VOYA INVESTMENT MANAGEMENT LLC Q4 2020 Filing

Filed February 16, 2021

Portfolio Value

$49.3M

Holdings

2,681

Report Date

Q4 2020

Filing Type

13F-HR

All Holdings (2,681 positions)

StockValue
RETAEURREATA PHARMACEUTICALS INC
$1.9M
STOKSTOKE THERAPEUTICS INC
$1.7M
SAILEURSAILPOINT TECHNOLOGIES HLDGS
$1.6M
GOSSGOSSAMER BIO INC
$1.6M
ARDXARDELYX INC
$1.6M
SNDXSYNDAX PHARMACEUTICALS INC
$1.6M
AXGNAXOGEN INC
$1.4M
CBAYUSDCYMABAY THERAPEUTICS INC
$1.4M
IMGNEURIMMUNOGEN INC
$1.4M
GEGGEO GROUP INC NEW
$1.4M
MIDWEST HLDG INC
$1.3M
EAELECTRONIC ARTS INC
$1.3M
BUWABIO RAD LABS INC
$1.3M
APLTAPPLIED THERAPEUTICS INC
$1.3M
EBAEBAY INC.
$1.3M
ONTRAK INC
$1.3M
ORICORIC PHARMACEUTICALS INC
$1.3M
PSTXUSDPOSEIDA THERAPEUTICS INC
$1.3M
IDXXIDEXX LABS INC
$1.3M
BRK/BBERKSHIRE HATHAWAY INC DEL
$1.2M
TTTRANE TECHNOLOGIES PLC
$1.2M
RAPTEURRAPT THERAPEUTICS INC
$1.2M
BTOB2GOLD CORP
$1.2M
SPTSPROUT SOCIAL INC
$1.1M
ALXNALEXION PHARMACEUTICALS INC
$1.1M
SPAQUSDFISKER INC
$1.1M
AEPAMERICAN ELEC PWR CO INC
$1.1M
BAXBAXTER INTL INC
$1.1M
APHAMPHENOL CORP NEW
$1.1M
CHCTCOMMUNITY HEALTHCARE TR INC
$1.1M
XLNXEURXILINX INC
$1.1M
PSAPUBLIC STORAGE
$1.1M
XELXCEL ENERGY INC
$1.1M
PCARPACCAR INC
$1.0M
TWTRUSDTWITTER INC
$1.0M
SERVUSDTERMINIX GLOBAL HOLDINGS INC
$1.0M
DOWDOW INC
$1.0M
WMBWILLIAMS COS INC
$1.0M
METAFACEBOOK INC
$1.0M
JCIJOHNSON CTLS INTL PLC
$1.0M
CLXCLOROX CO DEL
$1.0M
CLGXCORELOGIC INC
$1.0M
NATIONAL GEN HLDGS CORP
$1.0M
FTNTFORTINET INC
$1.0M
CMGCHIPOTLE MEXICAN GRILL INC
$1.0M
CNCCENTENE CORP DEL
$1.0M
CUBECUBESMART
$1.0M
FQIDIGITAL RLTY TR INC
$1.0M
COLONY CAP INC NEW
$999K
MRO*MARATHON OIL CORP
$997K
RAVEN INDS INC
$997K
GNLGLOBAL NET LEASE INC
$995K
TRUSTCO BK CORP N Y
$994K
SMCIUSDSUPER MICRO COMPUTER INC
$991K
AXSMAXSOME THERAPEUTICS INC
$990K
DOMODOMO INC
$988K
CARRCARRIER GLOBAL CORPORATION
$987K
KMIKINDER MORGAN INC DEL
$986K
PPGPPG INDS INC
$986K
CPFCENTRAL PAC FINL CORP
$983K
AMCXAMC NETWORKS INC
$983K
CMPCOMPASS MINERALS INTL INC
$981K
ALSNALLISON TRANSMISSION HLDGS I
$981K
9990302DAPACHE CORP
$978K
PTCTPTC THERAPEUTICS INC
$977K
EFTTECHTARGET INC
$977K
GDGENERAL DYNAMICS CORP
$976K
SRESEMPRA ENERGY
$975K
PNTGPENNANT GROUP INC
$975K
CALXCALIX INC
$973K
PIIPOLARIS INC
$971K
FLRFLUOR CORP NEW
$971K
WSBCWESBANCO INC
$970K
RMERESMED INC
$968K
VRSKVERISK ANALYTICS INC
$966K
CYBRCYBERARK SOFTWARE LTD
$966K
IOSPINNOSPEC INC
$966K
AWIARMSTRONG WORLD INDS INC
$964K
TCMDTACTILE SYS TECHNOLOGY INC
$962K
TMETENCENT MUSIC ENTMT GROUP
$959K
FFORD MTR CO DEL
$958K
ZM3ZUMIEZ INC
$957K
GEFGREIF INC
$955K
SAVESPIRIT AIRLS INC
$955K
AVNSAVANOS MED INC
$954K
WNCWABASH NATL CORP
$953K
BALLBALL CORP
$952K
BB4AXOS FINANCIAL INC
$951K
CUBICUSTOMERS BANCORP INC
$949K
LGNDLIGAND PHARMACEUTICALS INC
$947K
PAYXPAYCHEX INC
$946K
NAVNAVISTAR INTL CORP NEW
$945K
MTDRMATADOR RES CO
$944K
KWKENNEDY-WILSON HOLDINGS INC
$940K
TELTE CONNECTIVITY LTD
$937K
FASTFASTENAL CO
$937K
GPKGRAPHIC PACKAGING HLDG CO
$937K
SRCLSTERICYCLE INC
$936K
CORECORE MARK HOLDING CO INC
$935K
JT5MUELLER WTR PRODS INC
$933K
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