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Voya Investment Management (Voya IM) is a leading U.S.-based asset management firm. As of December 31, 2013, Voya Investment Management manages approximately $204 billion for both institutions and individual investors*. Voya Investment Management has the experience and resources to invest responsibly across asset classes, geographies and investment styles. Through our global asset management network, we provide clients with access to domestic, regional and global investment solutions.
With an emphasis on active management, our investment mission is to find unrecognized value ahead of consensus. To this end, our portfolio management teams seek original insights on markets and securities and a vision of investment potential that differs from the consensus view. We apply our proprietary research and analytics, portfolio diagnostics and risk management to the development of investment solutions in pursuit of our clients’ objectives. We believe this is best achieved by structuring our investment platforms as entrepreneurial, skills-based strategy teams united by shared resources.
Our Investment Solutions
- Fixed Income
- Fundamental and Quantitative Equity
- Senior Loans
*Data is as of June 30, 2014. Voya IM assets of $214 billion include proprietary insurance general account assets of $85 billion calculated on a market value basis. Voya IM assets, as reported in Voya Financial, Inc. SEC filings, include general account assets valued on a statutory book value basis and total approximately $208 billion.