Voya Strategic Income Opportunities Fund Class C is an actively managed open‑end mutual fund focused on the global fixed income universe. Its primary objective is to deliver total return through income and capital appreciation across market cycles. The strategy is explicitly unconstrained by traditional bond benchmarks, allowing managers to rotate across sectors, credit qualities, regions, and durations to pursue diversified sources of income and manage prevailing risks. The portfolio spans investment‑grade and high‑yield corporates, securitized credit, emerging markets debt, and government securities, employing a risk‑budgeted framework designed to keep volatility in line with traditional fixed income while seeking low correlation to core bond allocations. The fund distributes income monthly and is part of a share‑class lineup serving a range of investors. Managed by Voya Investment Management’s multi‑sector fixed income platform, it leverages collaborative research, security selection, trading, and risk management to adapt positioning as conditions evolve, aiming to complement core bond holdings with flexible, multi‑sector exposure.
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