P E R F O R M A N C E U P D A T E - Voya

[Pages:23]PERFORMANCE UPDATE

Voya Select Advantage IRA

Average Annual Total Returns as of: 01/31/2022 (shown in percentages)

The performance data quoted represents past performance. Past performance does not guarantee future results. For monthend performance which may be lower or higher than the performance data shown please call 888-854-5950. Investment return and principal value of an investment will fluctuate so that, when sold, an investment may be worth more or less than the original cost.

The returns assume reinvestment of all dividends (ordinary income and capital gains) and are net of management fees and other fund operating expenses. For each fund, the performance numbers reflect the maximum recordkeeping fee of 0.60%. Because sales charges have been waived under this program, the performance data below does not reflect these charges.

You should consider the investment objectives, risks, charges and expenses of the mutual funds offered through a retirement plan, carefully before investing. The fund prospectuses contain this and other information, which can be obtained by contacting your local representative. Please read the information carefully before investing.

Returns less than one year are not annualized. Fund Inception Date is the date of inception for the underlying fund, and is the date used in calculating the periodic returns. This date may also precede the portfolio's inclusion in the product.

Investment Options Stability of Principal

1-Mo 3-Mo YTD 1-Yr 3-Yr

Prime Money Market

Voya Government Liquid Assets Portfolio - Service 2 Class (1)(2)

-0.05 -0.15 -0.05 -0.57 -0.04

The 7-day annualized Subaccount yield as of 01/31/2022 is -0.60%, which more closely reflects current earnings. (76)

Bonds

Bank Loan Voya Floating Rate Fund - Class R (3)

Emerging Markets Bond Aberdeen Emerging Markets Debt Fund - Class R (4)(5) Fidelity Advisor? New Markets Income Fund - Class M

High Yield Bond BlackRock High Yield Bond Portfolio - Class R Shares PGIM High Yield Fund - Class R (6) Voya High Yield Portfolio - Adviser Class (7)

Inflation-Protected Bond BlackRock Inflation Protected Bond Pt - Investor A Shares

Intermediate Core Bond American Funds The Bond Fund of America? - Class F-1

Intermediate Core-Plus Bond Calvert Bond Fund - Class A (8) PIMCO Total Return Fund - Class R (9) USAA Intermediate-Term Bond Fund - Class A Shares Voya Intermediate Bond Portfolio - Class A (10)

Intermediate Government Voya GNMA Income Fund - Class A (11)

Multisector Bond American Century Investments? Strategic Income Fd - A Class Fidelity Advisor? Strategic Income Fund - Class M

0.01 0.19

-2.82 -3.86 -2.36 -3.31

-2.78 -1.99 -2.58 -2.06 -2.58 -1.85

-2.20 -1.33

-2.09 -2.15

-1.88 -2.21 -2.06 -2.04 -1.98 -1.94 -2.18 -2.51

-1.03 -1.42

-2.06 -2.03 -2.10 -1.88

0.01 2.49 1.25

-2.82 -7.16 1.12 -2.36 -3.81 0.82

-2.78 1.83 5.08 -2.58 1.67 5.48 -2.58 1.37 4.96

-2.20 2.04 6.32

-2.09 -3.06 4.02

-1.88 -2.25 3.54 -2.06 -3.46 3.00 -1.98 -1.90 4.83 -2.18 -3.60 3.08

-1.03 -2.59 1.47

-2.06 -0.40 4.49 -2.10 0.96 4.62

5-Yr

0.06

1.25 1.45 1.20 4.20 4.67 3.86 3.75 2.89 2.86 2.35 3.67 2.49 1.26 3.54 3.84

10-Yr

-0.25

2.26

3.16 5.01 5.20 4.46 1.56 2.25 2.49 1.96 3.48 2.61 1.22

3.55

Incept 1.16

3.03

Fund Inception

Date

01/24/1989

08/17/2010

11/01/2012 05/04/1993

02/26/1999 01/22/1990 05/03/2004

06/28/2004

03/15/2001

01/01/1986 12/31/2002 08/02/1999 12/20/2006

08/17/1973

07/28/2014 10/31/1994

Page 1 of 23

See Performance Introduction Page for Important Information

Investment Options Janus Henderson Multi-Sector Income Fund - Class S Shares Loomis Sayles Strategic Income Fund - Admin Class Lord Abbett Bond Debenture Fund - Class R3 PIMCO Income Fund - Class R

Nontraditional Bond Voya Strategic Income Opportunities Fund - Class R

Short Government Eaton Vance Government Opportunities Fund - Class R Shares

Short-Term Bond Lord Abbett Short Duration Income Fund - Class R3 PGIM Short-Term Corporate Bond Fund - Class R (12)

World Bond Invesco International Bond Fund - Class R (13) Templeton Global Bond Fund - Class A (14) Voya Global Bond Fund - Class A (15) Asset Allocation

Lifecycle Voya Solution 2025 Portfolio - Adviser Class (16)(17) Voya Solution 2035 Portfolio - Adviser Class (16)(18) Voya Solution 2045 Portfolio - Adviser Class (16)(19) Voya Solution 2055 Portfolio - Adviser Class (16)(20) Voya Solution 2065 Portfolio - Adviser Class Voya Solution Income Portfolio - Adviser Class (16)(21)

Lifecycle - Index Voya Index Solution 2025 Portfolio - Service 2 Class (22)(23) Voya Index Solution 2030 Portfolio - Service 2 Class (22)(24) Voya Index Solution 2035 Portfolio - Service 2 Class (22)(25) Voya Index Solution 2045 Portfolio - Service 2 Class (22)(26) Voya Index Solution 2055 Portfolio - Service 2 Class (22)(27) Voya Index Solution 2065 Portfolio - Service 2 Class Voya Index Solution Income Portfolio - Service 2 Class (22)(28)

Lifestyle Calvert Conservative Allocation Fund - Class A Calvert Growth Allocation Fund - Class A (29) Calvert Moderate Allocation Fund - Class A Voya Retirement Conservative Portfolio - Adviser Class (30) Voya Retirement Growth Portfolio - Adviser Class (31) Voya Retirement Moderate Growth Portfolio - Adviser Class (32)(33) Voya Retirement Moderate Portfolio - Adviser Class (34) Voya Solution Moderately Aggressive Portfolio - Adviser Cl (16) Balanced

Allocation--30% to 50% Equity Franklin Income Fund - Class R (35) Lord Abbett Multi-Asset Income Fund - Class R3 Voya Balanced Income Portfolio - Adviser Class (36)

Allocation--50% to 70% Equity 1919 Socially Responsive Balanced Fund - Class A Janus Henderson Balanced Fund - Class R Shares Pioneer Balanced ESG Fund - Class R Shares VY? Invesco Equity and Income Portfolio - Adviser Class (37) VY? T. Rowe Price Capital Appreciation Portfolio - Adviser

Tactical Allocation

1-Mo

-1.61 -2.83 -3.40 -1.11

3-Mo

-1.57 -2.91 -4.04 -0.74

YTD 1-Yr 3-Yr 5-Yr

-1.61 -0.23 4.49 4.00 -2.83 0.69 2.31 2.17 -3.40 -1.45 4.59 3.83 -1.11 -0.02 3.24 3.39

10-Yr

3.31 4.81 5.29

-0.57 -0.82 -0.57 -0.48 1.95 2.39

0.10 -0.47

0.10 -2.19 0.90 0.66

0.27

-0.85 -1.11 -0.85 -0.99 1.62 1.46

1.59

-1.36 -1.73 -1.36 -2.84 1.87 1.35

1.16

-1.81 -0.75 -1.81 -11.68 -0.77 0.60

0.56

-0.31 -0.26 -0.31 -5.06 -4.38 -1.66

0.33

-2.15 -2.88 -2.15 -7.06 1.74 2.31

1.08

-3.99 -3.31 -4.56 -3.78 -5.08 -4.01 -5.27 -4.29 -5.24 -4.29 -3.03 -2.60

-3.58 -2.75 -4.10 -3.15 -4.33 -3.43 -4.79 -3.52 -4.88 -3.60 -4.90 -3.61 -2.87 -2.28

-2.89 -2.52 -5.40 -4.44 -4.04 -3.34 -2.79 -2.39 -4.51 -3.06 -4.06 -2.60 -3.37 -2.47 -5.13 -4.01

-3.99 5.93 9.65 7.85 -4.56 8.46 11.44 9.30 -5.08 10.76 13.24 10.32 -5.27 10.48 13.22 10.33 -5.24 10.68 -3.03 2.78 7.19 5.64

-3.58 6.24 9.88 7.98 -4.10 7.20 10.86 8.82 -4.33 8.47 11.81 9.57 -4.79 11.38 13.69 10.81 -4.88 11.41 13.63 10.83 -4.90 11.77 -2.87 2.37 6.93 5.34

-2.89 3.11 8.22 6.59 -5.40 10.01 14.94 11.95 -4.04 6.58 11.41 9.30 -2.79 1.83 6.75 5.17 -4.51 10.43 12.07 9.42 -4.06 9.55 11.35 8.76 -3.37 6.14 9.37 7.19 -5.13 10.70 12.13 9.37

7.17 8.39 9.22 9.27

4.81

7.32 8.10 8.82 9.69 9.72

4.69

5.92 10.70 8.37 4.29 8.23 7.57 6.00 8.45

0.29 2.70 -3.85 -4.18 -3.03 -2.10

-6.22 -5.04 -4.66 -2.34 -3.43 -1.40 -0.84 0.09 -4.03 -2.98

0.29 17.41 8.94 6.52 -3.85 2.73 7.99 5.67 -3.03 4.99 5.90 5.00

-6.22 10.94 15.20 12.74 -4.66 12.21 13.10 11.41 -3.43 11.54 12.17 9.51 -0.84 17.34 12.14 8.04 -4.03 14.86 14.84 12.58

6.45 5.39 5.87

9.70 9.37 8.54 8.96 11.66

Incept 3.79 2.42

18.47 18.75

Fund Inception

Date 02/28/2014 05/01/1995 04/01/1971 03/30/2007

11/02/2012

08/24/1984

11/04/1993 05/17/2004

03/01/2001 09/18/1986 06/30/2006

04/29/2005 04/29/2005 04/29/2005 03/08/2010 07/29/2020 04/29/2005

05/28/2009 10/03/2011 03/04/2008 03/04/2008 03/08/2010 07/29/2020 03/04/2008

04/29/2005 06/30/2005 04/29/2005 10/31/2007 04/28/2006 04/28/2006 04/28/2006 04/30/2010

01/02/2002 06/30/2005 12/29/2006

11/06/1992 09/01/1992 12/16/1991 12/10/2001 01/24/1989

Page 2 of 23

See Performance Introduction Page for Important Information

Investment Options Invesco Balanced-Risk Allocation Fund - Class A (38) PIMCO All Asset Fund - Class R (39)

World Allocation American Funds Capital Income Builder? - Class F-1 BlackRock Global Allocation Fund Inc. - Class R Shares (40) Loomis Sayles Global Allocation Fund - Class A (41) Voya Global Div Pymt Fund - Class A (42) Voya Global Perspectives? Fund - Class A (43) Large Cap Value/Blend

Large Blend American Century Sustainable Equity Fund - A Class American Funds Fundamental Investors? - Class F-1 American Funds Washington Mutual Investors FundSM-Class F-1 Invesco Main Street Fund - Class R JPMorgan U.S. Sustainable Leaders Fund - Class A Shares Voya RussellTM Large Cap Index Portfolio - Class A (44) Voya U.S. Stock Index Portfolio - Service 2 Class VY? Columbia Contrarian Core Portfolio - Adviser Class (45)

Large Value BlackRock Equity Dividend Fund - Class R Shares Invesco Diversified Dividend Fund - Class A (46) Voya Corporate Leaders 100 Fund - Class R Voya RussellTM Large Cap Value Index Portfolio - Class S (47) VY? T. Rowe Price Equity Income Portfolio - Adviser Class (48) Large Cap Growth

Large Growth American Funds The Growth Fund of America? - Class F-1 Calvert Equity Fund - Class A Fidelity Advisor? Growth Opportunities Fund - Class M Fidelity Advisor? New Insights Fund - Class M Franklin DynaTech Fund - Class A Voya Large Cap Growth Portfolio - Adviser Class (49) Voya RussellTM Large Cap Growth Index Portfolio - Class S (50) VY? T. Rowe Price Growth Equity Portfolio - Adviser Class (51) Small/Mid/Specialty

Mid-Cap Blend Voya RussellTM Mid Cap Index Portfolio - Class A (52)

Mid-Cap Growth Eaton Vance-Atlanta Capital SMID-Cap Fund - Class R Federated Hermes Kaufmann Fund - Class R Shares (53) Principal MidCap Fund - Class R-1 Voya MidCap Opportunities Portfolio - Class A (54) VY? Baron Growth Portfolio - Adviser Class (55) VY? T. Rowe Price Diversified Mid Cap Growth Port - Adviser (56)

Mid-Cap Value VY? American Century Small-Mid Cap Value Portfolio- Adviser (57) VY? JPMorgan Mid Cap Value Portfolio - Adviser Class (58)

Small Blend Delaware Ivy Smid Cap Core Fund - Class R Voya RussellTM Small Cap Index Portfolio - Class A (59) Voya Small Company Portfolio - Class A (60) VY? JPMorgan Small Cap Core Equity Portfolio- Adviser Class

1-Mo -3.15 -1.63

3-Mo -2.13 -0.41

YTD 1-Yr 3-Yr 5-Yr -3.15 4.99 7.84 5.37 -1.63 10.42 8.44 6.57

10-Yr 4.47 4.30

-0.76 2.15 -0.76 14.22 9.26 7.05

6.85

-4.04 -4.69 -4.04 1.55 10.20 7.28

5.64

-7.33 -6.44 -7.33 6.57 12.29 10.89

8.81

-4.96 -3.04 -4.96 5.60 8.21 6.11

5.51

-5.04 -5.15 -5.04 -0.33 7.65 6.44

-6.10 -3.51 -5.74 -3.31 -3.97 0.52 -6.03 -3.50 -6.71 -4.12 -5.17 -2.12 -5.26 -1.90 -3.32 -0.74

1.00 0.82 0.90 3.02 -2.75 0.31 -1.37 0.68 0.82 3.31

-6.10 21.43 20.22 16.91 -5.74 16.02 15.48 12.92 -3.97 23.85 15.62 13.20 -6.03 19.15 17.49 12.90 -6.71 22.12 19.50 15.82 -5.17 20.93 20.34 16.33 -5.26 21.77 19.21 15.31 -3.32 20.68 20.24 15.03

1.00 21.46 13.33 10.50 0.90 20.91 11.56 7.68 -2.75 23.25 16.79 13.07 -1.37 22.00 12.35 9.46 0.82 25.83 13.52 10.12

14.09 13.00 12.77 12.78 14.47 14.41 13.98 13.60

10.43 10.50 12.65 10.88 10.37

-10.04 -8.39 -13.64 -8.59 -15.44 -9.88 -7.75 -12.45

-11.95 -4.32 -18.52 -7.88 -21.10 -8.89 -4.03 -13.46

-10.04 -8.39 -13.64 -8.59 -15.44 -9.88 -7.75 -12.45

6.71 22.02 -6.39 13.83 -5.76 8.80 20.65 3.50

19.36 22.60 25.67 17.21 21.76 18.47 26.92 17.95

16.55 20.17 26.32 15.51 21.70 16.89 22.29 17.52

15.14 15.43 18.83 13.49 17.33 14.56 17.56 15.50

-7.49 -7.32 -7.49 12.23 14.44 11.14 11.70

-7.23 -14.37 -10.69 -13.00 -12.81 -12.76

-4.42 -19.04 -8.83 -17.86 -13.29 -15.37

-7.23 -14.37 -10.69 -13.00 -12.81 -12.76

16.11 -13.16 15.60 -0.56

6.43 -1.45

15.07 10.59 18.49 16.16 19.90 16.12

13.66 13.28 14.91 13.42 18.02 14.72

13.20 13.03 14.00 11.86 14.07 13.26

-1.81 1.30 -2.08 0.70

-1.81 23.41 14.11 8.86 -2.08 25.61 12.54 8.67

11.41 11.08

-7.24 -7.69 -9.72 -11.79 -6.68 -6.21 -8.18 -7.75

-7.24 6.77 9.99 7.47 -9.72 -2.70 10.37 8.13 -6.68 4.58 9.62 5.94 -8.18 6.22 11.90 9.47

10.21 9.88 9.52 11.39

Incept 5.11

Fund Inception

Date 06/02/2009 07/31/2002

03/15/2001 01/03/2003 02/01/2006 07/01/2008 03/28/2013

11/30/2004 03/15/2001 03/15/2001 02/03/1988 02/18/2005 03/04/2008 05/03/2004 12/10/2001

01/03/2003 12/31/2001 06/30/2008 05/01/2009 01/24/1989

03/15/2001 08/24/1987 11/18/1987 07/31/2003 01/01/1968 12/29/2006 05/01/2009 11/28/1997

03/04/2008

04/30/2002 04/07/2003 11/01/2004 12/29/2006 05/01/2002 12/10/2001

05/01/2002 05/01/2002

01/30/1997 03/04/2008 12/27/1996 05/01/2002

Page 3 of 23

See Performance Introduction Page for Important Information

Investment Options

Small Growth AB Small Cap Growth Portfolio - Class R ClearBridge Small Cap Growth Fund - Class R Delaware Ivy Small Cap Growth Fund - Class R Fidelity Advisor? Small Cap Growth Fund - Class M Voya SmallCap Opportunities Portfolio - Class A (61)

Small Value Fidelity Advisor? Small Cap Value Fund - Class M JPMorgan Small Cap Value Fund - Class A Shares VY? Columbia Small Cap Value II Portfolio - Adviser Class (62)

Specialty - Commodities Broad PIMCO CommodityRealReturn Strategy Fund? - Class R (63)

Specialty - Energy Limited Par Invesco SteelPath MLP Income Fund - Class A (64) Invesco SteelPath MLP Select 40 Fund - Class A (65)

Specialty - Equity Energy Delaware Ivy Energy Fund - Class R

Specialty - Equity Prec Metals Invesco Gold & Special Minerals Fund - Class R

Specialty - Financial Fidelity Advisor? Financial Services Fund - Class M

Specialty - Global Real Estate Janus Henderson Global Real Estate Fund - Class S Shares (66)

Specialty - Health BlackRock Health Sciences Opportunities Portfolio - Class R

Specialty - Infrastructure MainStay CBRE Global Infrastructure Fund - Class A (4)

Specialty - Long-Short Equity JPMorgan Opportunistic Equity Long/Short Fd - Class A Shares

Specialty - Natural Resources Fidelity Advisor? Materials Fund - Class M

Specialty - Options Trading JPMorgan Hedged Equity 3 Fund - Class A Shares

Specialty - Real Estate Invesco Real Estate Fund - Class R

Specialty - Technology Columbia Seligman Global Technology Fund - Class R Shares

Specialty - Trading--Inverse E Federated Hermes Prudent Bear Fund - Class A Shares (67)

Specialty - Utilities PGIM Jennison Utility Fund - Class R (68) Global / International

Diversified Emerging Mkts Aberdeen Emerging Markets Fund - Class R (69) Invesco Developing Markets Fund - Class R VY? JPMorgan Emerging Markets Equity Portfolio - Adviser

Foreign Large Blend Invesco International Equity Fund - Class R (70) Voya International Index Portfolio - Class A (71)

Foreign Large Growth American Funds EuroPacific Growth Fund? - Class F-1

1-Mo 3-Mo YTD 1-Yr 3-Yr 5-Yr 10-Yr

-16.84 -13.87 -11.23 -12.78 -11.13

-20.53 -17.46 -15.99 -17.61 -12.11

-16.84 -13.87 -11.23 -12.78 -11.13

-13.86 -8.91 -11.08 -6.16 -9.48

17.61 15.00 10.84 15.57 8.22

18.26 15.74 11.86 15.06 6.33

13.84 13.27 11.73 13.99 9.02

-3.65 -2.14 -5.42 -4.00 -5.86 -5.73

-3.65 27.66 16.80 10.04 -5.42 19.95 11.74 6.56 -5.86 19.15 13.24 7.65

11.72 9.59 10.18

7.38 3.78

7.38 36.70 13.57 5.99 -2.79

8.75 3.87

8.75 45.86 6.61 0.68

1.22

8.00 4.65

8.00 43.23 2.69 -0.38

1.60

9.43 5.43

9.43 48.99 -5.44 -11.41 -5.13

-8.35 -4.23 -8.35 -6.36 16.17 8.05 -3.81

2.84 -0.17

2.84 37.19 17.60 12.04 12.49

-5.90 -3.13 -5.90 16.22 10.45 10.29

8.88

-8.89 -6.81 -8.89 0.87 11.69 13.68 15.23

-3.11 -0.88 -3.11 12.24

-9.65 -7.09 -9.65 2.56 8.41 7.05

-7.47 -1.41 -7.47 23.13 14.43 7.58

6.74

-2.30 -0.14 -2.30

-8.13 -0.27 -8.13 29.54 9.12 7.67

7.93

-11.53 -3.10 -11.53 19.58 33.88 24.87 19.88

5.19 -0.15

5.19 -20.61 -19.63 -17.32 -16.50

-3.73 0.51 -3.73 10.30 10.62 9.66 10.48

-1.88 -7.13 -1.88 -11.21 8.83 7.36

3.45

-3.62 -9.64 -3.62 -11.84 5.22 6.99

3.99

-4.98 -11.00 -4.98 -17.43 9.85 10.16

4.67

-3.28 -3.82 -3.28 -3.19 8.79 6.84

6.68

-3.95 -4.13 -3.95 6.94 8.24 6.62

5.63

-7.45 -10.37 -7.45 -4.19 10.92 9.12

7.47

Incept

2.95 6.88 9.71

Fund Inception

Date

03/01/2005 07/01/1998 09/21/1992 11/03/2004 05/06/1994

11/03/2004 01/27/1995 12/29/2006

06/28/2002

03/31/2010 03/31/2010

05/31/2006

08/29/1997

01/01/1986

05/05/1998

12/31/2002

02/21/2020

08/29/2014

12/12/2006

02/26/2021

12/31/1996

04/30/2003

12/28/1995

08/21/2006

05/10/2007 11/18/1996 02/18/1998

03/01/2001 03/04/2008

03/15/2001

Page 4 of 23

See Performance Introduction Page for Important Information

Investment Options

1-Mo 3-Mo YTD 1-Yr 3-Yr 5-Yr 10-Yr

Incept

Invesco Oppenheimer International Growth Fund - Class R VY? T. Rowe Price International Stock Portfolio - Adviser (72)

-10.90 -11.80 -10.90 -0.56 12.07 8.06

6.94

-3.16 -6.28 -3.16 -3.07 8.69 7.59

6.10

Foreign Large Value Janus Henderson Global Equity Income Fund - Class S Shares Voya Intl High Dividend Low Volatility Port - Adviser Class

0.53 4.12

0.53 13.04 8.44 5.81

6.13

-0.24 0.73 -0.24 12.65 5.45 4.11

4.21

Foreign Small/Mid Blend

Voya Multi-Manager International Small Cap Fund - Class A (73)

-6.46 -7.09 -6.46 7.53 11.93 8.56

8.09

Foreign Small/Mid Growth

Calvert International Opportunities Fund - Class A

-9.36 -9.77 -9.36 4.45 10.69 10.30

8.99

World Large-Stock Blend

USAA Sustainable World Fund - Class A Shares VY? Morgan Stanley Global Franchise Portfolio - Adviser (74)

-5.36 -4.27 -6.15 -1.76

-5.36 12.92 15.61 12.08 -6.15 16.20 15.98 13.84

11.08 11.60

World Large-Stock Growth AB Sustainable Global Thematic Fund - Class R VY? Invesco Global Portfolio - Adviser Class (75)

-12.11 -10.81 -8.76 -10.14

-12.11 -8.76

6.44 20.54 16.63 6.11 15.77 13.87

11.73 11.46

The risks of investing in small company stocks may include relatively low trading volumes, a greater degree of change in earnings and greater short-term volatility.

Foreign investing involves special risks such as currency fluctuation and public disclosure, as well as economic and political risks.

Fund Inception

Date 07/15/1994 05/02/2005

11/30/2006 12/20/2006

08/31/1994

05/31/2007

10/01/1992 12/29/2006

11/03/2003 05/01/2002

Some of the Funds invest in securities guaranteed by the U.S. Government as to the timely payment of principal and interest; however, shares of the Funds are not insured nor guaranteed.

High yielding fixed-income securities generally are subject to greater market fluctuations and risks of loss of income and principal than are investments in lower yielding fixed-income securities.

Sector funds may involve greater-than average risk and are often more volatile than funds holding a diversified portfolio of stocks in many industries. Examples include: banking, biotechnology, chemicals, energy, environmental services, natural resources, precious metals, technology, telecommunications, and utilities.

Page 5 of 23

PERFORMANCE UPDATE

Voya Select Advantage IRA

Average Annual Total Returns as of: 12/31/2021 (shown in percentages)

The performance data quoted represents past performance. Past performance does not guarantee future results. For monthend performance which may be lower or higher than the performance data shown please call 888-854-5950. Investment return and principal value of an investment will fluctuate so that, when sold, an investment may be worth more or less than the original cost.

The returns assume reinvestment of all dividends (ordinary income and capital gains) and are net of management fees and other fund operating expenses. For each fund, the performance numbers reflect the maximum recordkeeping fee of 0.60%. Because sales charges have been waived under this program, the performance data below does not reflect these charges.

Returns less than one year are not annualized. Fund Inception Date is the date of inception for the underlying fund, and is the date used in calculating the periodic returns. This date may also precede the portfolio's inclusion in the product.

Investment Options Stability of Principal

1-Mo 3-Mo YTD 1-Yr 3-Yr 5-Yr 10-Yr

Prime Money Market

Voya Government Liquid Assets Portfolio - Service 2 Class (1)(2)

-0.05 -0.15 -0.57 -0.57 0.01 0.06 -0.25

The 7-day annualized Subaccount yield as of 12/31/2021 is -0.60%, which more closely reflects current earnings. (76)

Bonds

Bank Loan Voya Floating Rate Fund - Class R (3)

Emerging Markets Bond Aberdeen Emerging Markets Debt Fund - Class R (4)(5) Fidelity Advisor? New Markets Income Fund - Class M

High Yield Bond BlackRock High Yield Bond Portfolio - Class R Shares PGIM High Yield Fund - Class R (6) Voya High Yield Portfolio - Adviser Class (7)

Inflation-Protected Bond BlackRock Inflation Protected Bond Pt - Investor A Shares

Intermediate Core Bond American Funds The Bond Fund of America? - Class F-1

Intermediate Core-Plus Bond Calvert Bond Fund - Class A (8) PIMCO Total Return Fund - Class R (9) USAA Intermediate-Term Bond Fund - Class A Shares Voya Intermediate Bond Portfolio - Class A (10)

Intermediate Government Voya GNMA Income Fund - Class A (11)

Multisector Bond American Century Investments? Strategic Income Fd - A Class Fidelity Advisor? Strategic Income Fund - Class M Janus Henderson Multi-Sector Income Fund - Class S Shares Loomis Sayles Strategic Income Fund - Admin Class Lord Abbett Bond Debenture Fund - Class R3

0.54 0.28

3.36 3.36 1.91 1.26

2.44

1.99 -2.07 -5.50 -5.50 3.67 2.36

1.10 -1.24 -2.68 -2.68 3.50 2.05

3.64

1.96 0.60

4.65 4.65 7.68 5.04

5.69

1.85 0.32

5.14 5.14 7.93 5.50

5.76

1.86 0.49

4.02 4.02 7.50 4.62

5.04

0.20 1.70

4.82 4.82 7.63 4.39

2.00

-0.18 0.07 -1.59 -1.59 5.13 3.41

2.60

-0.20 -0.47 -0.50 -0.50 4.62 3.31

2.79

-0.16 -0.38 -2.02 -2.02 4.09 2.90

2.42

-0.23 -0.14

0.01 0.01 6.12 4.23

3.87

-0.21 -0.54 -2.00 -2.00 4.33 3.02

3.00

-0.20 -0.70 -1.50 -1.50 2.04 1.45

1.33

1.17 -0.43

1.68 1.68 6.20 4.19

0.73 0.44

2.97 2.97 6.53 4.56

3.99

0.42 -0.52

2.25 2.25 5.75 4.49

1.55 0.20

3.06 3.06 4.30 3.03

4.01

-0.05 0.00

2.46 2.46 7.09 4.83

5.51

Incept 1.49

3.35 4.05

Fund Inception

Date

01/24/1989

08/17/2010

11/01/2012 05/04/1993

02/26/1999 01/22/1990 05/03/2004

06/28/2004

03/15/2001

01/01/1986 12/31/2002 08/02/1999 12/20/2006

08/17/1973

07/28/2014 10/31/1994 02/28/2014 05/01/1995 04/01/1971

Page 6 of 23

See Performance Introduction Page for Important Information

Investment Options PIMCO Income Fund - Class R

Nontraditional Bond Voya Strategic Income Opportunities Fund - Class R

Short Government Eaton Vance Government Opportunities Fund - Class R Shares

Short-Term Bond Lord Abbett Short Duration Income Fund - Class R3 PGIM Short-Term Corporate Bond Fund - Class R (12)

World Bond Invesco International Bond Fund - Class R (13) Templeton Global Bond Fund - Class A (14) Voya Global Bond Fund - Class A (15) Asset Allocation

Lifecycle Voya Solution 2025 Portfolio - Adviser Class (16)(17) Voya Solution 2035 Portfolio - Adviser Class (16)(18) Voya Solution 2045 Portfolio - Adviser Class (16)(19) Voya Solution 2055 Portfolio - Adviser Class (16)(20) Voya Solution 2065 Portfolio - Adviser Class Voya Solution Income Portfolio - Adviser Class (16)(21)

Lifecycle - Index Voya Index Solution 2025 Portfolio - Service 2 Class (22)(23) Voya Index Solution 2030 Portfolio - Service 2 Class (22)(24) Voya Index Solution 2035 Portfolio - Service 2 Class (22)(25) Voya Index Solution 2045 Portfolio - Service 2 Class (22)(26) Voya Index Solution 2055 Portfolio - Service 2 Class (22)(27) Voya Index Solution 2065 Portfolio - Service 2 Class Voya Index Solution Income Portfolio - Service 2 Class (22)(28)

Lifestyle Calvert Conservative Allocation Fund - Class A Calvert Growth Allocation Fund - Class A (29) Calvert Moderate Allocation Fund - Class A Voya Retirement Conservative Portfolio - Adviser Class (30) Voya Retirement Growth Portfolio - Adviser Class (31) Voya Retirement Moderate Growth Portfolio - Adviser Class (32)(33) Voya Retirement Moderate Portfolio - Adviser Class (34) Voya Solution Moderately Aggressive Portfolio - Adviser Cl (16) Balanced

Allocation--30% to 50% Equity Franklin Income Fund - Class R (35) Lord Abbett Multi-Asset Income Fund - Class R3 Voya Balanced Income Portfolio - Adviser Class (36)

Allocation--50% to 70% Equity 1919 Socially Responsive Balanced Fund - Class A Janus Henderson Balanced Fund - Class R Shares Pioneer Balanced ESG Fund - Class R Shares VY? Invesco Equity and Income Portfolio - Adviser Class (37) VY? T. Rowe Price Capital Appreciation Portfolio - Adviser

Tactical Allocation Invesco Balanced-Risk Allocation Fund - Class A (38) PIMCO All Asset Fund - Class R (39)

World Allocation

1-Mo 3-Mo 0.99 -0.14

YTD 1.33

1-Yr 3-Yr 5-Yr 1.33 4.15 3.78

10-Yr 5.67

0.28 -0.47

1.02 1.02 2.83 2.65

-0.11 -1.46 -2.21 -2.21 1.05 0.68

0.27

0.10 -0.40

0.23 0.23 2.15 1.68

1.79

-0.01 -1.02 -1.58 -1.58 2.64 1.69

1.44

2.35 -1.87 -10.86 -10.86 1.26 1.22

1.02

0.65 -0.61 -5.63 -5.63 -3.56 -1.68

0.87

-0.21 -1.16 -5.76 -5.76 3.13 3.02

1.59

2.25 3.34 3.10 4.57 3.74 5.65 3.65 5.64 3.64 5.67 1.30 2.09

9.74 13.13 16.25 16.33 16.35 5.53

9.74 13.13 16.25 16.33 16.35 5.53

13.11 15.75 18.11 18.20

9.52

9.11 10.81 11.99 12.08

6.49

8.13 9.50 10.41 10.49

5.47

2.25 3.77 2.78 4.42 3.07 4.97 3.74 6.26 3.80 6.34 3.81 6.55 1.20 2.37

9.58 11.34 12.97 16.58 16.73 17.17 5.06

9.58 11.34 12.97 16.58 16.73 17.17 5.06

13.00 14.51 15.80 18.22 18.25

9.03

9.09 10.12 10.97 12.37 12.42

6.14

8.16 9.06 9.85 10.81 10.84

5.26

1.35 1.97 3.70 5.62 2.48 3.73 0.87 1.91 3.18 6.06 2.64 5.55 1.72 3.71 3.26 5.49

5.97 15.71 10.71 4.06 14.83 13.24 8.99 16.17

5.97 15.71 10.71 4.06 14.83 13.24 8.99 16.17

10.74 19.95 15.15 8.82 16.16 14.96 12.27 16.84

7.38 13.60 10.49 5.94 10.82 10.01 8.22 10.97

6.46 11.83 9.20 4.84 9.19 8.42 6.71 9.63

4.64 4.83 16.46 16.46 11.01 6.63

6.67

1.62 2.03

6.62 6.62 11.39 6.77

6.17

2.21 2.82

8.00 8.00 8.96 5.88

6.42

2.00 7.07 2.63 7.21 3.46 5.90 3.79 4.33 2.90 5.70

16.56 15.76 13.99 17.33 17.27

16.56 15.76 13.99 17.33 17.27

20.08 16.53 15.34 14.94 19.08

14.46 13.00 10.63 8.33 13.89

10.82 10.36 9.27 9.37 12.54

2.54 1.93

8.54 8.54 10.33 6.26

5.17

3.55 2.87 14.10 14.10 10.60 7.36

4.94

Incept 2.50

24.29 24.29

Fund Inception

Date 03/30/2007

11/02/2012

08/24/1984

11/04/1993 05/17/2004

03/01/2001 09/18/1986 06/30/2006

04/29/2005 04/29/2005 04/29/2005 03/08/2010 07/29/2020 04/29/2005

05/28/2009 10/03/2011 03/04/2008 03/04/2008 03/08/2010 07/29/2020 03/04/2008

04/29/2005 06/30/2005 04/29/2005 10/31/2007 04/28/2006 04/28/2006 04/28/2006 04/30/2010

01/02/2002 06/30/2005 12/29/2006

11/06/1992 09/01/1992 12/16/1991 12/10/2001 01/24/1989

06/02/2009 07/31/2002

Page 7 of 23

See Performance Introduction Page for Important Information

Investment Options American Funds Capital Income Builder? - Class F-1 BlackRock Global Allocation Fund Inc. - Class R Shares (40) Loomis Sayles Global Allocation Fund - Class A (41) Voya Global Div Pymt Fund - Class A (42) Voya Global Perspectives? Fund - Class A (43) Large Cap Value/Blend

Large Blend American Century Sustainable Equity Fund - A Class American Funds Fundamental Investors? - Class F-1 American Funds Washington Mutual Investors FundSM-Class F-1 Invesco Main Street Fund - Class R JPMorgan U.S. Sustainable Leaders Fund - Class A Shares Voya RussellTM Large Cap Index Portfolio - Class A (44) Voya U.S. Stock Index Portfolio - Service 2 Class VY? Columbia Contrarian Core Portfolio - Adviser Class (45)

Large Value BlackRock Equity Dividend Fund - Class R Shares Invesco Diversified Dividend Fund - Class A (46) Voya Corporate Leaders 100 Fund - Class R Voya RussellTM Large Cap Value Index Portfolio - Class S (47) VY? T. Rowe Price Equity Income Portfolio - Adviser Class (48) Large Cap Growth

Large Growth American Funds The Growth Fund of America? - Class F-1 Calvert Equity Fund - Class A Fidelity Advisor? Growth Opportunities Fund - Class M Fidelity Advisor? New Insights Fund - Class M Franklin DynaTech Fund - Class A Voya Large Cap Growth Portfolio - Adviser Class (49) Voya RussellTM Large Cap Growth Index Portfolio - Class S (50) VY? T. Rowe Price Growth Equity Portfolio - Adviser Class (51) Small/Mid/Specialty

Mid-Cap Blend Voya RussellTM Mid Cap Index Portfolio - Class A (52)

Mid-Cap Growth Eaton Vance-Atlanta Capital SMID-Cap Fund - Class R Federated Hermes Kaufmann Fund - Class R Shares (53) Principal MidCap Fund - Class R-1 Voya MidCap Opportunities Portfolio - Class A (54) VY? Baron Growth Portfolio - Adviser Class (55) VY? T. Rowe Price Diversified Mid Cap Growth Port - Adviser (56)

Mid-Cap Value VY? American Century Small-Mid Cap Value Portfolio- Adviser (57) VY? JPMorgan Mid Cap Value Portfolio - Adviser Class (58)

Small Blend Delaware Ivy Smid Cap Core Fund - Class R Voya RussellTM Small Cap Index Portfolio - Class A (59) Voya Small Company Portfolio - Class A (60) VY? JPMorgan Small Cap Core Equity Portfolio- Adviser Class

Small Growth AB Small Cap Growth Portfolio - Class R ClearBridge Small Cap Growth Fund - Class R

1-Mo

5.48 2.12 2.13 3.19 2.11

3-Mo

6.43 2.07 5.45 5.39 2.09

YTD

14.26 5.42 13.43 11.02 4.48

1-Yr

14.26 5.42 13.43 11.02 4.48

3-Yr

10.98 13.57 17.70 11.67 11.90

5-Yr

7.45 8.53 13.21 7.47 7.92

10-Yr

7.02 6.58 10.18 6.54

4.14 11.18 5.13 8.52 6.62 11.69 3.88 9.64 4.10 11.29 3.91 10.59 4.36 10.68 4.86 8.03

27.50 21.69 27.64 26.47 29.89 26.05 27.09 22.88

27.50 21.69 27.64 26.47 29.89 26.05 27.09 22.88

26.03 20.77 19.44 23.32 25.72 25.42 24.48 24.91

18.53 14.90 14.41 14.66 17.67 17.97 16.98 16.22

15.31 14.24 13.49 13.97 15.90 15.49 15.09 14.50

5.50 4.27 6.77 6.27 5.48 8.29 6.20 7.02 6.48 6.86

18.97 18.22 26.15 21.98 24.22

18.97 18.22 26.15 21.98 24.22

15.48 13.50 21.01 15.28 15.87

10.26 7.59 13.99 9.80 9.97

10.57 10.67 13.53 11.39 10.72

0.78 6.32 5.35 11.31 -1.21 -0.15 0.97 7.58 -3.52 -0.08 1.15 6.42 2.39 13.33 -0.98 4.49

18.55 28.16 10.48 23.26 11.91 18.18 29.58 18.75

18.55 28.16 10.48 23.26 11.91 18.18 29.58 18.75

27.37 29.04 36.98 24.60 33.47 26.08 33.81 27.59

20.09 22.91 31.18 18.40 27.46 20.13 25.08 21.84

17.17 17.06 21.64 15.06 20.01 16.46 19.12 17.80

3.97 6.04 20.87 20.87 21.46 13.39 13.22

7.03 9.41 -0.42 -1.32 5.49 9.65 0.40 -0.41 4.33 6.87 1.17 3.51

20.87 1.79 23.57 10.91 19.42 12.56

20.87 1.79 23.57 10.91 19.42 12.56

20.94 19.81 26.66 25.60 29.42 25.86

15.35 17.59 18.26 17.53 21.79 18.66

14.46 15.67 15.76 14.15 16.11 15.68

6.31 6.76 6.17 7.72

26.18 26.18 18.81 9.46 28.37 28.37 16.89 9.42

12.18 11.74

5.22 4.69 2.06 1.71 4.89 3.96 4.67 4.79

19.78 13.13 13.50 17.24

19.78 13.13 13.50 17.24

16.11 18.31 16.31 19.12

9.27 10.43 7.59 11.39

11.73 11.75 10.98 13.09

-0.20 1.46 2.55 2.37

8.26 8.26 30.33 23.68 10.86 10.86 25.08 20.13

16.92 15.71

Incept 5.79

Fund Inception

Date 03/15/2001 01/03/2003 02/01/2006 07/01/2008 03/28/2013

11/30/2004 03/15/2001 03/15/2001 02/03/1988 02/18/2005 03/04/2008 05/03/2004 12/10/2001

01/03/2003 12/31/2001 06/30/2008 05/01/2009 01/24/1989

03/15/2001 08/24/1987 11/18/1987 07/31/2003 01/01/1968 12/29/2006 05/01/2009 11/28/1997

03/04/2008

04/30/2002 04/07/2003 11/01/2004 12/29/2006 05/01/2002 12/10/2001

05/01/2002 05/01/2002

01/30/1997 03/04/2008 12/27/1996 05/01/2002

03/01/2005 07/01/1998

Page 8 of 23

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