| Voya Financial is a holding company. Through its subsidiaries, Co. is a financial services organization that provides a range of retirement services, investment management services, mutual funds, group insurance and supplemental health products. Co.'s three segments are: Wealth Solutions, which provides tax-deferred, employer-sponsored retirement savings plans and administrative services, stable value products, individual retirement accounts, other retail financial products and financial services; Investment Management, which provides investment products and retirement solutions; and Health Solutions, which provides stop loss, group life, voluntary employee-paid and disability products. The VOYA average annual return since 2013 is shown above.
The Average Annual Return on the VOYA average annual return since 2013 page and across the coverage universe of our site,
is a measure of the annualized return over the past ten years (or specified start date) for a given investment
(up to the end of prior trading session recorded). Arguably, choosing ten years for a measurement
period is on the one hand completely arbitrary, but on the other hand provides a sufficiently long window
to capture long-term trends.
Thus, researching Average Annual Returns is good practice for investors — whether VOYA average annual return since 2013 or other benchmarks/peers
— and when doing so it is also important to factor in dividends, because a financial instrument's annualized return is
more than just the change in price if that instrument pays a dividend or coupon. Our website aims to empower investors
by performing the VOYA average annual return calculation with any dividends reinvested as applicable (on ex-dates).