Dark
Light
System
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
951 WABTEC CORP 83,258 6,912 0.02%
952 PROOFPOINT INC 97,816 6,911 0.02%
953 C H ROBINSON WORLDWIDE INC 94,095 6,893 0.02%
954 WATERS CORP 51,003 6,854 0.02%
955 ELECTRONICS FOR IMAGING INC 156,118 6,847 0.02%
956 CommVault Systems Inc 133,190 6,846 0.02%
957 CAMDEN PROPERTY TRUS 81,411 6,844 0.02%
958 HARLEY DAVIDSON INC 117,178 6,836 0.02%
959 CHUBB LIMITED 51,737 6,835 0.02%
960 INCYTE CORP 68,158 6,834 0.02%
961 FORD MTR CO DEL 561,938 6,816 0.02%
962 BIG LOTS INC COM 135,655 6,811 0.02%
963 HEALTHSOUTH CORP 164,926 6,802 0.02%
964 TA Associates Management LP 767,534 6,762 0.02%
965 ROWAN COMPANIES PLC SHS CL A 357,260 6,749 0.02%
966 MINERALS TECHNOLOGIES INC 87,281 6,742 0.02%
967 CARLISLE COS INC 61,008 6,729 0.02%
968 CABOT OIL & GAS CORP 287,168 6,708 0.02%
969 CENTENE CORP DEL 118,451 6,694 0.02%
970 RAYTHEON CO 46,929 6,664 0.02%
971 LITTELFUSE INC 43,865 6,657 0.02%
972 CINTAS CORP 57,297 6,621 0.02%
973 NAVIENT CORPORATION 401,306 6,593 0.02%
974 FEDERAL REALTY INVS 46,377 6,591 0.02%
975 YUM BRANDS INC 104,038 6,589 0.02%
976 TRACTOR SUPPLY CO 86,580 6,564 0.02%
977 WELLS FARGO CO NEW 119,092 6,563 0.02%
978 VERTEX PHARMACEUTICALS INC 88,940 6,552 0.02%
979 PRUDENTIAL FINL INC 62,949 6,550 0.02%
980 ACTIVISION BLIZZARD INC 181,289 6,546 0.02%
981 WATTS WATER TECHNOLOGIES INC 100,107 6,527 0.02%
982 BB&T CORP 138,820 6,527 0.02%
983 ALIGN TECHNOLOGY INC 67,259 6,466 0.02%
984 Aspen Insurance Holdingf 117,462 6,460 0.02%
985 MDU RES GROUP INC 223,126 6,419 0.02%
986 VALVOLINE INC 298,311 6,414 0.02%
987 VIRTUSA CORPORATION 255,334 6,414 0.02%
988 BANK AMER CORP 290,101 6,411 0.02%
989 V F CORP 120,155 6,410 0.02%
990 SEALED AIR CORP NEW 141,254 6,404 0.02%
991 PERRIGO CO PLC 76,579 6,374 0.02%
992 PEBBLEBROOK HOTEL TR 214,219 6,373 0.02%
993 FULLER H B CO 131,865 6,370 0.02%
994 SM ENERGY CO 184,676 6,368 0.02%
995 CRAY INC 307,561 6,367 0.02%
996 LIBERTY PROP 161,124 6,364 0.02%
997 LIGAND PHARMACEUTICALS INC 62,499 6,351 0.02%
998 ALLERGAN PLC 30,235 6,350 0.02%
999 AMETEK INC NEW 130,639 6,349 0.02%
1000 CMS ENERGY CORP 152,340 6,340 0.02%
Page 20 of 77