Voya Balanced Income Portfolio Class S2 is a mutual fund designed to offer investors a balanced allocation between income generation and capital appreciation. The fund employs an actively managed strategy, investing approximately 60% of its assets in fixed income securities and 40% in equities. This diversified blend aims to provide stable income through a multi-sector approach to fixed income, drawing from a broad global universe of bonds, while the equity component targets high-dividend stocks with the objective of achieving excess returns and maintaining lower volatility relative to the wider equity market. Serving a significant investor base with assets exceeding $500 million, the portfolio plays a noteworthy role for those seeking both yield and growth within a single investment vehicle. Key sectors represented typically include energy, utilities, and real estate. Established in 2006, Voya Balanced Income Portfolio Class S2 is positioned as a core holding for investors looking to hedge equity risk with fixed income exposure while benefiting from active management in both asset classes.
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