Performance Summary

Class I Shares

Net Asset Value As of 04/30/2018 With Sales Charge As of 04/30/2018
Cumulative Returns (%) Average Annual Total Returns (%)
Variable Portfolios YTD 1 MO 1 YR 3 YR 5 YR 10 YR Inception Inception Date
Voya Balanced Portfolio -0.96 +0.06 +7.64 +5.24 +6.92 +5.49 +7.51 04/03/1989
Voya Emerging Markets Index Portfolio +0.39 -1.75 +20.21 +5.24 +3.94 +5.38 12/19/2011
Voya Global Bond Portfolio +0.59 -1.18 +6.50 +3.62 +1.52 +3.46 +4.20 11/08/2004
Voya Global Equity Portfolio -0.99 +0.55 +11.94 +5.69 +6.30 03/05/2015
Historical Performance:

Historical performance shown for Class I shares reflects the historical performance of Class S shares for those periods prior to the inception date of Class I (represented by blue text). Historical performance of Class I shares likely would have been different based on differences in share class expense ratios.

Voya Government Liquid Assets Portfolio +0.41 +0.12 +0.95 +0.44 +0.27 +0.36 +1.33 05/07/2004
Voya Government Money Market Portfolio +0.40 +0.11 +0.89 +0.40 +0.25 +0.33 +4.39 01/01/1980
Voya Growth and Income Portfolio -1.57 +0.21 +9.75 +7.62 +11.02 +7.76 +10.36 12/31/1979
Voya High Yield Portfolio -0.58 +0.50 +2.56 +4.68 +4.27 +7.25 +7.15 04/29/2005
Voya Index Plus LargeCap Portfolio -1.51 +0.42 +13.73 +10.11 +12.97 +8.43 +8.14 09/16/1996
Voya Index Plus MidCap Portfolio -2.09 -0.71 +6.11 +7.60 +10.73 +8.73 +9.88 12/16/1997
Voya Index Plus SmallCap Portfolio +0.04 -0.48 +7.32 +10.08 +12.72 +9.41 +8.14 12/19/1997
Voya Index Solution 2020 Portfolio -1.10 0.00 +6.32 +4.77 +6.01 +8.59 10/03/2011
Voya Index Solution 2025 Portfolio -0.80 +0.09 +8.06 +5.27 +6.82 +5.23 +5.85 03/10/2008
Voya Index Solution 2030 Portfolio -0.58 +0.32 +9.72 +6.39 +7.72 +10.98 10/03/2011
Voya Index Solution 2035 Portfolio -0.43 +0.35 +10.88 +6.64 +8.37 +5.93 +6.62 03/10/2008
Voya Index Solution 2040 Portfolio -0.37 +0.43 +11.57 +6.97 +8.77 +12.46 10/03/2011
Voya Index Solution 2045 Portfolio -0.33 +0.41 +12.01 +7.06 +9.02 +6.02 +6.81 03/10/2008
Voya Index Solution 2050 Portfolio -0.42 +0.43 +12.13 +7.29 +9.07 +12.74 10/03/2011
Voya Index Solution 2055 Portfolio -0.39 +0.45 +12.20 +7.16 +9.13 +9.73 03/08/2010
Voya Index Solution 2060 Portfolio -0.40 +0.40 +12.24 +7.29 +8.02 02/09/2015
Voya Index Solution Income Portfolio -1.32 -0.19 +4.26 +3.25 +4.33 +4.62 +4.86 03/10/2008
Voya Intermediate Bond Portfolio -2.06 -0.76 +0.58 +1.93 +2.42 +4.33 +7.41 05/23/1973
Voya Large Cap Growth Portfolio +1.35 -0.05 +17.04 +11.92 +14.57 +12.62 +11.66 05/02/2005
Voya Large Cap Value Portfolio -1.88 +0.54 +6.79 +5.95 +9.10 +7.10 +5.58 05/11/2007
Voya Limited Maturity Bond Portfolio -0.24 +0.04 +0.41 +0.92 +0.99 +1.73 +2.37 04/29/2005
Voya MidCap Opportunities Portfolio -0.07 -2.09 +13.01 +9.04 +11.73 +10.29 +5.45 05/05/2000
Voya Retirement Conservative Portfolio -1.49 -0.32 +3.01 +2.79 +3.42 +3.85 +3.54 10/31/2007
Voya Retirement Growth Portfolio -0.50 +0.29 +9.70 +6.04 +7.47 +5.08 +4.82 04/28/2006
Voya Retirement Moderate Growth Portfolio -0.79 +0.08 +8.19 +5.42 +6.73 +5.08 +4.99 04/28/2006
Voya Retirement Moderate Portfolio -1.01 0.00 +6.17 +4.20 +5.10 +4.45 +4.53 04/28/2006
Voya Small Company Portfolio -1.27 +0.37 +5.57 +9.71 +12.25 +9.76 +10.24 12/27/1996
Voya SmallCap Opportunities Portfolio -0.52 -0.03 +9.48 +8.58 +11.85 +10.34 +10.02 05/06/1994
Voya Solution 2020 Portfolio -0.67 0.00 +6.82 +5.24 +6.53 +9.13 10/03/2011
Voya Solution 2025 Portfolio -0.66 0.00 +8.41 +5.64 +7.13 +5.09 +5.73 04/29/2005
Voya Solution 2030 Portfolio -0.61 +0.12 +9.81 +6.47 +8.27 +11.31 10/03/2011
Voya Solution 2035 Portfolio -0.56 +0.16 +10.87 +6.65 +8.41 +5.68 +6.37 04/29/2005
Voya Solution 2040 Portfolio -0.63 +0.11 +11.46 +7.21 +9.29 +12.73 10/03/2011
Voya Solution 2045 Portfolio -0.78 +0.08 +11.78 +6.96 +9.09 +5.83 +6.68 04/29/2005
Voya Solution 2050 Portfolio -0.90 0.00 +11.96 +7.39 +9.51 +12.96 10/03/2011
Voya Solution 2055 Portfolio -0.81 +0.07 +12.00 +7.08 +9.23 +9.63 03/08/2010
Voya Solution 2060 Portfolio -0.88 0.00 +12.00 +7.29 +8.01 02/09/2015
Voya Solution Aggressive Portfolio -0.87 0.00 +12.11 +7.16 +9.80 05/01/2013
Voya Solution Balanced Portfolio -0.77 0.00 +7.92 +5.50 +7.08 +5.21 +4.37 07/02/2007
Voya Solution Conservative Portfolio -0.71 -0.09 +3.65 +3.41 +3.93 +4.97 04/30/2010
Voya Solution Income Portfolio -0.91 -0.17 +4.71 +3.68 +4.50 +4.43 +4.75 04/29/2005
Voya Solution Moderately Aggressive Portfolio -0.66 +0.07 +10.09 +6.04 +8.24 +8.57 04/30/2010
Voya Solution Moderately Conservative Portfolio -0.77 0.00 +5.50 +4.24 +5.25 +4.69 +4.23 07/02/2007
Voya Strategic Allocation Conservative Portfolio -0.96 -0.07 +5.19 +3.93 +5.42 +4.97 +5.85 07/05/1995
Voya Strategic Allocation Growth Portfolio -0.75 +0.19 +9.63 +5.89 +8.20 +5.59 +6.53 07/05/1995
Voya Strategic Allocation Moderate Portfolio -0.95 +0.07 +7.61 +5.12 +6.94 +5.32 +6.15 07/05/1995
Voya U.S. Stock Index Portfolio -0.45 +0.39 +12.97 +10.26 +12.66 +8.75 +8.38 05/03/2004
VY BlackRock Inflation Protected Bond Portfolio -0.84 -0.01 +0.19 +0.36 -0.59 +2.65 +3.29 04/30/2007
VY Clarion Global Real Estate Portfolio -3.12 +1.51 +5.07 +1.54 +2.41 +3.06 +4.78 01/03/2006
VY Clarion Real Estate Portfolio -6.44 +1.35 -1.66 +2.68 +4.49 +5.92 +10.51 05/19/2003
VY Templeton Foreign Equity Portfolio -0.23 +1.70 +11.44 +2.74 +5.01 +2.39 +4.41 01/03/2006

Past performance is no guarantee of future results. The performance quoted represents past performance. Investment return and principal value of an investment will fluctuate, and shares, when redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted.