Voya Solution Conservative Portfolio Class A is a multi-asset mutual fund designed as a risk-based solution for individuals preparing for or nearing retirement. Its primary goal is to deliver a blend of total return and stability of principal, aligning its asset allocation with the needs of conservative investors focused on capital preservation. The portfolio achieves diversification by investing in a mix of underlying funds, which can include both actively managed mutual funds and passively managed index funds. These underlying investments span U.S. equities, international stocks, U.S. bonds, and other fixed-income securities. The fund’s allocation strategy emphasizes lower volatility, making it suitable for investors seeking to reduce risk as they approach their retirement years. Regular rebalancing and a focus on conservative assets underpin its mandate to maintain principal stability while pursuing income and moderate growth. As part of a broader range of Voya risk-based portfolios, this fund plays a key role in retirement planning by offering exposure to multiple asset classes and adapting to the evolving risk tolerance of its investors over time.
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