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Holdings (Monthly) Guide ↗

Voya Corporate Leaders(R) 100 Fund

· Voya Equity Trust
Monthly Holdings $1.3B AUM 104 positions Period Feb 2026 Filed Apr 28, 2026 EDGAR ↗ ← All Funds
All 5 New 62 Added 32 Reduced 5 Exited · Feb 2026 vs Nov 2025
# Name Ticker Since Shares Shares Δ Value Val Δ% % Port Cat
1 Lockheed Martin Corporation LMT Feb 2026 26,918 +1,820 $17.7M +54.2% 1.34% EC
2 Deere & Company DE Feb 2026 27,954 +1,427 $17.6M +42.9% 1.33% EC
3 FedEx Corporation FDX Feb 2026 45,134 -7,061 $17.5M +21.4% 1.32% EC
4 Caterpillar Inc CAT Feb 2026 22,750 -3,433 $16.9M +12.1% 1.28% EC
5 Exxon Mobil Corp. XOM Feb 2026 108,574 +464 $16.6M +32.1% 1.25% EC
6 Colgate-Palmolive Co. CL Feb 2026 165,215 +11,630 $16.4M +32.7% 1.24% EC
7 Honeywell International Inc. HON Feb 2026 66,900 +7,897 $16.3M +43.7% 1.23% EC
8 Verizon Communications Inc. VZ Feb 2026 322,758 +37,255 $16.2M +37.9% 1.22% EC
9 Chevron Corp. CVX Feb 2026 86,248 +7,144 $16.1M +34.7% 1.22% EC
10 Intel Corporation INTC Feb 2026 352,174 -5,944 $16.1M +10.6% 1.21% EC
11 Gilead Sciences Inc. GILD Feb 2026 106,644 -3,001 $15.9M +15.1% 1.20% EC
12 Texas Instruments Inc. TXN Feb 2026 74,885 +7,493 $15.9M +40.1% 1.20% EC
13 ConocoPhillips COP Feb 2026 139,600 +10,772 $15.8M +38.6% 1.20% EC
14 Johnson & Johnson JNJ Feb 2026 63,488 -4,501 $15.8M +12.1% 1.19% EC
15 Altria Group, Inc. MO Feb 2026 227,389 +39,356 $15.7M +41.5% 1.18% EC
16 Linde PLC LIN Feb 2026 30,666 -19,326 $15.6M +24.7% 1.18% EC
17 Amgen Inc. AMGN Feb 2026 39,966 -5,105 $15.5M -0.4% 1.17% EC
18 Pepsico Inc PEP Feb 2026 91,124 +3,031 $15.5M +18.0% 1.17% EC
19 Target Corp. TGT Feb 2026 134,829 -4,180 $15.3M +21.8% 1.16% EC
20 Costco Wholesale Corporation COST Feb 2026 15,175 +1,707 $15.3M +24.7% 1.16% EC
21 Merck & Co., Inc MRK Feb 2026 123,858 -33,283 $15.3M -6.9% 1.16% EC
22 NextEra Energy Inc NEE Feb 2026 163,123 +1,094 $15.3M +9.4% 1.15% EC
23 Coca-Cola Co (The) KO Feb 2026 187,474 +494 $15.3M +11.8% 1.15% EC
24 United Parcel Service, Inc. UPS Feb 2026 131,838 -14,294 $15.3M +9.2% 1.15% EC
25 The Procter & Gamble Co. PG Feb 2026 91,192 +10,764 $15.2M +28.0% 1.15% EC
26 Philip Morris International Inc. PM Feb 2026 81,113 +5,352 $15.2M +27.0% 1.14% EC
27 Bristol-Myers Squibb Company BMY Feb 2026 242,323 -37,360 $15.1M +9.8% 1.14% EC
28 Starbucks Corp. SBUX Feb 2026 154,091 +9,904 $15.1M +20.3% 1.14% EC
29 Walmart Inc WMT Feb 2026 117,373 -2,419 $15.0M +13.4% 1.13% EC
30 Union Pacific Corporation UNP Feb 2026 56,365 +4,082 $14.9M +23.2% 1.13% EC
31 AT&T Inc T Feb 2026 529,470 +89,571 $14.8M +29.6% 1.12% EC
32 Mondelez International, Inc. MDLZ Feb 2026 239,670 +42,509 $14.8M +30.0% 1.11% EC
33 Emerson Electric Co. EMR Feb 2026 97,098 +1,560 $14.6M +14.9% 1.10% EC
34 Southern Co. SO Feb 2026 150,010 +18,520 $14.6M +21.9% 1.10% EC
35 Duke Energy Corp DUK Feb 2026 111,628 +11,073 $14.6M +17.2% 1.10% EC
36 McDonald's Corp. MCD Feb 2026 42,647 +1,892 $14.5M +14.5% 1.10% EC
37 Pfizer Inc. PFE Feb 2026 525,657 +7,918 $14.5M +9.1% 1.10% EC
38 RTX Corp. RTX Feb 2026 71,389 -4,075 $14.5M +9.6% 1.09% EC
39 Home Depot Inc. HD Feb 2026 37,928 +7,574 $14.4M +33.3% 1.09% EC
40 GE Aerospace GE Feb 2026 42,132 +79 $14.4M +14.9% 1.09% EC
41 Simon Property Group Inc SPG Feb 2026 70,313 +3,870 $14.3M +15.8% 1.08% EC
42 Lowes Companies, Inc. LOW Feb 2026 54,019 +5,273 $14.3M +20.9% 1.08% EC
43 American Tower Corporation AMT Feb 2026 74,334 +10,864 $14.3M +24.0% 1.08% EC
44 Morgan Stanley Institutional Liquidity Funds MVRXX 14,016,000 NEW $14.0M 1.06% STIV
45 T-Mobile US Inc TMUS Feb 2026 64,457 +12,566 $14.0M +29.0% 1.06% EC
46 General Dynamics Corporation GD Feb 2026 38,696 +1,522 $13.8M +8.8% 1.04% EC
47 Boeing Co. BA Feb 2026 60,121 +3,237 $13.7M +27.2% 1.03% EC
48 Comcast Corporation CMCSA Feb 2026 438,310 +46,187 $13.6M +29.7% 1.02% EC
49 Cisco Systems, Inc. CSCO Feb 2026 169,698 -12,643 $13.5M -3.9% 1.02% EC
50 Netflix, Inc. NFLX Feb 2026 140,077 +37,727 $13.5M +22.4% 1.02% EC
51 3M Company MMM Feb 2026 81,507 +1,365 $13.5M -2.3% 1.02% EC
52 The Bank of New York Mellon Corp. BK Feb 2026 112,403 -109 $13.4M +6.1% 1.01% EC
53 Nike, Inc. NKE Feb 2026 214,681 +37,137 $13.3M +16.3% 1.01% EC
54 Medtronic PLC MDT Feb 2026 135,903 NEW $13.3M 1.00% EC
55 AbbVie Inc. ABBV Feb 2026 57,180 +1,847 $13.3M +5.3% 1.00% EC
56 U.S. Bancorp. USB Feb 2026 241,876 -10,175 $13.2M +6.9% 1.00% EC
57 Berkshire Hathaway Inc. BRK/B Feb 2026 26,080 +1,347 $13.2M +3.6% 0.99% EC
58 CVS Health Corp CVS Feb 2026 164,512 +1,111 $13.1M +0.1% 0.99% EC
59 Alphabet Inc. GOOG Feb 2026 41,762 -8,771 $13.0M -19.6% 0.98% EC
60 Blackrock Inc. 2481632 Feb 2026 12,126 +1,622 $12.9M +17.2% 0.97% EC
61 Eli Lilly & Co. LLY Feb 2026 12,166 -4,830 $12.8M -30.0% 0.97% EC
62 Meta Platforms Inc META Feb 2026 19,726 +3,116 $12.8M +18.8% 0.96% EC
63 Goldman Sachs Group, Inc. GS Feb 2026 14,853 -504 $12.8M +0.6% 0.96% EC
64 Apple Inc. AAPL Feb 2026 48,104 -429 $12.7M -6.1% 0.96% EC
65 General Motors Company GM Feb 2026 159,557 -42,474 $12.6M -15.4% 0.95% EC
66 The Charles Schwab Corporation SCHW Feb 2026 130,644 +3,199 $12.4M +5.2% 0.94% EC
67 NVIDIA Corp. NVDA Feb 2026 70,047 +2,143 $12.4M +3.3% 0.94% EC
68 Citigroup Inc. C Feb 2026 112,076 -7,624 $12.3M -0.4% 0.93% EC
69 American International Group Inc. AIG Feb 2026 152,519 -5,995 $12.3M +1.7% 0.93% EC
70 Morgan Stanley MS Feb 2026 73,355 -3,265 $12.2M -6.0% 0.92% EC
71 Advanced Micro Devices Inc. AMD Feb 2026 61,004 +11,145 $12.2M +12.6% 0.92% EC
72 JPMorgan Chase & Co. JPM Feb 2026 40,618 +1,503 $12.2M -0.4% 0.92% EC
73 Abbott Laboratories ABT Feb 2026 104,440 +11,673 $12.2M +1.6% 0.92% EC
74 Walt Disney Company DIS Feb 2026 114,438 +6,857 $12.1M +8.0% 0.92% EC
75 Uber Technologies Inc UBER Feb 2026 159,964 +35,950 $12.1M +11.1% 0.91% EC
76 Broadcom Inc AVGO Feb 2026 37,549 -109 $12.0M -20.9% 0.91% EC
77 Danaher Corporation DHR Feb 2026 56,949 -9,418 $12.0M -20.3% 0.91% EC
78 Visa Inc V Feb 2026 37,149 +848 $11.9M -2.0% 0.90% EC
79 MetLife Inc. MET Feb 2026 164,656 +14,197 $11.9M +3.0% 0.90% EC
80 Amazon.com, Inc. AMZN Feb 2026 56,493 +913 $11.9M -8.5% 0.90% EC
81 Bank of America Corp. BAC Feb 2026 237,631 +2,070 $11.8M -6.3% 0.89% EC
82 MasterCard Incorporated MA Feb 2026 22,749 +1,014 $11.8M -1.7% 0.89% EC
83 Thermo Fisher Scientific Inc TMO Feb 2026 22,515 -4,211 $11.7M -25.7% 0.89% EC
84 Tesla Inc TSLA Feb 2026 28,908 +1,047 $11.6M -2.9% 0.88% EC
85 UnitedHealth Group Inc. UNH Feb 2026 39,548 +3,774 $11.6M -1.7% 0.88% EC
86 Intuitive Surgical Inc. ISRG Feb 2026 22,940 -5,174 $11.6M -28.4% 0.87% EC
87 Wells Fargo & Co. WFC Feb 2026 139,289 -6,585 $11.3M -9.4% 0.86% EC
88 American Express Company AXP Feb 2026 35,181 -892 $10.9M -17.5% 0.82% EC
89 QUALCOMM Inc. QCOM Feb 2026 75,649 +948 $10.8M -14.2% 0.81% EC
90 Microsoft Corp. MSFT Feb 2026 26,948 +2,952 $10.6M -10.4% 0.80% EC
91 Capital One Financial Corp. COF Feb 2026 53,845 -1,379 $10.5M -12.9% 0.79% EC
92 International Business Machines Corp. IBM Feb 2026 43,491 -641 $10.4M -23.3% 0.79% EC
93 Booking Holdings Inc BKNG Feb 2026 2,421 +157 $10.3M -7.8% 0.77% EC
94 Accenture PLC ACN Feb 2026 48,653 NEW $10.2M 0.77% EC
95 Palantir Technologies Inc PLTR Feb 2026 72,641 +3,602 $10.0M -14.3% 0.75% EC
96 Adobe Inc ADBE Feb 2026 37,266 +2,910 $9.8M -11.1% 0.74% EC
97 Oracle Corp. ORCL Feb 2026 66,611 +22,940 $9.7M +9.8% 0.73% EC
98 DAIWA CAPITAL MARKETS AMERICA INC. 000000000 Feb 2026 3 NEW $3 0.00% RA
99 CHICAGO MERCANTILE EXCHANGE INC. ESH6 Feb 2026 44 NEW $-43883 -0.00% DE
BlackRock Liquidity FedFund 09248U700 18,385,000 SOLD $18.4M
Salesforce Inc 79466L302 50,380 SOLD $11.6M
Intuit Inc 461202103 17,775 SOLD $11.3M
PayPal Holdings Inc 70450Y103 177,212 SOLD $11.1M
ServiceNow Inc 81762P102 13,125 SOLD $10.7M