IAENYSE
Voya Asia Pacific High Dividend Equity Income Fund
$8.92
ListedMar 28, 2007
SectorFinancial Services
IndustryAsset Management
CountryUnited States
Employees-
StateAZ| CityScottsdale| Address7337 East Doubletree Ranch Road| Phone(480) 477 3000
Voya Asia Pacific High Dividend Equity Income Fund is a closed-ended equity mutual fund launched by Voya Investment Management LLC. The fund is co-managed by Voya Investments, LLC and NNIP Advisors B.V. It invests in the public equity markets of the Asia Pacific region. The fund seeks to invest in stocks of companies operating across diversified sectors. It primarily invests in dividend-paying stocks of companies. The fund also invests through derivatives having economic characteristics similar to the equity securities such as call options on selected indices and/or equity securities. It employs a combination of fundamental and quantitative analysis with a bottom-up stock picking approach, focusing on such factors as liquidity and dividend yield, cash flow strength, capital structure, capital expenditures, and operating margins to create its portfolio. The fund benchmarks the performance of its portfolio against the MSCI All Country Asia Pacific ex-Japan Index. It was formerly known as ING Asia Pacific High Dividend Equity Income Fund. Voya Asia Pacific High Dividend Equity Income Fund was formed on January 8, 2007 and is domiciled in the United States.

Key Indicators

Key financial and dividend metrics for this stock.

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P/E Ratio
3.3
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Div. Rate
$0.78
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Div. Yield
9.04%
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Payout Ratio
30.23%
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Max Consec. Div. Years
19 years
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Longest Consec. Div.
18 years
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Div. Coverage
100%
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Div. Stability Rate
0.12
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Div. Growth Rate
50.00%
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Score
86

Dividend History

Historical dividend payments by ex-dividend date.

Jun 1, 2026
$ 0.0700
May 1, 2026
$ 0.0700
Apr 1, 2026
$ 0.0700
Mar 2, 2026
$ 0.0700
Feb 2, 2026
$ 0.0700
Dec 30, 2025
$ 0.0700
Dec 1, 2025
$ 0.0700
Nov 3, 2025
$ 0.0700
Oct 1, 2025
$ 0.0700
Sep 3, 2025
$ 0.0700
Sep 2, 2025
$ 0.0650
Aug 1, 2025
$ 0.0700
Jul 1, 2025
$ 0.0700
Jun 2, 2025
$ 0.0700
May 1, 2025
$ 0.0700
Apr 1, 2025
$ 0.0700
Mar 3, 2025
$ 0.0700
Feb 3, 2025
$ 0.0700
Dec 30, 2024
$ 0.0700
Dec 2, 2024
$ 0.0700
Nov 1, 2024
$ 0.0700
Oct 1, 2024
$ 0.0700
Sep 3, 2024
$ 0.0700
Aug 1, 2024
$ 0.0700
Jul 1, 2024
$ 0.0700
Jun 3, 2024
$ 0.0700
May 1, 2024
$ 0.0700
Apr 1, 2024
$ 0.1600
Dec 28, 2023
$ 0.1600
Oct 2, 2023
$ 0.1600
Jul 3, 2023
$ 0.1600
Apr 3, 2023
$ 0.1600
Dec 29, 2022
$ 0.2100
Oct 3, 2022
$ 0.2100
Jul 1, 2022
$ 0.2100
Apr 1, 2022
$ 0.2100
Dec 30, 2021
$ 0.2100
Oct 1, 2021
$ 0.2100
Jul 1, 2021
$ 0.2100
Apr 1, 2021
$ 0.2100
Dec 30, 2020
$ 0.2100
Oct 1, 2020
$ 0.2100
Jul 1, 2020
$ 0.2100
Apr 1, 2020
$ 0.2100
Dec 30, 2019
$ 0.2100
Oct 1, 2019
$ 0.2100
Jul 1, 2019
$ 0.2050
Apr 1, 2019
$ 0.2050
Dec 28, 2018
$ 0.2050
Oct 1, 2018
$ 0.2050
Jul 2, 2018
$ 0.2050
Apr 2, 2018
$ 0.2050
Dec 28, 2017
$ 0.2050
Oct 3, 2017
$ 0.2050
Jul 3, 2017
$ 0.2050
Apr 3, 2017
$ 0.2050
Dec 28, 2016
$ 0.2050
Oct 3, 2016
$ 0.2550
Jul 1, 2016
$ 0.2550
Apr 1, 2016
$ 0.2550
Dec 29, 2015
$ 0.2550
Oct 1, 2015
$ 0.2550
Jul 1, 2015
$ 0.3200
Apr 1, 2015
$ 0.3200
Dec 29, 2014
$ 0.3200
Oct 1, 2014
$ 0.3200
Jul 1, 2014
$ 0.3200
Apr 1, 2014
$ 0.3200
Dec 27, 2013
$ 0.3200
Oct 1, 2013
$ 0.3200
Jul 1, 2013
$ 0.3550
Apr 1, 2013
$ 0.3550
Dec 27, 2012
$ 0.3550
Oct 1, 2012
$ 0.3550
Jul 2, 2012
$ 0.3960
Apr 2, 2012
$ 0.3960
Dec 28, 2011
$ 0.3960
Oct 3, 2011
$ 0.4260
Jul 1, 2011
$ 0.4260
Apr 1, 2011
$ 0.4260
Dec 29, 2010
$ 0.4260
Oct 1, 2010
$ 0.4260
Jul 1, 2010
$ 0.4260
Apr 1, 2010
$ 0.4480
Dec 29, 2009
$ 0.4480
Oct 1, 2009
$ 0.4980
Jun 30, 2009
$ 0.4980
Apr 1, 2009
$ 0.4980
Dec 29, 2008
$ 0.4980
Oct 1, 2008
$ 0.4980
Jul 1, 2008
$ 0.4980
Apr 1, 2008
$ 0.4980
Dec 27, 2007
$ 0.7350
Oct 1, 2007
$ 0.4980
Jun 13, 2007
$ 0.4530

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