VOYA INVESTMENT MANAGEMENT LLC Q3 2016 Filing

Filed November 14, 2016

Portfolio Value

$52.8M

Holdings

2,536

Report Date

Q3 2016

Filing Type

13F-HR

All Holdings (2,536 positions)

StockValue
CALMCAL MAINE FOODS INC
$2.2M
ROICUSDRETAIL OPPORTUNITY INVTS COR
$2.2M
SCISERVICE CORP INTL
$2.2M
AMDADVANCED MICRO DEVICES INC
$2.2M
ERIEERIE INDTY CO
$2.2M
TDTORONTO DOMINION BK ONT
$2.2M
ZAYOEURZAYO GROUP HLDGS INC
$2.2M
AMERICAN CAPITAL AGENCY CORP
$2.2M
GWRUSDGENESEE & WYO INC
$2.2M
ALNYALNYLAM PHARMACEUTICALS INC
$2.2M
ATHENAHEALTH INC
$2.2M
MLKNMILLER HERMAN INC
$2.2M
RICEEURRICE ENERGY INC
$2.1M
DNKNDUNKIN BRANDS GROUP INC
$2.1M
HIWHIGHWOODS PPTYS INC
$2.1M
CRESCENT PT ENERGY CORP
$2.1M
IMS HEALTH HLDGS INC
$2.1M
NCLHNORWEGIAN CRUISE LINE HLDGS
$2.1M
NRANRG ENERGY INC
$2.1M
MIC2EURMACQUARIE INFRASTRUCTURE COR
$2.1M
RRYDER SYS INC
$2.1M
KLX INC
$2.1M
URBNURBAN OUTFITTERS INC
$2.1M
PIIPOLARIS INDS INC
$2.1M
AXTAAXALTA COATING SYS LTD
$2.1M
OIEUROWENS ILL INC
$2.1M
GRA1EURGRACE W R & CO DEL NEW
$2.1M
DCIDONALDSON INC
$2.1M
OCOWENS CORNING NEW
$2.1M
LSXMKUSDLIBERTY MEDIA CORP DELAWARE
$2.1M
CNSLEURCONSOLIDATED COMM HLDGS INC
$2.0M
HLFHERBALIFE LTD
$2.0M
SERVUSDSERVICEMASTER GLOBAL HLDGS I
$2.0M
AVAAVISTA CORP
$2.0M
ANAUTONATION INC
$2.0M
MCYMERCURY GENL CORP NEW
$2.0M
WSMWILLIAMS SONOMA INC
$2.0M
VOYAVOYA FINL INC
$2.0M
LMEURLEGG MASON INC
$2.0M
ISIIONIS PHARMACEUTICALS INC
$2.0M
NETSUITE INC
$2.0M
TTWOTAKE-TWO INTERACTIVE SOFTWAR
$2.0M
PANERA BREAD CO
$1.9M
CRICARTER INC
$1.9M
GCOGENESCO INC
$1.9M
PDCEUSDPDC ENERGY INC
$1.9M
LIBERTY INTERACTIVE CORP
$1.9M
CGNXCOGNEX CORP
$1.9M
ENERGEN CORP
$1.9M
EVEUREATON VANCE CORP
$1.9M
WRBBERKLEY W R CORP
$1.9M
AWRAMERICAN STS WTR CO
$1.9M
WEXWEX INC
$1.9M
NTGRNETGEAR INC
$1.9M
IACIEURIAC INTERACTIVECORP
$1.9M
KEYSKEYSIGHT TECHNOLOGIES INC
$1.9M
AQUA AMERICA INC
$1.9M
FDCFIRST DATA CORP NEW
$1.8M
HXLHEXCEL CORP NEW
$1.8M
MRVLMARVELL TECHNOLOGY GROUP LTD
$1.8M
ONON SEMICONDUCTOR CORP
$1.8M
GGGGRACO INC
$1.8M
NEENAH PAPER INC
$1.8M
TOLTOLL BROTHERS INC
$1.8M
FOREST CITY RLTY TR INC
$1.8M
AVTAVNET INC
$1.8M
TECHBIO TECHNE CORP
$1.8M
FSLRFIRST SOLAR INC
$1.8M
STWDSTARWOOD PPTY TR INC
$1.8M
HAFCHANMI FINL CORP
$1.8M
ENVISION HEALTHCARE HLDGS IN
$1.8M
VYXNCR CORP NEW
$1.8M
WAFDWASHINGTON FED INC
$1.8M
ATRAPTARGROUP INC
$1.8M
VEEVVEEVA SYS INC
$1.8M
RGLDROYAL GOLD INC
$1.8M
CLRUSDCONTINENTAL RESOURCES INC
$1.8M
VISNCOMMSCOPE HLDG CO INC
$1.7M
AZZAZZ INC
$1.7M
DEIDOUGLAS EMMETT INC
$1.7M
DST SYS INC DEL
$1.7M
BEMIS INC
$1.7M
SPRINT CORP
$1.7M
UFSDOMTAR CORP
$1.7M
WFRDWEATHERFORD INTL PLC
$1.7M
SLCAU S SILICA HLDGS INC
$1.7M
SIXEURSIX FLAGS ENTMT CORP NEW
$1.7M
SHOSUNSTONE HOTEL INVS INC NEW
$1.7M
EPREPR PPTYS
$1.7M
MDUMDU RES GROUP INC
$1.7M
RYROYAL BK CDA MONTREAL QUE
$1.7M
PIPRPIPER JAFFRAY COS
$1.7M
EBSEMERGENT BIOSOLUTIONS INC
$1.7M
ARANTERO RES CORP
$1.7M
CEPHEID
$1.6M
MHOM/I HOMES INC
$1.6M
TMUST MOBILE US INC
$1.6M
GGENPACT LIMITED
$1.6M
MMSMAXIMUS INC
$1.6M
EPCEDGEWELL PERS CARE CO
$1.6M
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