Voya Global Equity Dividend and Premium Opportunity Fund | PORTFOLIO OF INVESTMENTS |
as of November 30, 2019 (Unaudited) |
Shares | | | | | Value | | | Percentage of Net Assets | |
COMMON STOCK: 97.9% | |
| | | Australia: 3.1% |
84,484 | | | AGL Energy Ltd. | | $ | 1,166,058 | | | | 0.2 | |
734,855 | | | Aurizon Holdings Ltd. | | | 2,875,365 | | | | 0.4 | |
128,195 | | | BHP Group Ltd. | | | 3,305,521 | | | | 0.5 | |
223,719 | | | Coca-Cola Amatil Ltd. | | | 1,722,812 | | | | 0.3 | |
155,293 | | | Crown Resorts Ltd. | | | 1,358,067 | | | | 0.2 | |
10,512 | | | Macquarie Group Ltd. | | | 982,289 | | | | 0.1 | |
106,873 | | | Newcrest Mining Ltd. | | | 2,225,592 | | | | 0.3 | |
76,978 | | | Rio Tinto Ltd. | | | 5,046,819 | | | | 0.7 | |
40,441 | | | Sonic Healthcare Ltd. | | | 824,844 | | | | 0.1 | |
274,161 | | | Sydney Airport | | | 1,704,439 | | | | 0.3 | |
| | | | | | 21,211,806 | | | | 3.1 | |
| | | | | | | | | | | |
| | | Belgium: 0.3% | | | | | | | | |
25,601 | | | UCB S.A. | | | 2,074,100 | | | | 0.3 | |
| | | | | | | | | | | |
| | | Canada: 4.6% | | | | | | | | |
39,192 | | | Bank of Nova Scotia | | | 2,211,133 | | | | 0.3 | |
80,315 | | | BCE, Inc. | | | 3,866,100 | | | | 0.6 | |
47,849 | | | Canadian Imperial Bank of Commerce - XTSE | | | 4,159,185 | | | | 0.6 | |
80,475 | | | CI Financial Corp. | | | 1,267,437 | | | | 0.2 | |
51,645 | | | Empire Co. Ltd. | | | 1,382,980 | | | | 0.2 | |
70,245 | | | Great-West Lifeco, Inc. | | | 1,768,949 | | | | 0.3 | |
19,053 | | | iA Financial Corp., Inc. | | | 975,385 | | | | 0.1 | |
16,553 | | | Kirkland Lake Gold Ltd. | | | 695,244 | | | | 0.1 | |
65,536 | | | National Bank Of Canada | | | 3,510,417 | | | | 0.5 | |
61,986 | | | Open Text Corp. | | | 2,698,675 | | | | 0.4 | |
18,661 | | | Rogers Communications, Inc. | | | 905,023 | | | | 0.1 | |
97,905 | | | TELUS Corp. | | | 3,696,406 | | | | 0.6 | |
43,498 | | | Waste Connections, Inc. | | | 3,938,744 | | | | 0.6 | |
| | | | | | 31,075,678 | | | | 4.6 | |
| | | | | | | | | | | |
| | | China: 0.4% | | | | | | | | |
833,500 | | | BOC Hong Kong Holdings Ltd. | | | 2,831,463 | | | | 0.4 | |
| | | | | | | | | | | |
| | | Denmark: 1.2% | | | | | | | | |
16,315(1) | | | Carlsberg A/S | | | 2,347,125 | | | | 0.3 | |
17,854(1) | | | H Lundbeck A/S | | | 683,994 | | | | 0.1 | |
90,474(1) | | | Novo Nordisk A/S | | | 5,085,740 | | | | 0.8 | |
| | | | | | 8,116,859 | | | | 1.2 | |
| | | | | | | | | | | |
| | | Finland: 0.8% | | | | | | | | |
19,658(1) | | | Neste OYJ | | | 664,501 | | | | 0.1 | |
21,922(1) | | | Orion Oyj | | | 954,065 | | | | 0.2 | |
85,162(1) | | | Sampo OYJ | | | 3,443,599 | | | | 0.5 | |
| | | | | | 5,062,165 | | | | 0.8 | |
| | | | | | | | | | | |
| | | France: 2.1% | | | | | | | | |
54,541(1) | | | Alstom SA | | | 2,378,461 | | | | 0.4 | |
39,892(1) | | | Edenred | | | 1,980,323 | | | | 0.3 | |
10,659(1) | | | Eiffage SA | | | 1,163,457 | | | | 0.2 | |
84,527(1) | | | Getlink SE | | | 1,425,683 | | | | 0.2 | |
214,792(1) | | | Orange SA | | | 3,548,990 | | | | 0.5 | |
66,826(1) | | | Societe Generale | | | 2,100,079 | | | | 0.3 | |
11,172(1) | | | Sodexo SA | | | 1,302,319 | | | | 0.2 | |
| | | | | | 13,899,312 | | | | 2.1 | |
| | | Germany: 1.1% |
6,046 | | | Allianz SE | | | 1,446,008 | | | | 0.2 | |
53,711(1) | | | Deutsche Lufthansa AG | | | 1,019,054 | | | | 0.1 | |
98,446(1) | | | Deutsche Post AG | | | 3,670,159 | | | | 0.6 | |
420,211(1) | | | Telefonica Deutschland Holding AG | | | 1,282,935 | | | | 0.2 | |
| | | | | | 7,418,156 | | | | 1.1 | |
| | | | | | | | | | | |
| | | Guernsey: 0.5% | | | | | | | | |
51,694 | | | Amdocs Ltd. | | | 3,582,394 | | | | 0.5 | |
| | | | | | | | | | | |
| | | Hong Kong: 1.0% | | | | | | | | |
401,500 | | | CK Hutchison Holdings Ltd. | | | 3,646,282 | | | | 0.5 | |
803,000 | | | HKT Trust / HKT Ltd. | | | 1,177,651 | | | | 0.2 | |
15,400 | | | Jardine Matheson Holdings Ltd. | | | 865,697 | | | | 0.1 | |
197,500 | | | Power Assets Holdings Ltd. | | | 1,373,060 | | | | 0.2 | |
| | | | | | 7,062,690 | | | | 1.0 | |
| | | | | | | | | | | |
| | | Israel: 0.3% | | | | | | | | |
270,082 | | | Bank Leumi Le-Israel BM | | | 1,957,390 | | | | 0.3 | |
| | | | | | | | | | | |
| | | Italy: 0.9% | | | | | | | | |
194,127(1),(2) | | | Poste Italiane SpA | | | 2,262,966 | | | | 0.4 | |
700,219(1) | | | Snam SpA | | | 3,478,954 | | | | 0.5 | |
| | | | | | 5,741,920 | | | | 0.9 | |
| | | | | | | | | | | |
| | | Japan: 8.2% | | | | | | | | |
79,500 | | | ANA Holdings, Inc. | | | 2,708,650 | | | | 0.4 | |
145,400 | | | Canon, Inc. | | | 4,027,812 | | | | 0.6 | |
13,800 | | | Central Japan Railway Co. | | | 2,788,741 | | | | 0.4 | |
78,300 | | | Fuji Film Holdings Corp. | | | 3,702,441 | | | | 0.6 | |
2,900 | | | Hikari Tsushin, Inc. | | | 676,817 | | | | 0.1 | |
109,700 | | | Japan Airlines Co. Ltd. | | | 3,410,129 | | | | 0.5 | |
43,900 | | | Kamigumi Co., Ltd. | | | 973,784 | | | | 0.2 | |
29,700 | | | Konami Holdings Corp. | | | 1,308,477 | | | | 0.2 | |
13,400 | | | Kyocera Corp. | | | 912,982 | | | | 0.1 | |
39,700 | | | Kyushu Railway Co. | | | 1,352,684 | | | | 0.2 | |
31,500 | | | Medipal Holdings Corp. | | | 676,362 | | | | 0.1 | |
18,500 | | | MEIJI Holdings Co., Ltd. | | | 1,258,200 | | | | 0.2 | |
33,700 | | | Mitsubishi Corp. | | | 883,323 | | | | 0.1 | |
100,800 | | | MS&AD Insurance Group Holdings, Inc. | | | 3,263,124 | | | | 0.5 | |
28,200 | | | Nippon Electric Glass Co., Ltd. | | | 598,408 | | | | 0.1 | |
53,200 | | | Nippon Telegraph & Telephone Corp. | | | 2,687,617 | | | | 0.4 | |
24,800 | | | NTT DoCoMo, Inc. | | | 680,919 | | | | 0.1 | |
173,500 | | | ORIX Corp. | | | 2,844,035 | | | | 0.4 | |
24,700 | | | Sankyo Co., Ltd. | | | 835,851 | | | | 0.1 | |
124,600 | | | Seiko Epson Corp. | | | 1,898,470 | | | | 0.3 | |
183,700 | | | Sekisui House Ltd. | | | 3,972,820 | | | | 0.6 | |
88,100 | | | Softbank Corp. | | | 1,196,774 | | | | 0.2 | |
241,500 | | | Sumitomo Corp. | | | 3,642,472 | | | | 0.5 | |
35,600 | | | Sumitomo Mitsui Financial Group, Inc. | | | 1,303,542 | | | | 0.2 | |
47,100 | | | Sundrug Co., Ltd. | | | 1,655,634 | | | | 0.3 | |
16,400 | | | Suzuken Co., Ltd. | | | 717,717 | | | | 0.1 | |
756 | | | United Urban Investment Corp. | | | 1,471,650 | | | | 0.2 | |
Voya Global Equity Dividend and Premium Opportunity Fund | PORTFOLIO OF INVESTMENTS |
as of November 30, 2019 (Unaudited) (Continued) |
Shares | | | | | | Value | | | | Percentage of Net Assets | |
COMMON STOCK: (continued) | | | | | | | | |
| | | Japan: (continued) | | | | | | | | |
39,800 | | | West Japan Railway Co. | | $ | 3,506,822 | | | | 0.5 | |
| | | | | | 54,956,257 | | | | 8.2 | |
| | | | | | | | | | | |
| | | Netherlands: 3.0% | | | | | | | | |
98,441(1),(2) | | | ABN AMRO Bank NV | | | 1,677,749 | | | | 0.3 | |
253,599(1) | | | ING Groep NV | | | 2,916,326 | | | | 0.4 | |
216,927(1) | | | Koninklijke KPN NV | | | 668,098 | | | | 0.1 | |
89,146(1) | | | NN Group NV | | | 3,419,505 | | | | 0.5 | |
229,999 | | | Royal Dutch Shell PLC - Class A | | | 6,588,920 | | | | 1.0 | |
82,157(1) | | | Unilever NV | | | 4,887,741 | | | | 0.7 | |
| | | | | | 20,158,339 | | | | 3.0 | |
| | | | | | | | | | | |
| | | New Zealand: 0.1% | | | | | | | | |
261,646 | | | Spark New Zealand Ltd. | | | 762,725 | | | | 0.1 | |
| | | | | | | | | | | |
| | | Norway: 0.7% | | | | | | | | |
119,226(1) | | | Mowi ASA | | | 2,956,809 | | | | 0.4 | |
125,237(1) | | | Orkla ASA | | | 1,212,041 | | | | 0.2 | |
46,750(1) | | | Telenor ASA | | | 853,542 | | | | 0.1 | |
| | | | | | 5,022,392 | | | | 0.7 | |
| | | | | | | | | | | |
| | | Singapore: 0.8% | | | | | | | | |
720,900 | | | ComfortDelgro Corp., Ltd. | | | 1,239,538 | | | | 0.2 | |
203,000 | | | SATS Ltd. | | | 739,082 | | | | 0.1 | |
234,100 | | | Singapore Exchange Ltd. | | | 1,514,519 | | | | 0.2 | |
326,600 | | | Singapore Technologies Engineering Ltd. | | | 986,630 | | | | 0.2 | |
920,400 | | | Yangzijiang Shipbuilding Holdings Ltd. | | | 693,031 | | | | 0.1 | |
| | | | | | 5,172,800 | | | | 0.8 | |
| | | | | | | | | | | |
| | | Spain: 2.0% | | | | | | | | |
11,249(1),(2) | | | Aena SME SA | | | 2,064,110 | | | | 0.3 | |
53,966(1) | | | Amadeus IT Group SA | | | 4,293,784 | | | | 0.6 | |
90,261(1) | | | Enagas | | | 2,247,034 | | | | 0.3 | |
128,649 | | | Ferrovial SA - FERE | | | 3,817,055 | | | | 0.6 | |
121,406 | | | Telefonica S.A. | | | 928,517 | | | | 0.2 | |
| | | | | | 13,350,500 | | | | 2.0 | |
| | | | | | | | | | | |
| | | Switzerland: 2.5% | | | | | | | | |
44,947 | | | Nestle SA | | | 4,667,514 | | | | 0.7 | |
23,989 | | | Roche Holding AG | | | 7,395,640 | | | | 1.1 | |
12,887 | | | Zurich Insurance Group AG | | | 5,057,571 | | | | 0.7 | |
| | | | | | 17,120,725 | | | | 2.5 | |
| | | | | | | | | | | |
| | | United Kingdom: 4.9% | | | | | | | | |
244,530(2) | | | Auto Trader Group PLC | | | 1,776,143 | | | | 0.3 | |
360,861 | | | Aviva PLC | | | 1,882,154 | | | | 0.3 | |
535,919 | | | Barclays PLC | | | 1,184,498 | | | | 0.2 | |
216,823 | | | Barratt Developments PLC | | | 1,869,264 | | | | 0.3 | |
822,020 | | | BT Group PLC | | | 2,035,100 | | | | 0.3 | |
121,475 | | | Compass Group PLC | | | 2,976,411 | | | | 0.4 | |
452,884 | | | Direct Line Insurance Group PLC | | | 1,787,819 | | | | 0.3 | |
263,976 | | | Evraz PLC | | | 1,264,143 | | | | 0.2 | |
238,333 | | | GlaxoSmithKline PLC | | | 5,414,788 | | | | 0.8 | |
1,132,426 | | | Legal & General Group PLC | | | 4,109,527 | | | | 0.6 | |
574,481 | | | Marks & Spencer Group PLC | | | 1,443,162 | | | | 0.2 | |
136,596 | | | Persimmon PLC | | | 4,516,960 | | | | 0.7 | |
348,582 | | | Royal Bank of Scotland Group PLC | | | 1,019,415 | | | | 0.1 | |
866,316 | | | Vodafone Group PLC | | | 1,715,470 | | | | 0.2 | |
| | | | | | 32,994,854 | | | | 4.9 | |
| | | | | | | | | | | |
| | | United States: 59.4% | | | | | | | | |
71,644 | | | AbbVie, Inc. | | | 6,285,328 | | | | 0.9 | |
10,022 | | | Accenture PLC | | | 2,016,026 | | | | 0.3 | |
81,389 | | | Aflac, Inc. | | | 4,463,373 | | | | 0.7 | |
21,812 | | | Air Products & Chemicals, Inc. | | | 5,154,830 | | | | 0.8 | |
16,166 | | | Allison Transmission Holdings, Inc. | | | 782,434 | | | | 0.1 | |
24,915 | | | Allstate Corp. | | | 2,774,285 | | | | 0.4 | |
115,479 | | | Altria Group, Inc. | | | 5,739,306 | | | | 0.9 | |
38,121 | | | Ameren Corp. | | | 2,833,534 | | | | 0.4 | |
20,124 | | | Amgen, Inc. | | | 4,723,505 | | | | 0.7 | |
274,317 | | | Annaly Capital Management, Inc. | | | 2,559,378 | | | | 0.4 | |
111,762 | | | Apple Hospitality REIT, Inc. | | | 1,817,250 | | | | 0.3 | |
194,731 | | | AT&T, Inc. | | | 7,279,045 | | | | 1.1 | |
15,123 | | | Avnet, Inc. | | | 614,750 | | | | 0.1 | |
75,596 | | | Bank of America Corp. | | | 2,518,859 | | | | 0.4 | |
134,721 | | | BGC Partners, Inc. | | | 781,382 | | | | 0.1 | |
50,346 | | | Booz Allen Hamilton Holding Corp. | | | 3,663,175 | | | | 0.5 | |
30,402 | | | Brinker International, Inc. | | | 1,362,010 | | | | 0.2 | |
95,137 | | | Bristol-Myers Squibb Co. | | | 5,417,101 | | | | 0.8 | |
29,320 | | | Broadridge Financial Solutions, Inc. ADR | | | 3,627,177 | | | | 0.5 | |
6,568 | | | Camden Property Trust | | | 732,660 | | | | 0.1 | |
4,425 | | | Carlisle Cos., Inc. | | | 690,211 | | | | 0.1 | |
62,430 | | | CDK Global, Inc. | | | 3,343,126 | | | | 0.5 | |
8,640 | | | CDW Corp. | | | 1,166,832 | | | | 0.2 | |
4,115 | | | Chemed Corp. | | | 1,769,532 | | | | 0.3 | |
52,074 | | | Chevron Corp. | | | 6,099,428 | | | | 0.9 | |
71,219 | | | Chimera Investment Corp. | | | 1,450,731 | | | | 0.2 | |
55,234 | | | Cinemark Holdings, Inc. | | | 1,870,776 | | | | 0.3 | |
138,359 | | | Cisco Systems, Inc. | | | 6,269,046 | | | | 0.9 | |
9,534 | | | Citigroup, Inc. | | | 716,194 | | | | 0.1 | |
36,696 | | | Citrix Systems, Inc. | | | 4,139,676 | | | | 0.6 | |
57,733 | | | CMS Energy Corp. | | | 3,539,033 | | | | 0.5 | |
12,151 | | | Columbia Sportswear Co. | | | 1,123,967 | | | | 0.2 | |
31,590 | | | Comerica, Inc. | | | 2,224,252 | | | | 0.3 | |
53,108 | | | CoreCivic, Inc. | | | 804,586 | | | | 0.1 | |
11,070 | | | CSX Corp. | | | 791,948 | | | | 0.1 | |
30,980 | | | Darden Restaurants, Inc. | | | 3,669,271 | | | | 0.5 | |
21,272 | | | DTE Energy Co. | | | 2,657,724 | | | | 0.4 | |
24,739 | | | Eaton Corp. PLC | | | 2,288,358 | | | | 0.3 | |
43,914 | | | Eli Lilly & Co. | | | 5,153,308 | | | | 0.8 | |
10,598 | | | Encompass Health Corp. | | | 749,385 | | | | 0.1 | |
232,442 | | | Equitrans Midstream Corp. | | | 2,317,447 | | | | 0.3 | |
4,031 | | | Everest Re Group Ltd. | | | 1,093,449 | | | | 0.2 | |
50,310 | | | Evergy, Inc. | | | 3,183,114 | | | | 0.5 | |
Voya Global Equity Dividend and Premium Opportunity Fund | PORTFOLIO OF INVESTMENTS |
as of November 30, 2019 (Unaudited) (Continued) |
Shares | | | | | Value | | | Percentage of Net Assets | |
COMMON STOCK: (continued) |
| | | United States: (continued) | | | | | | | | |
19,167 | | | Exelon Corp. | | $ | 851,015 | | | | 0.1 | |
29,129 | | | Expedia Group, Inc. | | | 2,961,254 | | | | 0.4 | |
18,148 | | | Exxon Mobil Corp. | | | 1,236,423 | | | | 0.2 | |
4,846 | | | Federal Realty Investment Trust | | | 640,011 | | | | 0.1 | |
26,905 | | | Fidelity National Financial, Inc. | | | 1,281,485 | | | | 0.2 | |
55,412 | | | Flir Systems, Inc. | | | 2,967,867 | | | | 0.4 | |
42,231 | | | Flowers Foods, Inc. | | | 909,233 | | | | 0.1 | |
70,697 | | | Gaming and Leisure Properties, Inc. | | | 2,983,413 | | | | 0.4 | |
76,142 | | | General Mills, Inc. | | | 4,059,891 | | | | 0.6 | |
26,943 | | | General Motors Co. | | | 969,948 | | | | 0.1 | |
33,974 | | | Genuine Parts Co. | | | 3,545,866 | | | | 0.5 | |
48,747 | | | Geo Group, Inc./The | | | 675,633 | | | | 0.1 | |
64,044 | | | Hartford Financial Services Group, Inc. | | | 3,961,762 | | | | 0.6 | |
8,858 | | | HCA Healthcare, Inc. | | | 1,228,250 | | | | 0.2 | |
28,019 | | | Hershey Co. | | | 4,151,295 | | | | 0.6 | |
201,978 | | | Hewlett Packard Enterprise Co. | | | 3,197,312 | | | | 0.5 | |
32,293 | | | Honeywell International, Inc. | | | 5,765,915 | | | | 0.9 | |
107,194 | | | Intel Corp. | | | 6,222,612 | | | | 0.9 | |
39,449 | | | International Business Machines Corp. | | | 5,303,918 | | | | 0.8 | |
14,400 | | | Intuit, Inc. | | | 3,728,016 | | | | 0.6 | |
31,528 | | | j2 Global, Inc. | | | 3,058,847 | | | | 0.5 | |
76,403 | | | Jabil, Inc. | | | 2,967,493 | | | | 0.4 | |
66,800 | | | Johnson & Johnson | | | 9,184,332 | | | | 1.4 | |
45,985 | | | JPMorgan Chase & Co. | | | 6,058,984 | | | | 0.9 | |
121,148 | | | Juniper Networks, Inc. | | | 3,035,969 | | | | 0.5 | |
25,865 | | | Kimberly-Clark Corp. | | | 3,526,434 | | | | 0.5 | |
35,545 | | | Kohl's Corp. | | | 1,670,970 | | | | 0.2 | |
20,086 | | | L3Harris Technologies, Inc. | | | 4,039,094 | | | | 0.6 | |
13,210 | | | Lamar Advertising Co. | | | 1,102,110 | | | | 0.2 | |
43,043 | | | Leidos Holdings, Inc. | | | 3,910,026 | | | | 0.6 | |
6,141 | | | Life Storage, Inc. | | | 672,562 | | | | 0.1 | |
40,254 | | | LogMeIn, Inc. | | | 3,139,007 | | | | 0.5 | |
62,388 | | | Maxim Integrated Products | | | 3,535,528 | | | | 0.5 | |
24,222 | | | MAXIMUS, Inc. | | | 1,808,172 | | | | 0.3 | |
21,668 | | | McDonald's Corp. | | | 4,213,993 | | | | 0.6 | |
82,770 | | | Merck & Co., Inc. | | | 7,215,889 | | | | 1.1 | |
165,060 | | | MFA Financial, Inc. | | | 1,264,360 | | | | 0.2 | |
56,890 | | | MGIC Investment Corp. | | | 819,785 | | | | 0.1 | |
137,792 | | | Microsoft Corp. | | | 20,858,953 | | | | 3.1 | |
7,508 | | | Motorola Solutions, Inc. | | | 1,256,088 | | | | 0.2 | |
47,855 | | | New Residential Investment Corp. | | | 741,752 | | | | 0.1 | |
28,704 | | | Nielsen Holdings PLC | | | 561,163 | | | | 0.1 | |
6,438 | | | Norfolk Southern Corp. | | | 1,245,753 | | | | 0.2 | |
34,374 | | | OGE Energy Corp. | | | 1,445,770 | | | | 0.2 | |
124,541 | | | Old Republic International Corp. | | | 2,809,645 | | | | 0.4 | |
47,647 | | | Omnicom Group | | | 3,786,984 | | | | 0.6 | |
49,499 | | | Oneok, Inc. | | | 3,516,904 | | | | 0.5 | |
106,774 | | | Oracle Corp. | | | 5,994,292 | | | | 0.9 | |
22,918 | | | Outfront Media, Inc. | | | 572,492 | | | | 0.1 | |
48,255 | | | Paychex, Inc. | | | 4,155,721 | | | | 0.6 | |
47,651 | | | PepsiCo, Inc. | | | 6,472,435 | | | | 1.0 | |
170,921 | | | Pfizer, Inc. | | | 6,583,877 | | | | 1.0 | |
73,658 | | | Philip Morris International, Inc. | | | 6,108,458 | | | | 0.9 | |
38,121 | | | Phillips 66 | | | 4,373,241 | | | | 0.7 | |
14,803 | | | Pinnacle West Capital Corp. | | | 1,293,634 | | | | 0.2 | |
141,239 | | | Plains GP Holdings L.P. | | | 2,467,445 | | | | 0.4 | |
30,625 | | | Popular, Inc. | | | 1,693,869 | | | | 0.3 | |
57,800 | | | Procter & Gamble Co. | | | 7,055,068 | | | | 1.0 | |
13,957 | | | Public Storage, Inc. | | | 2,940,461 | | | | 0.4 | |
39,449 | | | Quest Diagnostics, Inc. | | | 4,203,291 | | | | 0.6 | |
45,914 | | | Republic Services, Inc. | | | 4,070,276 | | | | 0.6 | |
109,479 | | | Retail Properties of America, Inc. | | | 1,557,886 | | | | 0.2 | |
1,940 | | | Roper Technologies, Inc. | | | 699,118 | | | | 0.1 | |
27,718 | | | Royal Gold, Inc. | | | 3,250,490 | | | | 0.5 | |
103,934 | | | Sabre Corp. | | | 2,331,240 | | | | 0.3 | |
60,642 | | | Service Corp. International | | | 2,669,461 | | | | 0.4 | |
19,066 | | | Simon Property Group, Inc. | | | 2,882,970 | | | | 0.4 | |
31,358 | | | Sonoco Products Co. | | | 1,898,100 | | | | 0.3 | |
73,887 | | | Southern Co. | | | 4,580,255 | | | | 0.7 | |
46,694 | | | Starbucks Corp. | | | 3,989,068 | | | | 0.6 | |
78,008 | | | Tanger Factory Outlet Centers, Inc. | | | 1,187,282 | | | | 0.2 | |
22,500 | | | Target Corp. | | | 2,812,725 | | | | 0.4 | |
42,386 | | | Texas Instruments, Inc. | | | 5,095,221 | | | | 0.8 | |
149,750 | | | Two Harbors Investment Corp. | | | 2,177,365 | | | | 0.3 | |
51,974 | | | Tyson Foods, Inc. | | | 4,671,943 | | | | 0.7 | |
68,564 | | | Walgreens Boots Alliance, Inc. | | | 4,086,414 | | | | 0.6 | |
40,134 | | | Waste Management, Inc. | | | 4,531,530 | | | | 0.7 | |
107,777 | | | Wells Fargo & Co. | | | 5,869,535 | | | | 0.9 | |
179,861 | | | Western Union Co. | | | 4,834,664 | | | | 0.7 | |
52,121 | | | Xerox Holdings Corp. | | | 2,029,071 | | | | 0.3 | |
36,712 | | | Yum! Brands, Inc. | | | 3,695,797 | | | | 0.5 | |
17,209 | | | Zions Bancorp NA | | | 856,664 | | | | 0.1 | |
| | | | | | 400,035,847 | | | | 59.4 | |
| | | | | | | | | | | |
| | | Total Common Stock (Cost $622,974,120) | | | 659,608,372 | | | | 97.9 | |
SHORT-TERM INVESTMENTS: 0.9% | | | | | | | | |
| | | Mutual Funds: 0.9% | | | | | | | | |
6,230,000(3) | | | Goldman Sachs Financial Square Government Fund - Institutional Shares, 1.530% | | | | | | | | |
| | | (Cost $6,230,000) | | | 6,230,000 | | | | 0.9 | |
| | | | | | | | | | | |
| | | Total Short-Term Investments | | | | | | | | |
| | | (Cost $6,230,000) | | | 6,230,000 | | | | 0.9 | |
| | | | | | | | | | | |
| | | Total Investments in Securities (Cost $629,204,120) | | $ | | 665,838,372 | | | | 98.8 | |
| | | Assets in Excess of Other Liabilities | | | 8,136,196 | | | | 1.2 | |
| | | Net Assets | | $ | | 673,974,568 | | | | 100.0 | |
ADR | American Depositary Receipt | |
Voya Global Equity Dividend and Premium Opportunity Fund | PORTFOLIO OF INVESTMENTS |
as of November 30, 2019 (Unaudited) (Continued) |
(1) | Non-income producing security. |
(2) | Securities with purchases pursuant to Rule 144A or section 4(a)(2), under the Securities Act of 1933 and may not be resold subject to that rule except to qualified institutional buyers. |
(3) | Rate shown is the 7-day yield as of November 30, 2019. |
Sector Diversification | | | Percentage of Net Assets | |
Information Technology | | | 20.2 | % |
Financials | | | 15.9 | |
Industrials | | | 11.7 | |
Health Care | | | 11.3 | |
Consumer Staples | | | 10.2 | |
Consumer Discretionary | | | 7.7 | |
Communication Services | | | 6.2 | |
Utilities | | | 4.3 | |
Energy | | | 4.0 | |
Materials | | | 3.4 | |
Real Estate | | | 3.0 | |
Short-Term Investments | | | 0.9 | |
Assets in Excess of Other Liabilities | | | 1.2 | |
Net Assets | | | 100.0 | % |
|
Fair Value Measurements |
The following is a summary of the fair valuations according to the inputs used as of November 30, 2019 in valuing the assets and liabilities: |
| | Quoted Prices in Active Markets for Identical Investments (Level 1) | | | Significant Other Observable Inputs# (Level 2) | | | Significant Unobservable Inputs (Level 3) | | | Fair Value at November 30, 2019 | |
Asset Table | | | | | | | | | | | | | | | | |
Investments, at fair value | | | | | | | | | | | | | | | | |
Common Stock | | | | | | | | | | | | | | | | |
Australia | | $ | – | | | $ | 21,211,806 | | | $ | – | | | $ | 21,211,806 | |
Belgium | | | – | | | | 2,074,100 | | | | – | | | | 2,074,100 | |
Canada | | | 31,075,678 | | | | – | | | | – | | | | 31,075,678 | |
China | | | – | | | | 2,831,463 | | | | – | | | | 2,831,463 | |
Denmark | | | 8,116,859 | | | | – | | | | – | | | | 8,116,859 | |
Finland | | | 5,062,165 | | | | – | | | | – | | | | 5,062,165 | |
France | | | 1,302,319 | | | | 12,596,993 | | | | – | | | | 13,899,312 | |
Germany | | | 2,301,989 | | | | 5,116,167 | | | | – | | | | 7,418,156 | |
Guernsey | | | 3,582,394 | | | | – | | | | – | | | | 3,582,394 | |
Hong Kong | | | – | | | | 7,062,690 | | | | – | | | | 7,062,690 | |
Israel | | | – | | | | 1,957,390 | | | | – | | | | 1,957,390 | |
Italy | | | – | | | | 5,741,920 | | | | – | | | | 5,741,920 | |
Japan | | | 1,471,650 | | | | 53,484,607 | | | | – | | | | 54,956,257 | |
Netherlands | | | – | | | | 20,158,339 | | | | – | | | | 20,158,339 | |
New Zealand | | | – | | | | 762,725 | | | | – | | | | 762,725 | |
Norway | | | – | | | | 5,022,392 | | | | – | | | | 5,022,392 | |
Singapore | | | – | | | | 5,172,800 | | | | – | | | | 5,172,800 | |
Spain | | | – | | | | 13,350,500 | | | | – | | | | 13,350,500 | |
Switzerland | | | – | | | | 17,120,725 | | | | – | | | | 17,120,725 | |
United Kingdom | | | – | | | | 32,994,854 | | | | – | | | | 32,994,854 | |
United States | | | 400,035,847 | | | | – | | | | – | | | | 400,035,847 | |
Total Common Stock | | | 452,948,901 | | | | 206,659,471 | | | | – | | | | 659,608,372 | |
Short-Term Investments | | | 6,230,000 | | | | – | | | | – | | | | 6,230,000 | |
Total Investments, at fair value | | $ | 459,178,901 | | | $ | 206,659,471 | | | $ | – | | | $ | 665,838,372 | |
Other Financial Instruments+ | | | | | | | | | | | | | | | | |
Forward Foreign Currency Contracts | | | – | | | | 725,098 | | | | – | | | | 725,098 | |
Total Assets | | $ | 459,178,901 | | | $ | 207,384,569 | | | $ | – | | | $ | 666,563,470 | |
Liabilities Table | | | | | | | | | | | | | | | | |
Other Financial Instruments+ | | | | | | | | | | | | | | | | |
Forward Foreign Currency Contracts | | $ | – | | | $ | (1,117,036 | ) | | $ | – | | | $ | (1,117,036 | ) |
Written Options | | | – | | | | (4,520,322 | ) | | | – | | | | (4,520,322 | ) |
Total Liabilities | | $ | – | | | $ | (5,637,358 | ) | | $ | – | | | $ | (5,637,358 | ) |
Voya Global Equity Dividend and Premium Opportunity Fund | PORTFOLIO OF INVESTMENTS |
as of November 30, 2019 (Unaudited) (Continued) |
+ | Other Financial Instruments may include open forward foreign currency contracts, futures, centrally cleared swaps, OTC swaps and written options. Forward foreign currency contracts, futures and centrally cleared swaps are valued at the unrealized gain (loss) on the instrument. OTC swaps and written options are valued at the fair value of the instrument. |
# | The earlier close of the foreign markets gives rise to the possibility that significant events, including broad market moves, may have occurred in the interim and may materially affect the value of those securities. To account for this, the Fund may frequently value many of its foreign equity securities using fair value prices based on third party vendor modeling tools to the extent available. Accordingly, a portion of the Fund's investments are categorized as Level 2 investments. |
At November 30, 2019, the following forward foreign currency contracts were outstanding for Voya Global Equity Dividend and Premium Opportunity Fund:
Currency Purchased | | Currency Sold | | Counterparty | | Settlement Date | | Unrealized Appreciation (Depreciation) | |
USD 28,042,888 | | JPY 2,990,000,000 | | Brown Brothers Harriman & Co. | | 12/23/19 | | $ | 665,213 | |
USD 29,512,321 | | EUR 26,800,000 | | Brown Brothers Harriman & Co. | | 12/23/19 | | | (65,357 | ) |
USD 8,478,562 | | CHF 8,400,000 | | Brown Brothers Harriman & Co. | | 12/23/19 | | | 59,885 | |
USD 18,864,120 | | GBP 15,300,000 | | Brown Brothers Harriman & Co. | | 12/23/19 | | | (942,227 | ) |
USD 13,307,810 | | CAD 17,700,000 | | Brown Brothers Harriman & Co. | | 12/23/19 | | | (20,704 | ) |
USD 10,537,024 | | AUD 15,700,000 | | Brown Brothers Harriman & Co. | | 12/23/19 | | | (88,748 | ) |
| | | | | | | | $ | (391,938 | ) |
At November 30, 2019, the following OTC written equity options were outstanding for Voya Global Equity Dividend and Premium Opportunity Fund:
Description | | Counterparty | | Put/Call | | | Expiration Date | | Exercise Price | | | Number of Contracts | | | Notional Amount | | Premiums Received | | | Fair Value | |
EURO STOXX 50® Index | | BNP Paribas | | Call | | | 12/06/19 | | | EUR | | 3,660.930 | | | | 9,187 | | | EUR | 34,024,790 | | | $ | 359,769 | | | $ | (565,176 | ) |
FTSE 100 Index | | Morgan Stanley & Co. International PLC | | Call | | | 12/06/19 | | | GBP | | 7,397.710 | | | | 4,396 | | | GBP | 32,295,346 | | | | 355,199 | | | | (170,828 | ) |
Nikkei 225 Index | | UBS AG | | Call | | | 12/20/19 | | | JPY | | 23,625.790 | | | | 185,449 | | | JPY | 4,319,832,316 | | | | 490,495 | | | | (239,516 | ) |
S&P 500® Index | | Morgan Stanley & Co. International PLC | | Call | | | 12/06/19 | | | USD | | 3,052.780 | | | | 10,984 | | | USD | 34,500,524 | | | | 301,454 | | | | (1,001,292 | ) |
S&P 500® Index | | UBS AG | | Call | | | 12/20/19 | | | USD | | 3,124.010 | | | | 23,342 | | | USD | 73,316,755 | | | | 675,058 | | | | (984,104 | ) |
S&P 500® Index | | Barclays Bank PLC | | Call | | | 01/03/20 | | | USD | | 3,141.390 | | | | 36,138 | | | USD | 113,508,735 | | | | 1,001,481 | | | | (1,559,406 | ) |
| | | | | | | | | | | | | | | | | | | | | | | $ | 3,183,456 | | | $ | (4,520,322 | ) |
Currency Abbreviations
AUD | - | Australian Dollar |
CAD | - | Canadian Dollar |
CHF | - | Swiss Franc |
Voya Global Equity Dividend and Premium Opportunity Fund | PORTFOLIO OF INVESTMENTS |
as of November 30, 2019 (Unaudited) (Continued) |
EUR | - | EU Euro |
GBP | - | British Pound |
JPY | - | Japanese Yen |
USD | - | United States Dollar |
At November 30, 2019, the aggregate cost of securities and other investments and the composition of unrealized appreciation and depreciation of securities and other investments at period end were:
Cost for federal income tax purposes was $626,031,161.
Net unrealized appreciation consisted of:
Gross Unrealized Appreciation | | $ | 59,497,288 | |
Gross Unrealized Depreciation | | | (24,587,613 | ) |
| | | | |
Net Unrealized Appreciation | | $ | 34,909,675 | |