Voya FTSE 100 Index® Portfolio

Fund Holdings

Asset Allocation

% Long % Net
Cash 1.37 1.37
Stocks 0.25 0.25
Bonds 0.0 0.0
Other 0.0 0.0
Foreign Bonds 0.0 0.0
Foreign Stocks 98.38 98.38
Convertible 0.0 0.0
Preferred 0.0 0.0

Updated 03.31.2014

Top 10 Holdings

Performance as of 06.30.2014

Portfolio as of 03.31.2014

Ticker YTD Return % % Net Assets
HSBC Holdings PLC HBCYF -3.24 6.66
BP PLC BPAQF 13.36 5.18
Royal Dutch Shell PLC Class A RYDAF 18.84 4.93
GlaxoSmithKline PLC GLAXF 6.1 4.53
British American Tobacco PLC BTAFF 14.65 3.68
Vodafone Group PLC VODPF -51.52 3.41
Royal Dutch Shell PLC Class B RYDBF 18.4 3.34
AstraZeneca PLC AZNCF 28.89 2.82
Diageo PLC DGEAF 1.12 2.73
Rio Tinto PLC RTPPF 0.07 2.43