Voya Index Solution 2050 Portfolio

Shareclass
Voya Index Solution 2050 Port Z (VSZGX)
Type
Open-end mutual fund
Manager
Target date
Voya Index Solution Series
Tobacco grade: Fund is invested in tobacco producers, above the threshold of 0.5% and below 1.2%. Assigned a grade of D.
How we track tobacco investments
D
$10.62 MILLION
INVESTED IN TOBACCO
AND TOBACCO-PROMOTING
ENTERTAINMENT COMPANIES
Tobacco companies that produce or manufacture tobacco products
Tobacco producers
that produce or manufacture tobacco products
Entertainment companies that show smoking in movies marketed to kids
Tobacco-promoting entertainment companies
that show smoking in movies marketed to kids
21
holdings flagged
1.2%
of assets flagged
Tobacco companies
Tobacco companies
12 holdings
0.52% of assets
$4.55 MILLION invested
Tobacco-promoting entertainment companies
Tobacco-promoting entertainment companies
9 holdings
0.69% of assets
$6.07 MILLION invested
Why entertainment companies?
“R”-rating future movies with smoking will prevent one million tobacco deaths in this generation of U.S. kids. Hollywood studios and their parent companies, the nation’s best-known entertainment companies, are well aware of the public health risk, but continue to intentionally expose millions of kids.
Tell Hollywood to rate smoking “R”
Join our call to eliminate smoking from youth-rated movies
Take action
This fund contains
21 investments in tobacco producers and tobacco-promoting entertainment companies
Tobacco companies icon
Tobacco companies
12 HOLDINGS
12 holdings
  • 1. Philip Morris International Inc
    0.21% of portfolio
    $1.88M invested
  • 2. Altria Group Inc
    0.1% of portfolio
    $906,883 invested
  • 3. British American Tobacco PLC
    0.1% of portfolio
    $873,156 invested
  • 4. Japan Tobacco Inc
    0.05% of portfolio
    $402,430 invested
  • 5. Imperial Brands PLC
    0.03% of portfolio
    $273,681 invested
See all
Tobacco-promoting entertainment companies icon
Tobacco-promoting entertainment companies
9 HOLDINGS
9 holdings
  • 1. The Walt Disney Co
    0.18% of portfolio
    $1.62M invested
  • 2. Comcast Corp Class A
    0.17% of portfolio
    $1.52M invested
  • 3. Sony Group Corp
    0.16% of portfolio
    $1.41M invested
  • 4. AT&T Inc
    0.16% of portfolio
    $1.4M invested
  • 5. Paramount Global Class B
    <0.01% of portfolio
    $82,953 invested
See all
Are entertainment companies rated the same as tobacco companies?
No - tobacco companies bear greater responsibility to the tobacco epidemic, and our grading methodology reflects this. However, the scientific consensus is that tobacco depictions in movies cause kids to begin smoking. Public health impacts can damage a company’s reputation and brand value, decreasing long-term shareholder value. Asset managers should be engaging entertainment companies by signing investor letters, supporting shareholder resolutions, or otherwise pressing entertainment companies to remove smoking from youth-rated movies.
Financial performance
Performance data provided byMorningstarFind more financial data on VSZGX at Morningstar.com
Current fund
VSZGX
Voya Index Solution 2050 Portfolio
Family
Voya
Category
Target-Date 2050
vs.
Benchmark
IVV
iShares Core S&P 500 ETF
Family
iShares from BlackRock
Category
Large Blend
Fund comparison settings
Investment timeline
Performance as of: 9/30/24
1 year
3 years
5 years
10 years
Benchmark
Suggested: Not available
IVV - iShares Core S&P 500 ETF
Fund comparison results
Compared to the benchmark, this fund has:
Lower
 10-yr returns 
-4.23% less in annualized returns
Less invested in tobacco and tobacco-promoting entertainment companies 
0.39% less invested
Less invested in tobacco producers 
0.05% less invested
Less invested in tobacco-promoting entertainment companies 
0.34% less invested
Current fund
VSZGX
Voya Index Solution 2050 Portfolio
Family
Voya
Category
Target-Date 2050
vs.
Benchmark
IVV
iShares Core S&P 500 ETF
Family
iShares from BlackRock
Category
Large Blend
Fund comparison settings
Investment timeline
Performance as of: 9/30/24
1 year
3 years
5 years
10 years
Benchmark
Suggested: Not available
IVV - iShares Core S&P 500 ETF
Fund comparison results
Compared to the benchmark, this fund has:
Lower
 10-yr returns 
-4.23% less in annualized returns
Less invested in tobacco and tobacco-promoting entertainment companies 
0.39% less invested
Less invested in tobacco producers 
0.05% less invested
Less invested in tobacco-promoting entertainment companies 
0.34% less invested
Current fund
VSZGX
Voya Index Solution 2050 Portfolio
Family
Voya
Category
Target-Date 2050
vs.
Benchmark
IVV
iShares Core S&P 500 ETF
Family
iShares from BlackRock
Category
Large Blend
Fund comparison settings
Investment timeline
Performance as of: 9/30/24
1 year
3 years
5 years
10 years
Benchmark
Suggested: Not available
IVV - iShares Core S&P 500 ETF
Fund comparison results
Compared to the benchmark, this fund has:
Lower
 10-yr returns 
-4.23% less in annualized returns
Less invested in tobacco and tobacco-promoting entertainment companies 
0.39% less invested
Less invested in tobacco producers 
0.05% less invested
Less invested in tobacco-promoting entertainment companies 
0.34% less invested
Month-end trailing returns  
Annualized returns
Climate analysis
1-yr
3-yr
5-yr
10-yr
Overall exposure
This fund
VSZGX - Voya Index Solution 2050 Portfolio
30%
7.11%
11%
9.11%
1.2% 
Benchmark
IVV - iShares Core S&P 500 ETF
36%
12%
16%
13%
1.59% 
Fund compared to benchmark
 
-6.2%
-4.77%
-4.79%
-4.23%
0.39%  lower
Find more financial data on VSZGX at Morningstar.com
Take Action
Take action and sign our letter to the media companies
Find mutual funds that steer clear of tobacco
Talk to your retirement plan manager about tobacco-free investment options
Use FossilFreeFunds.org to see the climate impact of this fund
More from Invest Your Values
See how mutual funds and ETFs are rated on issues ranging from fossil fuels, to deforestation, gender equality, guns, prisons, weapons, and tobacco

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