Voya Short Duration High Income Fund - Class A

Class A: VVJBX
Class C: VVJGX
Class I: VVJCX
Class R6: VVJDX
For more information call 1 (800) 334-3444
Product Banner
Voya Short Duration High Income Fund
Solution that seeks high level of current income with lower volatility than the broader high yield market.

Fund seeks to emphasize capital preservation, followed by liquidity and positive total return

Product Facts

Ticker SymbolVVJBX
CUSIP92913L254
Inception Date
Dividends Paid

About this Product

  • Under normal markets conditions, the Fund invests at least 80% of its net assets in debt securities rated below investment grade
  • Aims to maintain a duration of 1.5 to 2 years
  • May invest up to 20% in bank loans

Investment Objective

The Fund seeks a high level of current income with lower volatility than the broader high yield market.

Performance

Distributions

Payment Frequency:

Ex-Date
Ex-Date:

Date on which a stock begins trading without the benefit of the dividend. Typically, a stock’s price moves up by the dollar amount of the dividend as the ex-dividend date approaches, then falls by the amount of the dividend after that date.

Payable Date
Payable Date:

Date on which a declared stock dividend or a bond interest payment is scheduled to be paid.

Record Date
Record Date:

Date on which a shareholder must officially own shares in order to be entitled to a dividend. After the date of record, the stock is said to be ex-dividend.

Amount
$0.000000
Totals: $0.000000

Investment Team

Disclosures

Principal Risks

All investing involves risks of fluctuating prices and the uncertainties of rates of return and yield inherent in investing. You could lose money on your investment and any of the following risks, among others, could affect investment performance. The following principal risks are presented in alphabetical order which does not imply order of importance or likelihood: Bank instruments; Collateralized Loan Obligations and Other Collateralized Obligations; Company; Covenant-Lite Loans; Credit; Credit Default Swaps; Currency; Derivative Instruments; Environmental, Social, and Governance (Fixed Income); Floating Rate Loans; Foreign (Non-U.S.) Investments; High-Yield Securities; Interest in Loans; Interest Rate; Investment Model; Large Shareholder Risk; Liquidity; Market; Market Disruption and Geopolitical; Other Investment Companies; Portfolio Turnover; Preferred Stocks; Prepayment and Extension; Securities Lending; U.S. Government Securities and Obligations. Investors should consult the Fund’s Prospectus and Statement of Additional Information for a more detailed discussion of the Fund’s risks.

The fund discussed may be available to you as part of your employer sponsored retirement plan. There may be additional plan level fees resulting in personal performance that varies from stated performance. Please call your benefits office for more information.

Top