VOYA INVESTMENTS, LLC

data from 30/06/2000

Capitalization

$ 6.422 B -99.81 %

Average holding period

2 ans

Performance

$ -400.754 B 57 550.55 %

Capitalization

Portfolio size

Portfolio performance

Portfolio performance %

Performance compared to S&P 500 (%)

Stock in VOYA INVESTMENTS, LLC

Date Ticket Name Weight Capitalization Share number First added Performance ($) Performance (%)
2000/06/30 INTC Intel Corp 1.19% 76.209 M $ 570050 1999/09/30 288.492 K $ 0.00 %
2000/06/30 Jds Uniphase Corp 1.01% 64.735 M $ 540025 1999/09/30 -23.378 B $ -99.90 %
2000/06/30 Sdl Inc 0.99% 63.275 M $ 221870 1999/09/30 -4.996 B $ -99.87 %
2000/06/30 Nortel Networks Corp 0.96% 61.821 M $ 905800 2000/06/30 0.000 $ 0.00 %
2000/06/30 CSCO Cisco Sys Inc 0.94% 60.433 M $ 965675 1999/09/30 -7.051 M $ -0.02 %
2000/06/30 Mercury Interactive Corp 0.93% 59.617 M $ 616200 1999/09/30 -16.044 B $ -99.88 %
2000/06/30 Bj Svcs Co 0.91% 58.612 M $ 937786 1999/09/30 -10.887 B $ -99.92 %
2000/06/30 Triquint Semiconductor Inc 0.91% 58.482 M $ 611177 1999/09/30 -2.767 B $ -99.87 %
2000/06/30 VRSN Verisign Inc 0.90% 57.672 M $ 326755 1999/09/30 1.666 M $ 0.02 %
2000/06/30 Digital Lightwave Inc 0.88% 56.376 M $ 560953 1999/12/31 -2.457 B $ -99.84 %
2000/06/30 Citigroup Inc 0.84% 54.134 M $ 908425 1999/09/30 -34.719 B $ -99.90 %
2000/06/30 SLF Sun Life Finl Svcs Cda Inc 0.84% 54.024 M $ 3201400 2000/06/30 0.000 $ 0.00 %
2000/06/30 Veritas Software Corp 0.83% 53.335 M $ 471925 1999/09/30 -51.128 B $ -99.91 %
2000/06/30 ADBE Adobe Sys Inc 0.81% 51.857 M $ 398900 2000/06/30 0.000 $ 0.00 %
2000/06/30 Ciena Corp 0.81% 51.756 M $ 310500 1999/09/30 -29.550 B $ -99.87 %
2000/06/30 WMT Wal Mart Stores Inc 0.77% 49.246 M $ 854600 1999/09/30 285.038 K $ 0.00 %
2000/06/30 JAVA Sun Microsystems Inc 0.76% 49.029 M $ 539150 1999/09/30 0.000 $ 0.00 %
2000/06/30 ORCL Oracle Corp 0.76% 48.926 M $ 582025 1999/09/30 1.261 M $ 0.00 %
2000/06/30 Weatherford Intl Inc New 0.73% 46.617 M $ 1170900 1999/09/30 -23.288 B $ -99.93 %
2000/06/30 0.71% 45.505 M $ 796591 1999/09/30 -12.184 B $ -99.91 %
2000/06/30 NOK 0.71% 45.488 M $ 910900 1999/09/30 -1.141 M $ 0.00 %
2000/06/30 Nextel Communications Inc 0.70% 44.728 M $ 731000 1999/09/30 -42.545 B $ -99.96 %
2000/06/30 GLW Corning Inc 0.68% 43.720 M $ 162000 1999/12/31 3.710 M $ 0.01 %
2000/06/30 Silicon Storage Technology Inc 0.67% 43.343 M $ 490793 1999/12/31 -656.702 M $ -99.88 %
2000/06/30 Charter One Finl Inc 0.66% 42.410 M $ 1843922 1999/09/30 -44.189 B $ -99.89 %
2000/06/30 AMAT Applied Materials Inc 0.65% 41.994 M $ 463380 1999/12/31 -608.151 K $ 0.00 %
2000/06/30 MGM Mgm Grand Inc 0.65% 41.846 M $ 1302600 1999/09/30 5.742 M $ 0.02 %
2000/06/30 Power One Inc 0.64% 41.205 M $ 361647 1999/09/30 -1.790 B $ -99.81 %
2000/06/30 Applied Micro Circuits Corp 0.63% 40.497 M $ 410100 1999/09/30 -11.487 B $ -99.93 %
2000/06/30 Enron Corp 0.60% 38.393 M $ 620850 1999/09/30 -36.314 B $ -99.92 %
2000/06/30 Cor Therapeutics Inc 0.58% 37.383 M $ 438186 1999/09/30 0.000 $ 0.00 %
2000/06/30 TXN Texas Instrs Inc 0.57% 36.776 M $ 535405 1999/09/30 -2.121 M $ -0.01 %
2000/06/30 Aether Systems Inc 0.56% 35.855 M $ 174900 1999/12/31 -17.957 B $ -99.89 %
2000/06/30 Qwest Communications Intl Inc 0.55% 35.485 M $ 722325 1999/12/31 -27.830 B $ -99.90 %
2000/06/30 Genentech Inc 0.55% 35.398 M $ 205800 1999/09/30 -30.563 B $ -99.89 %
2000/06/30 Dell Computer Corp 0.53% 34.090 M $ 691300 1999/09/30 -33.233 B $ -99.91 %
2000/06/30 Cdw Computer Ctrs Inc 0.53% 33.831 M $ 541300 1999/09/30 -894.375 M $ -99.93 %
2000/06/30 APA Apache Corp 0.51% 33.067 M $ 562242 1999/09/30 0.000 $ 0.00 %
2000/06/30 Scientific Atlanta Inc 0.51% 32.974 M $ 442600 2000/03/31 -5.614 B $ -99.88 %
2000/06/30 Broadvision Inc 0.51% 32.805 M $ 645600 1999/09/30 -4.429 B $ -99.89 %
2000/06/30 Viacom Inc 0.47% 30.010 M $ 438900 2000/06/30 0.000 $ 0.00 %
2000/06/30 General Mtrs Corp 0.46% 29.510 M $ 336300 1999/12/31 -31.427 B $ -99.93 %
2000/06/30 Medimmune Inc 0.46% 29.485 M $ 398449 1999/09/30 -6.736 B $ -99.96 %
2000/06/30 Powerwave Technologies Inc 0.45% 29.040 M $ 660000 1999/09/30 -5.835 B $ -99.96 %
2000/06/30 Aetna Inc 0.45% 28.640 M $ 446200 2000/06/30 0.000 $ 0.00 %
2000/06/30 Diamond Technology Partner Inc 0.45% 28.635 M $ 325400 2000/06/30 0.000 $ 0.00 %
2000/06/30 Washington Mut Inc 0.44% 28.301 M $ 980120 1999/09/30 -25.672 B $ -99.89 %
2000/06/30 CMA Comerica Inc 0.44% 28.033 M $ 624700 1999/09/30 1.973 M $ 0.01 %
2000/06/30 Natural Microsystems Corp 0.43% 27.831 M $ 247529 2000/03/31 -1.002 B $ -99.87 %
2000/06/30 VSH Vishay Intertechnology Inc 0.43% 27.808 M $ 733000 2000/06/30 0.000 $ 0.00 %
2000/06/30 CELG Celgene Corp 0.43% 27.795 M $ 472100 2000/03/31 -24.000 $ 0.00 %
2000/06/30 Protein Design Labs Inc 0.43% 27.707 M $ 167969 1999/12/31 -1.055 B $ -99.79 %
2000/06/30 AMGN Amgen Inc 0.43% 27.457 M $ 390844 1999/09/30 3.227 M $ 0.01 %
2000/06/30 Fleetboston Finl Corp 0.42% 26.896 M $ 791060 1999/12/31 -24.591 B $ -99.91 %
2000/06/30 SNDK Sandisk Corp 0.41% 26.545 M $ 433837 2000/06/30 0.000 $ 0.00 %
2000/06/30 CVC Cablevision Sys Corp 0.41% 26.505 M $ 390500 2000/06/30 0.000 $ 0.00 %
2000/06/30 Santa Fe International Corp 0.41% 26.175 M $ 749200 1999/12/31 -665.371 M $ -99.91 %
2000/06/30 Sepracor Inc 0.40% 25.779 M $ 213714 2000/03/31 -3.693 B $ -99.83 %
2000/06/30 Siebel Sys Inc 0.40% 25.456 M $ 155636 1999/12/31 -8.015 B $ -99.86 %
2000/06/30 Micromuse Inc 0.39% 25.241 M $ 152528 2000/06/30 0.000 $ 0.00 %
2000/06/30 Cytyc Corp 0.39% 25.225 M $ 472600 2000/06/30 0.000 $ 0.00 %
2000/06/30 KOPN Kopin Corp 0.38% 24.314 M $ 351100 1999/09/30 14.748 K $ 0.00 %
2000/06/30 Newport Corp 0.37% 23.934 M $ 222900 2000/03/31 -1.147 B $ -99.92 %
2000/06/30 GE General Elec Co 0.37% 23.739 M $ 447900 1999/09/30 363.149 K $ 0.00 %
2000/06/30 Mrv Communications Inc 0.37% 23.625 M $ 351300 1999/12/31 -2.051 B $ -99.93 %
2000/06/30 JNJ Johnson + Johnson 0.37% 23.574 M $ 231400 1999/09/30 1.813 M $ 0.02 %
2000/06/30 Alpha Inds Inc 0.36% 23.168 M $ 525800 1999/09/30 -3.589 B $ -99.95 %
2000/06/30 Advanced Fibre Communications 0.35% 22.239 M $ 490800 1999/12/31 -2.343 B $ -99.93 %
2000/06/30 LRCX Lam Resh Corp 0.35% 22.231 M $ 592836 1999/09/30 0.000 $ 0.00 %
2000/06/30 Infinity Broadcasting Corp New 0.34% 21.742 M $ 596700 2000/06/30 0.000 $ 0.00 %
2000/06/30 Compania Anon Nacl Tele De Vez 0.33% 21.210 M $ 780150 2000/06/30 0.000 $ 0.00 %
2000/06/30 INCY Incyte Genomics Inc 0.33% 21.142 M $ 257243 2000/06/30 0.000 $ 0.00 %
2000/06/30 0.33% 21.094 M $ 1240800 2000/06/30 0.000 $ 0.00 %
2000/06/30 Curagen Corp 0.33% 20.980 M $ 551200 1999/12/31 -2.270 B $ -99.92 %
2000/06/30 DSPG Dsp Group Inc 0.32% 20.647 M $ 368700 1999/09/30 0.000 $ 0.00 %
2000/06/30 Worldcom Inc 0.32% 20.430 M $ 445331 2000/06/30 0.000 $ 0.00 %
2000/06/30 BRCM Broadcom Corp 0.32% 20.334 M $ 92875 1999/09/30 221.000 $ 0.00 %
2000/06/30 Andrew Corp 0.31% 20.148 M $ 600300 1999/12/31 -433.987 M $ -99.85 %
2000/06/30 ADI Analog Devices Inc 0.31% 19.998 M $ 263135 1999/09/30 -654.300 K $ -0.01 %
2000/06/30 KEP 0.31% 19.941 M $ 1081530 2000/06/30 0.000 $ 0.00 %
2000/06/30 Globespan Semiconductor Inc 0.31% 19.877 M $ 162825 1999/12/31 -3.574 B $ -99.88 %
2000/06/30 El Paso Energy Corp Del 0.31% 19.874 M $ 402497 1999/12/31 -604.884 M $ -99.88 %
2000/06/30 Schering Plough Corp 0.30% 19.498 M $ 386100 1999/09/30 -4.037 B $ -99.86 %
2000/06/30 DGX Quest Diagnostics Inc 0.30% 19.300 M $ 269700 2000/06/30 0.000 $ 0.00 %
2000/06/30 Ensco Intl Inc 0.30% 19.093 M $ 533150 1999/09/30 -5.294 B $ -99.90 %
2000/06/30 MENT Mentor Graphics Corp 0.30% 19.088 M $ 960400 2000/06/30 0.000 $ 0.00 %
2000/06/30 Macrovision Corp 0.29% 18.857 M $ 295000 1999/09/30 -7.453 B $ -99.93 %
2000/06/30 Macromedia Inc 0.29% 18.775 M $ 194186 1999/09/30 -2.973 B $ -99.89 %
2000/06/30 Aspect Communications Inc 0.29% 18.756 M $ 477100 1999/12/31 -3.003 B $ -99.89 %
2000/06/30 MRK Merck + Co Inc 0.29% 18.717 M $ 244265 1999/09/30 1.164 M $ 0.02 %
2000/06/30 Brocade Communications Sys 0.29% 18.408 M $ 100326 1999/12/31 -8.007 B $ -99.90 %
2000/06/30 Three Five Sys Inc 0.29% 18.393 M $ 311749 2000/06/30 0.000 $ 0.00 %
2000/06/30 Paine Webber Group Inc 0.28% 18.173 M $ 399400 2000/06/30 0.000 $ 0.00 %
2000/06/30 WAT Waters Corp 0.28% 18.098 M $ 145000 2000/03/31 1.101 M $ 0.02 %
2000/06/30 Kemet Corp 0.28% 17.967 M $ 716900 2000/06/30 0.000 $ 0.00 %
2000/06/30 Millennium Pharmaceuticals 0.28% 17.880 M $ 159825 1999/09/30 -6.053 B $ -99.91 %
2000/06/30 0.28% 17.779 M $ 752553 1999/12/31 -4.746 B $ -99.91 %
2000/06/30 HSII Heidrick + Struggles Intl Inc 0.28% 17.694 M $ 280300 2000/06/30 0.000 $ 0.00 %
2000/06/30 Banknorth Group Inc New 0.28% 17.684 M $ 1154870 2000/06/30 0.000 $ 0.00 %
2000/06/30 Cephalon Inc 0.28% 17.662 M $ 294974 1999/09/30 -2.469 B $ -99.84 %