Voya Global Bond Fund Class W is an actively managed mutual fund that focuses on providing investors with diversification across global fixed-income markets. Its primary objective is to maximize total return through a blend of current income and capital appreciation. The fund invests at least 80% of its assets in bonds issued by both U.S. and international issuers, encompassing developed and emerging markets. The portfolio typically holds a mix of investment-grade and select lower-quality bonds, aiming to exploit opportunities across countries, sectors, and currencies. The fund employs a comprehensive investment process that seeks alpha from sector allocation, currency positioning, and interest rate strategies, adjusting exposures in response to evolving market conditions. Risk management is a central component, with the investment team carefully monitoring credit quality, currency risk, interest rate risk, and security selection. The fund's holdings span more than 20 countries, providing exposure to a variety of economic environments and monetary policies. With a monthly distribution frequency and a focus on risk-adjusted return, Voya Global Bond Fund Class W serves institutional and individual investors seeking broad diversification and professional management within the global bond market landscape. The fund is managed by a seasoned team with deep expertise in global fixed income investing.
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