Historical Performance

2020 
  Class A Class I Class M2
  Net Total Return % Net Total Return % Net Total Return %
3/31/2020 -8.79% -8.67% -8.67%
2019 
  Class A Class I Class M2
  Net Total Return % Net Total Return % Net Total Return %
12/31/2019 5.59% 5.74% 5.74%
9/30/2019 1.98% 2.12% 2.12%
6/30/2019 3.83% 3.97% 3.98%
3/31/2019 3.17% 3.31% 3.31%
Calendar Year 2019 15.36% 15.99% 15.99%
2018
  Class A Class I Class M2
  Net Total Return % Net Total Return % Net Total Return %
12/31/2018 -1.82% -1.69% -1.69%
9/30/2018 2.71% 2.85% 2.85%
6/30/2018 5.53% 5.68% 5.68%
3/31/2018 1.57% N/A 1.71%
Calendar Year 2018 8.09% N/A 8.69%
2017
  Class A Class I Class M2
  Net Total Return % Net Total Return % Net Total Return %
12/31/2017 2.81% N/A 2.95%
9/30/2017 4.70% N/A 4.85%
6/30/2017 3.67% N/A 3.81%
3/31/2017 2.85% N/A 2.99%
Calendar Year 2017 14.77% N/A 15.40%
2016
  Class A Class I Class M2
  Net Total Return % Net Total Return % Net Total Return %
12/31/2016 2.12% N/A 2.26%
9/30/2016 3.84% N/A N/A
6/30/2016 0.59% N/A N/A
3/31/2016 -0.26% N/A N/A
Calendar Year 2016 6.39% N/A N/A
2015
  Class A Class I Class M2
  Net Total Return % Net Total Return % Net Total Return %
12/31/2015 2.40% N/A N/A
9/30/2015 -0.90% N/A N/A
6/30/2015 1.48% N/A N/A

Performance data does not take into consideration account transaction fees or brokerage commissions. The NAV of the Fund will equal, unless otherwise noted, the value of the total assets of the Fund, less all of its liabilities, including accrued fees and expenses, each determined as of the relevant Valuation Date. Total Return based on net asset value per Share is the combination of changes in net asset value per Share and reinvested dividend income at net asset value per Share, if any. These figures are net of all the Fund’s fees and expenses, including management and performance incentive fees or allocations payable pursuant to the respective organizational documents of each Investment Fund.

An investor should consider the investment objectives, risks, charges and expenses of the Fund(s) carefully before investing. For a free copy of the Fund’s prospectus, which contains this and other information, visit us at www.voyainvestments.com or call (855) 211-3220. Please read prospectus carefully before investing.