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Voya Strategic Income Opportunities Fund Class I (0P0000WP0S)

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9.220 +0.010    +0.11%
13/11 - Delayed Data. Currency in USD
  • Morningstar Rating:
  • Total Assets: 1.63B
Type:  Fund
Market:  United States
Issuer:  Voya
Asset Class:  Bond
Voya Strategic Income Opportunities Fund Class I 9.220 +0.010 +0.11%

0P0000WP0S Overview

 
On this page you'll find an in-depth profile of Voya Strategic Income Opportunities Fund Class I. Learn about the key management, total assets, investment strategy and contact information of 0P0000WP0S among other information.
Category

Nontraditional Bond

Total Assets

1.63B

Expenses

0.63%

Inception Date

Nov 02, 2012

Investment Strategy

The investment seeks total return through income and capital appreciation through all market cycles. The fund invests in debt instruments, including investment-grade securities and below investment-grade securities, commonly referred to as "junk bonds." It generally maintains a dollar-weighted average duration profile between -2 and 6 years. The fund may also invest in floating rate loans, and other floating rate debt instruments.

Contact Information

Address 7337 E. Doubletree Ranch Road
Scottsdale,AZ 85258
United States
Phone 1-800-366-0066

Top Executives

Name Title Since Until
Eric A. Stein CIO (Chief Investment Officer) 2024 Now
Biography Eric Stein is the head of investments and chief investment officer of fixed income at Voya Investment Management. As head of investments with broad responsibility for Voya IM’s public markets platforms, Eric leads teams of investment professionals across fixed income, multi-asset strategies and solutions, income and growth and equities as well as leading the Investment Committee comprised of the CIOs across platforms. As CIO of fixed income, he is also directly responsible for portfolio management and oversight of the fixed income platform and serves as the chair of the Fixed Income Asset Allocation Committee, a group that formulates the fixed income platform’s strategic investment themes that informs strategy and risk budgeting across public fixed income portfolios. Prior to Voya, Eric was chief investment officer for fixed income at Eaton Vance and Morgan Stanley Investment Management, where he was responsible for overseeing over 275 investment professionals managing strategies with approximately $200 billion in assets under management across the fixed income spectrum for institutions and individual investors worldwide. Eric earlier worked on the Markets Desk at the Federal Reserve Bank of New York. Eric earned a B.S., from Boston University and an MBA from the University of Chicago Booth School of Business. He is a member of the Council on Foreign Relations and a CFA ® Charterholder.
Brian Timberlake Portfolio Manager 2017 Now
Biography Brian Timberlake is the head of fixed income research at Voya Investment Management and is responsible for managing the organization’s global fixed income research analysts as well as the coordination of macroeconomic data across the fixed income platform. Prior to this position, Mr. Timberlake was Head of Quantitative Research and before that, a Senior Quantitative Analyst. He joined Voya IM in 2003. His team is responsible for macro and quantitative fixed income research and provides additional assistance to individual sector groups and the risk management team. In addition, Brian is a named portfolio manager on several global and opportunistic fixed income products. Previously, he was the head of quantitative research where he helped develop an integrated, automated tool for interest rate hedging, created multifactor risk models, and was integral to the design and monitoring of customized client portfolios. Prior to that he was a senior quantitative analyst at Voya. Brian received a BS in chemical engineering from the University of Maryland, an MS in quantitative and computational finance from the Georgia Institute of Technology and a PhD in chemical engineering from the Georgia Institute of Technology. He holds the Chartered Financial Analyst® designation.
Sean Banai Head 2017 Now
Biography Sean Banai is head of portfolio management for the fixed income platform at Voya Investment Management. Previously, Sean was a senior portfolio manager and before that head of quantitative research for proprietary fixed income. Prior to joining the firm in 1999, he was a partner in a private sector company. Sean received a BA and an MS in actuarial science from Georgia State University. He holds the Chartered Financial Analyst® designation.
Matthew Toms CIO (Chief Investment Officer) 2012 2024
Biography Matt Toms is the chief executive officer of Voya Investment Management, the asset management business of Voya Financial. As CEO, Toms leads the strategic direction and operational performance of Voya Investment Management, which manages strategies spanning public and private fixed income, equities, multi-asset solutions and alternative strategies for institutions, financial intermediaries and individual investors. Voya Investment Management has domestic offices in New York City, Atlanta, San Diego and San Francisco, among others, as well investment teams in London, UK. Matt has over 30 years of asset management experience, both domestically and internationally. Prior to becoming CEO, Matt was global chief investment officer and CIO of fixed income at Voya Investment Management and led a team of investment professionals with broad oversight of Voya’s public fixed income, private fixed income and alternatives, equities, and multi-asset strategies and solutions. Before joining Voya, Matt worked at Calamos Investments, where he built their fixed income business. He also has prior portfolio management experience at Northern Trust and Lincoln National. Matt serves on Voya Financial’s Executive Committee and is a board member of Pomona Capital. He earned a BBA from the University of Michigan and is a CFA® Charterholder.
Christine Hurtsellers Chief Information Officer (CIO) 2012 2017
Biography Christine Hurtsellers, CFA Chief Executive Officer, Voya Investment Management Christine Hurtsellers is the chief executive officer of Voya Investment Management, the asset management subsidiary of Voya Financial. Christine is responsible for overseeing all aspects of Voya’s asset management business including institutional, retail funds, retirement and proprietary portfolio segments. Based in New York, Voya Investment Management has additional domestic investment operations in Atlanta, Georgia, Scottsdale, Arizona, and Windsor, Connecticut and global operations in London, Hong Kong and Sydney. Prior to becoming CEO, Christine was chief investment officer of fixed income at Voya Investment Management, responsible for leading a team of more than 100 fixed income investment professionals. Before being appointed CIO, she had been head of our structured finance team. Prior to joining the firm, Christine served in a variety of roles at the Federal Home Mortgage Corporation, including leading the $650 billion agency guaranteed retained portfolio team and managing such products as mortgage derivatives, adjustable rate mortgages and collateralized mortgage obligations. Earlier in her career, Christine was a portfolio manager responsible for mortgages and structured products at Alliance Capital Management and Banc One, and a client consultant at Pentalpha Capital group. She is a board member of Pomona Capital and a member of the U.S. Treasury Borrowing Advisory Committee. Christine is also on the board of councilors for the Carter Center and the Southeast Regional Board of UNICEF USA. Christine received a BA in finance with high honors from Indiana University Kelley School of Business and holds the Chartered Financial Analyst® designation.
Michael A. Mata Vice President & portfolio manager 2012 2013
Biography Michael Mata serves as senior vice president and the head of Multi-Sector Fixed Income at OppenheimerFunds. Prior to joining OppenheimerFunds in 2014, Michael previously served as Managing Director - Head of Multi-Sector Fixed Income as well as portfolio manager of the Global Bond and Core Plus strategies for Voya (formerly “ING Investment Management”). Prior to that, he worked at Putnam Investments in Boston, MA as Senior Risk Manager and also at Lehman Brothers, where he was the Risk Manager for Fixed Income Trading. Mr. Mata has an MBA from DePaul University with a concentration in Finance and Accounting. He also holds a B.A. from Florida International University where he majored in Finance.
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