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Institutional Investment Manager
VOYA INVESTMENT MANAGEMENT LLC
VOYA INVESTMENT MANAGEMENT LLC (CIK: 0001068837) incorporated in Delaware, located at 5780 Powers Ferry Rd, Atlanta, GA. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q2)
Portfolio Summary: 2,554 holdings with a total value of $40,671,057,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 APPLE INC 10,327,628 987,321,000 2.43%
2 MICROSOFT CORP 13,950,405 713,843,000 1.76%
3 AMAZON COM INC 912,684 653,135,000 1.61%
4 ALPHABET INC 721,048 507,279,000 1.25%
5 COMCAST CORP NEW 7,644,506 498,345,000 1.23%
6 UNITEDHEALTH GROUP INC 3,510,535 495,688,000 1.22%
7 FACEBOOK INC 3,823,475 436,946,000 1.07%
8 HOME DEPOT INC 3,320,183 423,954,000 1.04%
9 COACH INC 9,987,087 406,874,000 1.00%
10 AT&T INC 9,263,012 400,255,000 0.98%
11 MCDONALDS CORP 3,269,339 393,433,000 0.97%
12 PEPSICO INC 3,712,447 393,296,000 0.97%
13 CISCO SYS INC 13,655,953 391,789,000 0.96%
14 WELLS FARGO & CO NEW 8,256,582 390,784,000 0.96%
15 AMGEN INC 2,308,247 351,200,000 0.86%
16 MERCK & CO INC 5,848,778 336,948,000 0.83%
17 GILEAD SCIENCES INC 4,031,342 336,294,000 0.83%
18 EXXON MOBIL CORP 3,451,102 323,506,000 0.80%
19 VISA INC 4,176,995 309,807,000 0.76%
20 COSTCO WHSL CORP NEW 1,929,433 302,998,000 0.74%
21 BRISTOL MYERS SQUIBB CO 3,921,275 288,410,000 0.71%
22 CHEVRON CORP NEW 2,723,117 285,464,000 0.70%
23 PHILIP MORRIS INTL INC 2,691,257 273,754,000 0.67%
24 MEAD JOHNSON NUTRITION CO 3,009,045 273,071,000 0.67%
25 COCA COLA CO 5,999,723 271,967,000 0.67%
26 JPMORGAN CHASE & CO 4,343,460 269,903,000 0.66%
27 MONSTER BEVERAGE COR 1,670,434 268,455,000 0.66%
28 EDWARDS LIFESCIENCES CORP 2,687,048 267,980,000 0.66%
29 HASBRO INC 3,164,347 265,773,000 0.65%
30 DANAHER CORP DEL 2,631,139 265,745,000 0.65%
31 DOLLAR GEN CORP NEW 2,821,674 265,237,000 0.65%
32 EQUINIX 675,630 261,963,000 0.64%
33 ROPER TECHNOLOGIES INC 1,470,075 250,736,000 0.62%
34 HONEYWELL INTL INC 2,149,791 250,064,000 0.61%
35 MEDTRONIC PLC 2,757,366 239,256,000 0.59%
36 BERKSHIRE HATHAWAY INC DEL 1,618,707 234,373,000 0.58%
37 ADOBE INC 2,436,150 233,358,000 0.57%
38 RED HAT INC 3,093,591 224,595,000 0.55%
39 DOW CHEM CO 4,490,394 223,218,000 0.55%
40 DISH NETWORK A 4,207,243 220,459,000 0.54%
41 QUALCOMM INC 4,111,565 220,257,000 0.54%
42 FOOT LOCKER INC 3,896,827 213,780,000 0.53%
43 CHURCH & DWIGHT 2,057,270 211,672,000 0.52%
44 ALLERGAN PLC 915,748 211,620,000 0.52%
45 APPLIED MATLS INC 8,441,631 202,346,000 0.50%
46 EASTMAN CHEM CO 2,933,545 199,188,000 0.49%
47 CROWN HLDGS INC 3,910,938 198,167,000 0.49%
48 UNION PAC CORP 2,234,687 194,976,000 0.48%
49 AON PLC 1,738,656 189,913,000 0.47%
50 BURLINGTON STORES INC 2,817,706 187,969,000 0.46%
Page 1 of 52

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001068837-16-000037, filed 2016.08.15).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.