Voya Multi-Manager International Small Cap Q1 2025 Commentary
2025-06-03 09:36:00 ET
Summary
- For the quarter, the Fund outperformed the S&P Developed ex-U.S. Small Cap Index and the MSCI EAFE Small Cap Index on a net asset value (NAV) basis.
- As of quarter end, the Fund’s largest country exposures were Japan and United Kingdom.
- The Fund’s largest sector exposures were industrials and financials sectors.
Strategy overview
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Voya Multi-Manager International Small Cap Q1 2025 CommentaryNASDAQ: TNLIY
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