Historical Fund Graph

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Funds are priced as of the previous business day's market close (typically 4 PM) when the market is open. Any dividends and redemption fees are not reflected in the graph and would change the performance/price that is shown.



Historical Fund Price Information

Fund Name As of MM/DD/YYYY As of MM/DD/YYYY
STABILITY OF PRINCIPAL    
0620 Voya Govt Liquid Assets Port Srv 2 $1.000000 $1.000000
BONDS    
1020 Voya High Yield Portfolio Adv $9.080000 $9.830000
1041 TCW Total Return Bond Fund N $9.930000 $10.290000
BALANCED    
0788 VY TRowePrice Captl Apprec Pt Srv $25.080000 $29.240000
LARGE CAP GROWTH    
1184 Aberdeen Focused U.S. Equity Fund R $5.310000 $7.010000
SMALL/MID/SPECIALTY    
0441 VY JPMorgan Mid Cap Val Port Adv $15.610000 $16.870000
0442 VY Baron Growth Port Adv $24.500000 $30.600000
0447 VY AmCen Sm-Md Cp Val Port Adv NA $10.870000
0473 Voya Small Company Fund A $9.550000 $11.900000
1111 VY Clarion Real Estate Port Adv $29.040000 $36.450000
GLOBAL/INTERNATIONAL    
0366 Voya Multi-Manager Intl Sm Cap Fd A $44.420000 $53.730000
0445 VY Inv Opp Global Port Adv $16.940000 $18.030000
1047 VY TRowePrice Intl Stk Port Adv $13.580000 $15.560000
1048 VY JPMorgan Emrg Mkts Eq Port Adv $16.890000 $20.140000

For Quarter End Fund Performance information, please click on Fund Performance from the Account menu. The performance data quoted above represents past performance. Past performance does not guarantee future results. The investment return and principal value of an investment will fluctuate so that investors share, when redeemed, may be worth more or less than their original cost. The current performance may be lower or higher than the performance data quoted. To obtain performance data current to the most recent month-end, please call your plan's information line.