Voya Index Solution 2025 Portfolio Class S is a target date mutual fund designed to align with the retirement planning horizon of investors aiming to begin retirement between 2023 and 2027. Its primary function is to provide a diversified total return through a fund-of-funds structure that invests at least 80% of assets in a broad mix of passively managed index funds. The portfolio delivers exposure to a wide range of traditional asset classes, including domestic and international stocks, bonds, and cash. Notably, it follows a glide path investment approach, systematically shifting its asset allocation from growth-oriented investments to more conservative holdings as the target date approaches, helping manage risk and volatility. After reaching its target date, the fund prioritizes both total return and stability of principal. Designed primarily for long-term investors with tax-advantaged accounts, this portfolio serves as a core component within retirement planning strategies, providing simplified diversification and automatic asset allocation updates to match investors' evolving risk profiles as they near and enter retirement.
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