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Voya Financial is a financial conglomerates business based in the US. Voya Financial shares (VOYA) are listed on the NYSE and all prices are listed in US Dollars. Its last market close was $57.49 – an increase of 1.29% over the previous week. Voya Financial employs 10,000 staff and has a trailing 12-month revenue of around $8 billion.
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Latest market close | $57.49 |
---|---|
52-week range | $52.43 - $83.31 |
50-day moving average | $67.34 |
200-day moving average | $72.32 |
Wall St. target price | $74.18 |
PE ratio | 9.1994 |
Dividend yield | $1.7 (3.17%) |
Earnings per share (TTM) | $6.17 |
The technical analysis gauge below displays real-time ratings for the timeframes you select. This is not a recommendation, however. It represents a technical analysis based on the most popular technical indicators: Moving Averages, Oscillators and Pivots. Finder might not concur and takes no responsibility.
This chart is not advice or a guarantee of success. Rather, it gauges the real-time recommendations of three popular technical indicators: moving averages, oscillators and pivots. Finder is not responsible for how your stock performs.
Historical closes compared with the close of $57.28 from 2025-04-22
1 week (2025-04-17) | 0.92% |
---|---|
1 month (2025-03-25) | -17.94% |
3 months (2025-01-24) | -18.16% |
6 months (2024-10-25) | -28.18% |
1 year (2024-04-24) | -17.69% |
---|---|
2 years (2023-04-24) | -22.31% |
3 years (2022-04-22) | 62.7958 |
5 years (2020-04-24) | 48.52% |
Valuing Voya Financial stock is incredibly difficult, and any metric has to be viewed as part of a bigger picture of Voya Financial's overall performance. However, analysts commonly use some key metrics to help gauge the value of a stock.
Voya Financial's current share price divided by its per-share earnings (EPS) over a 12-month period gives a "trailing price/earnings ratio" of roughly 9x. In other words, Voya Financial shares trade at around 9x recent earnings.
That's relatively low compared to, say, the trailing 12-month P/E ratio for the NASDAQ 100 at the end of 2019 (27.29). The low P/E ratio could mean that investors are pessimistic about the outlook for the shares or simply that they're under-valued.
Voya Financial's "price/earnings-to-growth ratio" can be calculated by dividing its P/E ratio by its growth – to give 1.19. A low ratio can be interpreted as meaning the shares offer better value, while a higher ratio can be interpreted as meaning the shares offer worse value.
The PEG ratio provides a broader view than just the P/E ratio, as it gives more insight into Voya Financial's future profitability. By accounting for growth, it could also help you if you're comparing the share prices of multiple high-growth companies.
Voya Financial's EBITDA (earnings before interest, taxes, depreciation and amortisation) is $1.2 billion.
The EBITDA is a measure of a Voya Financial's overall financial performance and is widely used to measure a its profitability.
Revenue TTM | $8 billion |
---|---|
Operating margin TTM | 9.85% |
Gross profit TTM | $4.2 billion |
Return on assets TTM | 0.43% |
Return on equity TTM | 12.31% |
Profit margin | 8.29% |
Book value | $41.94 |
Market Capitalization | $5.5 billion |
TTM: trailing 12 months
Environmental, social and governance (known as ESG) criteria are a set of three factors used to measure the sustainability and social impact of companies like Voya Financial.
When it comes to ESG scores, lower is better, and lower scores are generally associated with lower risk for would-be investors.
Total ESG risk: 30.01
Socially conscious investors use ESG scores to screen how an investment aligns with their worldview, and Voya Financial's overall score of 30.01 (as at 12/31/2018) is pretty good – landing it in it in the 38th percentile of companies rated in the same sector.
ESG scores are increasingly used to estimate the level of risk a company like Voya Financial is exposed to within the areas of "environmental" (carbon footprint, resource use etc.), "social" (health and safety, human rights etc.), and "governance" (anti-corruption, tax transparency etc.).
Environmental score: 5.08/100
Voya Financial's environmental score of 5.08 puts it squarely in the 7th percentile of companies rated in the same sector. This could suggest that Voya Financial is a leader in its sector terms of its environmental impact, and exposed to a lower level of risk.
Social score: 18.52/100
Voya Financial's social score of 18.52 puts it squarely in the 7th percentile of companies rated in the same sector. This could suggest that Voya Financial is a leader in its sector when it comes to taking good care of its workforce and the communities it impacts.
Governance score: 15.41/100
Voya Financial's governance score puts it squarely in the 7th percentile of companies rated in the same sector. That could suggest that Voya Financial is a leader in its sector when it comes to responsible management and strategy, and exposed to a lower level of risk.
Controversy score: 1/5
ESG scores also evaluate any incidences of controversy that a company has been involved in. Voya Financial scored a 1 out of 5 for controversy – the highest score possible, reflecting that Voya Financial has managed to keep its nose clean.
Voya Financial Inc was last rated for ESG on: 2019-01-01.
Total ESG score | 30.01 |
---|---|
Total ESG percentile | 38.06 |
Environmental score | 5.08 |
Environmental score percentile | 7 |
Social score | 18.52 |
Social score percentile | 7 |
Governance score | 15.41 |
Governance score percentile | 7 |
Level of controversy | 1 |
Dividend payout ratio: 26.84% of net profits
Recently Voya Financial has paid out, on average, around 0% of net profits as dividends. That has enabled analysts to estimate a "forward annual dividend yield" of 0% of the current stock value. This means that over a year, based on recent payouts (which are sadly no guarantee of future payouts), Voya Financial shareholders could enjoy a 0% return on their shares, in the form of dividend payments. In Voya Financial's case, that would currently equate to about $1.7 per share.
While Voya Financial's payout ratio might seem fairly standard, it's worth remembering that Voya Financial may be investing much of the rest of its net profits in future growth.
Voya Financial's most recent dividend payout was on 26 March 2025. The latest dividend was paid out to all shareholders who bought their shares by 24 February 2025 (the "ex-dividend date").
Over the last 12 months, Voya Financial's shares have ranged in value from as little as $52.43 up to $83.3145. A popular way to gauge a stock's volatility is its "beta".
Beta is a measure of a share's volatility in relation to the market. The market (NYSE average) beta is 1, while Voya Financial's is 0.926. This would suggest that Voya Financial's shares are less volatile than average (for this exchange).
Voya Financial, Inc. provides workplace benefits, and savings solutions and technologies in the United States and internationally. The company operates through three segments: Wealth Solutions, Health Solutions, and Investment Management. The Wealth Solutions segment offers full-service retirement products; recordkeeping services; stable value and fixed general account investment products; non-qualified plan administration services; and tools, guidance, and services to promote the financial well-being and retirement security of employees. This segment also provides wealth management services, such as individual retirement, managed, and brokerage accounts, as well as financial guidance and advisory services. This segment serves corporate, public and private school systems, higher education institutions, hospitals and healthcare facilities, other non-profit organizations, and state and local governments, as well as institutional clients and individual customers. The Health Solutions segment offers various insurance products comprising stop loss, group life, group disability, whole and term life, critical illness, accident, and hospital indemnity insurance.
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