Voya Balanced Income Portfolio Class I is a diversified mutual fund designed to provide a balanced and steady stream of income while maintaining opportunities for capital appreciation. This fund employs an actively managed allocation strategy, typically investing approximately 60% of its assets in a multi-sector fixed income portfolio and 40% in equities. The fixed income component seeks attractive returns by tapping into the broad global fixed income universe, while the equity portion targets stocks with high-dividend income and aims to deliver returns with lower volatility compared to the overall market. The portfolio’s primary objective is maximizing income, making it suitable for investors interested in a moderately conservative allocation. Managed by Voya Investment Management, the fund leverages a blend of asset classes to mitigate risk and provide diversification across sectors and regions. Since its inception in 2006, the fund has established a notable presence within the balanced allocation category, appealing to those seeking both income and growth potential through a professionally managed mix of bonds and dividend-paying stocks.
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