Voya Balanced Income S2 (Voya Balanced Income Portfolio ) fond
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Stengt$10.50+0.01 (+0.10%)
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Voya Balanced Income Portfolio
ÅpningN/A
HøyN/A
LavN/A
VolumN/A
P/E18.59
MarkedsverdiN/A
52-ukers høy10.78
52-ukers lav9.74
Gj.sn. volum
UtbytteN/A
BetaN/A
EPSN/A
Om Voya Balanced Income S2 (Voya Balanced Income Portfolio ) fond
Under normal circumstances, the portfolio manager intends to invest approximately 60% of its assets in debt instruments and approximately 40% of its assets in equity securities (the “Target Allocation”). The sub-adviser (the “Sub-Adviser”) may deviate from the Target Allocation within the range of +/- 15% relative to the Target Allocation for each of equities or debt to adjust portfolio exposures and risk in response to changing market conditions. The Portfolio may be rebalanced periodically to return to the Target Allocation.
Selskapsinformasjon
Børs: Nasdaq (NAS)
Adresse:
Scottsdale AZ 85258
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