
VOYA INVESTMENTS, LLC
Latest 13F filing data - Q2 2000
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | TSM | 127K | $4.04M |
![]() | MS | 125K | $10.41M |
![]() | MU | 123K | $10.85M |
![]() | HD | 122K | $6.08M |
![]() | DOV | 120K | $4.87M |
![]() | PH | 119K | $4.09M |
![]() | SMTC | 119K | $9.12M |
![]() | A | 119K | $8.78M |
![]() | BBY | 118K | $7.47M |
![]() | LLY | 117K | $11.72M |
![]() | KO | 117K | $6.73M |
![]() | UNH | 111K | $9.56M |
![]() | TGT | 110K | $6.00M |
![]() | TTE | 102K | $7.83M |
![]() | CAH | 100K | $7.41M |
![]() | VRTX | 100K | $10.49M |
![]() | UTHR | 99K | $10.77M |
![]() | AVY | 99K | $6.61M |
![]() | AIG | 98K | $11.53M |
![]() | WFC | 95K | $3.68M |

Taiwan Semiconductor Manufacturing Company Limited
TSM
Shares Held
127K
Value
$4.04M

Morgan Stanley
MS
Shares Held
125K
Value
$10.41M

Micron Technology, Inc.
MU
Shares Held
123K
Value
$10.85M

The Home Depot, Inc.
HD
Shares Held
122K
Value
$6.08M

Dover Corporation
DOV
Shares Held
120K
Value
$4.87M

Parker-Hannifin Corporation
PH
Shares Held
119K
Value
$4.09M

Semtech Corporation
SMTC
Shares Held
119K
Value
$9.12M

Agilent Technologies, Inc.
A
Shares Held
119K
Value
$8.78M

Best Buy Co., Inc.
BBY
Shares Held
118K
Value
$7.47M

Eli Lilly and Company
LLY
Shares Held
117K
Value
$11.72M

The Coca-Cola Company
KO
Shares Held
117K
Value
$6.73M

UnitedHealth Group Incorporated
UNH
Shares Held
111K
Value
$9.56M

Target Corporation
TGT
Shares Held
110K
Value
$6.00M

TotalEnergies SE
TTE
Shares Held
102K
Value
$7.83M

Cardinal Health, Inc.
CAH
Shares Held
100K
Value
$7.41M

Vertex Pharmaceuticals Incorporated
VRTX
Shares Held
100K
Value
$10.49M

United Therapeutics Corporation
UTHR
Shares Held
99K
Value
$10.77M

Avery Dennison Corporation
AVY
Shares Held
99K
Value
$6.61M

American International Group, Inc.
AIG
Shares Held
98K
Value
$11.53M

Wells Fargo & Company
WFC
Shares Held
95K
Value
$3.68M
