Industry description
The investment seeks a high level of total return consistent with a conservative level of risk relative to the other Voya Retirement Portfolios.
Under normal circumstances, the portfolio invests in a combination of other funds according to a model that is intended to reflect an allocation of approximately 25% of the Portfolio's assets in equity securities and 75% of the portfolio's assets in debt instruments. The actual amount of portfolio assets invested in equity securities may vary at any time and may range from 15% to 45% of its assets in equity securities and from 55% to 85% of its assets in debt instruments.