Voya Solution Portfolios Q3 2025 Commentary: Navigating Retirement Risk-Return Balance

Monday, Nov 24, 2025 1:59 pm ET1min read

The Voya Solution Portfolio Series is designed to balance risk-return profiles to maximize retirement success. Markets rallied in Q3, with the S&P 500 increasing 4.7% and the MSCI EAFE up 4.8%. The portfolio's strategic asset allocation is adjusted quarterly to reflect changes in market conditions and participants' retirement dates. The commentary provides a summary of the portfolio's performance and highlights the importance of staying informed about market trends to make informed investment decisions.

Voya Solution Portfolios Q3 2025 Commentary: Navigating Retirement Risk-Return Balance

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