IFTIX Mutual Fund
IFTIX Mutual Fund
IFTIX Mutual Fund
Voya International High Dividend Low Volatility Portfolio Institutional class
IFTIX Mutual Fund Overview
IFTIX Mutual Fund (Voya International High Dividend Low Volatility Portfolio Institutional class) is managed by Voya Investment Management with $110.7M in net assets. IFTIX expense ratio is 0.76%, holding 195 positions across sectors including Financials, Consumer Staples, Energy. Inception date: 2006-01-03.
IFTIX performance shows a YTD return of 6.72%. The 1-year return is 16.90% and the 5-year return is 11.22%. IFTIX dividend yield stands at 43.07%, paid annually.
IFTIX top holdings include Hsbc Holdings Plc (3.3%), Shell plc (2.3%), Allianz Se (2.1%), Iberdrola Sa Energy Infrastructure (1.6%), Enel SpA Italy Utilities (1.5%). View all IFTIX holdings, sector breakdown, or dividend history.
IFTIX can be compared against other funds using the overlap calculator or side-by-side comparison tool. IFTIX alternatives are available via the screener, along with tax-loss harvesting opportunities.