Voya Limited Maturity Bond Portfolio Class A is a diversified mutual fund focused on short-duration fixed income. Its primary objective is to deliver the highest current income consistent with low risk to principal and liquidity, with a secondary goal of modest capital enhancement through disciplined bond selection and active risk management. The portfolio invests across high-quality sectors of the bond market, including U.S. Treasuries, investment-grade corporates, asset-backed and mortgage-backed securities, and select structured credit, maintaining a limited interest-rate sensitivity through a short average duration profile. The strategy’s short maturity orientation aims to reduce volatility from rate movements while providing a steady income stream and broad issuer diversification across hundreds of holdings. Launched in 2006 and managed by Voya Investment Management, the fund plays a role as a core short-term bond allocation, offering liquidity characteristics and principal stability sought by income-focused investors and multi-asset allocators seeking ballast within fixed income sleeves.
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