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VOYA Infrastructure Industrials & Materials Fund

VOYA Infrastructure Industrials & Materials Fund

Sector: Unit Investment Trusts, Face-Amount Certificate Offices, and Closed-End Management Investment Offices Region: NY, United States


: | New York Stock Exchange: IDE


Overview

Invests primarily in companies in the infrastructure, industrials and materials sectors that will potentially benefit from the building, renovation, expansion and utilization of infrastructure

Seeks to build a diversified portfolio of 60-100 equity securities of companies that may potentially benefit from spending in six areas: power, construction, materials, communications, transportation and water

Sells call options on exchange traded funds (“ETFs”). The underlying value of such calls will generally represent 15% to 50% of the total underlying value of the portfolio.

Investment Objective

The Fund’s investment objective is total return through a combination of current income, capital gains and capital appreciation.

Executives

Martin Jansen, Portfolio Manager, Managed Fund since 2010
Martin Jansen is a portfolio manager at Voya Investment Management responsible for the infrastructure, industrials and materials fund and the international high dividend income fund and has extensive experience running international value strategies. Previously, he was responsible for managing the transition of the U.S. equity trading facility and U.S. equity assets from former parent, ING Group in The Hague to ING Aeltus. Martin joined the firm to co-manage U.S. equity portfolios and was named head of the U.S. equity team in 1999. Prior to joining the firm, Martin was responsible for the U.S. equity and venture capital portfolios at a large corporate Dutch pension fund. He received a BComm and an MBA from the University of the Witwatersrand, South Africa.
Brian Madonick, Portfolio Manager, Managed Fund since 2010
Brian Madonick is an analyst on the value team at Voya Investment Management covering the industrials sector. Brian also serves as a portfolio manager for the infrastructure development fund and the mid cap value advantage strategy. Prior to joining the firm, Brian spent four years as the industrials analyst at U.S. Trust. Prior to U.S. Trust, he was a senior analyst at Bear Stearns covering aerospace and defense for the #1 ranked team per Institutional Investor magazine. Brian received a BA from Binghamton University.
Jody Hrazanek, Portfolio Manager, Managed Fund since 2010
Jody Hrazanek is head of strategy design and implementation for Multi-Asset Strategies and Solutions (MASS) at Voya Investment Management. She is responsible for overseeing the portfolio implementation, strategy design and customized solutions teams for a variety of investment solutions including asset allocation, derivatives/financial engineering, risk management, portable alpha and structured products. Previously at Voya, she was a derivatives trader with responsibility for Voya IM’s third-party business as well as the firm’s general account. Prior to joining Voya, she was a convertible bond trader at Advent Capital Management. Prior to that, she was a convertible bond portfolio manager and risk arbitrage trader at Merrill Lynch Quantitative Advisors and Deutsche Bank Asset Management. Jody began her career as an analyst at Goldman Sachs. Jody graduated Summa Cum Laude from Fairfield University with a BS in mathematics and has a MS in statistics and operations research from New York University, Stern School of Business.
Paul Zemsky, CFA, Portfolio Manager, Managed Fund since 2010
Paul Zemsky is the Chief Investment Officer for Multi-Asset Strategies and Solutions (MASS) at Voya Investment Management. He is responsible for the firm’s suite of value-added, customized products and solutions that are supported by asset allocation, manager research, quantitative research, portfolio implementation and multi-manager capabilities. Prior to joining the firm, he co-founded CaliberOne Private Funds Management, a macro hedge fund. Paul began his career at JPMorgan Investment Management, where he held a number of key positions, including head of investments for over $300 Billion of Fixed Income assets. Paul is a member of the firm’s Management Committee and a board member of Pomona capital. He holds a dual degree in finance and electrical engineering from the Management and Technology Program at the University of Pennsylvania and holds the Chartered Financial Analyst® designation.
Joseph Vultaggio, Portfolio Manager, Managed Fund since 2010
Joseph Vultaggio is an analyst on the international value team, covering the industrials sector at Voya Investment Management. Joseph also serves as a portfolio manager for the infrastructure, industrials and materials fund. Prior to joining the firm, he received a BS degree in finance from Trenton State College and an MBA in finance at Rutgers Graduate School of Management.

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