
DC Plan Investment Options

The information below displays the investment options available under the Plan. You can choose from a menu of investment options that cover the risk/reward spectrum allowing you to select from conservative choices, moderate growth and income funds, or aggressive growth opportunities in both U.S. and international markets. International investing involves special risks such as currency fluctuation, lower liquidity, political and economic uncertainties, and differences in accounting standards.
For each investment option, click on the fund name to open a fund fact sheet that provides important information about the investment option, including fund expenses. Each investment option has a numeric fund code you will need when making investment changes on-line or via telephone.
You should consider the investment objectives, risks, and charges and expenses of the mutual funds offered through a retirement plan, carefully before investing. The fund prospectuses and information booklet containing this and other information can be obtained by contacting your local representative. Please read the information carefully before investing.
While reviewing the fund fact sheets below, please also review the Disclosure Glossary document that provides information on types of investment risks, investment types and a glossary of terms and statistics. The document also provides instructions about how to obtain any underlying fund prospectus.
Validation Page
Please enter Voya in the text box below to view the Fund Fact Sheets.
Fund Number | Investment Options |
---|---|
Stability of Principal | |
2574 | BlackRock Liquid Federal Trust Fund - Instl |
8408 | Vanguard® Treasury Money Market Fund - Investor Shares |
Bonds | |
3357 | AB Global Bond Fund - Class I |
4775 | BlackRock Low Duration Bond Portfolio - Institutional Shares |
8295 | MetWest Total Return Bond Fund - Class D CIT |
Asset Allocation | |
3770 | Cedars-Sinai Higher Risk Allocation Portfolio |
3768 | Cedars-Sinai Lower Risk Portfolio |
3769 | Cedars-Sinai Medium Risk Portfolio |
Large Cap Value/Blend | |
1228 | Vanguard® Institutional Index Fund - Institutional Plus |
Small/Mid/Specialty | |
8446 | AB Discovery Value Fund - Class I |
9388 | Allspring Discovery SMID Cap Growth Fund - Institutional Cl |
9799 | Vanguard® Mid-Cap Index Fund - Institutional Plus Shares |
1198 | Vanguard® Small-Cap Index Fund - Institutional Shares |
Global / International | |
3166 | Allspring Emerging Markets Equity Fund - Institutional Class |
1118 | MFS® International Equity Fund - Class R6 |
9777 | Vanguard® Total International Stock Index Fund - Inst Plus |
You should consider the investment objectives, risks, and charges and expenses of the investment options offered through a retirement plan, carefully before investing. The fund prospectuses and information booklet containing this and other information can be obtained by contacting your local representative. Please read the information carefully before investing.
Mutual funds under a custodial or trust account agreement are intended as long-term investments designed for retirement purposes. Early withdrawals taken prior to age 59½ from a 403(b) or 401(a) plan will be subject to an IRS 10% premature distribution penalty tax, unless an exception applies. Money taken from the plan will be taxed as ordinary income in the year the money is distributed. Account values fluctuate with market conditions, and when surrendered the principal may be worth more or less than the original amount invested.
Not FDIC/NCUA/NCUSIF Insured I Not a Deposit of a Bank/Credit Union I May Lose Value I Not Bank/Credit Union Guaranteed I Not Insured by Any Federal Government Agency
Insurance products, annuities and retirement plan funding issued by (third party administrative services may also be provided by) Voya Retirement Insurance and Annuity Company, One Orange Way, Windsor, CT 06095-4774. Securities are distributed by Voya Financial Partners LLC (member SIPC). Custodial account agreements or trust agreements are provided by Voya Institutional Trust Company. All companies are members of the Voya® family of companies. Securities may also be distributed through other broker-dealers with which Voya has selling agreements. Insurance obligations are the responsibility of each individual company. Products and services may not be available in all states.