Buy Voya Financials | NYSE – VOYA | Short Term Trading Advice | Financial Services Sector | 23 Jun 2026 | Expected Gain 4% – 5%

Stock Market
NYSE, United States of America
  • Buy
  • Buy
    Range
  • Target
  • Stoploss
  • Upside
    Potential
  • Trade
    Duration
  • Voya Financial
  • 90 - 92
  • 95 - 97
  • Below 88.5
  • 4% – 5%
  • 12 - 14 Days
  • Buy Voya Financial
  • Buy
    Range
    90 - 92
  • Target 95 - 97
  • Stoploss Below 88.5
  • Upside
    Potential
    4% – 5%
  • Trade
    Duration
    12 - 14 Days
  • * Once the first target hit, reset the StopLoss at your buying price.
    * Trade durations are approximate; actual holding period may vary.

    Voya Financial (NYSE: VOYA) - Stock Overview

  • NYSE Code
  • Stock Name
  • Sector
  • 52 Weeks High
  • 52 Weeks Low
  • VOYA
  • Voya Financial
  • Financial Services
  • 92.83
  • 64.50
  • NYSE Code VOYA
  • Stock Name Voya Financial
  • Sector Financial Services
  • 52 Weeks High 92.83
  • 52 Weeks Low 64.50
  • Company profile

    Voya Financial, Inc. is a financial services company that provides retirement, investment management, and employee benefits solutions. Its services include retirement plans, wealth management, insurance products, workplace benefits, and investment products for individuals, employers, and institutional clients. Founded in 1975 and headquartered in New York City, the company serves customers across the United States and internationally.

  • Voya Financial (NYSE: VOYA) - Q1 FY26 Financials Highlights

    Metric Q1 FY26 (Mar '26) Q4 FY25 (Dec '25) Q1 FY25 (Mar '25) QoQ Change YoY Change
    Total Revenues $2,031 M $2,110 M $1,969 M ▼ 3.7% ▲ 3.1%
    Net Income to Common (GAAP) $165 M $136 M $139 M ▲ 21.3% ▲ 18.7%
    Net Profit Margin (GAAP) 8.10% 6.40% 7.10% ▲ 170 bps ▲ 100 bps
    Adj. Operating Earnings $214 M $188 M $195 M ▲ 13.8% ▲ 9.7%
    Diluted EPS (GAAP) $1.75 $1.41 $1.42 ▲ 24.1% ▲ 23.2%

  • Voya Financial (NYSE: VOYA) - Earnings Call Summary for Q1/2026

    • Strong quarter: Adjusted EPS of $2.26 beat estimates of $2.06, while revenue of $2.03 billion also came in above expectations. Earnings rose 13% YoY.
    • Retirement business remains the key driver: Fee-based revenue grew 8% YoY, supported by the OneAmerica acquisition, which expanded the customer base to nearly 10 million accounts.
    • Investment management stable: Growth in insurance and private fixed-income strategies helped offset weaker domestic equity demand.
    • Employee benefits improving: Management is focusing on profitability in the Stop Loss business after last year's medical inflation pressures.
  • Voya Financial (NYSE: VOYA) vs NYSE - Relative Performance

    The image showcases Voya Financial's 1-year performance relative to NYSE.
    Relative Performance - Last 1 Year
    VOYA —   NYSE —

  • Voya Financial (NYSE: VOYA) - Price Performance

    Voya Financial - Price Performance
    Voya Financial - Price Performance

  • Voya Financial (NYSE: VOYA) - Technical Analysis (Daily)

    Voya Financial - Daily Technical Analysis
    Voya Financial - Daily Technical Analysis

    • The stock has formed a rounding bottom pattern and recently broken out above the neckline.
    • If buying momentum continues, the uptrend could extend further from current levels.
  • Voya Financial (NYSE: VOYA) - Oscillators

    Indicator Value Zone
    RSI-14 76.04 Overbought
    CCI-14 80.31 Neutral
    ROC 13.17 Positive
    Stochastic RSI 84.72 Overbought
    William %R -4.32 Overbought

  • Voya Financial (NYSE: VOYA) - Exponential Moving Averages (EMAs)

    EMA Value Stock Position
    5 EMA 91.05 Above
    10 EMA 89.62 Above
    20 EMA 87.55 Above
    50 EMA 82.69 Above
    100 EMA 78.89 Above
    200 EMA 75.91 Above

  • Conclusion - Voya Financial (NYSE: VOYA) Stock Price Forecast

    Based on our swing stock trading tips in USA stocks, Voya Financial stock price target will be USD  - USD  in the next 12-14 trading sessions.

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    Details of Arijit Banerjee

    Arijit Banerjee CMT CFTe is a seasoned expert in the financial industry, boasting decades of experience in trading, investment, and wealth management. As the founder and chief strategist of Naranj Capital, he’s built a reputation for providing insightful research analysis to guide investment decisions.

    Arijit’s credentials are impressive, holding both the Chartered Market Technician (CMT) and Certified Financial Technician (CFTe) designations. These certifications demonstrate his expertise in technical analysis and financial markets.

    Through Naranj Capital, Arijit shares his market insights and research analysis, offering actionable advice for investors. His work is featured on platforms like TradingView, where he publishes detailed analysis and recommendations.

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