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IRMGX Holdings List NMFQS:IRMGX

Allocation--50% to 70% Equity | Voya
$10.26
↑ $0.00 (0.00%)
Last Updated: Feb 11, 2026

Voya Retirement Moderately Aggressive Portfolio ADV (IRMGX) is a Allocation--50% to 70% Equity fund with $1.97 Billion in assets. The fund allocates 158.80% of its portfolio to its top 10 holdings. It primarily invests in averagemarketcap cap stocks , with a focus on the cash and equivalents sector.

The largest holding in the fund is Voya US Stock Index Portfolio at 46.43% of total assets. This is followed by Voya US Bond Index Portfolio (27.53%) and Voya Short Term Bond Fund (8.02%).

IRMGX Holdings

Name Weight Owned Change
Voya US Stock Index Portfolio 46.43% - -
Voya US Bond Index Portfolio 27.53% - -
Voya Short Term Bond Fund 8.02% - -
Voya International Index Portfolio 5.43% - -
Voya Russell Mid Cap Index Portfolio 4.96% - -
Voya Emerging Markets Index Portfolio 1.99% - -
Voya High Yield Bond Fund 1.96% - -
Voya Russell Large Cap Growth Index Portfolio 1.94% - -
Voya Short Duration Bond Fund 7.81% - -
VOYA U.S. STOCK INDEX PORTFOLIO 52.73% - -
VOYA U.S. BOND INDEX PORTFOLIO 24.95% - -
Voya RussellTM Mid Cap Index Portfolio 4.96% - -
Voya Multi-Manager Emerging Markets Equity Fund 1.99% - -

Asset Allocation

Bond 37.33%
Cash -2.89%
Non US Stock 8.04%
Not Classified 0.00%
Other 0.01%
US Stock 57.51%

Market Cap

AverageMarketCap 293684.73%
Giant 28.50%
Large 21.30%
Medium 13.87%
Micro 0.05%
Small 1.57%

Sector Weights

Cash and Equivalents 2.69%
Corporate 2.69%
Derivative 2.69%
Government 2.69%
Municipal 2.69%
Securitized 2.69%
Basic Materials 2.25%
Consumer Cyclical 10.50%
Financial Services 14.13%
Real Estate 2.25%
Consumer Defensive 4.92%
Healthcare 9.55%
Utilities 2.69%
Communication Services 9.83%
Energy 3.24%
Industrials 9.26%
Technology 31.37%

World Regions

Latin America 0.48%
North America 87.76%
Asia Developed 1.80%
Asia Emerging 1.07%
Australasia 0.56%
Japan 1.91%
Africa/Middle East 0.30%
Europe Developed 4.74%
Europe Emerging 0.08%
United Kingdom 1.29%