mindray
Bio-
Medical
Electronics
Co.
Ltd.
-
Class
A
40,149
0.0
54,400
Sinopharm
Group
Co.
Ltd.
-
Class
H
148,040
0.2
104,000
Sinotruk
Hong
Kong
Ltd.
241,876
0.3
19,700
TBEA
Co.
Ltd.
-
Class
A
40,596
0.0
72,600
Tencent
Holdings
Ltd.
3,368,175
4.3
42,900
Tian
Di
Science
&
Technology
Co.
Ltd.
-
Class
A
41,885
0.1
40,000
Tingyi
Cayman
Islands
Holding
Corp.
48,865
0.1
26,400
(2)
Tongcheng
Travel
Holdings
Ltd.
60,445
0.1
268,000
(1)
Topsports
International
Holdings
Ltd.
174,927
0.2
37,000
TravelSky
Technology
Ltd.
-
Class
H
48,736
0.1
13,542
Vipshop
Holdings
Ltd.,
ADR
217,620
0.3
86,000
Weichai
Power
Co.
Ltd.
-
Class
H
154,484
0.2
58,500
Western
Mining
Co.
Ltd.
-
Class
A
150,394
0.2
82,000
Xinyi
Solar
Holdings
Ltd.
54,262
0.1
84,000
(1)
Yadea
Group
Holdings
Ltd.
134,398
0.2
68,000
Yankuang
Energy
Group
Co.
Ltd.
-
Class
H
169,959
0.2
9,300
YongXing
Special
Materials
Technology
Co.
Ltd.
-
Class
A
55,233
0.1
Shares
RA
Value
Percentage
of
Net
Assets
COMMON
STOCK:
(continued)
China
(continued)
90,800
Yutong
Bus
Co.
Ltd.
-
Class
A
$
305,801
0.4
23,600
Zhejiang
Dahua
Technology
Co.
Ltd.
-
Class
A
53,472
0.1
408,000
Zhejiang
Expressway
Co.
Ltd.
-
Class
H
266,417
0.3
51,100
Zhuzhou
CRRC
Times
Electric
Co.
Ltd.
-
Class
H
200,123
0.3
18,401,365
23.3
Hong
Kong
:
5.0%
75,974
AIA
Group
Ltd.
590,105
0.7
196,500
BOC
Hong
Kong
Holdings
Ltd.
617,677
0.8
234,000
Bosideng
International
Holdings
Ltd.
135,397
0.2
36,000
China
Overseas
Land
&
Investment
Ltd.
68,222
0.1
101,500
CK
Asset
Holdings
Ltd.
402,025
0.5
52,000
CK
Hutchison
Holdings
Ltd.
253,920
0.3
302,000
Far
East
Horizon
Ltd.
242,515
0.3
97,000
Geely
Automobile
Holdings
Ltd.
118,071
0.2
8,800
Jardine
Matheson
Holdings
Ltd.
324,319
0.4
78,000
Power
Assets
Holdings
Ltd.
433,083
0.6
26,000
Swire
Pacific
Ltd.
-
Class
A
226,321
0.3
175,000
Swire
Properties
Ltd.
321,874
0.4
14,500
Techtronic
Industries
Co.
Ltd.
178,376
0.2
3,911,905
5.0
India
:
16.8%
1,216
ABB
India
Ltd.
121,156
0.1
2,965
Adani
Ports
&
Special
Economic
Zone
Ltd.
51,160
0.1
18,304
Aurobindo
Pharma
Ltd.
260,217
0.3
61,675
Axis
Bank
Ltd.
859,825
1.1
1,192
Bajaj
Auto
Ltd.
129,822
0.2
5,718
Bajaj
Finance
Ltd.
459,050
0.6
69,648
Bank
of
Baroda
221,628
0.3
3,008
Cholamandalam
Investment
and
Finance
Co.
Ltd.
44,781
0.1
2,364
Cipla
Ltd./India
41,065
0.0
7,751
Colgate-Palmolive
India
Ltd.
246,935
0.3
35,279
HCL
Technologies
Ltd.
560,863
0.7
18,576
HDFC
Bank
Ltd.
341,220
0.4
26,021
Hindalco
Industries
Ltd.
215,568
0.3
91,817
ICICI
Bank
Ltd.
1,234,117
1.6
20,699
IndusInd
Bank
Ltd.
362,907
0.5
18,024
Infosys
Ltd.
305,527
0.4
75,225
ITC
Ltd.
384,692
0.5
3,014
Kotak
Mahindra
Bank
Ltd.
60,775
0.1
18,345
Larsen
&
Toubro
Ltd.
807,365
1.0
7,532
Lupin
Ltd.
143,003
0.2
2,378
Maruti
Suzuki
India
Ltd.
353,829
0.4
PORTFOLIO
OF
INVESTMENTS
as
of
May
31,
2024
(Unaudited)
(continued)
Voya
Asia
Pacific
High
Dividend
Equity
Income
Fund
Shares
RA
Value
Percentage
of
Net
Assets
COMMON
STOCK:
(continued)
India
(continued)
107,527
Oil
&
Natural
Gas
Corp.
Ltd.
$
341,460
0.4
7,136
PI
Industries
Ltd.
303,053
0.4
92,989
Power
Finance
Corp.
Ltd.
549,893
0.7
183,938
Power
Grid
Corp.
of
India
Ltd.
684,431
0.9
78,078
REC
Ltd.
503,977
0.6
8,356
Reliance
Industries
Ltd.
286,660
0.4
20,032
Shriram
Finance
Ltd.
565,882
0.7
1,053
Supreme
Industries
Ltd.
66,740
0.1
18,693
Tata
Consultancy
Services
Ltd.
823,743
1.0
13,893
Tata
Motors
Ltd.
153,907
0.2
243,293
Tata
Steel
Ltd.
488,026
0.6
12,055
Torrent
Pharmaceuticals
Ltd.
389,862
0.5
139,824
Union
Bank
of
India
Ltd.
268,793
0.3
9,572
UPL
Ltd.
58,381
0.1
105,252
Vedanta
Ltd.
566,712
0.7
13,257,025
16.8
Indonesia
:
0.7%
1,605,200
Bank
Rakyat
Indonesia
Persero
Tbk
PT
430,257
0.6
144,400
Indah
Kiat
Pulp
&
Paper
Tbk
PT
81,079
0.1
511,336
0.7
Ireland
:
1.1%
5,998
(2)
PDD
Holdings,
Inc.,
ADR
898,380
1.1
Malaysia
:
1.5%
269,900
CIMB
Group
Holdings
Bhd
392,973
0.5
238,600
Genting
Bhd
241,449
0.3
371,500
Genting
Malaysia
Bhd
209,540
0.3
107,400
Malayan
Banking
Bhd
226,632
0.3
127,400
Public
Bank
Bhd
111,015
0.1
1,181,609
1.5
Philippines
:
0.2%
177,680
Metropolitan
Bank
&
Trust
Co.
188,609
0.2
Singapore
:
3.0%
44,100
(1)
BOC
Aviation
Ltd.
327,594
0.4
244,300
CapitaLand
Ascendas
REIT
473,402
0.6
2,700
DBS
Group
Holdings
Ltd.
71,998
0.1
770,700
Genting
Singapore
Ltd.
519,844
0.7
9,000
Oversea-Chinese
Banking
Corp.
Ltd.
96,859
0.1
91,900
Sembcorp
Industries
Ltd.
347,273
0.4
11,700
Singapore
Airlines
Ltd.
58,752
0.1
62,900
Singapore
Exchange
Ltd.
445,851
0.6
2,341,573
3.0
South
Korea
:
8.7%
1,824
Amorepacific
Corp.
256,216
0.3
1,312
CJ
CheilJedang
Corp.
332,240
0.4
4,355
DB
Insurance
Co.
Ltd.
326,396
0.4
3,143
GS
Holdings
Corp.
99,229
0.1
8,198
Hankook
Tire
&
Technology
Co.
Ltd.
259,769
0.3
6,336
HD
Hyundai
Co.
Ltd.
315,759
0.4
Shares
RA
Value
Percentage
of
Net
Assets
COMMON
STOCK:
(continued)
South
Korea
(continued)
2,867
(2)
HD
Korea
Shipbuilding
&
Offshore
Engineering
Co.
Ltd.
$
270,882
0.3
1,960
Hyundai
Mobis
Co.
Ltd.
305,593
0.4
1,875
Hyundai
Motor
Co.
344,070
0.4
2,825
Hyundai
Steel
Co.
60,674
0.1
6,274
KB
Financial
Group,
Inc.
360,694
0.5
6,226
Kia
Corp.
531,428
0.7
4,188
Korea
Investment
Holdings
Co.
Ltd.
197,531
0.3
6,654
KT
Corp.
177,659
0.2
924
LG
Chem
Ltd.
236,154
0.3
5,163
LG
Electronics,
Inc.
392,717
0.5
294
NAVER
Corp.
36,397
0.0
39,192
NH
Investment
&
Securities
Co.
Ltd.
348,081
0.4
11,660
Samsung
Electronics
Co.
Ltd.
617,780
0.8
1,441
Samsung
Fire
&
Marine
Insurance
Co.
Ltd.
363,788
0.5
8,277
Shinhan
Financial
Group
Co.
Ltd.
283,956
0.4
2,161
SK
hynix,
Inc.
297,760
0.4
3,574
SK
Telecom
Co.
Ltd.
131,887
0.2
2,365
SK,
Inc.
302,070
0.4
6,848,730
8.7
Taiwan
:
16.5%
127,000
Acer,
Inc.
208,337
0.3
1,000
Alchip
Technologies
Ltd.
89,343
0.1
44,000
ASE
Technology
Holding
Co.
Ltd.
213,641
0.3
33,000
Asustek
Computer,
Inc.
525,372
0.7
228,000
Compal
Electronics,
Inc.
261,823
0.3
30,000
Delta
Electronics,
Inc.
302,295
0.4
1,000
eMemory
Technology,
Inc.
68,124
0.1
187,000
Hon
Hai
Precision
Industry
Co.
Ltd.
995,868
1.3
72,000
Inventec
Corp.
119,897
0.2
29,000
MediaTek,
Inc.
1,110,529
1.4
65,000
Micro-Star
International
Co.
Ltd.
386,111
0.5
19,000
Novatek
Microelectronics
Corp.
350,273
0.4
23,000
President
Chain
Store
Corp.
191,906
0.2
19,000
Quanta
Computer,
Inc.
161,431
0.2
21,000
Realtek
Semiconductor
Corp.
354,561
0.4
267,627
Taiwan
Semiconductor
Manufacturing
Co.
Ltd.
6,853,377
8.7
231,000
United
Microelectronics
Corp.
393,260
0.5
18,000
Wistron
Corp.
62,702
0.1
1,000
Wiwynn
Corp.
76,535
0.1
69,000
Zhen
Ding
Technology
Holding
Ltd.
261,142
0.3
12,986,527
16.5
PORTFOLIO
OF
INVESTMENTS
as
of
May
31,
2024
(Unaudited)
(continued)
Voya
Asia
Pacific
High
Dividend
Equity
Income
Fund
Shares
RA
Value
Percentage
of
Net
Assets
COMMON
STOCK:
(continued)
Thailand
:
2.5%
280,900
Bangkok
Dusit
Medical
Services
PCL
-
Class
F
$
206,333
0.3
10,600
Bumrungrad
Hospital
PCL
69,785
0.1
396,500
(2)
Charoen
Pokphand
Foods
PCL
245,759
0.3
405,500
Indorama
Ventures
PCL
255,257
0.3
73,400
Kasikornbank
PCL
261,771
0.3
324,200
Krung
Thai
Bank
PCL
151,758
0.2
9,100
PTT
Exploration
&
Production
PCL
38,265
0.0
334,400
PTT
Global
Chemical
PCL
316,839
0.4
158,500
SCB
X
PCL
457,670
0.6
2,003,437
2.5
Total
Common
Stock
(Cost
$65,735,183)
75,054,374
95.2
EXCHANGE-TRADED
FUNDS
:
0.6%
6,432
iShares
MSCI
All
Country
Asia
ex
Japan
ETF
451,205
0.6
Total
Exchange-Traded
Funds
(Cost
$426,569)
451,205
0.6
PREFERRED
STOCK
:
2.6%
South
Korea
:
2.6%
47,579
Samsung
Electronics
Co.
Ltd.
2,075,924
2.6
Total
Preferred
Stock
(Cost
$1,620,306)
2,075,924
2.6
Total
Long-Term
Investments
(Cost
$67,782,058)
77,581,503
98.4
SHORT-TERM
INVESTMENTS
:
1.1%
Mutual
Funds
:
1.1%
886,000
(3)
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
(Institutional
Share
Class),
5.230%
(Cost
$886,000)
$
886,000
1.1
Total
Short-Term
Investments
(Cost
$886,000)
886,000
1.1
Total
Investments
in
Securities
(Cost
$68,668,058)
$
78,467,503
99.5
Assets
in
Excess
of
Other
Liabilities
388,888
0.5
Net
Assets
$
78,856,391
100.0
ADR
American
Depositary
Receipt
(1)
Securities
with
purchases
pursuant
to
Rule
144A
or
section
4(a)(2),
under
the
Securities
Act
of
1933
and
may
not
be
resold
subject
to
that
rule
except
to
qualified
institutional
buyers.
(2)
Non-income
producing
security.
(3)
Rate
shown
is
the
7-day
yield
as
of
May
31,
2024.
Sector
Diversification
Percentage
of
Net
Assets
Information
Technology
23.3
%
Financials
23.2
Consumer
Discretionary
11.5
Industrials
8.3
Materials
7.5
Communication
Services
7.0
Health
Care
4.1
Real
Estate
3.7
Consumer
Staples
3.7
Energy
3.4
Utilities
2.1
Exchange-Traded
Funds
0.6
Short-Term
Investments
1.1
Assets
in
Excess
of
Other
Liabilities
0.5
Net
Assets
100.0%
Portfolio
holdings
are
subject
to
change
daily.
PORTFOLIO
OF
INVESTMENTS
as
of
May
31,
2024
(Unaudited)
(continued)
Voya
Asia
Pacific
High
Dividend
Equity
Income
Fund
Fair
Value
Measurements
The
following
is
a
summary
of
the
fair
valuations
according
to
the
inputs
used
as
of
May
31,
2024
in
valuing
the
assets
and
liabilities:
Quoted
Prices
in
Active
Markets
for
Identical
Investments
(Level
1)
Significant
Other
Observable
Inputs
#
(Level
2)
Significant
Unobservable
Inputs
(Level
3)
Fair
Value
at
May
31,
2024
Asset
Table
Investments,
at
fair
value
Common
Stock
Australia
$
—
$
12,523,878
$
—
$
12,523,878
China
459,836
17,941,529
—
18,401,365
Hong
Kong
242,515
3,669,390
—
3,911,905
India
—
13,257,025
—
13,257,025
Indonesia
—
511,336
—
511,336
Ireland
898,380
—
—
898,380
Malaysia
—
1,181,609
—
1,181,609
Philippines
—
188,609
—
188,609
Singapore
—
2,341,573
—
2,341,573
South
Korea
—
6,848,730
—
6,848,730
Taiwan
—
12,986,527
—
12,986,527
Thailand
—
2,003,437
—
2,003,437
Total
Common
Stock
1,600,731
73,453,643
—
75,054,374
Exchange-Traded
Funds
451,205
—
—
451,205
Preferred
Stock
—
2,075,924
—
2,075,924
Short-Term
Investments
886,000
—
—
886,000
Total
Investments,
at
fair
value
$
2,937,936
$
75,529,567
$
—
$
78,467,503
Liabilities
Table
Other
Financial
Instruments+
Written
Options
$
—
$
(24,436)
$
—
$
(24,436)
Total
Liabilities
$
—
$
(24,436)
$
—
$
(24,436)
#
The
earlier
close
of
the
foreign
markets
gives
rise
to
the
possibility
that
significant
events,
including
broad
market
moves,
may
have
occurred
in
the
interim
and
may
materially
affect
the
value
of
those
securities.
To
account
for
this,
the
Fund
may
frequently
value
many
of
its
foreign
equity
securities
using
fair
value
prices
based
on
third
party
vendor
modeling
tools
to
the
extent
available.
Accordingly,
a
portion
of
the
Fund’s
investments
are
categorized
as
Level
2
investments.
+
Other
Financial
Instruments
may
include
open
forward
foreign
currency
contracts,
futures,
centrally
cleared
swaps,
OTC
swaps
and
written
options.
Forward
foreign
currency
contracts,
futures
and
centrally
cleared
swaps
are
fair
valued
at
the
unrealized
appreciation
(depreciation)
on
the
instrument.
OTC
swaps
and
written
options
are
valued
at
the
fair
value
of
the
instrument.
At
May
31,
2024,
the
following
OTC
written
equity
options
were
outstanding
for
Voya
Asia
Pacific
High
Dividend
Equity
Income
Fund:
Description
Counterparty
Put/
Call
Expiration
Date
Exercise
Price
Number
of
Contracts
Notional
Amount
Premiums
Received
Fair
Value
iShares
MSCI
Australia
ETF
UBS
AG
Call
06/21/24
USD
25.240
87,163
USD
2,148,568
$
26,838
$
(9,814)
iShares
MSCI
Emerging
Markets
ETF
Bank
of
America
N.A.
Call
06/21/24
USD
43.790
408,769
USD
17,082,456
264,923
(14,622)
$
291,761
$
(24,436)
Currency
Abbreviations:
USD
—
United
States
Dollar
PORTFOLIO
OF
INVESTMENTS
as
of
May
31,
2024
(Unaudited)
(continued)
Voya
Asia
Pacific
High
Dividend
Equity
Income
Fund
Net
unrealized
appreciation
consisted
of:
Gross
Unrealized
Appreciation
$
15,219,866
Gross
Unrealized
Depreciation
(5,420,421)
Net
Unrealized
Appreciation
$
9,799,445
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