NYSE:VOYA (USA) Also trade in: Germany

Voya Financial Inc

$ 53.99 -0.29 (-0.53%)
Volume: 973,939 Avg Vol (1m): 1,412,194
Market Cap $: 7.74 Bil Enterprise Value $: 8.72 Bil
P/E (TTM): 15.99 P/B: 0.89
Earnings Power Value 0
Net Current Asset Value 0
Tangible Book 59.91
Projected FCF 230.84
Median P/S Value 52.14
Graham Number 67.5
Peter Lynch Value 0
DCF (FCF Based) 0
DCF (Earnings Based) 0
1Y (-%)

Financial Strength : 4/10

GuruFocus Financial Strength Rank measures how strong a company's financial situation is . It is based on these factors
1. The debt burden that the company has as measured by its Interest coverage (current year).
2. Debt to revenue ratio. The lower, the better
3. Altman Z-score.
A company ranks high with financial strength is likely to withstand any business slowdowns and recessions.
Current vs industry vs history
Cash-to-Debt 0.37
Cash-To-Debt ranked lower than
79.33% of 1171 companies
in the Asset Management industry.
Industry Max: 74441.86, Med: 480, Min: 0.01
VOYA: 0.37
Ranked among companies with meaningful Cash-To-Debt only.
Cash-To-Debt range over the past 10 years
Min: 0.08, Med: 0.36, Max: 0.65
Current: 0.37
0.08
0.65
Equity-to-Asset 0.06
Equity-to-Asset ranked lower than
96.77% of 1023 companies
in the Asset Management industry.
Industry Max: 1.07, Med: 0.76, Min: -3.65
VOYA: 0.06
Ranked among companies with meaningful Equity-to-Asset only.
Equity-to-Asset range over the past 10 years
Min: 0.04, Med: 0.06, Max: 0.07
Current: 0.06
0.04
0.07
Debt-to-Equity 0.40
Debt-to-Equity ranked lower than
59.30% of 570 companies
in the Asset Management industry.
Industry Max: 26.83, Med: 0.33, Min: 0.01
VOYA: 0.4
Ranked among companies with meaningful Debt-to-Equity only.
Debt-to-Equity range over the past 10 years
Min: 0.36, Med: 0.53, Max: 1.45
Current: 0.4
0.36
1.45
Debt-to-EBITDA 3.59
Debt-to-EBITDA ranked lower than
54.62% of 498 companies
in the Asset Management industry.
Industry Max: 3750, Med: 2.9, Min: 0.01
VOYA: 3.59
Ranked among companies with meaningful Debt-to-EBITDA only.
Debt-to-EBITDA range over the past 10 years
Min: 3.59, Med: 8.02, Max: 19.04
Current: 3.59
3.59
19.04
WACC vs ROIC %
ROIC 9.29%
WACC 7.87%

Profitability & Growth : 4/10

GuruFocus Profitability Rank ranks how profitable a company is and how likely the company's business will stay that way.
Current vs industry vs history
Net Margin % 5.75
Net Margin ranked lower than
60.13% of 1046 companies
in the Asset Management industry.
Industry Max: 140936.36, Med: 20.33, Min: -1076050
VOYA: 5.75
Ranked among companies with meaningful Net Margin only.
Net Margin range over the past 10 years
Min: -34.72, Med: 1.89, Max: 20.89
Current: 5.75
-34.72
20.89
ROE % 5.65
ROE ranked higher than
69.67% of 1154 companies
in the Asset Management industry.
Industry Max: 220.53, Med: 4.2, Min: -9822.09
VOYA: 5.65
Ranked among companies with meaningful ROE only.
ROE range over the past 10 years
Min: -26.01, Med: 2.76, Max: 15.6
Current: 5.65
-26.01
15.6
ROA % 0.29
ROA ranked lower than
62.90% of 1186 companies
in the Asset Management industry.
Industry Max: 326.09, Med: 1.87, Min: -2894.93
VOYA: 0.29
Ranked among companies with meaningful ROA only.
ROA range over the past 10 years
Min: -1.37, Med: 0.18, Max: 1.02
Current: 0.29
-1.37
1.02
3-Year Total Revenue Growth Rate -0.80
3-Year Revenue Growth Rate ranked lower than
52.79% of 843 companies
in the Asset Management industry.
Industry Max: 3123.9, Med: 3.7, Min: -375.9
VOYA: 9.7
Ranked among companies with meaningful 3-Year Revenue Growth Rate only.
3-Year Revenue Growth Rate range over the past 10 years
Min: -1.3, Med: 2.8, Max: 9.7
Current: 9.7
-1.3
9.7
3-Year Total EBITDA Growth Rate -5.60
3-Year EBITDA Growth Rate ranked lower than
64.77% of 596 companies
in the Asset Management industry.
Industry Max: 1406.7, Med: 5.8, Min: -698.2
VOYA: 4.4
Ranked among companies with meaningful 3-Year EBITDA Growth Rate only.
3-Year EBITDA Growth Rate range over the past 10 years
Min: 0, Med: 4.4, Max: 33.4
Current: 4.4
0
33.4
3-Year EPS w/o NRI Growth Rate 29.20
3-Year EPS w/o NRI Growth Rate ranked lower than
100.00% of 723 companies
in the Asset Management industry.
Industry Max: 1406.7, Med: 6.6, Min: -431.3
VOYA: 29.2
Ranked among companies with meaningful 3-Year EPS w/o NRI Growth Rate only.
3-Year EPS w/o NRI Growth Rate range over the past 10 years
Min: 0, Med: 0, Max: 29.2
Current: 29.2
0
29.2

» VOYA's 30-Y Financials

Financials (Next Earnings Date: 2019-08-02)

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Business Description

Industry Asset Management » Asset Management    NAICS : 525910    SIC : 6282
Compare OSTO:LUND B NAS:SEIC HKSE:02799 NYSE:OAK OSTO:LATO B OSTO:KINV A JSE:REM NYSE:IVZ NAS:ARCC NAS:CG BOG:GRUPOSURA XBRU:SOF TSX:IGM OSTO:INDU C XPAR:MF HKSE:01359 NYSE:JEF SHSE:601108 TSX:ONEX NYSE:AMG
Traded in other countries V0Y.Germany
Address 230 Park Avenue, New York, NY, USA, 10169
Voya Financial is an investment and insurance company focused on providing retirement solutions to individual and institutional clients in the United States. The company's strategy heavily relies on client education regarding the importance of preparing for retirement. It operates its business through two principal lines: retirement and investment solutions, and insurance solutions. It tailors each of its products to the needs of its customer base. The vast majority of the company's revenue is derived from the insurance premiums it collects, followed by net interest income and investment gains. Its retail clients are offered life insurance, IRAs, and annuity products, while its institutional clients are offered full-service retirement and employee benefit plans.

Ratios

Current vs industry vs history
PE Ratio (TTM) 17.94
PE Ratio ranked lower than
100.00% of 810 companies
in the Asset Management industry.
Industry Max: 10330.11, Med: 12.95, Min: 0
VOYA: 17.94
Ranked among companies with meaningful PE Ratio only.
PE Ratio range over the past 10 years
Min: 4.33, Med: 9.18, Max: 1270
Current: 17.94
4.33
1270
Forward PE Ratio 9.78
Forward P/E ranked higher than
79.74% of 153 companies
in the Asset Management industry.
Industry Max: 256.41, Med: 11.07, Min: 3.82
VOYA: 9.78
Ranked among companies with meaningful Forward P/E only.
N/A
PE Ratio without NRI 15.99
PE without NRI ranked lower than
100.00% of 787 companies
in the Asset Management industry.
Industry Max: 10330.11, Med: 13.2, Min: 0.01
VOYA: 15.99
Ranked among companies with meaningful PE without NRI only.
PE without NRI range over the past 10 years
Min: 4.33, Med: 15.62, Max: 99999999.99
Current: 15.99
4.33
99999999.99
PB Ratio 0.89
PB Ratio ranked higher than
61.64% of 1181 companies
in the Asset Management industry.
Industry Max: 1020, Med: 0.99, Min: 0.01
VOYA: 0.89
Ranked among companies with meaningful PB Ratio only.
PB Ratio range over the past 10 years
Min: 0.31, Med: 0.63, Max: 1.03
Current: 0.89
0.31
1.03
PS Ratio 1.00
PS Ratio ranked higher than
83.76% of 967 companies
in the Asset Management industry.
Industry Max: 9000, Med: 4.18, Min: 0.01
VOYA: 1
Ranked among companies with meaningful PS Ratio only.
PS Ratio range over the past 10 years
Min: 0.58, Med: 0.96, Max: 1.17
Current: 1
0.58
1.17
Price-to-Free-Cash-Flow 5.62
Price-to-Free-Cash-Flow ranked higher than
84.19% of 310 companies
in the Asset Management industry.
Industry Max: 2951.67, Med: 13.33, Min: 0.14
VOYA: 5.62
Ranked among companies with meaningful Price-to-Free-Cash-Flow only.
Price-to-Free-Cash-Flow range over the past 10 years
Min: 1.5, Med: 2.81, Max: 6.3
Current: 5.62
1.5
6.3
Price-to-Operating-Cash-Flow 5.62
Price-to-Operating-Cash-Flow ranked higher than
78.61% of 547 companies
in the Asset Management industry.
Industry Max: 977.27, Med: 10.94, Min: 0.22
VOYA: 5.62
Ranked among companies with meaningful Price-to-Operating-Cash-Flow only.
Price-to-Operating-Cash-Flow range over the past 10 years
Min: 1.5, Med: 2.81, Max: 6.3
Current: 5.62
1.5
6.3
EV-to-EBIT 8.54
EV-to-EBIT ranked higher than
55.66% of 618 companies
in the Asset Management industry.
Industry Max: 209280.07, Med: 11.02, Min: 0.03
VOYA: 8.54
Ranked among companies with meaningful EV-to-EBIT only.
EV-to-EBIT range over the past 10 years
Min: 7.4, Med: 14.6, Max: 75.2
Current: 8.54
7.4
75.2
EV-to-EBITDA 8.54
EV-to-EBITDA ranked higher than
51.86% of 644 companies
in the Asset Management industry.
Industry Max: 209280.07, Med: 10.43, Min: 0.03
VOYA: 8.54
Ranked among companies with meaningful EV-to-EBITDA only.
EV-to-EBITDA range over the past 10 years
Min: 7.4, Med: 14.6, Max: 75.2
Current: 8.54
7.4
75.2
EV-to-Revenue 0.99
EV-to-Revenue ranked higher than
86.89% of 915 companies
in the Asset Management industry.
Industry Max: 73227.5, Med: 4.87, Min: 0.02
VOYA: 0.99
Ranked among companies with meaningful EV-to-Revenue only.
EV-to-Revenue range over the past 10 years
Min: 0.6, Med: 1.3, Max: 1.9
Current: 0.99
0.6
1.9

Dividend & Buy Back

Current vs industry vs history
Dividend Yield % 0.07
Trailing Dividend Yield ranked lower than
99.47% of 1130 companies
in the Asset Management industry.
Industry Max: 1040.72, Med: 4.62, Min: 0.01
VOYA: 0.07
Ranked among companies with meaningful Trailing Dividend Yield only.
Trailing Dividend Yield range over the past 10 years
Min: 0.03, Med: 0.1, Max: 0.17
Current: 0.07
0.03
0.17
Dividend Payout Ratio 0.01
Dividend Payout Ratio ranked higher than
98.49% of 597 companies
in the Asset Management industry.
Industry Max: 642.11, Med: 0.62, Min: 0.01
VOYA: 0.01
Ranked among companies with meaningful Dividend Payout Ratio only.
Dividend Payout Ratio range over the past 10 years
Min: 0, Med: 0.02, Max: 0.8
Current: 0.01
0
0.8
Forward Dividend Yield % 0.07
Forward Dividend Yield ranked lower than
99.52% of 1041 companies
in the Asset Management industry.
Industry Max: 908.54, Med: 4.97, Min: 0.01
VOYA: 0.07
Ranked among companies with meaningful Forward Dividend Yield only.
N/A
Yield-on-Cost (5-Year) % 0.11
Yield-on-Cost (5y) ranked lower than
99.55% of 1108 companies
in the Asset Management industry.
Industry Max: 1040.72, Med: 5.2, Min: 0.01
VOYA: 0.11
Ranked among companies with meaningful Yield-on-Cost (5y) only.
Yield-on-Cost (5y) range over the past 10 years
Min: 0.05, Med: 0.16, Max: 0.28
Current: 0.11
0.05
0.28
3-Year Share Buyback Rate 10.30
3-Year Share Buyback Rate ranked higher than
93.02% of 673 companies
in the Asset Management industry.
Industry Max: 100, Med: -1.2, Min: -534.1
VOYA: 10.3
Ranked among companies with meaningful 3-Year Share Buyback Rate only.
3-Year Share Buyback Rate range over the past 10 years
Min: -0.6, Med: 7.1, Max: 10.7
Current: 10.3
-0.6
10.7

Valuation & Return

Current vs industry vs history
Price-to-Tangible-Book 0.90
Price-to-Tangible-Book ranked higher than
62.41% of 1128 companies
in the Asset Management industry.
Industry Max: 1207, Med: 1.02, Min: 0.01
VOYA: 0.9
Ranked among companies with meaningful Price-to-Tangible-Book only.
Price-to-Tangible-Book range over the past 10 years
Min: 0.33, Med: 0.63, Max: 0.92
Current: 0.9
0.33
0.92
Price-to-Projected-FCF 0.23
Price-to-Intrinsic-Value-Projected-FCF ranked higher than
94.75% of 381 companies
in the Asset Management industry.
Industry Max: 103.83, Med: 0.97, Min: 0.02
VOYA: 0.23
Ranked among companies with meaningful Price-to-Intrinsic-Value-Projected-FCF only.
Price-to-Intrinsic-Value-Projected-FCF range over the past 10 years
Min: 0.18, Med: 0.22, Max: 0.24
Current: 0.23
0.18
0.24
Price-to-Median-PS-Value 1.04
Price-to-Median-PS-Value ranked lower than
73.66% of 763 companies
in the Asset Management industry.
Industry Max: 220, Med: 0.93, Min: 0.01
VOYA: 1.04
Ranked among companies with meaningful Price-to-Median-PS-Value only.
Price-to-Median-PS-Value range over the past 10 years
Min: 0.62, Med: 1.02, Max: 1.12
Current: 1.04
0.62
1.12
Price-to-Graham-Number 0.80
Price-to-Graham-Number ranked lower than
50.51% of 691 companies
in the Asset Management industry.
Industry Max: 33.32, Med: 0.87, Min: 0.01
VOYA: 0.8
Ranked among companies with meaningful Price-to-Graham-Number only.
Price-to-Graham-Number range over the past 10 years
Min: 0.37, Med: 0.67, Max: 1.9
Current: 0.8
0.37
1.9
Earnings Yield (Joel Greenblatt) % 11.71
Earnings Yield (Greenblatt) ranked higher than
73.12% of 1023 companies
in the Asset Management industry.
Industry Max: 3562.78, Med: 3.2, Min: -5000
VOYA: 11.71
Ranked among companies with meaningful Earnings Yield (Greenblatt) only.
Earnings Yield (Greenblatt) range over the past 10 years
Min: 1.3, Med: 6.9, Max: 13.5
Current: 11.71
1.3
13.5
Forward Rate of Return (Yacktman) % 14.43
Forward Rate of Return ranked lower than
100.00% of 337 companies
in the Asset Management industry.
Industry Max: 890.86, Med: 8.21, Min: -128.96
VOYA: 14.43
Ranked among companies with meaningful Forward Rate of Return only.
Forward Rate of Return range over the past 10 years
Min: 11.5, Med: 15.9, Max: 22.2
Current: 14.43
11.5
22.2

More Statistics

Revenue (TTM) (Mil) $ 8,744
EPS (TTM) $ 3.01
Beta 1.51
Volatility % 31.11
52-Week Range $ 36.66 - 55.61
Shares Outstanding (Mil) 143.27

Analyst Estimate

Piotroski F-Score Details