Voya Global High Dividend Low Volatility Fund Portfolio Holdings as of August 31, 2021 (Unaudited)

Ticker Security Name Crncy Country Price Quantity Market Value IIIL 3i Group PLC GBP United Kingdom 18.39 57,450 $1,056,571 ABBV AbbVie, Inc. USD United States 120.78 31,796 $3,840,321 AFL Aflac, Inc. USD United States 56.68 16,109 $913,058 A Agilent Technologies, Inc. USD United States 175.47 11,698 $2,052,648 AIP Air Liquide SA EUR France 179.24 6,501 $1,165,254 ARE Alexandria Real Estate Equities, Inc. USD United States 206.37 1,981 $408,819 ALSN Allison Transmission Holdings, Inc. USD United States 36.98 10,268 $379,711 ALL Allstate Corp. USD United States 135.28 3,611 $488,496 ALLY Ally Financial, Inc. USD United States 52.90 11,167 $590,734 MO Altria Group, Inc. USD United States 50.23 49,869 $2,504,920 DOX Amdocs Ltd. USD United States 77.03 20,039 $1,543,604 DOX Amdocs Ltd. USD United States 77.03 540 $41,596 AMH American Homes 4 Rent USD United States 41.94 15,227 $638,620 AMT American Tower Corp. USD United States 292.17 2,724 $795,871 AWK American Water Works Co., Inc. USD United States 182.25 11,877 $2,164,583 AMP Ameriprise Financial, Inc. USD United States 272.91 2,638 $719,937 AME Ametek, Inc. USD United States 135.97 2,150 $292,336 AMGN Amgen, Inc. USD United States 225.53 9,521 $2,147,271 AM Antero Midstream Corp. USD United States 9.61 157,076 $1,509,500 ANTM Anthem, Inc. USD United States 375.13 2,093 $785,147 AOS AO Smith Corp. USD United States 72.72 4,772 $347,020 MAERB AP Moller - Maersk A/S - Class B DKK Denmark 2848.76 153 $435,860 C ATR Aptargroup, Inc. USD United States 134.80 7,480 $1,008,304 ASMA ASM International NV EUR Netherlands 387.99 1,791 $694,894 ASX ASX Ltd. AUD 64.00 20,292 $1,298,731 AZJ Holdings Ltd. AUD Australia 2.75 216,920 $596,798 ANZ Australia & New Zealand Banking Group Ltd. AUD Australia 20.24 22,644 $458,319 AVT Avnet, Inc. USD United States 40.46 13,038 $527,517 LUMI Bank Leumi Le-Israel BM ILS Israel 8.26 107,934 $891,666 BOH Bank of Hawaii Corp. USD United States 83.81 3,454 $289,480 Bank of New York Institutional Cash Reserves Deposit USD United States 1.00 24,358 $24,358 OZK Bank OZK USD United States 42.43 25,326 $1,074,582 BCE BCE, Inc. CAD Canada 52.15 29,608 $1,544,173 BDX Becton Dickinson & Co. USD United States 251.70 6,945 $1,748,057 BHP BHP Group Ltd. AUD Australia 33.09 51,242 $1,695,426 TFDXX BlackRock Liquidity Funds, FedFund, Institutional Class USD United States 1.00 304,000 $304,000 BLK Blackrock, Inc. USD United States 943.29 3,109 $2,932,689 BX Blackstone, Inc. USD United States 125.73 24,085 $3,028,207 2388 BOC Hong Kong Holdings Ltd. HKD China 3.03 475,000 $1,437,433 BAH Booz Allen Hamilton Holding Corp. USD United States 81.91 18,322 $1,500,755 BXB Brambles Ltd. AUD Australia 8.84 64,570 $570,754 BMY Bristol-Myers Squibb Co. USD United States 66.86 44,566 $2,979,683 BATSL British American Tobacco PLC GBP United Kingdom 37.51 37,713 $1,414,746 BEPC Brookfield Renewable Corp. CAD United States 43.82 6,859 $300,586 CANADIAN DOLLAR CAD Canada 1.26 5,102 $4,044 CM Canadian Imperial Bank of Commerce - XTSE CAD Canada 115.04 17,197 $1,978,340 CNQ Canadian Natural Resources Ltd. CAD Canada 33.09 10,994 $363,809 CSL Carlisle Cos., Inc. USD United States 210.74 2,736 $576,585 CHE Chemed Corp. USD United States 476.70 1,649 $786,078 CVX Chevron Corp. USD United States 96.77 6,075 $587,878 CHHS China Hongxing Sports Ltd. SGD China 0.00 12,100,000 $0 CHD Church & Dwight Co., Inc. USD United States 83.66 5,902 $493,761 SGOP Cie de Saint-Gobain EUR France 72.49 12,508 $906,741 CI Cigna Corp. USD United States 211.65 1,873 $396,420 CSCO Cisco Systems, Inc. USD United States 59.02 72,870 $4,300,787 C Citigroup, Inc. USD United States 71.91 14,343 $1,031,405 1 CK Hutchison Holdings Ltd. HKD Hong Kong 7.29 87,500 $637,885 2 CLP Holdings Ltd. HKD Hong Kong 10.00 129,500 $1,294,473 CL Colgate-Palmolive Co. USD United States 77.95 27,193 $2,119,694 CBSH Commerce Bancshares, Inc. USD United States 70.72 15,497 $1,095,948 COP ConocoPhillips USD United States 55.53 18,911 $1,050,128 CSU Constellation Software, Inc./Canada CAD Canada 1694.76 204 $345,730 COR Coresite Realty Corp. USD United States 148.37 12,675 $1,880,590 OFC Corporate Office Properties Trust SBI MD USD United States 28.18 28,375 $799,608 CRGI CRH PLC EUR Ireland 52.98 9,289 $492,093 7912 Dai Nippon Printing Co., Ltd. JPY Japan 23.76 22,400 $532,219 DSYP Dassault Systemes SE EUR France 57.12 6,310 $360,402 Page 1 of 5 Voya Global High Dividend Low Volatility Fund Portfolio Holdings as of August 31, 2021 (Unaudited)

Ticker Security Name Crncy Country Price Quantity Market Value DE Deere & Co. USD United States 378.03 1,451 $548,522 DB1D Deutsche Boerse AG EUR Germany 172.46 3,577 $616,878 DPWD Deutsche Post AG EUR Germany 70.31 33,339 $2,344,034 DTED Deutsche Telekom AG EUR Germany 21.26 98,570 $2,095,917 DIAM DiaSorin SpA EUR Italy 228.15 2,736 $624,214 DLGL Direct Line Insurance Group PLC GBP United Kingdom 4.25 147,692 $627,440 DG Dollar General Corp. USD United States 222.91 6,771 $1,509,324 DTM DT Midstream, Inc. USD United States 46.47 4,254 $197,683 DTE DTE Energy Co. USD United States 120.34 8,508 $1,023,853 DUK Duke Energy Corp. USD United States 104.66 8,456 $885,005 DRE Duke Realty Corp. USD United States 52.51 10,915 $573,147 EA Electronic Arts, Inc. USD United States 145.21 12,183 $1,769,093 EMR Emerson Electric Co. USD United States 105.50 3,505 $369,778 ELEE Endesa S.A. EUR Spain 24.04 49,697 $1,194,823 5020 ENEOS Holdings, Inc. JPY Japan 3.86 411,500 $1,590,414 ENIM ENI S.p.A. EUR Italy 12.34 37,181 $458,724 ETR Entergy Corp. USD United States 110.61 14,646 $1,619,994 EQIX Equinix, Inc. USD United States 843.45 1,438 $1,212,881 ETRN Equitrans Midstream Corp. USD United States 8.73 194,151 $1,694,938 EURO EUR Eurozone 0.85 51,891 $61,270 RE Everest Re Group Ltd. USD United States 264.90 2,736 $724,766 EVRG Evergy, Inc. USD United States 68.45 28,037 $1,919,133 EXC Exelon Corp. USD United States 49.02 8,100 $397,062 FDX FedEx Corp. USD United States 265.69 3,490 $927,258 FBKM FinecoBank Banca Fineco SpA EUR Italy 18.42 51,454 $947,888 FAF First American Financial Corp. USD United States 70.53 14,980 $1,056,539 FR First Industrial Realty Trust, Inc. USD United States 55.99 9,439 $528,490 FLO Flowers Foods, Inc. USD United States 24.13 54,822 $1,322,855 FMC FMC Corp. USD United States 93.63 6,660 $623,576 GLPI Gaming and Leisure Properties, Inc. USD United States 49.30 19,497 $961,202 GRMN Garmin Ltd. USD United States 174.43 6,807 $1,187,345 GEBNZ Geberit AG - Reg CHF Switzerland 835.11 402 $335,713 GIS General Mills, Inc. USD United States 57.81 28,021 $1,619,894 G Genpact Ltd. USD United States 51.88 6,349 $329,386 GNTX Gentex Corp. USD United States 30.80 42,608 $1,312,326 GILD Gilead Sciences, Inc. USD United States 72.78 36,746 $2,674,374 GSKL GlaxoSmithKline PLC GBP United Kingdom 20.12 95,326 $1,917,546 GMG AUD Australia 16.89 43,465 $734,130 EAF GrafTech International Ltd. USD United States 11.07 41,564 $460,113 THG Hanover Insurance Group, Inc. USD United States 141.31 7,836 $1,107,305 HSY Hershey Co. USD United States 177.70 9,444 $1,678,199 HIKL Hikma Pharmaceuticals PLC GBP United Kingdom 34.90 17,098 $596,803 HOLNZ Holcim Ltd. CHF Switzerland 56.98 17,243 $982,533 HON Honeywell International, Inc. USD United States 231.91 6,237 $1,446,423 388 Hong Kong Exchanges and Clearing Ltd. HKD Hong Kong 63.17 20,000 $1,263,481 7741 Hoya Corp. JPY Japan 161.48 5,500 $888,162 HUM Humana, Inc. USD United States 405.42 852 $345,418 5019 Idemitsu Kosan Co., Ltd. JPY Japan 23.95 14,400 $344,888 IMBL Imperial Brands PLC GBP United Kingdom 21.21 48,288 $1,024,037 IP International Paper Co. USD United States 60.09 28,248 $1,697,422 ISPM Intesa Sanpaolo SpA EUR Italy 2.83 515,920 $1,459,978 INTU Intuit, Inc. USD United States 566.11 3,749 $2,122,346 INVH Invitation Homes, Inc. USD United States 41.18 28,497 $1,173,506 EFV iShares MSCI EAFE Value Index USD Developed Markets 51.96 31,218 $1,622,087 IWD iShares Russell 1000 Value ETF USD United States 163.09 20,540 $3,349,869 ISRAELI SHEKEL ILS Israel 3.21 35,364 $11,024 JHG Group PLC USD United Kingdom 43.36 9,370 $406,283 2914 Japan Tobacco, Inc. JPY Japan 19.40 33,800 $655,808 JAPANESE YEN JPY Japan 110.02 20,085 $183 JNJ Johnson & Johnson USD United States 173.13 32,398 $5,609,066 JCI Johnson Controls International plc USD United States 74.80 19,781 $1,479,619 JPM JPMorgan Chase & Co. USD United States 159.95 18,399 $2,942,920 KMB Kimberly-Clark Corp. USD United States 137.81 9,969 $1,373,828 KMI Kinder Morgan, Inc. USD United States 16.27 65,315 $1,062,675 KNX Knight-Swift Transportation Holdings, Inc. USD United States 51.93 30,538 $1,585,838 KNEBV Kone Oyj EUR Finland 82.98 19,699 $1,634,628 H ADA Koninklijke Ahold Delhaize NV EUR Netherlands 33.74 36,505 $1,231,584 Page 2 of 5 Voya Global High Dividend Low Volatility Fund Portfolio Holdings as of August 31, 2021 (Unaudited)

Ticker Security Name Crncy Country Price Quantity Market Value PHIAA Koninklijke Philips NV EUR Netherlands 46.08 6,497 $299,402 KR Kroger Co. USD United States 46.03 8,390 $386,192 2651 Lawson, Inc. JPY Japan 48.10 11,900 $572,345 LAZ Lazard Ltd. USD United States 47.40 23,119 $1,095,841 LRP Legrand S.A. EUR France 114.73 6,689 $767,457 LDOS Leidos Holdings, Inc. USD United States 98.11 7,198 $706,196 LSI Life Storage, Inc. USD United States 124.44 7,885 $981,209 5938 Lixil Corp. JPY Japan 29.10 14,300 $416,155 LSEGL London Stock Exchange Group PLC GBP United Kingdom 109.54 3,858 $422,622 LPLA LPL Financial Holdings, Inc. USD United States 147.85 2,939 $434,531 MKTX MarketAxess Holdings, Inc. USD United States 475.92 2,535 $1,206,457 MAS Masco Corp. USD United States 60.72 19,811 $1,202,924 MCD McDonald's Corp. USD United States 237.46 2,779 $659,901 2702 McDonald's Holdings Co. Japan Ltd. JPY Japan 47.70 7,500 $357,743 MCK McKesson Corp. USD United States 204.14 8,319 $1,698,241 MPL Pvt Ltd. AUD Australia 2.59 285,310 $739,184 MDT Medtronic PLC USD Ireland 133.48 18,925 $2,526,109 MRK Merck & Co., Inc. USD United States 76.29 46,251 $3,528,489 MSFT Microsoft Corp. USD United States 301.88 6,519 $1,967,956 8306 Mitsubishi UFJ Financial Group, Inc. JPY Japan 5.43 132,400 $718,329 MDLZ Mondelez International, Inc. USD United States 62.07 14,659 $909,884 MSM MSC Industrial Direct Co. USD United States 84.21 5,189 $436,966 MSCI MSCI, Inc. - Class A USD United States 634.58 3,216 $2,040,809 NDAQ Nasdaq, Inc. USD United States 195.78 12,152 $2,379,119 NA National Bank Of Canada CAD Canada 79.37 14,678 $1,165,026 NFG National Fuel Gas Co. USD United States 51.81 11,824 $612,601 NSA National Storage Affiliates Trust USD United States 57.25 12,856 $736,006 NEW ZEALAND DOLLAR NZD New Zealand 1.42 882 $622 NEU NewMarket Corp. USD United States 349.73 1,630 $570,060 7974 Nintendo Co., Ltd. JPY Japan 480.44 2,600 $1,249,143 9432 Nippon Telegraph & Telephone Corp. JPY Japan 26.64 42,300 $1,126,990 NI NiSource, Inc. USD United States 24.65 45,718 $1,126,949 4021 Nissan Chemical Corp. JPY Japan 56.07 7,600 $426,109 6988 Nitto Denko Corp. JPY Japan 75.86 3,700 $280,685 NDAS Nordea Bank Abp SEK Finland 11.75 110,120 $1,293,364 NORWEGIAN KRONE NOK Norway 8.69 9,162 $1,054 NZYMB Novozymes A/S DKK Denmark 80.84 16,220 $1,311,178 C ORI Old Republic International Corp. USD United States 26.00 41,626 $1,082,276 OHI Omega Healthcare Investors, Inc. USD United States 33.53 25,916 $868,963 ORAP Orange SA EUR France 11.37 85,971 $977,421 ORNBV Orion Oyj EUR Finland 40.79 9,528 $388,648 H 9532 Osaka Gas Co., Ltd. JPY Japan 18.74 41,300 $774,168 PKG Packaging Corp. of America USD United States 151.70 11,450 $1,736,965 PPL Pembina Pipeline Corp. CAD Canada 30.48 25,029 $762,783 PEP PepsiCo, Inc. USD United States 156.39 17,209 $2,691,316 PFE Pfizer, Inc. USD United States 46.07 97,102 $4,473,489 PM Philip Morris International, Inc. USD United States 103.00 26,592 $2,738,976 PSX Phillips 66 USD United States 71.09 15,222 $1,082,132 PNW Pinnacle West Capital Corp. USD United States 76.90 5,935 $456,402 PSTM Poste Italiane SpA EUR Italy 13.56 46,531 $630,864 POUND STERLING GBP United Kingdom 0.73 14,125 $19,420 6 Power Assets Holdings Ltd. HKD Hong Kong 6.28 139,000 $872,368 PG Procter & Gamble Co. USD United States 142.39 23,094 $3,288,355 PGR Progressive Corp. USD United States 96.34 19,387 $1,867,744 PB Prosperity Bancshares, Inc. USD United States 69.88 7,795 $544,715 PEG Public Service Enterprise Group, Inc. USD United States 63.94 17,693 $1,131,290 QCOM Qualcomm, Inc. USD United States 146.69 9,666 $1,417,906 QBR/B Quebecor, Inc. CAD Canada 24.95 28,193 $703,456 RKTL Reckitt Benckiser Group PLC GBP United Kingdom 76.34 13,655 $1,042,442 RBC Regal Beloit Corp. USD United States 149.42 2,279 $340,528 RF Regions Financial Corp. USD United States 20.43 20,944 $427,886 RSG Republic Services, Inc. USD United States 124.13 17,348 $2,153,407 RIO Ltd. AUD Australia 81.37 21,473 $1,747,155 ROGZ Roche Holding AG CHF Switzerland 401.56 944 $379,068 ROK Rockwell Automation, Inc. USD United States 325.45 2,536 $825,341 6963 Rohm Co., Ltd. JPY Japan 96.14 4,100 $394,161 Page 3 of 5 Voya Global High Dividend Low Volatility Fund Portfolio Holdings as of August 31, 2021 (Unaudited)

Ticker Security Name Crncy Country Price Quantity Market Value ROP Roper Technologies, Inc. USD United States 483.28 3,922 $1,895,424 RY Royal Bank of Canada CAD Canada 102.72 22,751 $2,337,042 RGLD Royal Gold, Inc. USD United States 111.33 14,042 $1,563,296 RWED RWE AG EUR Germany 39.05 26,594 $1,038,435 R Ryder System, Inc. USD United States 79.49 6,791 $539,817 SPGI S&P Global, Inc. USD United States 443.82 4,419 $1,961,241 SGEL Sage Group PLC/The GBP United Kingdom 10.21 111,759 $1,141,345 SUP Schneider Electric SE EUR France 178.67 6,213 $1,110,054 SKP SEB SA EUR France 157.41 2,491 $392,113 9735 Secom Co., Ltd. JPY Japan 75.83 17,500 $1,327,073 SGROL Segro PLC GBP United Kingdom 17.67 33,448 $591,164 1928 Sekisui House Ltd. JPY Japan 19.92 55,800 $1,111,715 SCI Service Corp. International USD United States 62.76 27,279 $1,712,030 SIED Siemens AG EUR Germany 165.89 2,575 $427,179 SLGN Silgan Holdings, Inc. USD United States 42.43 17,454 $740,573 SINGAPORE DOLLAR SGD Singapore 1.34 8 $6 SGX Singapore Exchange Ltd. SGD Singapore 7.34 93,600 $687,002 6273 SMC Corp. JPY Japan 639.85 1,500 $959,773 SK3I Smurfit Kappa PLC EUR Ireland 57.31 14,637 $838,903 9434 SoftBank Corp. JPY Japan 13.38 153,000 $2,047,574 2331 Sohgo Security Services Co., Ltd. JPY Japan 45.30 8,500 $385,063 SOONZ Sonova Holding AG - Reg CHF Switzerland 385.37 1,696 $653,585 SPK Ltd. NZD New Zealand 3.43 107,236 $368,219 STANL Standard Chartered PLC GBP United Kingdom 6.24 40,231 $250,887 SF Stifel Financial Corp. USD United States 69.10 6,234 $430,769 4005 Sumitomo Chemical Co., Ltd. JPY Japan 5.07 55,300 $280,350 8316 Sumitomo Mitsui Financial Group, Inc. JPY Japan 34.52 36,700 $1,266,727 8309 Sumitomo Mitsui Trust Holdings, Inc. JPY Japan 32.66 44,800 $1,463,312 SUI Sun Communities, Inc. USD United States 201.49 5,821 $1,172,873 SWMAS Swedish Match AB SEK Sweden 9.24 92,630 $855,780 SWCH Switch, Inc. USD United States 24.81 52,677 $1,306,916 SY1D Symrise AG EUR Germany 142.31 9,658 $1,374,429 SYF Synchrony Financial USD United States 49.75 15,630 $777,593 SNX SYNNEX Corp. USD United States 127.07 5,236 $665,339 8795 T&D Holdings, Inc. JPY Japan 12.17 52,800 $642,608 TROW T. Rowe Price Group, Inc. USD United States 223.87 11,588 $2,594,206 TGT Target Corp. USD United States 246.98 12,632 $3,119,851 T TELUS Corp. CAD Canada 23.04 78,228 $1,802,471 TRNM Terna - Rete Elettrica Nazionale EUR Italy 7.91 127,945 $1,012,052 TXN Texas Instruments, Inc. USD United States 190.91 15,959 $3,046,733 TMO Thermo Fisher Scientific, Inc. USD United States 554.95 3,168 $1,758,082 9531 Tokyo Gas Co., Ltd. JPY Japan 19.22 27,900 $536,315 TW Tradeweb Markets, Inc. USD United States 87.01 19,065 $1,658,846 4704 Trend Micro, Inc. JPY Japan 54.78 23,200 $1,270,878 TRYGC Tryg A/S DKK Denmark 24.76 47,980 $1,188,001 3391 Tsuruha Holdings, Inc. JPY Japan 125.56 4,700 $590,116 UMBF UMB Financial Corp. USD United States 91.58 6,984 $639,595 UMPQ Umpqua Holdings Corp. USD United States 19.47 55,309 $1,076,866 UPS United Parcel Service, Inc. - Class B USD United States 195.63 3,448 $674,532 UUL United Utilities Group PLC GBP United Kingdom 14.54 38,022 $552,936 UNH UnitedHealth Group, Inc. USD United States 416.27 1,619 $673,941 USB US Bancorp USD United States 57.39 18,982 $1,089,377 VZ Verizon Communications, Inc. USD United States 55.00 69,719 $3,834,545 VIVP Vivendi SE EUR France 38.09 13,627 $519,073 VODL Vodafone Group PLC GBP United Kingdom 1.68 858,884 $1,442,561 WAFD Washington Federal, Inc. USD United States 33.30 16,660 $554,778 WCN Waste Connections, Inc. USD Canada 129.21 16,243 $2,098,758 WM Waste Management, Inc. USD United States 155.11 15,004 $2,327,270 3141 Welcia Holdings Co. Ltd. JPY Japan 35.26 18,100 $638,287 WFC Wells Fargo & Co. USD United States 45.70 21,972 $1,004,120 WERN Werner Enterprises, Inc. USD United States 47.16 19,450 $917,262 WES Ltd. AUD Australia 43.68 23,244 $1,015,217 WY Weyerhaeuser Co. USD United States 36.00 7,870 $283,320 WMB Williams Cos., Inc. USD United States 24.69 78,587 $1,940,313 WLTW Willis Towers Watson PLC USD United Kingdom 220.72 1,325 $292,454 INT World Fuel Services Corp. USD United States 32.36 12,749 $412,558 YARO Yara International ASA NOK Norway 50.22 8,054 $404,495

Page 4 of 5 Voya Global High Dividend Low Volatility Fund Portfolio Holdings as of August 31, 2021 (Unaudited)

Ticker Security Name Crncy Country Price Quantity Market Value ZTS Zoetis, Inc. USD United States 204.56 8,708 $1,781,308 ZURNZ Zurich Insurance Group AG CHF Switzerland 438.79 4,279 $1,877,589

Important Legal Information:

Portfolio holdings are subject to change without notice and may not represent current or future portfolio composition.

Portfolio holdings subject to change daily. Unlike the fund's regulatory filings, the portfolio data and its presentation in this document are not required to conform to Generally Accepted Accounting Principles (GAAP) and Securities and Exchange Commission (SEC) presentation requirements. Therefore, it may differ from that in the complete portfolio of investments in the annual and semi-annual report to shareholders filed with the SEC on Form N-CSR, and the complete portfolio of investments provided in the first and third quarter SEC Form N-Q filings for each fiscal year.

The portfolio data is for informational purposes only. It does not constitute a recommendation or an offer for a particular security or fund, nor should it be taken as a solicitation or a recommendation to buy or sell securities or other investments.

Investors should carefully consider a fund's investment goals, risks, charges and expenses before investing. To obtain a prospectus for retail funds, which contains this and other information, talk to your financial advisor, call us at 1-800-992-0180 or visit our website at www.voyainvestments.com. Please read the prospectus carefully before investing.

The portfolio data is "as of" the date indicated and we disclaim any responsibility to update the information.

Not FDIC Insured. Not NCUA/NCUSIF Insured. No Bank Guarantee. No Credit Union Guarantee.

Page 5 of 5