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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 (2016Q4)
Original 13F HR (0001068837-17-000005) filed in 2017.02.14
#
Name
Shares
Value ($)
%
Options
Notes
601 LOCKHEED MARTIN CORP 1,090 272 0.00%
602 ASHFORD HOSPITALITY TR INC 35,244 273 0.00%
603 CSW Industrials Inc. 7,409 273 0.00%
604 Franco-Nevada Corp. 4,593 274 0.00%
605 Quality Systems Inc 20,850 274 0.00%
606 CAESARS ACQUISITION CO 20,285 274 0.00%
607 PROGENICS PHARMACEUTICALS 31,737 274 0.00%
608 NATURAL GAS SERVICES GROUP 8,548 275 0.00%
609 AMETEK INC NEW 5,663 275 0.00%
610 ADVANCEPIERRE FOODS HLDGS IN COM 9,246 275 0.00%
611 GUESS INC 22,780 276 0.00%
612 CINCINNATI FINL CORP 3,649 276 0.00%
613 SANFILIPPO JOHN B & SON INC 3,921 276 0.00%
614 SCANA CORP CMN 3,783 277 0.00%
615 Landec Corp 20,076 277 0.00%
616 FIRST HAWAIIAN INC 7,959 277 0.00%
617 SYNTEL INC 13,972 277 0.00%
618 GLOBALSTAR INC 176,262 278 0.00%
619 FIRST FNDTN INC 9,741 278 0.00%
620 Yamana Gold Inc. 99,010 278 0.00%
621 ROADRUNNER TRNSN SVCS HLDG I 26,722 278 0.00%
622 BIOTELEMETRY INC 12,467 279 0.00%
623 SEAGATE TECHNOLOGY PLC CMN 7,298 279 0.00%
624 ISLE OF CAPRI CASINOS INC COM 11,313 279 0.00%
625 TRONOX LTD 27,034 279 0.00%
626 ENGILITY HLDGS INC NEW 8,320 280 0.00%
627 EAGLE PHARMACEUTICALS INC 3,529 280 0.00%
628 HEALTHSTREAM INC 11,193 280 0.00%
629 KINDRED HEALTHCARE INC COM STK 35,799 281 0.00%
630 YORK WTR CO 7,348 281 0.00%
631 DERMIRA INC 9,274 281 0.00%
632 Orthofix Intl. N V 7,790 282 0.00%
633 COMPANIA DE MINAS BUENAVENTU 25,011 282 0.00%
634 DOVER CORPORATION CMN 3,782 283 0.00%
635 Nmi Holdings Inc-Class A 26,536 283 0.00%
636 APPLIED MICRO CIRCUITS ORD 34,286 283 0.00%
637 GORMAN RUPP CO 9,134 283 0.00%
638 COHEN & STEERS INC 8,464 284 0.00%
639 AKAMAI TECHNOLOGIES INC CMN 4,257 284 0.00%
640 Blucora Inc. 19,329 285 0.00%
641 KFORCE INC COM 12,326 285 0.00%
642 BRISTOW GROUP INC 13,922 285 0.00%
643 DIAMOND HILL INVESTMENT GRP 1,361 286 0.00%
644 L3 TECHNOLOGIES INC COM 1,882 286 0.00%
645 Quad Graphics Inc 10,636 286 0.00%
646 TELETECH HOLDINGS INC 9,377 286 0.00%
647 BEST BUY INC 6,726 287 0.00%
648 TREDEGAR CORP 11,971 287 0.00%
649 FEDERAL AGRIC MTG CORP 5,036 288 0.00%
650 CALIFORNIA RES CORP 13,531 288 0.00%
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