Voya Solution 2030 Portfolio

U.S. News evaluated 51 Target Date 2026-2030 Funds. Our list highlights the top-rated funds for long-term investors based on the ratings of leading fund industry researchers.

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Performance

The fund has returned 18.41 percent over the past year.

Trailing Returns Updated 06.30.2014
Year to date 5.7%
1 Year 18.4%
3 Years (Annualized) N/A
5 Years (Annualized) N/A
10 Years (Annualized) N/A

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Summary

The investment seeks to provide total return consistent with an asset allocation targeted at retirement in approximately 2030. The Portfolio invests in a combination of underlying funds, which are actively managed funds or passively managed funds (index funds), that invest in U.S. stocks, international stocks, U.S. bonds, and other debt instruments and it uses an asset allocation strategy designed for investors expecting to retire around the year 2030. The Portfolio's current approximate target investment allocations (expressed as a percentage of its net assets) among the underlying funds are as follows: 75% in equity securities; and 25% in debt instruments.

Fees

Fees are Average compared to funds in the same category.
Voya Solution 2030 Portfolio has an expense ratio of 0.14 percent.

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Risk

Risk is N/A compared to funds in the same category according to Morningstar.

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