
Impact/ESG Investing

Bio
We help investors push what’s possible through differentiated solutions across our fixed income, equity and multi-asset platforms, including private markets and alternatives.
Voya Investment Management is the asset management business of Voya Financial (NYSE: VOYA), overseeing $330 billion* in assets for institutions, financial intermediaries and individual investors. Voya is one of the 50 largest managers of institutional assets globally.**
Drawing on a 50-year investing legacy and the expertise of 300+ investment professionals, Voya IM strategies span public and private fixed income, equities, multi-asset solutions and alternatives.
We have cultivated an award-winning culture committed to understanding and anticipating clients’ needs, producing superior investment performance, and embedding diversity, equity and inclusion in everything we do.
* As of 06/30/2022. Reflects pro forma assets of Voya Investment Management and select strategies of Allianz Global Investors U.S. integrated as of 07/25/22. Voya Investment Management external client assets are reported on a market value basis. General account assets of approximately $39 billion are reported on a statutory book value billing basis consistent with revenues earned.
** Pension & Investments, Largest Money Managers 2022 Survey, based on assets as of 12/31/21. Does not include AllianzGI assets transferred on 07/25/2022.