Voya Global High Dividend Low Volatility Fund

Quarterly Returns (%)
Years Q1 Q2 Q3 Q4 Annual
1993 0 5.2 7.6 0.28 0
1994 4.72 -1.95 4.87 -6.41 0.78
1995 1.26 5.47 9.13 -3.71 11.28
1996 5.67 6.17 -0.78 4.14 17.27
1997 0.77 14.66 9.54 -7.43 17.16
1998 15.59 6.61 -13.77 27.84 35.86
1999 12.67 10.04 2.15 44.48 82.98
2000 3.47 -7.14 -4.28 -15.42 -22.81
2001 -21.48 2.41 -19.09 11.7 -28.3
2002 -4.84 -9.38 -18.79 4.26 -27.42
2003 -5.42 15.26 5.97 11.26 28.52
2004 2.53 -1.33 -1.86 9.41 8.63
2005 -1.43 1.64 7.87 2.99 11.3
2006 6.72 -0.55 2.33 10.23 19.83
2007 4.44 6.74 2.45 -3.79 13.9
2008 -6.62 5.99 -18.23 -13.15 -29.71
2009 -2.41 25.9 15.37 5.32 49.3
2010 5.42 -7.79 12.86 11.01 21.8
2011 2.38 -1.59 -12.04 0.85 -10.62
2012 1.61 -11.27 6.52 2.06 -0.47
2013 1.15 1.1 10.69 5.61 19.86
2014 1.04 3.87 -5.89 -2.23 -3.44
2015 3.74 -0.07 -10.46 4.04 -3.42
2016 -1.43 0.65 4.31 0.58 4.08
2017 7.47 5.47 3.27 5.25 23.39
2018 -1.87 1.64 4.27 -11.24 -9.85
2019 10.61 1.82 -0.03 4.72 18.37
2020 -23.59 12.02 1.93 9.07 -3.45
2021 5.66 6.58 -2.12 7.32 17.73
2022 -1.93 -8.11 -8.55 11.97 -7.73
2023 -0.54 0.6 -2.77 7.95 3.37
2024 7.55 -4.57 0 0 9.84