Voya Solution Income Portfolio Class I is a target-date retirement mutual fund designed to deliver a balance of total return and stability of principal, with a particular focus on investors who retired in 2017 or earlier. The portfolio is structured as a fund of funds, providing diversified exposure primarily to U.S. bonds but also including allocations to domestic and international equities and inflation-protected securities. Its holdings feature a mix of Voya-managed bond funds, broad market index products, and specialized equity funds, supporting both income generation and capital preservation. The fund aims to maintain a relatively conservative asset allocation in line with its income-oriented objective and retirement focus. With regular semi-annual dividends, the portfolio serves the needs of retirees seeking steady payouts and long-term preservation of capital. As part of a suite of target-date solutions, it is intended as a single investment option for investors seeking professional asset allocation aligned with their retirement timeline, meeting qualified default investment alternative (QDIA) standards for employer-sponsored retirement plans.
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