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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
2351 PARKER HANNIFIN CORP 366,890 39,643,000 0.10%
2352 UNITED TECHNOLOGIES CORP 387,091 39,696,000 0.10%
2353 PERKINELMER INC 764,468 40,073,000 0.10%
2354 PLEXUS CORP COM 933,138 40,311,000 0.10%
2355 TEXTRON INC 1,108,917 40,543,000 0.10%
2356 LOWES COS INC 514,720 40,750,000 0.10%
2357 MICROSEMI CORP 1,250,970 40,883,000 0.10%
2358 COMERICA INC 1,005,852 41,370,000 0.10%
2359 WORTHINGTON INDS INC 991,909 41,957,000 0.10%
2360 COMMUNICATIONS SALES&LEAS 1,454,057 42,022,000 0.10%
2361 NETSCOUT SYS INC 1,902,490 42,330,000 0.10%
2362 MASTERCARD INCORPORATED 481,437 42,395,000 0.10%
2363 ISHARES RUSSELL 2000 GROWTH ETF 310,627 42,612,000 0.10%
2364 COMMERCIAL METALS CO COM 2,532,395 42,798,000 0.11%
2365 QLIK TECHNOLOGIES INC COM 1,448,995 42,862,000 0.11%
2366 CARRIZO OIL & GAS INC 1,201,167 43,063,000 0.11%
2367 UNITED PARCEL SERVICE INC 401,655 43,266,000 0.11%
2368 FULLER H B CO 984,258 43,297,000 0.11%
2369 MINERALS TECHNOLOGIES INC 769,972 43,735,000 0.11%
2370 GARTNER INC 452,151 44,045,000 0.11%
2371 CARDTRONICS INC COM 1,112,137 44,274,000 0.11%
2372 MASIMO CORP 847,168 44,490,000 0.11%
2373 BOEING CO 342,962 44,541,000 0.11%
2374 CANADIAN NAT RES LTD 1,449,594 44,687,000 0.11%
2375 ELECTRONICS FOR IMAGING INC 1,039,476 44,739,000 0.11%
2376 TELEDYNE TECHNOLOGIES INC 454,763 45,044,000 0.11%
2377 FAIR ISAAC CORP 399,277 45,122,000 0.11%
2378 WATTS WATER TECHNOLOGIES INC 778,631 45,363,000 0.11%
2379 TORO CO 515,507 45,468,000 0.11%
2380 ENI S P A 1,405,637 45,473,000 0.11%
2381 LABORATORY CORP AMER HLDGS 353,245 46,018,000 0.11%
2382 LITTELFUSE INC 392,621 46,404,000 0.11%
2383 CommVault Systems Inc 1,082,421 46,749,000 0.11%
2384 GAMING & LEISURE PPTYS INC 1,380,842 47,611,000 0.12%
2385 HALLIBURTON CO 1,071,757 48,540,000 0.12%
2386 SS&C TECHNOLOGIES HLDGS INC 1,729,824 48,574,000 0.12%
2387 BIOMARIN PHARMACEUTICAL INC 625,347 48,652,000 0.12%
2388 ULTIMATE SOFTWARE GROUP INCORPORATED 232,550 48,902,000 0.12%
2389 LINCOLN ELEC HLDGS INC 829,873 49,029,000 0.12%
2390 WASTE CONNECTIONS INC 692,131 49,869,000 0.12%
2391 AMC NETWORKS INC CL A 828,962 50,086,000 0.12%
2392 CHICAGO BRIDGE & IRON CO N V 1,454,678 50,375,000 0.12%
2393 VCA INCORPORATED 748,642 50,616,000 0.12%
2394 AFFILIATED MANAGERS GROUP 361,915 50,947,000 0.13%
2395 CHEESECAKE FACTORY INC 1,060,463 51,051,000 0.13%
2396 INTEGRATED DEVICE TECHNOLOGY 2,660,719 53,560,000 0.13%
2397 TEAM HEALTH HOLDINGS INC 1,318,487 53,623,000 0.13%
2398 MONRO MUFFLER BRAKE INC 847,430 53,862,000 0.13%
2399 CVS HEALTH CORP 562,983 53,900,000 0.13%
2400 MARATHON PETE CORP 1,421,229 53,950,000 0.13%
Page 48 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.