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This document is a filing with the SEC by Voya Investors Trust, detailing its contributions and holdings as of the report date. It includes various financial data regarding stocks, corporate bonds,
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01
Obtain the NPORT-P form from the appropriate regulatory website or agency.
02
Review the instructions provided with the form to understand each section.
03
Fill in the identification section with the fund's name, address, and other required details.
04
Complete the detailed schedule for each class of the fund's shares, including assets and liabilities.
05
Provide information about the fund's investment strategies and any relevant disclosures.
06
Ensure that all figures are accurate and correspond to the latest financial statements.
07
Review the entire form for completeness and accuracy before submission.
08
Submit the form by the specified deadline through the prescribed filing method.

Who needs form nport-p?

01
Investment companies that are registered with the SEC.
02
Asset managers who are required to report on the fund's portfolio holdings.
03
Any entities that need to comply with regulatory requirements for reporting investment data.
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Form NPORT-P is a regulatory form used by registered investment companies to report their portfolio holdings on a monthly basis.
Registered management investment companies and unit investment trusts that are subject to the reporting requirements under the Investment Company Act are required to file Form NPORT-P.
To fill out Form NPORT-P, investment companies must input detailed information about their portfolio holdings, including the type of securities held, investment amounts, and other relevant data as instructed in the form.
The purpose of Form NPORT-P is to enhance transparency in the reporting of mutual funds' portfolio holdings to regulators and investors, providing insights into the investment strategies and positions of these entities.
Form NPORT-P requires reporting of detailed information about each security held, including the name of the issuer, type of security, number of shares or principal amount, value, and the investment company’s investment strategy.
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