Voya Global High Dividend Low Volatility Fund

Quarterly Returns (%)
Years Q1 Q2 Q3 Q4 Annual
2009 0 -4.17 15.71 5.57 0
2010 5.61 -7.5 13.13 11.29 22.99
2011 2.61 -1.32 -11.8 1.11 -9.69
2012 1.83 -11.05 6.77 2.33 0.54
2013 1.4 1.35 10.93 5.88 21.04
2014 1.3 4.13 -5.67 -1.95 -2.43
2015 3.99 0.19 -10.23 4.32 -2.44
2016 -1.18 0.88 4.6 0.79 5.1
2017 7.73 5.77 3.51 5.5 24.65
2018 -1.62 1.91 4.52 -11.04 -8.94
2019 10.45 2.1 0.19 4.54 18.4
2020 -23.39 11.89 1.15 9.82 -3.42
2021 6.17 6.17 -2.66 7.6 18
2022 -1.69 -8.09 -8.49 11.91 -7.46
2023 -0.27 0.65 -2.69 7.94 3.55
2024 7.81 -4 0 0 10.11