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VCOBVoya Core Bond ETF

Get incomeNewRanked #910 of 1,706 in this goal

Seeks total return consisting of current income and capital appreciation.

By Voya · Launched 2025

Annual Cost

0.25%

#1,172 of 6,040 · low cost

Fund Size

$95M

#3,147 of 6,040 · mid-size

Return (1Y)

N/A

Track Record

10 months

#4,888 of 6,040 · young

Performance

Total-return NAV · USD
Growth of $10,000
$9,951-0.5%

Total-return NAV, USD. Net of fund fees, before tax.

What's inside

How Beacon categorizes this fund

Asset class

Fixed income

Region

Global

Strategy

Multi strategy

Holdings

By weight

Concentration

Top 10 holdings = 25.8% of funddiversified

United States Treasury Bills
2.9%
Federal National Mortgage Association
2.8%
Federal National Mortgage Association
2.7%
Federal National Mortgage Association
2.7%
Federal Home Loan Mortgage Corp.
2.7%
Federal National Mortgage Association
2.6%
Government National Mortgage Association
2.5%
United States Treasury Notes
2.3%
Federal Home Loan Mortgage Corp.
2.3%
United States Treasury Notes
2.3%

Risk profile

Last 12 months · Sharpe & Sortino need 3+ years
Volatility (1Y)
N/A
Max drawdown
-3.0%Mild

Worst peak-to-trough loss

Sharpe (3Y)
Unavailable

Needs 3+ years of history

Sortino (3Y)
Not yet

Needs 3+ years of history

Listing

Exchange
NYSE Arca

Full fund details

Objective
Seeks total return consisting of current income and capital appreciation.
Strategy
Actively manages a portfolio of investment grade bonds and derivative instruments to seek total return, focusing on current income and capital appreciation. Invests primarily in U.S. and foreign debt instruments, including those from emerging markets.
Inception date
November 18, 2025
Fund family
Voya

Next steps

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Data updated on 2026-09-18