V O Y A ' S F I X E D I N C O M E C A P A B I L I T I E S
Explore Beyond Core
Voya IM is the only manager to rank top 10 for U.S. institutional
tax-exempt core-plus bond, bank loans & private debt assets.*
Voya Investment Management's extensive fixed income platform is powered by 250+ investment professionals, delivering single-sector and multi-sector institutional strategies to help you build portfolios designed to meet specific objectives across the risk/return spectrum.
Following the bond market’s recent beating, term yields have already priced in aggressive Fed rate hikes, positioning core bonds to effectively diversify credit risk.
Our Fixed Income Investment Capabilities
*Pensions & Investments, "The Largest Money Managers", 5/31/21 based on assets in U.S. institutional tax-exempt accounts as of 12/31/20.
The principal risks are generally those attributable to bond investing. All investments in bonds are subject to market risks as well as issuer, credit, prepayment, extension, and other risks. The value of an investment in a fund is not guaranteed and will fluctuate. Market risk is the risk that securities may decline in value due to factors affecting the securities markets or particular industries. Bonds have fixed principal and return if held to maturity, but may fluctuate in the interim. Generally, when interest rates rise, bond prices fall. Bonds with longer maturities tend to be more sensitive to changes in interest rates. Issuer risk is the risk that the value of a security may decline for reasons specific to the issuer, such as changes in its financial condition.
Past Performance is no guarantee of future results.
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