0001752724-20-013915.txt : 20200128 0001752724-20-013915.hdr.sgml : 20200128 20200127173112 ACCESSION NUMBER: 0001752724-20-013915 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20191129 FILED AS OF DATE: 20200128 PERIOD START: 20200229 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Voya GLOBAL EQUITY DIVIDEND & PREMIUM OPPORTUNITY FUND CENTRAL INDEX KEY: 0001285890 IRS NUMBER: 200940974 STATE OF INCORPORATION: DE FISCAL YEAR END: 1031 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-21553 FILM NUMBER: 20550798 BUSINESS ADDRESS: STREET 1: 7337 EAST DOUBLETREE RANCH RD, STE 100 CITY: SCOTTSDALE STATE: AZ ZIP: 85258 BUSINESS PHONE: 4804772114 MAIL ADDRESS: STREET 1: 7337 EAST DOUBLETREE RANCH RD, STE 100 CITY: SCOTTSDALE STATE: AZ ZIP: 85258 FORMER COMPANY: FORMER CONFORMED NAME: ING GLOBAL EQUITY DIVIDEND & PREMIUM OPPORTUNITY FUND DATE OF NAME CHANGE: 20050307 FORMER COMPANY: FORMER CONFORMED NAME: GLOBAL EQUITY DIVIDEND & PREMIUM OPPORTUNITY FUND DATE OF NAME CHANGE: 20050225 FORMER COMPANY: FORMER CONFORMED NAME: ING GLOBAL EQUITY DIVIDEND & PREMIUM Opportunity FUND DATE OF NAME CHANGE: 20050224 NPORT-P 1 primary_doc.xml NPORT-P false 0001285890 XXXXXXXX Voya Global Equity Dividend & Premium Opportunity Fund 811-21553 0001285890 549300YJVN8KX08ZHI42 7337 East Doubletree Ranch Road Suite 100 Scottsdale 85258-2034 1-800-992-0180 VOYA GLOBAL EQUITY DIVIDEND & PREMIUM OPPORTUNITY FUND 549300YJVN8KX08ZHI42 2020-02-29 2019-11-29 N 686358457.52 12383889.13 673974568.39 0 0 0 0 0 0 0 0 0 0 0 0 0 2828622.38 N ABN AMRO Bank NV BFXS5XCH7N0Y05NIXW11 ABN AMRO Bank NV 000000000 98441.00000000 NS 1677749.13000000 0.248933596115 Long EC CORP NL N 2 N N N Goldman Sachs Financial Square Government Fund N/A Goldman Sachs Financial Square Government Fund 38141W273 6230000.00000000 NS USD 6230000.00000000 0.924367222769 Long STIV RF US N 1 N N N MORGAN STANLEY CAPITAL SERVICES LLC I7331LVCZKQKX5T7XV54 THE FINANCIAL TIMES 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Products Co GKOMIK4RDJGHEF0VNP11 Sonoco Products Co 835495102 31358.00000000 NS USD 1898099.74000000 0.281627798588 Long EC CORP US N 1 N N N Eli Lilly & Co FRDRIPF3EKNDJ2CQJL29 Eli Lilly & Co 532457108 43914.00000000 NS USD 5153307.90000000 0.764614592552 Long EC CORP US N 1 N N N BROWN BROTHERS HARRIMAN & CO. 5493006KMX1VFTPYPW14 CURRENCY CONTRACT - USD 000000000 1.00000000 NC USD -88748.14000000 -0.01316787667 N/A DFE CORP US N 2 BROWN BROTHERS HARRIMAN & CO. 5493006KMX1VFTPYPW14 -15700000.00000000 AUD 10537023.60000000 USD 2019-12-23 -88748.14 N N N 2020-01-23 Voya Global Equity Dividend & Premium Opportunity Fund Tin Bui Tin Bui Vice President XXXX NPORT-EX 2 405889VYGlbEqDivPreOppFd.htm

 

 

Voya Global Equity Dividend and Premium Opportunity Fund

PORTFOLIO OF INVESTMENTS
as of November 30, 2019 (Unaudited)

 

Shares        Value   Percentage
of Net
Assets
 
COMMON STOCK: 97.9% 
      Australia: 3.1%
84,484     AGL Energy Ltd.  $1,166,058    0.2 
734,855     Aurizon Holdings Ltd.   2,875,365    0.4 
128,195     BHP Group Ltd.   3,305,521    0.5 
223,719     Coca-Cola Amatil Ltd.   1,722,812    0.3 
155,293     Crown Resorts Ltd.   1,358,067    0.2 
10,512     Macquarie Group Ltd.   982,289    0.1 
106,873     Newcrest Mining Ltd.   2,225,592    0.3 
76,978     Rio Tinto Ltd.   5,046,819    0.7 
40,441     Sonic Healthcare Ltd.   824,844    0.1 
274,161     Sydney Airport   1,704,439    0.3 
          21,211,806    3.1 
                 
      Belgium: 0.3%          
25,601     UCB S.A.   2,074,100    0.3 
                 
      Canada: 4.6%          
39,192     Bank of Nova Scotia   2,211,133    0.3 
80,315     BCE, Inc.   3,866,100    0.6 
47,849     Canadian Imperial Bank of Commerce - XTSE   4,159,185    0.6 
80,475     CI Financial Corp.   1,267,437    0.2 
51,645     Empire Co. Ltd.   1,382,980    0.2 
70,245     Great-West Lifeco, Inc.   1,768,949    0.3 
19,053     iA Financial Corp., Inc.   975,385    0.1 
16,553     Kirkland Lake Gold Ltd.   695,244    0.1 
65,536     National Bank Of Canada   3,510,417    0.5 
61,986     Open Text Corp.   2,698,675    0.4 
18,661     Rogers Communications, Inc.   905,023    0.1 
97,905    TELUS Corp.   3,696,406    0.6 
43,498    Waste Connections, Inc.   3,938,744    0.6 
         31,075,678    4.6 
                
     China: 0.4%          
833,500    BOC Hong Kong Holdings Ltd.   2,831,463    0.4 
                
     Denmark: 1.2%          
16,315 (1)    Carlsberg A/S   2,347,125    0.3 
17,854 (1)    H Lundbeck A/S   683,994    0.1 
90,474 (1)    Novo Nordisk A/S   5,085,740    0.8 
         8,116,859    1.2 
                
     Finland: 0.8%          
19,658 (1)    Neste OYJ   664,501    0.1 
21,922 (1)    Orion Oyj   954,065    0.2 
85,162 (1)    Sampo OYJ   3,443,599    0.5 
         5,062,165    0.8 
                
     France: 2.1%          
54,541 (1)    Alstom SA   2,378,461    0.4 
39,892 (1)    Edenred   1,980,323    0.3 
10,659 (1)    Eiffage SA   1,163,457    0.2 
84,527 (1)    Getlink SE   1,425,683    0.2 
214,792 (1)    Orange SA   3,548,990    0.5 
66,826 (1)    Societe Generale   2,100,079    0.3 
11,172 (1)    Sodexo SA   1,302,319    0.2 
         13,899,312    2.1 
     Germany: 1.1%
6,046    Allianz SE  1,446,008    0.2 
53,711 (1)    Deutsche Lufthansa AG   1,019,054    0.1 
98,446 (1)    Deutsche Post AG   3,670,159    0.6 
420,211 (1)    Telefonica Deutschland Holding AG   1,282,935    0.2 
         7,418,156    1.1 
                
     Guernsey: 0.5%          
51,694    Amdocs Ltd.   3,582,394    0.5 
                
     Hong Kong: 1.0%          
401,500    CK Hutchison Holdings Ltd.   3,646,282    0.5 
803,000    HKT Trust / HKT Ltd.   1,177,651    0.2 
15,400    Jardine Matheson Holdings Ltd.   865,697    0.1 
197,500    Power Assets Holdings Ltd.   1,373,060    0.2 
         7,062,690    1.0 
                
     Israel: 0.3%          
270,082    Bank Leumi Le-Israel BM   1,957,390    0.3 
                
     Italy: 0.9%          
194,127 (1),(2)    Poste Italiane SpA   2,262,966    0.4 
700,219 (1)    Snam SpA   3,478,954    0.5 
         5,741,920    0.9 
                
     Japan: 8.2%          
79,500    ANA Holdings, Inc.   2,708,650    0.4 
145,400    Canon, Inc.   4,027,812    0.6 
13,800    Central Japan Railway Co.   2,788,741    0.4 
78,300    Fuji Film Holdings Corp.   3,702,441    0.6 
2,900    Hikari Tsushin, Inc.   676,817    0.1 
109,700    Japan Airlines Co. Ltd.   3,410,129    0.5 
43,900    Kamigumi Co., Ltd.   973,784    0.2 
29,700    Konami Holdings Corp.   1,308,477    0.2 
13,400    Kyocera Corp.   912,982    0.1 
39,700    Kyushu Railway Co.   1,352,684    0.2 
31,500    Medipal Holdings Corp.   676,362    0.1 
18,500    MEIJI Holdings Co., Ltd.   1,258,200    0.2 
33,700    Mitsubishi Corp.   883,323    0.1 
100,800    MS&AD Insurance Group Holdings, Inc.   3,263,124    0.5 
28,200    Nippon Electric Glass Co., Ltd.   598,408    0.1 
53,200    Nippon Telegraph & Telephone Corp.   2,687,617    0.4 
24,800    NTT DoCoMo, Inc.   680,919    0.1 
173,500    ORIX Corp.   2,844,035    0.4 
24,700    Sankyo Co., Ltd.   835,851    0.1 
124,600    Seiko Epson Corp.   1,898,470    0.3 
183,700    Sekisui House Ltd.   3,972,820    0.6 
88,100    Softbank Corp.   1,196,774    0.2 
241,500    Sumitomo Corp.   3,642,472    0.5 
35,600    Sumitomo Mitsui Financial Group, Inc.   1,303,542    0.2 
47,100    Sundrug Co., Ltd.   1,655,634    0.3 
16,400    Suzuken Co., Ltd.   717,717    0.1 
756    United Urban Investment Corp.   1,471,650    0.2 

 

 

 

 

 

Voya Global Equity Dividend and Premium Opportunity Fund

PORTFOLIO OF INVESTMENTS
as of November 30, 2019 (Unaudited) (Continued)

 

Shares           Value       Percentage
of Net
Assets
 

COMMON STOCK: (continued)

          
     Japan: (continued)          
39,800    West Japan Railway Co.  $3,506,822    0.5 
         54,956,257    8.2 
                
     Netherlands: 3.0%          
98,441(1),(2)    ABN AMRO Bank NV   1,677,749    0.3 
253,599 (1)    ING Groep NV   2,916,326    0.4 
216,927 (1)    Koninklijke KPN NV   668,098    0.1 
89,146 (1)    NN Group NV   3,419,505    0.5 
229,999    Royal Dutch Shell PLC - Class A   6,588,920    1.0 
82,157 (1)    Unilever NV   4,887,741    0.7 
         20,158,339    3.0 
                
     New Zealand: 0.1%          
261,646    Spark New Zealand Ltd.   762,725    0.1 
                
     Norway: 0.7%          
119,226 (1)    Mowi ASA   2,956,809    0.4 
125,237 (1)    Orkla ASA   1,212,041    0.2 
46,750 (1)    Telenor ASA   853,542    0.1 
         5,022,392    0.7 
                
     Singapore: 0.8%          
720,900    ComfortDelgro Corp., Ltd.   1,239,538    0.2 
203,000    SATS Ltd.   739,082    0.1 
234,100    Singapore Exchange Ltd.   1,514,519    0.2 
326,600    Singapore Technologies Engineering Ltd.   986,630    0.2 
920,400    Yangzijiang Shipbuilding Holdings Ltd.   693,031    0.1 
         5,172,800    0.8 
                
     Spain: 2.0%          
11,249 (1),(2)    Aena SME SA   2,064,110    0.3 
53,966 (1)    Amadeus IT Group SA   4,293,784    0.6 
90,261 (1)    Enagas   2,247,034    0.3 
128,649    Ferrovial SA - FERE   3,817,055    0.6 
121,406    Telefonica S.A.   928,517    0.2 
         13,350,500    2.0 
                
     Switzerland: 2.5%          
44,947    Nestle SA   4,667,514    0.7 
23,989    Roche Holding AG   7,395,640    1.1 
12,887    Zurich Insurance Group AG   5,057,571    0.7 
         17,120,725    2.5 
                
     United Kingdom: 4.9%          
244,530 (2)    Auto Trader Group PLC   1,776,143    0.3 
360,861    Aviva PLC   1,882,154    0.3 
535,919    Barclays PLC   1,184,498    0.2 
216,823    Barratt Developments PLC   1,869,264    0.3 
822,020    BT Group PLC   2,035,100    0.3 
121,475    Compass Group PLC   2,976,411    0.4 
452,884    Direct Line Insurance Group PLC   1,787,819    0.3 
263,976    Evraz PLC   1,264,143    0.2 
238,333    GlaxoSmithKline PLC   5,414,788    0.8 
1,132,426    Legal & General Group PLC   4,109,527    0.6 
574,481    Marks & Spencer Group PLC  1,443,162    0.2 
136,596    Persimmon PLC   4,516,960    0.7 
348,582    Royal Bank of Scotland Group PLC   1,019,415    0.1 
866,316    Vodafone Group PLC   1,715,470    0.2 
         32,994,854    4.9 
                
     United States: 59.4%          
71,644    AbbVie, Inc.   6,285,328    0.9 
10,022    Accenture PLC   2,016,026    0.3 
81,389    Aflac, Inc.   4,463,373    0.7 
21,812    Air Products & Chemicals, Inc.   5,154,830    0.8 
16,166    Allison Transmission Holdings, Inc.   782,434    0.1 
24,915    Allstate Corp.   2,774,285    0.4 
115,479    Altria Group, Inc.   5,739,306    0.9 
38,121    Ameren Corp.   2,833,534    0.4 
20,124    Amgen, Inc.   4,723,505    0.7 
274,317    Annaly Capital Management, Inc.   2,559,378    0.4 
111,762    Apple Hospitality REIT, Inc.   1,817,250    0.3 
194,731    AT&T, Inc.   7,279,045    1.1 
15,123    Avnet, Inc.   614,750    0.1 
75,596    Bank of America Corp.   2,518,859    0.4 
134,721    BGC Partners, Inc.   781,382    0.1 
50,346    Booz Allen Hamilton Holding Corp.   3,663,175    0.5 
30,402    Brinker International, Inc.   1,362,010    0.2 
95,137    Bristol-Myers Squibb Co.   5,417,101    0.8 
29,320    Broadridge Financial Solutions, Inc. ADR   3,627,177    0.5 
6,568    Camden Property Trust   732,660    0.1 
4,425    Carlisle Cos., Inc.   690,211    0.1 
62,430    CDK Global, Inc.   3,343,126    0.5 
8,640    CDW Corp.   1,166,832    0.2 
4,115    Chemed Corp.   1,769,532    0.3 
52,074    Chevron Corp.   6,099,428    0.9 
71,219    Chimera Investment Corp.   1,450,731    0.2 
55,234    Cinemark Holdings, Inc.   1,870,776    0.3 
138,359    Cisco Systems, Inc.   6,269,046    0.9 
9,534    Citigroup, Inc.   716,194    0.1 
36,696    Citrix Systems, Inc.   4,139,676    0.6 
57,733    CMS Energy Corp.   3,539,033    0.5 
12,151    Columbia Sportswear Co.   1,123,967    0.2 
31,590    Comerica, Inc.   2,224,252    0.3 
53,108    CoreCivic, Inc.   804,586    0.1 
11,070    CSX Corp.   791,948    0.1 
30,980    Darden Restaurants, Inc.   3,669,271    0.5 
21,272    DTE Energy Co.   2,657,724    0.4 
24,739    Eaton Corp. PLC   2,288,358    0.3 
43,914    Eli Lilly & Co.   5,153,308    0.8 
10,598    Encompass Health Corp.   749,385    0.1 
232,442    Equitrans Midstream Corp.   2,317,447    0.3 
4,031    Everest Re Group Ltd.   1,093,449    0.2 
50,310    Evergy, Inc.   3,183,114    0.5 

 

 

 

 

 

Voya Global Equity Dividend and Premium Opportunity Fund

PORTFOLIO OF INVESTMENTS
as of November 30, 2019 (Unaudited) (Continued)

 

Shares       Value   Percentage
of Net
Assets
 
COMMON STOCK: (continued)
     United States: (continued)          
19,167    Exelon Corp.  $851,015    0.1 
29,129    Expedia Group, Inc.   2,961,254    0.4 
18,148    Exxon Mobil Corp.   1,236,423    0.2 
4,846    Federal Realty Investment Trust   640,011    0.1 
26,905    Fidelity National Financial, Inc.   1,281,485    0.2 
55,412    Flir Systems, Inc.   2,967,867    0.4 
42,231    Flowers Foods, Inc.   909,233    0.1 
70,697    Gaming and Leisure Properties, Inc.   2,983,413    0.4 
76,142    General Mills, Inc.   4,059,891    0.6 
26,943    General Motors Co.   969,948    0.1 
33,974    Genuine Parts Co.   3,545,866    0.5 
48,747    Geo Group, Inc./The   675,633    0.1 
64,044    Hartford Financial Services Group, Inc.   3,961,762    0.6 
8,858    HCA Healthcare, Inc.   1,228,250    0.2 
28,019    Hershey Co.   4,151,295    0.6 
201,978    Hewlett Packard Enterprise Co.   3,197,312    0.5 
32,293    Honeywell International, Inc.   5,765,915    0.9 
107,194    Intel Corp.   6,222,612    0.9 
39,449    International Business Machines Corp.   5,303,918    0.8 
14,400    Intuit, Inc.   3,728,016    0.6 
31,528    j2 Global, Inc.   3,058,847    0.5 
76,403    Jabil, Inc.   2,967,493    0.4 
66,800    Johnson & Johnson   9,184,332    1.4 
45,985    JPMorgan Chase & Co.   6,058,984    0.9 
121,148    Juniper Networks, Inc.   3,035,969    0.5 
25,865    Kimberly-Clark Corp.   3,526,434    0.5 
35,545    Kohl's Corp.   1,670,970    0.2 
20,086    L3Harris Technologies, Inc.   4,039,094    0.6 
13,210    Lamar Advertising Co.   1,102,110    0.2 
43,043    Leidos Holdings, Inc.   3,910,026    0.6 
6,141    Life Storage, Inc.   672,562    0.1 
40,254    LogMeIn, Inc.   3,139,007    0.5 
62,388    Maxim Integrated Products   3,535,528    0.5 
24,222    MAXIMUS, Inc.   1,808,172    0.3 
21,668    McDonald's Corp.   4,213,993    0.6 
82,770    Merck & Co., Inc.   7,215,889    1.1 
165,060    MFA Financial, Inc.   1,264,360    0.2 
56,890    MGIC Investment Corp.   819,785    0.1 
137,792    Microsoft Corp.   20,858,953    3.1 
7,508    Motorola Solutions, Inc.   1,256,088    0.2 
47,855    New Residential Investment Corp.   741,752    0.1 
28,704    Nielsen Holdings PLC   561,163    0.1 
6,438    Norfolk Southern Corp.   1,245,753    0.2 
34,374    OGE Energy Corp.   1,445,770    0.2 
124,541    Old Republic International Corp.   2,809,645    0.4 
47,647    Omnicom Group   3,786,984    0.6 
49,499    Oneok, Inc.   3,516,904    0.5 
106,774    Oracle Corp.   5,994,292    0.9 
22,918    Outfront Media, Inc.   572,492    0.1 
48,255    Paychex, Inc.   4,155,721    0.6 
47,651    PepsiCo, Inc.   6,472,435    1.0 
170,921    Pfizer, Inc.   6,583,877    1.0 
73,658    Philip Morris International, Inc.   6,108,458    0.9 
38,121    Phillips 66  4,373,241    0.7 
14,803    Pinnacle West Capital Corp.   1,293,634    0.2 
141,239    Plains GP Holdings L.P.   2,467,445    0.4 
30,625    Popular, Inc.   1,693,869    0.3 
57,800    Procter & Gamble Co.   7,055,068    1.0 
13,957    Public Storage, Inc.   2,940,461    0.4 
39,449    Quest Diagnostics, Inc.   4,203,291    0.6 
45,914    Republic Services, Inc.   4,070,276    0.6 
109,479    Retail Properties of America, Inc.   1,557,886    0.2 
1,940    Roper Technologies, Inc.   699,118    0.1 
27,718    Royal Gold, Inc.   3,250,490    0.5 
103,934    Sabre Corp.   2,331,240    0.3 
60,642    Service Corp. International   2,669,461    0.4 
19,066    Simon Property Group, Inc.   2,882,970    0.4 
31,358    Sonoco Products Co.   1,898,100    0.3 
73,887    Southern Co.   4,580,255    0.7 
46,694    Starbucks Corp.   3,989,068    0.6 
78,008    Tanger Factory Outlet Centers, Inc.   1,187,282    0.2 
22,500    Target Corp.   2,812,725    0.4 
42,386    Texas Instruments, Inc.   5,095,221    0.8 
149,750    Two Harbors Investment Corp.   2,177,365    0.3 
51,974    Tyson Foods, Inc.   4,671,943    0.7 
68,564    Walgreens Boots Alliance, Inc.   4,086,414    0.6 
40,134    Waste Management, Inc.   4,531,530    0.7 
107,777    Wells Fargo & Co.   5,869,535    0.9 
179,861    Western Union Co.   4,834,664    0.7 
52,121    Xerox Holdings Corp.   2,029,071    0.3 
36,712    Yum! Brands, Inc.   3,695,797    0.5 
17,209    Zions Bancorp NA   856,664    0.1 
         400,035,847    59.4 
                
     Total Common Stock
(Cost $622,974,120)
   659,608,372    97.9 

  

SHORT-TERM INVESTMENTS: 0.9%                
      Mutual Funds: 0.9%                
6,230,000 (3)     Goldman Sachs Financial Square Government Fund - Institutional Shares, 1.530%                
      (Cost $6,230,000)      6,230,000       0.9  
                       
      Total Short-Term Investments                
      (Cost $6,230,000)      6,230,000       0.9  
                       
      Total Investments in Securities
(Cost $629,204,120)
  $ 665,838,372       98.8  
      Assets in Excess of Other Liabilities     8,136,196       1.2  
      Net Assets   $ 673,974,568       100.0  

 

 ADR American Depositary Receipt  

 

 

 

 

 

Voya Global Equity Dividend and Premium Opportunity Fund

PORTFOLIO OF INVESTMENTS
as of November 30, 2019 (Unaudited) (Continued)

 

(1) Non-income producing security.
(2) Securities with purchases pursuant to Rule 144A or section 4(a)(2), under the Securities Act of 1933 and may not be resold subject to that rule except to qualified institutional buyers.
(3) Rate shown is the 7-day yield as of November 30, 2019.

 

 

 

Sector Diversification   Percentage
of Net Assets
 
Information Technology   20.2%
Financials   15.9  
Industrials   11.7  
Health Care   11.3  
Consumer Staples   10.2  
Consumer Discretionary   7.7  
Communication Services   6.2  
Utilities   4.3  
Energy   4.0  
Materials   3.4  
Real Estate   3.0  
Short-Term Investments   0.9  
Assets in Excess of Other Liabilities   1.2 
Net Assets   100.0%

  

Fair Value Measurements
The following is a summary of the fair valuations according to the inputs used as of November 30, 2019 in valuing the assets and liabilities:

  

   Quoted Prices
in Active Markets
for Identical
Investments
(Level 1)
   Significant
Other
Observable
Inputs#
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Fair Value
at
November 30, 2019
 
Asset Table                    
Investments, at fair value                    
Common Stock                    
  Australia  $   $21,211,806   $   $21,211,806 
  Belgium       2,074,100        2,074,100 
  Canada   31,075,678            31,075,678 
  China       2,831,463        2,831,463 
  Denmark   8,116,859            8,116,859 
  Finland   5,062,165            5,062,165 
  France   1,302,319    12,596,993        13,899,312 
  Germany   2,301,989    5,116,167        7,418,156 
  Guernsey   3,582,394            3,582,394 
  Hong Kong       7,062,690        7,062,690 
  Israel       1,957,390        1,957,390 
  Italy       5,741,920        5,741,920 
  Japan   1,471,650    53,484,607        54,956,257 
  Netherlands       20,158,339        20,158,339 
  New Zealand       762,725        762,725 
  Norway       5,022,392        5,022,392 
  Singapore       5,172,800        5,172,800 
  Spain       13,350,500        13,350,500 
  Switzerland       17,120,725        17,120,725 
  United Kingdom       32,994,854        32,994,854 
  United States   400,035,847            400,035,847 
Total Common Stock   452,948,901    206,659,471        659,608,372 
Short-Term Investments   6,230,000            6,230,000 
Total Investments, at fair value  $459,178,901   $206,659,471   $   $665,838,372 
Other Financial Instruments+                    
Forward Foreign Currency Contracts       725,098        725,098 
Total Assets  $459,178,901   $207,384,569   $   $666,563,470 
Liabilities Table                    
Other Financial Instruments+                    
Forward Foreign Currency Contracts  $   $(1,117,036)  $   $(1,117,036)
Written Options       (4,520,322)       (4,520,322)
Total Liabilities  $   $(5,637,358)  $   $(5,637,358)

 

 

 

 

 

Voya Global Equity Dividend and Premium Opportunity Fund

PORTFOLIO OF INVESTMENTS
as of November 30, 2019 (Unaudited) (Continued)

 

+ Other Financial Instruments may include open forward foreign currency contracts, futures, centrally cleared swaps, OTC swaps and written options. Forward foreign currency contracts, futures and centrally cleared swaps are valued at the unrealized gain (loss) on the instrument.  OTC swaps and written options are valued at the fair value of the instrument.
# The earlier close of the foreign markets gives rise to the possibility that significant events, including broad market moves, may have occurred in the interim and may materially affect the value of those securities. To account for this, the Fund may frequently value many of its foreign equity securities using fair value prices based on third party vendor modeling tools to the extent available. Accordingly, a portion of the Fund's investments are categorized as Level 2 investments.

 

At November 30, 2019, the following forward foreign currency contracts were outstanding for Voya Global Equity Dividend and Premium Opportunity Fund:

 

Currency Purchased  Currency Sold  Counterparty  Settlement
Date
  Unrealized
Appreciation
(Depreciation)
 
USD 28,042,888  JPY 2,990,000,000  Brown Brothers Harriman & Co.  12/23/19  $665,213 
USD 29,512,321  EUR 26,800,000  Brown Brothers Harriman & Co.  12/23/19   (65,357)
USD 8,478,562  CHF 8,400,000  Brown Brothers Harriman & Co.  12/23/19   59,885 
USD 18,864,120  GBP 15,300,000  Brown Brothers Harriman & Co.  12/23/19   (942,227)
USD 13,307,810  CAD 17,700,000  Brown Brothers Harriman & Co.  12/23/19   (20,704)
USD 10,537,024  AUD 15,700,000  Brown Brothers Harriman & Co.  12/23/19   (88,748)
            $(391,938)

  

  At November 30, 2019, the following OTC written equity options were outstanding for Voya Global Equity Dividend and Premium Opportunity Fund:    

 

Description  Counterparty  Put/Call   Expiration
Date
  Exercise
Price
   Number of Contracts   Notional Amount  Premiums
Received
   Fair Value 
EURO STOXX 50® Index  BNP Paribas  Call   12/06/19   EUR  3,660.930    9,187   EUR 34,024,790   $359,769   $(565,176)
FTSE 100 Index  Morgan Stanley & Co. International PLC  Call   12/06/19   GBP  7,397.710    4,396   GBP 32,295,346    355,199    (170,828)
Nikkei 225 Index  UBS AG  Call   12/20/19   JPY  23,625.790    185,449   JPY 4,319,832,316    490,495    (239,516)
S&P 500® Index  Morgan Stanley & Co. International PLC  Call   12/06/19   USD  3,052.780    10,984   USD 34,500,524    301,454    (1,001,292)
S&P 500® Index  UBS AG  Call   12/20/19   USD  3,124.010    23,342   USD 73,316,755    675,058    (984,104)
S&P 500® Index  Barclays Bank PLC  Call   01/03/20   USD  3,141.390    36,138   USD 113,508,735    1,001,481    (1,559,406)
                                $3,183,456   $(4,520,322)

  

Currency Abbreviations   

AUD - Australian Dollar
CAD - Canadian Dollar
CHF - Swiss Franc

 

 

 

 

Voya Global Equity Dividend and Premium Opportunity Fund

PORTFOLIO OF INVESTMENTS
as of November 30, 2019 (Unaudited) (Continued)

 

EUR - EU Euro
GBP - British Pound
JPY - Japanese Yen
USD - United States Dollar

   

At November 30, 2019, the aggregate cost of securities and other investments and the composition of unrealized appreciation and depreciation of securities and other investments at period end were:

 

Cost for federal income tax purposes was $626,031,161.

 

Net unrealized appreciation consisted of:  

 

Gross Unrealized Appreciation  $59,497,288 
Gross Unrealized Depreciation   (24,587,613)
      
Net Unrealized Appreciation  $34,909,675