Voya Index Solution Income Portfolio is a target-date fund-of-funds designed for investors at or in retirement, seeking a balance of total return and principal stability. It allocates at least 80% of assets to passively managed index underlying funds spanning U.S. equities, international equities, core bonds, TIPS, and cash-like instruments, using a conservative glidepath tailored to the retirement income stage. The portfolio emphasizes diversified fixed income—featuring broad U.S. bond exposure, Treasury inflation-protected securities, and short-duration strategies—while maintaining modest equity exposure for growth potential and inflation mitigation. Managed by Voya Investments with a multi-asset team, the strategy targets durable income characteristics and risk control, with annual distributions and a framework aligned to the S&P Target Date Retirement Income benchmark for context. As part of Voya’s Index Solution suite, it serves as a post-retirement anchor within defined contribution plans and variable contracts, offering systematic asset allocation, broad market beta, and cost-aware implementation across underlying index vehicles.
See your Portfolio Score and get data driven insights in ~60 seconds.
Opens in PortfolioPilot
Based on technical indicators and chart patterns, ISKSX shows...
Market sentiment analysis indicates...