06/24/2026 | Press release | Distributed by Public on 06/24/2026 13:26
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Page
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I.
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The following financial statements and supplemental schedule for the Voya 401(k) Savings Plan are being
filed herewith:
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Audited Financial Statements as of December 31, 2025 and 2024, and for the years then ended and
Supplemental Schedule as of December 31, 2025 :
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Report of Independent Registered Public Accounting Firm -
Mitchell & Titus LLP
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2
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Audited Financial Statements:
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Statements of Net Assets Available for Benefits as of
December 31, 2025 and 2024
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3
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Statements of Changes in Net Assets Available for Benefits
for the years ended December 31, 2025 and 2024
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4
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Notes to Financial Statements
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5
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Supplemental Schedule:
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Schedule H, Line 4(i) - Schedule of Assets (Held at End of Year)
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16
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Signature Page:
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17
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II.
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The following exhibits are being filed herewith:
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Exhibit No.
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Description
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1
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Consent of Independent Registered Public
Accounting Firm - Mitchell & Titus LLP
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The accompanying notes are an integral part of these financial statements.
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3
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2025
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2024
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Assets:
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Receivables:
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Notes receivable from participants
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$20,628,932
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$19,357,963
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Total receivables
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20,628,932
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19,357,963
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Investments:
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Investments in Master Trust at fair value
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2,656,782,549
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2,346,873,563
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Total investments at fair value
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2,656,782,549
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2,346,873,563
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Guaranteed investment contract in Master Trust
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383,022,688
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378,870,984
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Fully-benefit responsive investment contracts at contract value
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383,022,688
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378,870,984
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Net assets available for benefits
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$3,060,434,169
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$2,745,102,510
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The accompanying notes are an integral part of these financial statements.
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4
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2025
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2024
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Additions:
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Interest and dividends from the Master Trust
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$20,000,390
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$21,339,798
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Interest income on notes receivable from participants
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1,653,290
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1,371,880
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Contributions - participants
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87,249,388
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80,237,825
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Contributions - employer
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51,318,967
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48,418,541
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Rollover contributions
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40,899,007
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20,556,285
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Other
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296,977
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(20,911)
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Total additions
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201,418,019
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171,903,418
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Change in fair value of investments
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388,531,951
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344,232,058
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Additions, including change in fair value of investments
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589,949,970
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516,135,476
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Deductions:
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Benefits paid directly to participants
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272,517,373
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234,371,541
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Deemed distributions
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1,763,652
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900,476
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Administrative expenses
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337,286
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24,578
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Total deductions
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274,618,311
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235,296,595
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Net increase
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315,331,659
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280,838,881
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Transfer from other qualified plan
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-
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124,679,889
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Net assets available for benefits:
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Beginning of year
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2,745,102,510
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2,339,583,740
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End of year
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$3,060,434,169
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$2,745,102,510
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December 31, 2025
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December 31, 2024
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Plan's Portion of
Master Trust Assets
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Master Trust Assets
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Plan's Portion of Master
Trust Assets
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Master Trust Assets
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Common/collective trust funds
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$2,364,197,699
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$2,472,523,301
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$2,081,434,266
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$2,176,721,606
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Mutual funds
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132,666,643
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141,112,300
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115,644,293
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123,107,773
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Common stock funds
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29,345,785
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33,296,633
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27,510,085
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30,890,263
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Self-directed brokerage account
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66,887,110
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88,070,839
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56,529,976
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74,619,528
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Separate account funds
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63,664,387
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70,488,765
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65,730,365
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73,640,838
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Cash and cash equivalents
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20,925
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22,364
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24,578
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34,172
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Investments at fair value
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2,656,782,549
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2,805,514,202
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2,346,873,563
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2,479,014,180
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Fully benefit-responsive investment
contract at contract value
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383,022,688
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415,306,417
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378,870,984
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414,342,942
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Master Trust net assets
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$3,039,805,237
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$3,220,820,619
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$2,725,744,547
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$2,893,357,122
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December 31, 2025
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December 31, 2024
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Investment income:
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Net appreciation in fair value of
investments
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$409,688,079
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$365,289,294
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Interest and dividends
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21,567,273
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23,124,573
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Net investment income
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$431,255,352
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$388,413,867
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December 31, 2025
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Level 1
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Level 2
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Level 3
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Total
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Assets:
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Mutual funds
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$141,112,300
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$-
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$-
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$141,112,300
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Common/collective trust funds
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2,472,523,301
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-
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-
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2,472,523,301
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Common stock funds
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33,296,633
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-
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-
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33,296,633
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Self-directed brokerage account
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88,070,839
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-
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-
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88,070,839
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Cash and cash equivalents
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22,364
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-
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-
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22,364
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Total
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$2,735,025,437
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$-
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$-
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$2,735,025,437
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Separate account funds measured at NAV
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70,488,765
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Total assets at fair value
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$2,805,514,202
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December 31, 2024
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Level 1
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Level 2
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Level 3
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Total
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Assets:
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Mutual funds
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$123,107,773
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$-
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$-
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$123,107,773
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Common/collective trust funds
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2,176,721,606
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-
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-
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2,176,721,606
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Common stock funds
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30,890,263
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-
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-
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30,890,263
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Self-directed brokerage account
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74,619,528
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-
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-
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74,619,528
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Cash and cash equivalents
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34,172
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-
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-
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34,172
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Total
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$2,405,373,342
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$-
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$-
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$2,405,373,342
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Separate account funds measured at NAV
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73,640,838
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Total assets at fair value
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$2,479,014,180
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(a)
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(b)
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(c)
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(e)
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Identity of Issue, Borrower, Lessor, or
Similar Party
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Description of Investment
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Current Value
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Notes receivable from Participants
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*
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$20,628,932
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June 24, 2026
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By:
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/s/ Wayne Forlines
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Dated
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Name:
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Wayne Forlines
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Title:
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Chairperson, Voya Financial Plan Administrative Committee
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