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Voya Financial VOYA Investment Management Segment — Net gains (losses)

Other segment segments

Wealth Solutions Segment
-$56M-80.6%
Health Solutions Segment
$0+100%

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APOAsset Management — Net gains (losses) from investment activities of consolidated variable interest entities
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ACGLOther — Net realized gains (losses)
$0
Cincinnati Financial logo
CINFInvestment Segment — Investment gains and losses, net
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NRZ
NRZAsset management — Gain (Loss) on Investments

Other financials

Income statement

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Revenue$2.0B+3.1%
Net income$182.0M+16.7%
EPS (diluted)$1.75+23.2%

Balance sheet

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Cash & equivalents$1.1B+7.9%
Total debt$2.5B+18.8%
Total equity$4.7B+6.3%
Total assets$173.43B+5.8%

Cash flow

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Operating cash flow-$36.0M+79.9%

Valuation

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Market cap$8.18B-2.1%
Enterprise value$9.59B+2.4%
P/E12×-2.6×
P/S-0.1×

Profitability

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Net margin8.2%+1.1pp
FCF margin26.1%

Returns & leverage

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Return on equity15%+1.6pp
Debt / equity0.5×+0.1×

Where this comes from

Reported directly by Voya Financial in its filing.

Tagged under the XBRL concept us-gaap:RealizedInvestmentGainsLosses.

The official record: Voya Financial’s 10-Q, filed May 7, 2026, on SEC EDGAR. View the filing →

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Questions, answered.

What is Voya Financial's investment management segment — net gains (losses)?
Voya Financial (VOYA) reported investment management segment — net gains (losses) of -$1M in Q1 2026.
How has Voya Financial's investment management segment — net gains (losses) changed year-over-year?
Voya Financial's investment management segment — net gains (losses) decreased by 0.0% year-over-year, from -$1M to -$1M.
What does investment management segment — net gains (losses) mean?
The net profit or loss resulting from changes in the value of the segment's investment assets.
How do you interpret investment management segment — net gains (losses)?
Positive values indicate successful asset appreciation, while negative values reflect market downturns or poor investment decisions.
How does investment management segment — net gains (losses) compare across companies?
Highly variable across peers depending on market conditions and accounting treatment of investment portfolios.