Shareholder Report, Holdings (Details)
|
Dec. 31, 2025 |
| C000028890 | Voya Core Bond ETF___BNY-88636N205 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
29.20%
|
| C000028890 | Voya Multi-Sector Income ETF___BNY-88636N304 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
28.70%
|
| C000028890 | iShares Core S&P Mid-Cap ETF___BNY-464287507 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.50%
|
| C000028890 | NVIDIA Corp.___BNY-67066G104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000028890 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000028890 | Microsoft Corp.___BNY-594918104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000028890 | Apple, Inc.___BNY-037833100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.30%
|
| C000028890 | Voya Multi-Manager Emerging Markets Equity Fund__Class I_BNY-92913W680 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.10%
|
| C000028890 | Invesco S&P 500 Equal Weight ETF___BNY-46137V357 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.00%
|
| C000028890 | Broadcom, Inc.___BNY-11135F101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000028890 | Other_InvestmentAllocation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.20%
|
| C000028890 | Preferred Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000028890 | Mutual Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.10%
|
| C000028890 | Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
33.90%
|
| C000028890 | Exchange-Traded Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
63.80%
|
| C000028891 | Voya Core Bond ETF___BNY-88636N205 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
29.20%
|
| C000028891 | Voya Multi-Sector Income ETF___BNY-88636N304 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
28.70%
|
| C000028891 | iShares Core S&P Mid-Cap ETF___BNY-464287507 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.50%
|
| C000028891 | NVIDIA Corp.___BNY-67066G104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000028891 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000028891 | Microsoft Corp.___BNY-594918104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000028891 | Apple, Inc.___BNY-037833100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.30%
|
| C000028891 | Voya Multi-Manager Emerging Markets Equity Fund__Class I_BNY-92913W680 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.10%
|
| C000028891 | Invesco S&P 500 Equal Weight ETF___BNY-46137V357 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.00%
|
| C000028891 | Broadcom, Inc.___BNY-11135F101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000028891 | Other_InvestmentAllocation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.20%
|
| C000028891 | Preferred Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000028891 | Mutual Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.10%
|
| C000028891 | Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
33.90%
|
| C000028891 | Exchange-Traded Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
63.80%
|
| C000028892 | Voya Core Bond ETF___BNY-88636N205 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
29.20%
|
| C000028892 | Voya Multi-Sector Income ETF___BNY-88636N304 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
28.70%
|
| C000028892 | iShares Core S&P Mid-Cap ETF___BNY-464287507 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.50%
|
| C000028892 | NVIDIA Corp.___BNY-67066G104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000028892 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000028892 | Microsoft Corp.___BNY-594918104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000028892 | Apple, Inc.___BNY-037833100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.30%
|
| C000028892 | Voya Multi-Manager Emerging Markets Equity Fund__Class I_BNY-92913W680 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.10%
|
| C000028892 | Invesco S&P 500 Equal Weight ETF___BNY-46137V357 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.00%
|
| C000028892 | Broadcom, Inc.___BNY-11135F101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000028892 | Other_InvestmentAllocation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.20%
|
| C000028892 | Preferred Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000028892 | Mutual Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.10%
|
| C000028892 | Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
33.90%
|
| C000028892 | Exchange-Traded Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
63.80%
|
| C000028893 | Voya Core Bond ETF___BNY-88636N205 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
29.20%
|
| C000028893 | Voya Multi-Sector Income ETF___BNY-88636N304 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
28.70%
|
| C000028893 | iShares Core S&P Mid-Cap ETF___BNY-464287507 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.50%
|
| C000028893 | NVIDIA Corp.___BNY-67066G104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000028893 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000028893 | Microsoft Corp.___BNY-594918104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000028893 | Apple, Inc.___BNY-037833100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.30%
|
| C000028893 | Voya Multi-Manager Emerging Markets Equity Fund__Class I_BNY-92913W680 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.10%
|
| C000028893 | Invesco S&P 500 Equal Weight ETF___BNY-46137V357 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.00%
|
| C000028893 | Broadcom, Inc.___BNY-11135F101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000028893 | Other_InvestmentAllocation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.20%
|
| C000028893 | Preferred Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000028893 | Mutual Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.10%
|
| C000028893 | Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
33.90%
|
| C000028893 | Exchange-Traded Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
63.80%
|
| C000125916 | Voya Multi-Manager Emerging Markets Equity Fund__Class I_BNY-92913W680 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.70%
|
| C000125916 | Voya International Index Portfolio__Class I_BNY-92913T554 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.30%
|
| C000125916 | Voya Small Company Portfolio__Class R6_BNY-92913T273 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.10%
|
| C000125916 | Voya Index Plus LargeCap Portfolio__Class I_BNY-92913T836 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.10%
|
| C000125916 | Voya High Yield Portfolio__Class I_BNY-92914E309 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125916 | Voya GNMA Income Fund__Class R6_BNY-92913L577 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125916 | Voya U.S. Bond Index Portfolio__Class I_BNY-92913T547 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.90%
|
| C000125916 | Voya Global Bond Fund__Class R6_BNY-92913W854 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.90%
|
| C000125916 | VY® CBRE Global Real Estate Portfolio__Class I_BNY-92914E812 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.80%
|
| C000125916 | Voya MidCap Opportunities Portfolio__Class R6_BNY-92913P859 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.40%
|
| C000125916 | Other_Asset |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.20%)
|
| C000125916 | Fixed Income |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
39.80%
|
| C000125916 | Equity |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
60.40%
|
| C000125916 | US Large Blend |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125916 | US Mid Cap Blend |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125916 | US Small Cap |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125916 | International |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125916 | Emerging Markets |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125916 | Mortgage Backed |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125916 | Global Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125916 | Core Fixed Income |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125916 | High Yield |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125916 | International Bonds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125917 | Voya Multi-Manager Emerging Markets Equity Fund__Class I_BNY-92913W680 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.70%
|
| C000125917 | Voya International Index Portfolio__Class I_BNY-92913T554 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.30%
|
| C000125917 | Voya Small Company Portfolio__Class R6_BNY-92913T273 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.10%
|
| C000125917 | Voya Index Plus LargeCap Portfolio__Class I_BNY-92913T836 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.10%
|
| C000125917 | Voya High Yield Portfolio__Class I_BNY-92914E309 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125917 | Voya GNMA Income Fund__Class R6_BNY-92913L577 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125917 | Voya U.S. Bond Index Portfolio__Class I_BNY-92913T547 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.90%
|
| C000125917 | Voya Global Bond Fund__Class R6_BNY-92913W854 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.90%
|
| C000125917 | VY® CBRE Global Real Estate Portfolio__Class I_BNY-92914E812 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.80%
|
| C000125917 | Voya MidCap Opportunities Portfolio__Class R6_BNY-92913P859 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.40%
|
| C000125917 | Other_Asset |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.20%)
|
| C000125917 | Fixed Income |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
39.80%
|
| C000125917 | Equity |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
60.40%
|
| C000125917 | US Large Blend |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125917 | US Mid Cap Blend |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125917 | US Small Cap |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125917 | International |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125917 | Emerging Markets |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125917 | Mortgage Backed |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125917 | Global Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125917 | Core Fixed Income |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125917 | High Yield |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125917 | International Bonds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125918 | Voya Multi-Manager Emerging Markets Equity Fund__Class I_BNY-92913W680 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.70%
|
| C000125918 | Voya International Index Portfolio__Class I_BNY-92913T554 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.30%
|
| C000125918 | Voya Small Company Portfolio__Class R6_BNY-92913T273 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.10%
|
| C000125918 | Voya Index Plus LargeCap Portfolio__Class I_BNY-92913T836 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.10%
|
| C000125918 | Voya High Yield Portfolio__Class I_BNY-92914E309 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125918 | Voya GNMA Income Fund__Class R6_BNY-92913L577 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125918 | Voya U.S. Bond Index Portfolio__Class I_BNY-92913T547 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.90%
|
| C000125918 | Voya Global Bond Fund__Class R6_BNY-92913W854 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.90%
|
| C000125918 | VY® CBRE Global Real Estate Portfolio__Class I_BNY-92914E812 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.80%
|
| C000125918 | Voya MidCap Opportunities Portfolio__Class R6_BNY-92913P859 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.40%
|
| C000125918 | Other_Asset |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.20%)
|
| C000125918 | Fixed Income |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
39.80%
|
| C000125918 | Equity |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
60.40%
|
| C000125918 | US Large Blend |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125918 | US Mid Cap Blend |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125918 | US Small Cap |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125918 | International |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125918 | Emerging Markets |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125918 | Mortgage Backed |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125918 | Global Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125918 | Core Fixed Income |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125918 | High Yield |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000125918 | International Bonds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.00%
|
| C000015353 | Other_InvestmentAllocation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(8.10%)
|
| C000015353 | Mutual Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.50%
|
| C000015353 | U.S. Treasury Repurchase Agreements |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.40%
|
| C000015353 | U.S. Government Agency Debt |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
42.10%
|
| C000015353 | U.S. Treasury Debt |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
44.10%
|
| C000015354 | Other_InvestmentAllocation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(8.10%)
|
| C000015354 | Mutual Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.50%
|
| C000015354 | U.S. Treasury Repurchase Agreements |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.40%
|
| C000015354 | U.S. Government Agency Debt |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
42.10%
|
| C000015354 | U.S. Treasury Debt |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
44.10%
|
| C000015355 | Other_InvestmentAllocation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(8.10%)
|
| C000015355 | Mutual Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.50%
|
| C000015355 | U.S. Treasury Repurchase Agreements |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.40%
|
| C000015355 | U.S. Government Agency Debt |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
42.10%
|
| C000015355 | U.S. Treasury Debt |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
44.10%
|
| C000015922 | OneMain Finance Corp._7.125__BNY-682691AK6 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000015922 | Iron Mountain, Inc._6.25__BNY-46284VAQ4 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000015922 | Bombardier, Inc._6.75__BNY-097751CD1 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000015922 | Vmed O2 UK Financing I PLC_7.75__BNY-92858RAD2 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000015922 | Fortress Transportation and Infrastructure Investors LLC_7.875__BNY-34960PAE1 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000015922 | Navient Corp._7.875__BNY-63938CAQ1 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000015922 | Frontier Communications Holdings LLC_8.75__BNY-35908MAD2 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000015922 | Sirius XM Radio, Inc._5.5__BNY-82967NBC1 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000015922 | Gen Digital, Inc._6.25__BNY-668771AM0 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.40%
|
| C000015922 | Panther Escrow Issuer LLC_7.125__BNY-69867RAA5 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.40%
|
| C000015922 | Other_InvestmentAllocation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.70%
|
| C000015922 | Preferred Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000015922 | Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000015922 | Other |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000015922 | Convertible Bonds/Notes |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000015922 | Corporate Bonds/Notes |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
94.30%
|
| C000015923 | OneMain Finance Corp._7.125__BNY-682691AK6 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000015923 | Iron Mountain, Inc._6.25__BNY-46284VAQ4 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000015923 | Bombardier, Inc._6.75__BNY-097751CD1 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000015923 | Vmed O2 UK Financing I PLC_7.75__BNY-92858RAD2 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000015923 | Fortress Transportation and Infrastructure Investors LLC_7.875__BNY-34960PAE1 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000015923 | Navient Corp._7.875__BNY-63938CAQ1 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000015923 | Frontier Communications Holdings LLC_8.75__BNY-35908MAD2 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000015923 | Sirius XM Radio, Inc._5.5__BNY-82967NBC1 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000015923 | Gen Digital, Inc._6.25__BNY-668771AM0 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.40%
|
| C000015923 | Panther Escrow Issuer LLC_7.125__BNY-69867RAA5 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.40%
|
| C000015923 | Other_InvestmentAllocation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.70%
|
| C000015923 | Preferred Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000015923 | Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000015923 | Other |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000015923 | Convertible Bonds/Notes |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000015923 | Corporate Bonds/Notes |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
94.30%
|
| C000015924 | OneMain Finance Corp._7.125__BNY-682691AK6 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000015924 | Iron Mountain, Inc._6.25__BNY-46284VAQ4 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000015924 | Bombardier, Inc._6.75__BNY-097751CD1 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000015924 | Vmed O2 UK Financing I PLC_7.75__BNY-92858RAD2 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000015924 | Fortress Transportation and Infrastructure Investors LLC_7.875__BNY-34960PAE1 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000015924 | Navient Corp._7.875__BNY-63938CAQ1 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000015924 | Frontier Communications Holdings LLC_8.75__BNY-35908MAD2 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000015924 | Sirius XM Radio, Inc._5.5__BNY-82967NBC1 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000015924 | Gen Digital, Inc._6.25__BNY-668771AM0 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.40%
|
| C000015924 | Panther Escrow Issuer LLC_7.125__BNY-69867RAA5 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.40%
|
| C000015924 | Other_InvestmentAllocation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.70%
|
| C000015924 | Preferred Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000015924 | Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000015924 | Other |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000015924 | Convertible Bonds/Notes |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000015924 | Corporate Bonds/Notes |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
94.30%
|
| C000015921 | OneMain Finance Corp._7.125__BNY-682691AK6 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000015921 | Iron Mountain, Inc._6.25__BNY-46284VAQ4 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000015921 | Bombardier, Inc._6.75__BNY-097751CD1 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000015921 | Vmed O2 UK Financing I PLC_7.75__BNY-92858RAD2 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000015921 | Fortress Transportation and Infrastructure Investors LLC_7.875__BNY-34960PAE1 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000015921 | Navient Corp._7.875__BNY-63938CAQ1 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000015921 | Frontier Communications Holdings LLC_8.75__BNY-35908MAD2 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000015921 | Sirius XM Radio, Inc._5.5__BNY-82967NBC1 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000015921 | Gen Digital, Inc._6.25__BNY-668771AM0 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.40%
|
| C000015921 | Panther Escrow Issuer LLC_7.125__BNY-69867RAA5 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.40%
|
| C000015921 | Other_InvestmentAllocation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.70%
|
| C000015921 | Preferred Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000015921 | Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000015921 | Other |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000015921 | Convertible Bonds/Notes |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000015921 | Corporate Bonds/Notes |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
94.30%
|
| C000047545 | Freddie Mac REMIC Trust_5.324_Class DF_BNY-3137HCTZ5 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.70%
|
| C000047545 | Fannie Mae REMIC Trust_5.224_Class FD_BNY-3136BRMG9 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000047545 | Fannie Mae REMIC Trust_5.124_Class FH_BNY-3136BUQL7 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000047545 | Sumitomo Mitsui Banking Corp./New York_3.94__BNY-86565GRN2 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.00%
|
| C000047545 | Freddie Mac REMIC Trust_4.974_Class FH_BNY-3137HH4Y4 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000047545 | Zaxbys Funding LLC_3.238_Class A2_BNY-98920MAA0 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000047545 | MHP Commercial Mortgage Trust_5.25_Class A_BNY-59317DAA3 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.70%
|
| C000047545 | Pagaya AI Debt Trust_5.688_Class B_BNY-69547DAC0 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.70%
|
| C000047545 | SMB Private Education Loan Trust_5.13_Class A1A_BNY-83207EAA4 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.70%
|
| C000047545 | Pagaya AI Debt Grantor Trust_5.365_Class A2_BNY-69544TAB0 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.70%
|
| C000047545 | Other_InvestmentAllocation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
11.10%
|
| C000047545 | Corporate Bonds/Notes |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
24.90%
|
| C000047545 | U.S. Treasury Obligations |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.50%
|
| C000047545 | Collateralized Mortgage Obligations |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.90%
|
| C000047545 | Commercial Mortgage-Backed Securities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
18.20%
|
| C000047545 | Asset-Backed Securities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
23.40%
|
| C000047546 | Freddie Mac REMIC Trust_5.324_Class DF_BNY-3137HCTZ5 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.70%
|
| C000047546 | Fannie Mae REMIC Trust_5.224_Class FD_BNY-3136BRMG9 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000047546 | Fannie Mae REMIC Trust_5.124_Class FH_BNY-3136BUQL7 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000047546 | Sumitomo Mitsui Banking Corp./New York_3.94__BNY-86565GRN2 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.00%
|
| C000047546 | Freddie Mac REMIC Trust_4.974_Class FH_BNY-3137HH4Y4 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000047546 | Zaxbys Funding LLC_3.238_Class A2_BNY-98920MAA0 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000047546 | MHP Commercial Mortgage Trust_5.25_Class A_BNY-59317DAA3 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.70%
|
| C000047546 | Pagaya AI Debt Trust_5.688_Class B_BNY-69547DAC0 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.70%
|
| C000047546 | SMB Private Education Loan Trust_5.13_Class A1A_BNY-83207EAA4 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.70%
|
| C000047546 | Pagaya AI Debt Grantor Trust_5.365_Class A2_BNY-69544TAB0 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.70%
|
| C000047546 | Other_InvestmentAllocation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
11.10%
|
| C000047546 | Corporate Bonds/Notes |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
24.90%
|
| C000047546 | U.S. Treasury Obligations |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.50%
|
| C000047546 | Collateralized Mortgage Obligations |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.90%
|
| C000047546 | Commercial Mortgage-Backed Securities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
18.20%
|
| C000047546 | Asset-Backed Securities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
23.40%
|
| C000047547 | Freddie Mac REMIC Trust_5.324_Class DF_BNY-3137HCTZ5 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.70%
|
| C000047547 | Fannie Mae REMIC Trust_5.224_Class FD_BNY-3136BRMG9 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000047547 | Fannie Mae REMIC Trust_5.124_Class FH_BNY-3136BUQL7 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000047547 | Sumitomo Mitsui Banking Corp./New York_3.94__BNY-86565GRN2 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.00%
|
| C000047547 | Freddie Mac REMIC Trust_4.974_Class FH_BNY-3137HH4Y4 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000047547 | Zaxbys Funding LLC_3.238_Class A2_BNY-98920MAA0 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000047547 | MHP Commercial Mortgage Trust_5.25_Class A_BNY-59317DAA3 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.70%
|
| C000047547 | Pagaya AI Debt Trust_5.688_Class B_BNY-69547DAC0 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.70%
|
| C000047547 | SMB Private Education Loan Trust_5.13_Class A1A_BNY-83207EAA4 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.70%
|
| C000047547 | Pagaya AI Debt Grantor Trust_5.365_Class A2_BNY-69544TAB0 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.70%
|
| C000047547 | Other_InvestmentAllocation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
11.10%
|
| C000047547 | Corporate Bonds/Notes |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
24.90%
|
| C000047547 | U.S. Treasury Obligations |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.50%
|
| C000047547 | Collateralized Mortgage Obligations |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.90%
|
| C000047547 | Commercial Mortgage-Backed Securities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
18.20%
|
| C000047547 | Asset-Backed Securities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
23.40%
|
| C000015798 | NVIDIA Corp.___BNY-67066G104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
14.10%
|
| C000015798 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.70%
|
| C000015798 | Microsoft Corp.___BNY-594918104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
11.20%
|
| C000015798 | Apple, Inc.___BNY-037833100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.00%
|
| C000015798 | Broadcom, Inc.___BNY-11135F101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.20%
|
| C000015798 | Eli Lilly & Co.___BNY-532457108 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000015798 | Visa, Inc.__Class A_BNY-92826C839 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000015798 | Amazon.com, Inc.___BNY-023135106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.00%
|
| C000015798 | Tesla, Inc.___BNY-88160R101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.90%
|
| C000015798 | Meta Platforms, Inc.__Class A_BNY-30303M102 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000015798 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
48.80%
|
| C000015798 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.90%
|
| C000015798 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.20%
|
| C000015798 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.90%
|
| C000015798 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.20%
|
| C000015798 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.90%
|
| C000015798 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000015798 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000015798 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.50%
|
| C000015798 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.50%
|
| C000015798 | SectorCode_Preferred Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000015798 | SectorCode1_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000015798 | Unaffiliated Investment Companies |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.10%
|
| C000015798 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.20%)
|
| C000015798 | Other_Portfolio |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.20%)
|
| C000015798 | Investment_SecurityTypeCode_Mutual Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.10%
|
| C000015798 | Investment_SecurityTypeCode_Preferred Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000015798 | Investment_SecurityTypeCode_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
99.00%
|
| C000015799 | NVIDIA Corp.___BNY-67066G104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
14.10%
|
| C000015799 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.70%
|
| C000015799 | Microsoft Corp.___BNY-594918104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
11.20%
|
| C000015799 | Apple, Inc.___BNY-037833100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.00%
|
| C000015799 | Broadcom, Inc.___BNY-11135F101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.20%
|
| C000015799 | Eli Lilly & Co.___BNY-532457108 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000015799 | Visa, Inc.__Class A_BNY-92826C839 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000015799 | Amazon.com, Inc.___BNY-023135106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.00%
|
| C000015799 | Tesla, Inc.___BNY-88160R101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.90%
|
| C000015799 | Meta Platforms, Inc.__Class A_BNY-30303M102 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000015799 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
48.80%
|
| C000015799 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.90%
|
| C000015799 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.20%
|
| C000015799 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.90%
|
| C000015799 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.20%
|
| C000015799 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.90%
|
| C000015799 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000015799 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000015799 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.50%
|
| C000015799 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.50%
|
| C000015799 | SectorCode_Preferred Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000015799 | SectorCode1_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000015799 | Unaffiliated Investment Companies |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.10%
|
| C000015799 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.20%)
|
| C000015799 | Other_Portfolio |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.20%)
|
| C000015799 | Investment_SecurityTypeCode_Mutual Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.10%
|
| C000015799 | Investment_SecurityTypeCode_Preferred Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000015799 | Investment_SecurityTypeCode_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
99.00%
|
| C000163203 | NVIDIA Corp.___BNY-67066G104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
14.10%
|
| C000163203 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.70%
|
| C000163203 | Microsoft Corp.___BNY-594918104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
11.20%
|
| C000163203 | Apple, Inc.___BNY-037833100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.00%
|
| C000163203 | Broadcom, Inc.___BNY-11135F101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.20%
|
| C000163203 | Eli Lilly & Co.___BNY-532457108 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000163203 | Visa, Inc.__Class A_BNY-92826C839 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000163203 | Amazon.com, Inc.___BNY-023135106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.00%
|
| C000163203 | Tesla, Inc.___BNY-88160R101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.90%
|
| C000163203 | Meta Platforms, Inc.__Class A_BNY-30303M102 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000163203 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
48.80%
|
| C000163203 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.90%
|
| C000163203 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.20%
|
| C000163203 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.90%
|
| C000163203 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.20%
|
| C000163203 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.90%
|
| C000163203 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000163203 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000163203 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.50%
|
| C000163203 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.50%
|
| C000163203 | SectorCode_Preferred Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000163203 | SectorCode1_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000163203 | Unaffiliated Investment Companies |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.10%
|
| C000163203 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.20%)
|
| C000163203 | Other_Portfolio |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.20%)
|
| C000163203 | Investment_SecurityTypeCode_Mutual Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.10%
|
| C000163203 | Investment_SecurityTypeCode_Preferred Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000163203 | Investment_SecurityTypeCode_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
99.00%
|
| C000015800 | NVIDIA Corp.___BNY-67066G104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
14.10%
|
| C000015800 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.70%
|
| C000015800 | Microsoft Corp.___BNY-594918104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
11.20%
|
| C000015800 | Apple, Inc.___BNY-037833100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.00%
|
| C000015800 | Broadcom, Inc.___BNY-11135F101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.20%
|
| C000015800 | Eli Lilly & Co.___BNY-532457108 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000015800 | Visa, Inc.__Class A_BNY-92826C839 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000015800 | Amazon.com, Inc.___BNY-023135106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.00%
|
| C000015800 | Tesla, Inc.___BNY-88160R101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.90%
|
| C000015800 | Meta Platforms, Inc.__Class A_BNY-30303M102 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000015800 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
48.80%
|
| C000015800 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.90%
|
| C000015800 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.20%
|
| C000015800 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.90%
|
| C000015800 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.20%
|
| C000015800 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.90%
|
| C000015800 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000015800 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000015800 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.50%
|
| C000015800 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.50%
|
| C000015800 | SectorCode_Preferred Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000015800 | SectorCode1_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000015800 | Unaffiliated Investment Companies |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.10%
|
| C000015800 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.20%)
|
| C000015800 | Other_Portfolio |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.20%)
|
| C000015800 | Investment_SecurityTypeCode_Mutual Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.10%
|
| C000015800 | Investment_SecurityTypeCode_Preferred Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000015800 | Investment_SecurityTypeCode_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
99.00%
|
| C000015801 | NVIDIA Corp.___BNY-67066G104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
14.10%
|
| C000015801 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.70%
|
| C000015801 | Microsoft Corp.___BNY-594918104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
11.20%
|
| C000015801 | Apple, Inc.___BNY-037833100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.00%
|
| C000015801 | Broadcom, Inc.___BNY-11135F101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.20%
|
| C000015801 | Eli Lilly & Co.___BNY-532457108 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000015801 | Visa, Inc.__Class A_BNY-92826C839 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000015801 | Amazon.com, Inc.___BNY-023135106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.00%
|
| C000015801 | Tesla, Inc.___BNY-88160R101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.90%
|
| C000015801 | Meta Platforms, Inc.__Class A_BNY-30303M102 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000015801 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
48.80%
|
| C000015801 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.90%
|
| C000015801 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.20%
|
| C000015801 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.90%
|
| C000015801 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.20%
|
| C000015801 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.90%
|
| C000015801 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000015801 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000015801 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.50%
|
| C000015801 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.50%
|
| C000015801 | SectorCode_Preferred Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000015801 | SectorCode1_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000015801 | Unaffiliated Investment Companies |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.10%
|
| C000015801 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.20%)
|
| C000015801 | Other_Portfolio |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.20%)
|
| C000015801 | Investment_SecurityTypeCode_Mutual Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.10%
|
| C000015801 | Investment_SecurityTypeCode_Preferred Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000015801 | Investment_SecurityTypeCode_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
99.00%
|
| C000034673 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.30%
|
| C000034673 | Amazon.com, Inc.___BNY-023135106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000034673 | Chevron Corp.___BNY-166764100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.30%
|
| C000034673 | Bank of America Corp.___BNY-060505104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.10%
|
| C000034673 | Wells Fargo & Co.___BNY-949746101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.60%
|
| C000034673 | Welltower, Inc.___BNY-95040Q104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.40%
|
| C000034673 | Duke Energy Corp.___BNY-26441C204 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000034673 | Intercontinental Exchange, Inc.___BNY-45866F104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000034673 | Coca-Cola Co.___BNY-191216100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000034673 | American International Group, Inc.___BNY-026874784 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000034673 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.60%
|
| C000034673 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.20%
|
| C000034673 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.30%
|
| C000034673 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.30%
|
| C000034673 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.60%
|
| C000034673 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
21.40%
|
| C000034673 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.90%
|
| C000034673 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.60%
|
| C000034673 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.30%
|
| C000034673 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.10%
|
| C000034673 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.20%)
|
| C000034673 | Utilities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.00%
|
| C000034673 | Short-Term Investments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000034673 | Other_Portfolio |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.20%)
|
| C000034673 | Investment_SecurityTypeCode_Mutual Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000034673 | Investment_SecurityTypeCode_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
99.30%
|
| C000034674 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.30%
|
| C000034674 | Amazon.com, Inc.___BNY-023135106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000034674 | Chevron Corp.___BNY-166764100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.30%
|
| C000034674 | Bank of America Corp.___BNY-060505104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.10%
|
| C000034674 | Wells Fargo & Co.___BNY-949746101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.60%
|
| C000034674 | Welltower, Inc.___BNY-95040Q104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.40%
|
| C000034674 | Duke Energy Corp.___BNY-26441C204 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000034674 | Intercontinental Exchange, Inc.___BNY-45866F104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000034674 | Coca-Cola Co.___BNY-191216100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000034674 | American International Group, Inc.___BNY-026874784 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000034674 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.60%
|
| C000034674 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.20%
|
| C000034674 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.30%
|
| C000034674 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.30%
|
| C000034674 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.60%
|
| C000034674 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
21.40%
|
| C000034674 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.90%
|
| C000034674 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.60%
|
| C000034674 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.30%
|
| C000034674 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.10%
|
| C000034674 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.20%)
|
| C000034674 | Utilities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.00%
|
| C000034674 | Short-Term Investments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000034674 | Other_Portfolio |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.20%)
|
| C000034674 | Investment_SecurityTypeCode_Mutual Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000034674 | Investment_SecurityTypeCode_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
99.30%
|
| C000163204 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.30%
|
| C000163204 | Amazon.com, Inc.___BNY-023135106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000163204 | Chevron Corp.___BNY-166764100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.30%
|
| C000163204 | Bank of America Corp.___BNY-060505104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.10%
|
| C000163204 | Wells Fargo & Co.___BNY-949746101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.60%
|
| C000163204 | Welltower, Inc.___BNY-95040Q104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.40%
|
| C000163204 | Duke Energy Corp.___BNY-26441C204 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000163204 | Intercontinental Exchange, Inc.___BNY-45866F104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000163204 | Coca-Cola Co.___BNY-191216100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000163204 | American International Group, Inc.___BNY-026874784 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000163204 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.60%
|
| C000163204 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.20%
|
| C000163204 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.30%
|
| C000163204 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.30%
|
| C000163204 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.60%
|
| C000163204 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
21.40%
|
| C000163204 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.90%
|
| C000163204 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.60%
|
| C000163204 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.30%
|
| C000163204 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.10%
|
| C000163204 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.20%)
|
| C000163204 | Utilities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.00%
|
| C000163204 | Short-Term Investments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000163204 | Other_Portfolio |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.20%)
|
| C000163204 | Investment_SecurityTypeCode_Mutual Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000163204 | Investment_SecurityTypeCode_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
99.30%
|
| C000034675 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.30%
|
| C000034675 | Amazon.com, Inc.___BNY-023135106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000034675 | Chevron Corp.___BNY-166764100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.30%
|
| C000034675 | Bank of America Corp.___BNY-060505104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.10%
|
| C000034675 | Wells Fargo & Co.___BNY-949746101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.60%
|
| C000034675 | Welltower, Inc.___BNY-95040Q104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.40%
|
| C000034675 | Duke Energy Corp.___BNY-26441C204 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000034675 | Intercontinental Exchange, Inc.___BNY-45866F104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000034675 | Coca-Cola Co.___BNY-191216100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000034675 | American International Group, Inc.___BNY-026874784 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000034675 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.60%
|
| C000034675 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.20%
|
| C000034675 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.30%
|
| C000034675 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.30%
|
| C000034675 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.60%
|
| C000034675 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
21.40%
|
| C000034675 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.90%
|
| C000034675 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.60%
|
| C000034675 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.30%
|
| C000034675 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.10%
|
| C000034675 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.20%)
|
| C000034675 | Utilities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.00%
|
| C000034675 | Short-Term Investments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000034675 | Other_Portfolio |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.20%)
|
| C000034675 | Investment_SecurityTypeCode_Mutual Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000034675 | Investment_SecurityTypeCode_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
99.30%
|
| C000034676 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.30%
|
| C000034676 | Amazon.com, Inc.___BNY-023135106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000034676 | Chevron Corp.___BNY-166764100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.30%
|
| C000034676 | Bank of America Corp.___BNY-060505104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.10%
|
| C000034676 | Wells Fargo & Co.___BNY-949746101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.60%
|
| C000034676 | Welltower, Inc.___BNY-95040Q104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.40%
|
| C000034676 | Duke Energy Corp.___BNY-26441C204 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000034676 | Intercontinental Exchange, Inc.___BNY-45866F104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000034676 | Coca-Cola Co.___BNY-191216100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000034676 | American International Group, Inc.___BNY-026874784 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000034676 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.60%
|
| C000034676 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.20%
|
| C000034676 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.30%
|
| C000034676 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.30%
|
| C000034676 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.60%
|
| C000034676 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
21.40%
|
| C000034676 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.90%
|
| C000034676 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.60%
|
| C000034676 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.30%
|
| C000034676 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.10%
|
| C000034676 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.20%)
|
| C000034676 | Utilities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.00%
|
| C000034676 | Short-Term Investments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000034676 | Other_Portfolio |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.20%)
|
| C000034676 | Investment_SecurityTypeCode_Mutual Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000034676 | Investment_SecurityTypeCode_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
99.30%
|
| C000015349 | Freddie Mac REMIC Trust_5.324_Class DF_BNY-3137HCTZ5 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000015349 | Fannie Mae REMIC Trust_5.224_Class FD_BNY-3136BRMG9 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.20%
|
| C000015349 | Fannie Mae REMIC Trust_5.124_Class FH_BNY-3136BUQL7 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.30%
|
| C000015349 | United States Treasury Notes_4.0__BNY-91282CJT9 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000015349 | United States Treasury Notes_3.375__BNY-91282CPS4 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.30%
|
| C000015349 | Fannie Mae REMIC Trust_5.124_Class DF_BNY-3136BUAR1 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.00%
|
| C000015349 | Ginnie Mae_4.564_Class FC_BNY-38380QGU0 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000015349 | Freddie Mac REMIC Trust_5.274_Class FG_BNY-3137HJPK7 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.70%
|
| C000015349 | United States Treasury Notes_3.875__BNY-91282CPQ8 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.70%
|
| C000015349 | BXSC Commercial Mortgage Trust_5.843_Class B_BNY-05610BAG1 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.60%
|
| C000015349 | Other_InvestmentAllocation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.10%
|
| C000015349 | Corporate Bonds/Notes |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
42.60%
|
| C000015349 | U.S. Treasury Obligations |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.90%
|
| C000015349 | Collateralized Mortgage Obligations |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
11.60%
|
| C000015349 | Commercial Mortgage-Backed Securities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.80%
|
| C000015349 | Asset-Backed Securities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
18.00%
|
| C000015349 | U.S. Government Agency Obligations |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000015350 | Freddie Mac REMIC Trust_5.324_Class DF_BNY-3137HCTZ5 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000015350 | Fannie Mae REMIC Trust_5.224_Class FD_BNY-3136BRMG9 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.20%
|
| C000015350 | Fannie Mae REMIC Trust_5.124_Class FH_BNY-3136BUQL7 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.30%
|
| C000015350 | United States Treasury Notes_4.0__BNY-91282CJT9 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000015350 | United States Treasury Notes_3.375__BNY-91282CPS4 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.30%
|
| C000015350 | Fannie Mae REMIC Trust_5.124_Class DF_BNY-3136BUAR1 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.00%
|
| C000015350 | Ginnie Mae_4.564_Class FC_BNY-38380QGU0 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000015350 | Freddie Mac REMIC Trust_5.274_Class FG_BNY-3137HJPK7 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.70%
|
| C000015350 | United States Treasury Notes_3.875__BNY-91282CPQ8 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.70%
|
| C000015350 | BXSC Commercial Mortgage Trust_5.843_Class B_BNY-05610BAG1 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.60%
|
| C000015350 | Other_InvestmentAllocation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.10%
|
| C000015350 | Corporate Bonds/Notes |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
42.60%
|
| C000015350 | U.S. Treasury Obligations |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.90%
|
| C000015350 | Collateralized Mortgage Obligations |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
11.60%
|
| C000015350 | Commercial Mortgage-Backed Securities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.80%
|
| C000015350 | Asset-Backed Securities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
18.00%
|
| C000015350 | U.S. Government Agency Obligations |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000015351 | Freddie Mac REMIC Trust_5.324_Class DF_BNY-3137HCTZ5 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000015351 | Fannie Mae REMIC Trust_5.224_Class FD_BNY-3136BRMG9 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.20%
|
| C000015351 | Fannie Mae REMIC Trust_5.124_Class FH_BNY-3136BUQL7 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.30%
|
| C000015351 | United States Treasury Notes_4.0__BNY-91282CJT9 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000015351 | United States Treasury Notes_3.375__BNY-91282CPS4 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.30%
|
| C000015351 | Fannie Mae REMIC Trust_5.124_Class DF_BNY-3136BUAR1 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.00%
|
| C000015351 | Ginnie Mae_4.564_Class FC_BNY-38380QGU0 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000015351 | Freddie Mac REMIC Trust_5.274_Class FG_BNY-3137HJPK7 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.70%
|
| C000015351 | United States Treasury Notes_3.875__BNY-91282CPQ8 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.70%
|
| C000015351 | BXSC Commercial Mortgage Trust_5.843_Class B_BNY-05610BAG1 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.60%
|
| C000015351 | Other_InvestmentAllocation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.10%
|
| C000015351 | Corporate Bonds/Notes |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
42.60%
|
| C000015351 | U.S. Treasury Obligations |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.90%
|
| C000015351 | Collateralized Mortgage Obligations |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
11.60%
|
| C000015351 | Commercial Mortgage-Backed Securities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.80%
|
| C000015351 | Asset-Backed Securities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
18.00%
|
| C000015351 | U.S. Government Agency Obligations |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000079016 | Voya Multi-Manager Emerging Markets Equity Fund__Class I_BNY-92913W680 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000079016 | Voya International Index Portfolio__Class I_BNY-92913T554 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.10%
|
| C000079016 | Voya U.S. Bond Index Portfolio__Class I_BNY-92913T547 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
46.50%
|
| C000079016 | Voya U.S. Stock Index Portfolio__Class I_BNY-92914G734 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
18.60%
|
| C000079016 | Voya Short Duration Bond Fund__Class R6_BNY-92913L551 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.90%
|
| C000079016 | Vanguard Short-Term Bond ETF___BNY-921937827 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.90%
|
| C000079016 | Voya High Yield Bond Fund__Class R6_BNY-92913L528 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.00%
|
| C000079016 | Schwab U.S. TIPS ETF___BNY-808524870 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.90%
|
| C000079016 | Voya Russell TM Mid Cap Index Portfolio__Class I_BNY-92913T513 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000079016 | Vanguard Long-Term Treasury ETF___BNY-92206C847 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000079016 | Other_Asset |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000079016 | Fixed Income |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
74.10%
|
| C000079016 | Equity |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
25.80%
|
| C000079016 | US Large Blend |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
18.00%
|
| C000079016 | US Mid Cap Blend |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000079016 | International |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.00%
|
| C000079016 | Emerging Markets |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000079016 | Core Fixed Income |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
47.00%
|
| C000079016 | High Yield |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.00%
|
| C000079016 | TIPS |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.00%
|
| C000079016 | Short Duration |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
19.00%
|
| C000079016 | Long Govt Bonds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000079017 | Voya Multi-Manager Emerging Markets Equity Fund__Class I_BNY-92913W680 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000079017 | Voya International Index Portfolio__Class I_BNY-92913T554 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.10%
|
| C000079017 | Voya U.S. Bond Index Portfolio__Class I_BNY-92913T547 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
46.50%
|
| C000079017 | Voya U.S. Stock Index Portfolio__Class I_BNY-92914G734 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
18.60%
|
| C000079017 | Voya Short Duration Bond Fund__Class R6_BNY-92913L551 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.90%
|
| C000079017 | Vanguard Short-Term Bond ETF___BNY-921937827 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.90%
|
| C000079017 | Voya High Yield Bond Fund__Class R6_BNY-92913L528 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.00%
|
| C000079017 | Schwab U.S. TIPS ETF___BNY-808524870 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.90%
|
| C000079017 | Voya Russell TM Mid Cap Index Portfolio__Class I_BNY-92913T513 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000079017 | Vanguard Long-Term Treasury ETF___BNY-92206C847 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000079017 | Other_Asset |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000079017 | Fixed Income |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
74.10%
|
| C000079017 | Equity |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
25.80%
|
| C000079017 | US Large Blend |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
18.00%
|
| C000079017 | US Mid Cap Blend |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000079017 | International |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.00%
|
| C000079017 | Emerging Markets |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000079017 | Core Fixed Income |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
47.00%
|
| C000079017 | High Yield |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.00%
|
| C000079017 | TIPS |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.00%
|
| C000079017 | Short Duration |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
19.00%
|
| C000079017 | Long Govt Bonds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000079018 | Voya Multi-Manager Emerging Markets Equity Fund__Class I_BNY-92913W680 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000079018 | Voya International Index Portfolio__Class I_BNY-92913T554 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.50%
|
| C000079018 | Voya U.S. Bond Index Portfolio__Class I_BNY-92913T547 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.00%
|
| C000079018 | Voya U.S. Stock Index Portfolio__Class I_BNY-92914G734 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
56.90%
|
| C000079018 | Voya Short Duration Bond Fund__Class R6_BNY-92913L551 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.80%
|
| C000079018 | Voya High Yield Bond Fund__Class R6_BNY-92913L528 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000079018 | Voya Russell TM Mid Cap Index Portfolio__Class I_BNY-92913T513 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
11.60%
|
| C000079018 | Voya Russell TM Small Cap Index Portfolio__Class I_BNY-92913T521 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000079018 | Other_Asset |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.10%)
|
| C000079018 | Fixed Income |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
18.80%
|
| C000079018 | Equity |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
81.30%
|
| C000079018 | US Large Blend |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
56.50%
|
| C000079018 | US Mid Cap Blend |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.00%
|
| C000079018 | US Small Cap |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000079018 | International |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.50%
|
| C000079018 | Emerging Markets |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000079018 | Core Fixed Income |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.00%
|
| C000079018 | High Yield |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000079018 | Short Duration |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.00%
|
| C000079019 | Voya Multi-Manager Emerging Markets Equity Fund__Class I_BNY-92913W680 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000079019 | Voya International Index Portfolio__Class I_BNY-92913T554 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.50%
|
| C000079019 | Voya U.S. Bond Index Portfolio__Class I_BNY-92913T547 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.00%
|
| C000079019 | Voya U.S. Stock Index Portfolio__Class I_BNY-92914G734 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
56.90%
|
| C000079019 | Voya Short Duration Bond Fund__Class R6_BNY-92913L551 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.80%
|
| C000079019 | Voya High Yield Bond Fund__Class R6_BNY-92913L528 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000079019 | Voya Russell TM Mid Cap Index Portfolio__Class I_BNY-92913T513 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
11.60%
|
| C000079019 | Voya Russell TM Small Cap Index Portfolio__Class I_BNY-92913T521 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000079019 | Other_Asset |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.10%)
|
| C000079019 | Fixed Income |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
18.80%
|
| C000079019 | Equity |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
81.30%
|
| C000079019 | US Large Blend |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
56.50%
|
| C000079019 | US Mid Cap Blend |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.00%
|
| C000079019 | US Small Cap |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000079019 | International |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.50%
|
| C000079019 | Emerging Markets |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000079019 | Core Fixed Income |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.00%
|
| C000079019 | High Yield |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000079019 | Short Duration |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.00%
|
| C000079020 | Voya Multi-Manager Emerging Markets Equity Fund__Class I_BNY-92913W680 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000079020 | Voya International Index Portfolio__Class I_BNY-92913T554 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.50%
|
| C000079020 | Voya U.S. Bond Index Portfolio__Class I_BNY-92913T547 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
24.80%
|
| C000079020 | Voya U.S. Stock Index Portfolio__Class I_BNY-92914G734 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
52.90%
|
| C000079020 | Voya Short Duration Bond Fund__Class R6_BNY-92913L551 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.80%
|
| C000079020 | Voya High Yield Bond Fund__Class R6_BNY-92913L528 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000079020 | Voya Russell TM Mid Cap Index Portfolio__Class I_BNY-92913T513 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.80%
|
| C000079020 | Other_Asset |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000079020 | Fixed Income |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
34.60%
|
| C000079020 | Equity |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
65.40%
|
| C000079020 | US Large Blend |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
52.50%
|
| C000079020 | US Mid Cap Blend |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.00%
|
| C000079020 | International |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.50%
|
| C000079020 | Emerging Markets |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000079020 | Core Fixed Income |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
25.00%
|
| C000079020 | High Yield |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000079020 | Short Duration |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.00%
|
| C000079021 | Voya Multi-Manager Emerging Markets Equity Fund__Class I_BNY-92913W680 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000079021 | Voya International Index Portfolio__Class I_BNY-92913T554 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.50%
|
| C000079021 | Voya U.S. Bond Index Portfolio__Class I_BNY-92913T547 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
24.80%
|
| C000079021 | Voya U.S. Stock Index Portfolio__Class I_BNY-92914G734 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
52.90%
|
| C000079021 | Voya Short Duration Bond Fund__Class R6_BNY-92913L551 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.80%
|
| C000079021 | Voya High Yield Bond Fund__Class R6_BNY-92913L528 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000079021 | Voya Russell TM Mid Cap Index Portfolio__Class I_BNY-92913T513 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.80%
|
| C000079021 | Other_Asset |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000079021 | Fixed Income |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
34.60%
|
| C000079021 | Equity |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
65.40%
|
| C000079021 | US Large Blend |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
52.50%
|
| C000079021 | US Mid Cap Blend |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.00%
|
| C000079021 | International |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.50%
|
| C000079021 | Emerging Markets |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000079021 | Core Fixed Income |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
25.00%
|
| C000079021 | High Yield |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000079021 | Short Duration |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.00%
|
| C000079022 | Voya Multi-Manager Emerging Markets Equity Fund__Class I_BNY-92913W680 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000079022 | Voya International Index Portfolio__Class I_BNY-92913T554 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.10%
|
| C000079022 | Voya U.S. Bond Index Portfolio__Class I_BNY-92913T547 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
37.40%
|
| C000079022 | Voya U.S. Stock Index Portfolio__Class I_BNY-92914G734 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
33.80%
|
| C000079022 | Voya Short Duration Bond Fund__Class R6_BNY-92913L551 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
11.70%
|
| C000079022 | Voya High Yield Bond Fund__Class R6_BNY-92913L528 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.00%
|
| C000079022 | Schwab U.S. TIPS ETF___BNY-808524870 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000079022 | Voya Russell TM Mid Cap Index Portfolio__Class I_BNY-92913T513 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.90%
|
| C000079022 | Other_Asset |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000079022 | Fixed Income |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
55.00%
|
| C000079022 | Equity |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
45.00%
|
| C000079022 | US Large Blend |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
33.00%
|
| C000079022 | US Mid Cap Blend |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.00%
|
| C000079022 | International |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.00%
|
| C000079022 | Emerging Markets |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000079022 | Core Fixed Income |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
38.00%
|
| C000079022 | High Yield |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.00%
|
| C000079022 | TIPS |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000079022 | Short Duration |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.00%
|
| C000079023 | Voya Multi-Manager Emerging Markets Equity Fund__Class I_BNY-92913W680 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000079023 | Voya International Index Portfolio__Class I_BNY-92913T554 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.10%
|
| C000079023 | Voya U.S. Bond Index Portfolio__Class I_BNY-92913T547 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
37.40%
|
| C000079023 | Voya U.S. Stock Index Portfolio__Class I_BNY-92914G734 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
33.80%
|
| C000079023 | Voya Short Duration Bond Fund__Class R6_BNY-92913L551 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
11.70%
|
| C000079023 | Voya High Yield Bond Fund__Class R6_BNY-92913L528 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.00%
|
| C000079023 | Schwab U.S. TIPS ETF___BNY-808524870 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000079023 | Voya Russell TM Mid Cap Index Portfolio__Class I_BNY-92913T513 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.90%
|
| C000079023 | Other_Asset |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000079023 | Fixed Income |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
55.00%
|
| C000079023 | Equity |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
45.00%
|
| C000079023 | US Large Blend |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
33.00%
|
| C000079023 | US Mid Cap Blend |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.00%
|
| C000079023 | International |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.00%
|
| C000079023 | Emerging Markets |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000079023 | Core Fixed Income |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
38.00%
|
| C000079023 | High Yield |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.00%
|
| C000079023 | TIPS |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000079023 | Short Duration |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.00%
|
| C000075972 | NVIDIA Corp.___BNY-67066G104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.70%
|
| C000075972 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.10%
|
| C000075972 | Microsoft Corp.___BNY-594918104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.10%
|
| C000075972 | Apple, Inc.___BNY-037833100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.80%
|
| C000075972 | Broadcom, Inc.___BNY-11135F101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.80%
|
| C000075972 | Amazon.com, Inc.___BNY-023135106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.80%
|
| C000075972 | Tesla, Inc.___BNY-88160R101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000075972 | Meta Platforms, Inc.__Class A_BNY-30303M102 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.40%
|
| C000075972 | Alphabet, Inc.__Class C_BNY-02079K107 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000075972 | Berkshire Hathaway, Inc.__Class B_BNY-084670702 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000075972 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
34.00%
|
| C000075972 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.40%
|
| C000075972 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.30%
|
| C000075972 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.50%
|
| C000075972 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.10%
|
| C000075972 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.20%
|
| C000075972 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.70%
|
| C000075972 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000075972 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000075972 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.80%
|
| C000075972 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.20%)
|
| C000075972 | Utilities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000075972 | Short-Term Investments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.40%
|
| C000075972 | Other_Portfolio |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.20%)
|
| C000075972 | Investment_SecurityTypeCode_Mutual Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.40%
|
| C000075972 | Investment_SecurityTypeCode_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
98.80%
|
| C000015822 | NVIDIA Corp.___BNY-67066G104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.70%
|
| C000015822 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.10%
|
| C000015822 | Microsoft Corp.___BNY-594918104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.10%
|
| C000015822 | Apple, Inc.___BNY-037833100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.80%
|
| C000015822 | Broadcom, Inc.___BNY-11135F101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.80%
|
| C000015822 | Amazon.com, Inc.___BNY-023135106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.80%
|
| C000015822 | Tesla, Inc.___BNY-88160R101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000015822 | Meta Platforms, Inc.__Class A_BNY-30303M102 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.40%
|
| C000015822 | Alphabet, Inc.__Class C_BNY-02079K107 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000015822 | Berkshire Hathaway, Inc.__Class B_BNY-084670702 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000015822 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
34.00%
|
| C000015822 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.40%
|
| C000015822 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.30%
|
| C000015822 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.50%
|
| C000015822 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.10%
|
| C000015822 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.20%
|
| C000015822 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.70%
|
| C000015822 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000015822 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000015822 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.80%
|
| C000015822 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.20%)
|
| C000015822 | Utilities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000015822 | Short-Term Investments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.40%
|
| C000015822 | Other_Portfolio |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.20%)
|
| C000015822 | Investment_SecurityTypeCode_Mutual Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.40%
|
| C000015822 | Investment_SecurityTypeCode_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
98.80%
|
| C000047554 | NVIDIA Corp.___BNY-67066G104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.70%
|
| C000047554 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.10%
|
| C000047554 | Microsoft Corp.___BNY-594918104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.10%
|
| C000047554 | Apple, Inc.___BNY-037833100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.80%
|
| C000047554 | Broadcom, Inc.___BNY-11135F101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.80%
|
| C000047554 | Amazon.com, Inc.___BNY-023135106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.80%
|
| C000047554 | Tesla, Inc.___BNY-88160R101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000047554 | Meta Platforms, Inc.__Class A_BNY-30303M102 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.40%
|
| C000047554 | Alphabet, Inc.__Class C_BNY-02079K107 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000047554 | Berkshire Hathaway, Inc.__Class B_BNY-084670702 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000047554 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
34.00%
|
| C000047554 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.40%
|
| C000047554 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.30%
|
| C000047554 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.50%
|
| C000047554 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.10%
|
| C000047554 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.20%
|
| C000047554 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.70%
|
| C000047554 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000047554 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000047554 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.80%
|
| C000047554 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.20%)
|
| C000047554 | Utilities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000047554 | Short-Term Investments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.40%
|
| C000047554 | Other_Portfolio |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.20%)
|
| C000047554 | Investment_SecurityTypeCode_Mutual Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.40%
|
| C000047554 | Investment_SecurityTypeCode_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
98.80%
|
| C000053098 | NVIDIA Corp.___BNY-67066G104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.70%
|
| C000053098 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.10%
|
| C000053098 | Microsoft Corp.___BNY-594918104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.10%
|
| C000053098 | Apple, Inc.___BNY-037833100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.80%
|
| C000053098 | Broadcom, Inc.___BNY-11135F101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.80%
|
| C000053098 | Amazon.com, Inc.___BNY-023135106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.80%
|
| C000053098 | Tesla, Inc.___BNY-88160R101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000053098 | Meta Platforms, Inc.__Class A_BNY-30303M102 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.40%
|
| C000053098 | Alphabet, Inc.__Class C_BNY-02079K107 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000053098 | Berkshire Hathaway, Inc.__Class B_BNY-084670702 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000053098 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
34.00%
|
| C000053098 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.40%
|
| C000053098 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.30%
|
| C000053098 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.50%
|
| C000053098 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.10%
|
| C000053098 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.20%
|
| C000053098 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.70%
|
| C000053098 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000053098 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000053098 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.80%
|
| C000053098 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.20%)
|
| C000053098 | Utilities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000053098 | Short-Term Investments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.40%
|
| C000053098 | Other_Portfolio |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(0.20%)
|
| C000053098 | Investment_SecurityTypeCode_Mutual Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.40%
|
| C000053098 | Investment_SecurityTypeCode_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
98.80%
|
| C000240437 | NVIDIA Corp.___BNY-67066G104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.70%
|
| C000240437 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.10%
|
| C000240437 | Microsoft Corp.___BNY-594918104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.10%
|
| C000240437 | Apple, Inc.___BNY-037833100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.80%
|
| C000240437 | Broadcom, Inc.___BNY-11135F101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.80%
|
| C000240437 | Amazon.com, Inc.___BNY-023135106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.80%
|
| C000240437 | Tesla, Inc.___BNY-88160R101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000240437 | Meta Platforms, Inc.__Class A_BNY-30303M102 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.40%
|
| C000240437 | Alphabet, Inc.__Class C_BNY-02079K107 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000240437 | Berkshire Hathaway, Inc.__Class B_BNY-084670702 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000240437 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
34.10%
|
| C000240437 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.50%
|
| C000240437 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.30%
|
| C000240437 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.50%
|
| C000240437 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.10%
|
| C000240437 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.20%
|
| C000240437 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.70%
|
| C000240437 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000240437 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000240437 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.80%
|
| C000240437 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000240437 | Utilities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000240437 | Short-Term Investments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000240437 | Other_Portfolio |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000240437 | Investment_SecurityTypeCode_Mutual Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000240437 | Investment_SecurityTypeCode_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
99.00%
|
| C000015417 | Welltower, Inc.___BNY-95040Q104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.90%
|
| C000015417 | Equinix, Inc.___BNY-29444U700 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.40%
|
| C000015417 | Simon Property Group, Inc.___BNY-828806109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.40%
|
| C000015417 | VICI Properties, Inc.___BNY-925652109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.60%
|
| C000015417 | Public Storage___BNY-74460D109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.80%
|
| C000015417 | Mitsui Fudosan Co. Ltd.___BNY-6597603 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.60%
|
| C000015417 | Prologis, Inc.___BNY-74340W103 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.60%
|
| C000015417 | Ventas, Inc.___BNY-92276F100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.40%
|
| C000015417 | UDR, Inc.___BNY-902653104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.40%
|
| C000015417 | American Homes 4 Rent__Class A_BNY-02665T306 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000015417 | Other_Assets_CountryTable |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000015417 | Other_Country |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000015417 | Retail REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
18.10%
|
| C000015417 | Health Care REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
15.70%
|
| C000015417 | Industrial REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
15.20%
|
| C000015417 | Specialized REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.10%
|
| C000015417 | Diversified REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.70%
|
| C000015417 | Office REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.30%
|
| C000015417 | Diversified Real Estate Activities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.50%
|
| C000015417 | Self-Storage REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.20%
|
| C000015417 | Real Estate Operating Companies |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.80%
|
| C000015417 | Residential REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.30%
|
| C000015417 | Multi-Family Residential REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.80%
|
| C000015417 | REITs-Other |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.70%
|
| C000015417 | Other_REIT |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000015417 | Netherlands |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.70%
|
| C000015417 | Belgium |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000015417 | Germany |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.30%
|
| C000015417 | Hong Kong |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000015417 | Canada |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.10%
|
| C000015417 | France |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.00%
|
| C000015417 | Singapore |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.20%
|
| C000015417 | United Kingdom |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.30%
|
| C000015417 | Australia |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.90%
|
| C000015417 | Japan |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.50%
|
| C000015417 | United States |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
60.30%
|
| C000015418 | Welltower, Inc.___BNY-95040Q104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.90%
|
| C000015418 | Equinix, Inc.___BNY-29444U700 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.40%
|
| C000015418 | Simon Property Group, Inc.___BNY-828806109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.40%
|
| C000015418 | VICI Properties, Inc.___BNY-925652109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.60%
|
| C000015418 | Public Storage___BNY-74460D109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.80%
|
| C000015418 | Mitsui Fudosan Co. Ltd.___BNY-6597603 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.60%
|
| C000015418 | Prologis, Inc.___BNY-74340W103 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.60%
|
| C000015418 | Ventas, Inc.___BNY-92276F100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.40%
|
| C000015418 | UDR, Inc.___BNY-902653104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.40%
|
| C000015418 | American Homes 4 Rent__Class A_BNY-02665T306 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000015418 | Other_Assets_CountryTable |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000015418 | Other_Country |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000015418 | Retail REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
18.10%
|
| C000015418 | Health Care REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
15.70%
|
| C000015418 | Industrial REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
15.20%
|
| C000015418 | Specialized REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.10%
|
| C000015418 | Diversified REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.70%
|
| C000015418 | Office REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.30%
|
| C000015418 | Diversified Real Estate Activities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.50%
|
| C000015418 | Self-Storage REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.20%
|
| C000015418 | Real Estate Operating Companies |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.80%
|
| C000015418 | Residential REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.30%
|
| C000015418 | Multi-Family Residential REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.80%
|
| C000015418 | REITs-Other |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.70%
|
| C000015418 | Other_REIT |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000015418 | Netherlands |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.70%
|
| C000015418 | Belgium |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000015418 | Germany |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.30%
|
| C000015418 | Hong Kong |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000015418 | Canada |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.10%
|
| C000015418 | France |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.00%
|
| C000015418 | Singapore |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.20%
|
| C000015418 | United Kingdom |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.30%
|
| C000015418 | Australia |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.90%
|
| C000015418 | Japan |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.50%
|
| C000015418 | United States |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
60.30%
|
| C000015419 | Welltower, Inc.___BNY-95040Q104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.90%
|
| C000015419 | Equinix, Inc.___BNY-29444U700 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.40%
|
| C000015419 | Simon Property Group, Inc.___BNY-828806109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.40%
|
| C000015419 | VICI Properties, Inc.___BNY-925652109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.60%
|
| C000015419 | Public Storage___BNY-74460D109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.80%
|
| C000015419 | Mitsui Fudosan Co. Ltd.___BNY-6597603 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.60%
|
| C000015419 | Prologis, Inc.___BNY-74340W103 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.60%
|
| C000015419 | Ventas, Inc.___BNY-92276F100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.40%
|
| C000015419 | UDR, Inc.___BNY-902653104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.40%
|
| C000015419 | American Homes 4 Rent__Class A_BNY-02665T306 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000015419 | Other_Assets_CountryTable |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000015419 | Other_Country |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000015419 | Retail REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
18.10%
|
| C000015419 | Health Care REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
15.70%
|
| C000015419 | Industrial REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
15.20%
|
| C000015419 | Specialized REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.10%
|
| C000015419 | Diversified REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.70%
|
| C000015419 | Office REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.30%
|
| C000015419 | Diversified Real Estate Activities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.50%
|
| C000015419 | Self-Storage REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.20%
|
| C000015419 | Real Estate Operating Companies |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.80%
|
| C000015419 | Residential REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.30%
|
| C000015419 | Multi-Family Residential REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.80%
|
| C000015419 | REITs-Other |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.70%
|
| C000015419 | Other_REIT |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000015419 | Netherlands |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.70%
|
| C000015419 | Belgium |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000015419 | Germany |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.30%
|
| C000015419 | Hong Kong |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000015419 | Canada |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.10%
|
| C000015419 | France |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.00%
|
| C000015419 | Singapore |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.20%
|
| C000015419 | United Kingdom |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.30%
|
| C000015419 | Australia |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.90%
|
| C000015419 | Japan |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.50%
|
| C000015419 | United States |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
60.30%
|
| C000015420 | Welltower, Inc.___BNY-95040Q104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.90%
|
| C000015420 | Equinix, Inc.___BNY-29444U700 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.40%
|
| C000015420 | Simon Property Group, Inc.___BNY-828806109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.40%
|
| C000015420 | VICI Properties, Inc.___BNY-925652109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.60%
|
| C000015420 | Public Storage___BNY-74460D109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.80%
|
| C000015420 | Mitsui Fudosan Co. Ltd.___BNY-6597603 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.60%
|
| C000015420 | Prologis, Inc.___BNY-74340W103 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.60%
|
| C000015420 | Ventas, Inc.___BNY-92276F100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.40%
|
| C000015420 | UDR, Inc.___BNY-902653104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.40%
|
| C000015420 | American Homes 4 Rent__Class A_BNY-02665T306 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000015420 | Other_Assets_CountryTable |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000015420 | Other_Country |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000015420 | Retail REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
18.10%
|
| C000015420 | Health Care REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
15.70%
|
| C000015420 | Industrial REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
15.20%
|
| C000015420 | Specialized REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.10%
|
| C000015420 | Diversified REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.70%
|
| C000015420 | Office REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.30%
|
| C000015420 | Diversified Real Estate Activities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.50%
|
| C000015420 | Self-Storage REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.20%
|
| C000015420 | Real Estate Operating Companies |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.80%
|
| C000015420 | Residential REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.30%
|
| C000015420 | Multi-Family Residential REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.80%
|
| C000015420 | REITs-Other |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.70%
|
| C000015420 | Other_REIT |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000015420 | Netherlands |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.70%
|
| C000015420 | Belgium |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000015420 | Germany |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.30%
|
| C000015420 | Hong Kong |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000015420 | Canada |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.10%
|
| C000015420 | France |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.00%
|
| C000015420 | Singapore |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.20%
|
| C000015420 | United Kingdom |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.30%
|
| C000015420 | Australia |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.90%
|
| C000015420 | Japan |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.50%
|
| C000015420 | United States |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
60.30%
|
| C000015784 | Welltower, Inc.___BNY-95040Q104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.70%
|
| C000015784 | Equinix, Inc.___BNY-29444U700 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.80%
|
| C000015784 | Simon Property Group, Inc.___BNY-828806109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.60%
|
| C000015784 | VICI Properties, Inc.___BNY-925652109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.70%
|
| C000015784 | Prologis, Inc.___BNY-74340W103 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.80%
|
| C000015784 | UDR, Inc.___BNY-902653104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.80%
|
| C000015784 | CubeSmart___BNY-229663109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000015784 | Brixmor Property Group, Inc.___BNY-11120U105 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.40%
|
| C000015784 | Iron Mountain, Inc.___BNY-46284V101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.00%
|
| C000015784 | First Industrial Realty Trust, Inc.___BNY-32054K103 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.80%
|
| C000015784 | Retail REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
15.70%
|
| C000015784 | Health Care REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
20.90%
|
| C000015784 | Industrial REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
17.60%
|
| C000015784 | Specialized REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
16.00%
|
| C000015784 | Diversified REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000015784 | Office REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.80%
|
| C000015784 | Self-Storage REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.70%
|
| C000015784 | Residential REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.30%
|
| C000015784 | Multi-Family Residential REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000015784 | REITs-Other |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000015784 | Other_REIT |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.30%
|
| C000015784 | Other Specialized REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.00%
|
| C000015784 | Single-Family Residential REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.90%
|
| C000015785 | Welltower, Inc.___BNY-95040Q104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.70%
|
| C000015785 | Equinix, Inc.___BNY-29444U700 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.80%
|
| C000015785 | Simon Property Group, Inc.___BNY-828806109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.60%
|
| C000015785 | VICI Properties, Inc.___BNY-925652109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.70%
|
| C000015785 | Prologis, Inc.___BNY-74340W103 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.80%
|
| C000015785 | UDR, Inc.___BNY-902653104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.80%
|
| C000015785 | CubeSmart___BNY-229663109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000015785 | Brixmor Property Group, Inc.___BNY-11120U105 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.40%
|
| C000015785 | Iron Mountain, Inc.___BNY-46284V101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.00%
|
| C000015785 | First Industrial Realty Trust, Inc.___BNY-32054K103 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.80%
|
| C000015785 | Retail REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
15.70%
|
| C000015785 | Health Care REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
20.90%
|
| C000015785 | Industrial REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
17.60%
|
| C000015785 | Specialized REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
16.00%
|
| C000015785 | Diversified REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000015785 | Office REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.80%
|
| C000015785 | Self-Storage REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.70%
|
| C000015785 | Residential REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.30%
|
| C000015785 | Multi-Family Residential REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000015785 | REITs-Other |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000015785 | Other_REIT |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.30%
|
| C000015785 | Other Specialized REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.00%
|
| C000015785 | Single-Family Residential REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.90%
|
| C000015786 | Welltower, Inc.___BNY-95040Q104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.70%
|
| C000015786 | Equinix, Inc.___BNY-29444U700 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.80%
|
| C000015786 | Simon Property Group, Inc.___BNY-828806109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.60%
|
| C000015786 | VICI Properties, Inc.___BNY-925652109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.70%
|
| C000015786 | Prologis, Inc.___BNY-74340W103 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.80%
|
| C000015786 | UDR, Inc.___BNY-902653104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.80%
|
| C000015786 | CubeSmart___BNY-229663109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000015786 | Brixmor Property Group, Inc.___BNY-11120U105 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.40%
|
| C000015786 | Iron Mountain, Inc.___BNY-46284V101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.00%
|
| C000015786 | First Industrial Realty Trust, Inc.___BNY-32054K103 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.80%
|
| C000015786 | Retail REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
15.70%
|
| C000015786 | Health Care REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
20.90%
|
| C000015786 | Industrial REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
17.60%
|
| C000015786 | Specialized REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
16.00%
|
| C000015786 | Diversified REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000015786 | Office REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.80%
|
| C000015786 | Self-Storage REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.70%
|
| C000015786 | Residential REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.30%
|
| C000015786 | Multi-Family Residential REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000015786 | REITs-Other |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000015786 | Other_REIT |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.30%
|
| C000015786 | Other Specialized REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.00%
|
| C000015786 | Single-Family Residential REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.90%
|
| C000015787 | Welltower, Inc.___BNY-95040Q104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.70%
|
| C000015787 | Equinix, Inc.___BNY-29444U700 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.80%
|
| C000015787 | Simon Property Group, Inc.___BNY-828806109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.60%
|
| C000015787 | VICI Properties, Inc.___BNY-925652109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.70%
|
| C000015787 | Prologis, Inc.___BNY-74340W103 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.80%
|
| C000015787 | UDR, Inc.___BNY-902653104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.80%
|
| C000015787 | CubeSmart___BNY-229663109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000015787 | Brixmor Property Group, Inc.___BNY-11120U105 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.40%
|
| C000015787 | Iron Mountain, Inc.___BNY-46284V101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.00%
|
| C000015787 | First Industrial Realty Trust, Inc.___BNY-32054K103 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.80%
|
| C000015787 | Retail REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
15.70%
|
| C000015787 | Health Care REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
20.90%
|
| C000015787 | Industrial REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
17.60%
|
| C000015787 | Specialized REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
16.00%
|
| C000015787 | Diversified REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000015787 | Office REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.80%
|
| C000015787 | Self-Storage REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.70%
|
| C000015787 | Residential REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.30%
|
| C000015787 | Multi-Family Residential REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000015787 | REITs-Other |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000015787 | Other_REIT |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.30%
|
| C000015787 | Other Specialized REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.00%
|
| C000015787 | Single-Family Residential REITs |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.90%
|
| C000015780 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000015780 | Microsoft Corp.___BNY-594918104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000015780 | Amazon.com, Inc.___BNY-023135106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000015780 | Bank of America Corp.___BNY-060505104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.10%
|
| C000015780 | Wells Fargo & Co.___BNY-949746101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.30%
|
| C000015780 | Philip Morris International, Inc.___BNY-718172109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.40%
|
| C000015780 | Charles Schwab Corp.___BNY-808513105 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000015780 | Parker-Hannifin Corp.___BNY-701094104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000015780 | Walt Disney Co.___BNY-254687106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000015780 | Citizens Financial Group, Inc.___BNY-174610105 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000015780 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
14.70%
|
| C000015780 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.80%
|
| C000015780 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.60%
|
| C000015780 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
15.40%
|
| C000015780 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.40%
|
| C000015780 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
19.30%
|
| C000015780 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.10%
|
| C000015780 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000015780 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.70%
|
| C000015780 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.90%
|
| C000015780 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000015780 | Utilities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.20%
|
| C000015780 | Short-Term Investments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.70%
|
| C000015780 | Other_Portfolio |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000015780 | Investment_SecurityTypeCode_Mutual Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.70%
|
| C000015780 | Investment_SecurityTypeCode_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
97.30%
|
| C000015781 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000015781 | Microsoft Corp.___BNY-594918104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000015781 | Amazon.com, Inc.___BNY-023135106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000015781 | Bank of America Corp.___BNY-060505104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.10%
|
| C000015781 | Wells Fargo & Co.___BNY-949746101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.30%
|
| C000015781 | Philip Morris International, Inc.___BNY-718172109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.40%
|
| C000015781 | Charles Schwab Corp.___BNY-808513105 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000015781 | Parker-Hannifin Corp.___BNY-701094104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000015781 | Walt Disney Co.___BNY-254687106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000015781 | Citizens Financial Group, Inc.___BNY-174610105 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000015781 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
14.70%
|
| C000015781 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.80%
|
| C000015781 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.60%
|
| C000015781 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
15.40%
|
| C000015781 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.40%
|
| C000015781 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
19.30%
|
| C000015781 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.10%
|
| C000015781 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000015781 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.70%
|
| C000015781 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.90%
|
| C000015781 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000015781 | Utilities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.20%
|
| C000015781 | Short-Term Investments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.70%
|
| C000015781 | Other_Portfolio |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000015781 | Investment_SecurityTypeCode_Mutual Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.70%
|
| C000015781 | Investment_SecurityTypeCode_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
97.30%
|
| C000015782 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000015782 | Microsoft Corp.___BNY-594918104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000015782 | Amazon.com, Inc.___BNY-023135106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000015782 | Bank of America Corp.___BNY-060505104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.10%
|
| C000015782 | Wells Fargo & Co.___BNY-949746101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.30%
|
| C000015782 | Philip Morris International, Inc.___BNY-718172109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.40%
|
| C000015782 | Charles Schwab Corp.___BNY-808513105 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000015782 | Parker-Hannifin Corp.___BNY-701094104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000015782 | Walt Disney Co.___BNY-254687106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000015782 | Citizens Financial Group, Inc.___BNY-174610105 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000015782 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
14.70%
|
| C000015782 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.80%
|
| C000015782 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.60%
|
| C000015782 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
15.40%
|
| C000015782 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.40%
|
| C000015782 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
19.30%
|
| C000015782 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.10%
|
| C000015782 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000015782 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.70%
|
| C000015782 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.90%
|
| C000015782 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000015782 | Utilities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.20%
|
| C000015782 | Short-Term Investments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.70%
|
| C000015782 | Other_Portfolio |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000015782 | Investment_SecurityTypeCode_Mutual Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.70%
|
| C000015782 | Investment_SecurityTypeCode_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
97.30%
|
| C000015783 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000015783 | Microsoft Corp.___BNY-594918104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000015783 | Amazon.com, Inc.___BNY-023135106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000015783 | Bank of America Corp.___BNY-060505104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.10%
|
| C000015783 | Wells Fargo & Co.___BNY-949746101 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.30%
|
| C000015783 | Philip Morris International, Inc.___BNY-718172109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.40%
|
| C000015783 | Charles Schwab Corp.___BNY-808513105 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000015783 | Parker-Hannifin Corp.___BNY-701094104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000015783 | Walt Disney Co.___BNY-254687106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000015783 | Citizens Financial Group, Inc.___BNY-174610105 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000015783 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
14.70%
|
| C000015783 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.80%
|
| C000015783 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.60%
|
| C000015783 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
15.40%
|
| C000015783 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.40%
|
| C000015783 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
19.30%
|
| C000015783 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.10%
|
| C000015783 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000015783 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.70%
|
| C000015783 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.90%
|
| C000015783 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000015783 | Utilities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.20%
|
| C000015783 | Short-Term Investments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.70%
|
| C000015783 | Other_Portfolio |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000015783 | Investment_SecurityTypeCode_Mutual Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.70%
|
| C000015783 | Investment_SecurityTypeCode_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
97.30%
|
| C000015329 | Taiwan Semiconductor Manufacturing Co. Ltd.___BNY-6889106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.90%
|
| C000015329 | Tencent Holdings Ltd.___BNY-BMMV2K8 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.10%
|
| C000015329 | SK Hynix, Inc.___BNY-6450267 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.90%
|
| C000015329 | Samsung Electronics Co. Ltd.___BNY-6771720 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.30%
|
| C000015329 | Alibaba Group Holding Ltd.___BNY-01609W102 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.70%
|
| C000015329 | Banco Bilbao Vizcaya Argentaria SA___BNY-5501906 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000015329 | Hanwha Aerospace Co. Ltd.___BNY-6772671 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000015329 | NU Holdings Ltd./Cayman Islands__Class A_BNY-G6683N103 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000015329 | Coforge Ltd.___BNY-BTFGH15 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000015329 | AIA Group Ltd.___BNY-B4TX8S1 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000015329 | Other_Assets_CountryTable |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000015329 | Other_Country |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.40%
|
| C000015329 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
31.20%
|
| C000015329 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.10%
|
| C000015329 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
14.80%
|
| C000015329 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.30%
|
| C000015329 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
15.90%
|
| C000015329 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
19.00%
|
| C000015329 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000015329 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000015329 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.40%
|
| C000015329 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000015329 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(1.10%)
|
| C000015329 | Utilities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.40%
|
| C000015329 | Short-Term Investments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000015329 | Hong Kong |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.80%
|
| C000015329 | Singapore |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.70%
|
| C000015329 | United States |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000015329 | Mexico |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000015329 | Spain |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000015329 | Turkey |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.20%
|
| C000015329 | Brazil |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
11.10%
|
| C000015329 | India |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
11.60%
|
| C000015329 | South Korea |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.40%
|
| C000015329 | Taiwan |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
17.80%
|
| C000015329 | China |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
24.30%
|
| C000015330 | Taiwan Semiconductor Manufacturing Co. Ltd.___BNY-6889106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.90%
|
| C000015330 | Tencent Holdings Ltd.___BNY-BMMV2K8 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.10%
|
| C000015330 | SK Hynix, Inc.___BNY-6450267 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.90%
|
| C000015330 | Samsung Electronics Co. Ltd.___BNY-6771720 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.30%
|
| C000015330 | Alibaba Group Holding Ltd.___BNY-01609W102 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.70%
|
| C000015330 | Banco Bilbao Vizcaya Argentaria SA___BNY-5501906 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000015330 | Hanwha Aerospace Co. Ltd.___BNY-6772671 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000015330 | NU Holdings Ltd./Cayman Islands__Class A_BNY-G6683N103 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000015330 | Coforge Ltd.___BNY-BTFGH15 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000015330 | AIA Group Ltd.___BNY-B4TX8S1 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000015330 | Other_Assets_CountryTable |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000015330 | Other_Country |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.40%
|
| C000015330 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
31.20%
|
| C000015330 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.10%
|
| C000015330 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
14.80%
|
| C000015330 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.30%
|
| C000015330 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
15.90%
|
| C000015330 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
19.00%
|
| C000015330 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000015330 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000015330 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.40%
|
| C000015330 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000015330 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(1.10%)
|
| C000015330 | Utilities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.40%
|
| C000015330 | Short-Term Investments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000015330 | Hong Kong |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.80%
|
| C000015330 | Singapore |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.70%
|
| C000015330 | United States |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000015330 | Mexico |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000015330 | Spain |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000015330 | Turkey |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.20%
|
| C000015330 | Brazil |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
11.10%
|
| C000015330 | India |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
11.60%
|
| C000015330 | South Korea |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.40%
|
| C000015330 | Taiwan |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
17.80%
|
| C000015330 | China |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
24.30%
|
| C000015331 | Taiwan Semiconductor Manufacturing Co. Ltd.___BNY-6889106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.90%
|
| C000015331 | Tencent Holdings Ltd.___BNY-BMMV2K8 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.10%
|
| C000015331 | SK Hynix, Inc.___BNY-6450267 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.90%
|
| C000015331 | Samsung Electronics Co. Ltd.___BNY-6771720 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.30%
|
| C000015331 | Alibaba Group Holding Ltd.___BNY-01609W102 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.70%
|
| C000015331 | Banco Bilbao Vizcaya Argentaria SA___BNY-5501906 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000015331 | Hanwha Aerospace Co. Ltd.___BNY-6772671 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000015331 | NU Holdings Ltd./Cayman Islands__Class A_BNY-G6683N103 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000015331 | Coforge Ltd.___BNY-BTFGH15 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000015331 | AIA Group Ltd.___BNY-B4TX8S1 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000015331 | Other_Assets_CountryTable |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000015331 | Other_Country |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.40%
|
| C000015331 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
31.20%
|
| C000015331 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.10%
|
| C000015331 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
14.80%
|
| C000015331 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.30%
|
| C000015331 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
15.90%
|
| C000015331 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
19.00%
|
| C000015331 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000015331 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000015331 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.40%
|
| C000015331 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000015331 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(1.10%)
|
| C000015331 | Utilities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.40%
|
| C000015331 | Short-Term Investments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000015331 | Hong Kong |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.80%
|
| C000015331 | Singapore |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.70%
|
| C000015331 | United States |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000015331 | Mexico |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000015331 | Spain |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000015331 | Turkey |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.20%
|
| C000015331 | Brazil |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
11.10%
|
| C000015331 | India |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
11.60%
|
| C000015331 | South Korea |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.40%
|
| C000015331 | Taiwan |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
17.80%
|
| C000015331 | China |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
24.30%
|
| C000015332 | Taiwan Semiconductor Manufacturing Co. Ltd.___BNY-6889106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.90%
|
| C000015332 | Tencent Holdings Ltd.___BNY-BMMV2K8 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.10%
|
| C000015332 | SK Hynix, Inc.___BNY-6450267 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.90%
|
| C000015332 | Samsung Electronics Co. Ltd.___BNY-6771720 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.30%
|
| C000015332 | Alibaba Group Holding Ltd.___BNY-01609W102 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.70%
|
| C000015332 | Banco Bilbao Vizcaya Argentaria SA___BNY-5501906 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000015332 | Hanwha Aerospace Co. Ltd.___BNY-6772671 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000015332 | NU Holdings Ltd./Cayman Islands__Class A_BNY-G6683N103 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000015332 | Coforge Ltd.___BNY-BTFGH15 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000015332 | AIA Group Ltd.___BNY-B4TX8S1 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000015332 | Other_Assets_CountryTable |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000015332 | Other_Country |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.40%
|
| C000015332 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
31.20%
|
| C000015332 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.10%
|
| C000015332 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
14.80%
|
| C000015332 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.30%
|
| C000015332 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
15.90%
|
| C000015332 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
19.00%
|
| C000015332 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000015332 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000015332 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.40%
|
| C000015332 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000015332 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(1.10%)
|
| C000015332 | Utilities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.40%
|
| C000015332 | Short-Term Investments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000015332 | Hong Kong |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.80%
|
| C000015332 | Singapore |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.70%
|
| C000015332 | United States |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000015332 | Mexico |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000015332 | Spain |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000015332 | Turkey |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.20%
|
| C000015332 | Brazil |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
11.10%
|
| C000015332 | India |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
11.60%
|
| C000015332 | South Korea |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.40%
|
| C000015332 | Taiwan |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
17.80%
|
| C000015332 | China |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
24.30%
|
| C000028903 | MSA Safety, Inc.___BNY-553498106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.00%
|
| C000028903 | Hayward Holdings, Inc.___BNY-421298100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000028903 | Modine Manufacturing Co.___BNY-607828100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000028903 | Fabrinet___BNY-G3323L100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000028903 | Ryman Hospitality Properties, Inc.___BNY-78377T107 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000028903 | MACOM Technology Solutions Holdings, Inc.___BNY-55405Y100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000028903 | Applied Industrial Technologies, Inc.___BNY-03820C105 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000028903 | Novanta, Inc.___BNY-67000B104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000028903 | Element Solutions, Inc.___BNY-28618M106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000028903 | Wintrust Financial Corp.___BNY-97650W108 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000028903 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.00%
|
| C000028903 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.20%
|
| C000028903 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.70%
|
| C000028903 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.20%
|
| C000028903 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
19.60%
|
| C000028903 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
19.00%
|
| C000028903 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.20%
|
| C000028903 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.60%
|
| C000028903 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.40%
|
| C000028903 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.20%
|
| C000028903 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(5.30%)
|
| C000028903 | Utilities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000028903 | Short-Term Investments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.10%
|
| C000028903 | Other_Portfolio |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(5.30%)
|
| C000028903 | Investment_SecurityTypeCode_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
97.20%
|
| C000028903 | Investment_SecurityTypeCode_Repurchase Agreements |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.10%
|
| C000015333 | MSA Safety, Inc.___BNY-553498106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.00%
|
| C000015333 | Hayward Holdings, Inc.___BNY-421298100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000015333 | Modine Manufacturing Co.___BNY-607828100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000015333 | Fabrinet___BNY-G3323L100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000015333 | Ryman Hospitality Properties, Inc.___BNY-78377T107 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000015333 | MACOM Technology Solutions Holdings, Inc.___BNY-55405Y100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000015333 | Applied Industrial Technologies, Inc.___BNY-03820C105 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000015333 | Novanta, Inc.___BNY-67000B104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000015333 | Element Solutions, Inc.___BNY-28618M106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000015333 | Wintrust Financial Corp.___BNY-97650W108 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000015333 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.00%
|
| C000015333 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.20%
|
| C000015333 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.70%
|
| C000015333 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.20%
|
| C000015333 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
19.60%
|
| C000015333 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
19.00%
|
| C000015333 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.20%
|
| C000015333 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.60%
|
| C000015333 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.40%
|
| C000015333 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.20%
|
| C000015333 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(5.30%)
|
| C000015333 | Utilities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000015333 | Short-Term Investments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.10%
|
| C000015333 | Other_Portfolio |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(5.30%)
|
| C000015333 | Investment_SecurityTypeCode_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
97.20%
|
| C000015333 | Investment_SecurityTypeCode_Repurchase Agreements |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.10%
|
| C000168687 | MSA Safety, Inc.___BNY-553498106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.00%
|
| C000168687 | Hayward Holdings, Inc.___BNY-421298100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000168687 | Modine Manufacturing Co.___BNY-607828100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000168687 | Fabrinet___BNY-G3323L100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000168687 | Ryman Hospitality Properties, Inc.___BNY-78377T107 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000168687 | MACOM Technology Solutions Holdings, Inc.___BNY-55405Y100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000168687 | Applied Industrial Technologies, Inc.___BNY-03820C105 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000168687 | Novanta, Inc.___BNY-67000B104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000168687 | Element Solutions, Inc.___BNY-28618M106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000168687 | Wintrust Financial Corp.___BNY-97650W108 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000168687 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.00%
|
| C000168687 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.20%
|
| C000168687 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.70%
|
| C000168687 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.20%
|
| C000168687 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
19.60%
|
| C000168687 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
19.00%
|
| C000168687 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.20%
|
| C000168687 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.60%
|
| C000168687 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.40%
|
| C000168687 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.20%
|
| C000168687 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(5.30%)
|
| C000168687 | Utilities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000168687 | Short-Term Investments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.10%
|
| C000168687 | Other_Portfolio |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(5.30%)
|
| C000168687 | Investment_SecurityTypeCode_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
97.20%
|
| C000168687 | Investment_SecurityTypeCode_Repurchase Agreements |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.10%
|
| C000015334 | MSA Safety, Inc.___BNY-553498106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.00%
|
| C000015334 | Hayward Holdings, Inc.___BNY-421298100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000015334 | Modine Manufacturing Co.___BNY-607828100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000015334 | Fabrinet___BNY-G3323L100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000015334 | Ryman Hospitality Properties, Inc.___BNY-78377T107 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000015334 | MACOM Technology Solutions Holdings, Inc.___BNY-55405Y100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000015334 | Applied Industrial Technologies, Inc.___BNY-03820C105 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000015334 | Novanta, Inc.___BNY-67000B104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000015334 | Element Solutions, Inc.___BNY-28618M106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000015334 | Wintrust Financial Corp.___BNY-97650W108 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000015334 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.00%
|
| C000015334 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.20%
|
| C000015334 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.70%
|
| C000015334 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.20%
|
| C000015334 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
19.60%
|
| C000015334 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
19.00%
|
| C000015334 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.20%
|
| C000015334 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.60%
|
| C000015334 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.40%
|
| C000015334 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.20%
|
| C000015334 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(5.30%)
|
| C000015334 | Utilities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000015334 | Short-Term Investments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.10%
|
| C000015334 | Other_Portfolio |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(5.30%)
|
| C000015334 | Investment_SecurityTypeCode_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
97.20%
|
| C000015334 | Investment_SecurityTypeCode_Repurchase Agreements |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.10%
|
| C000015335 | MSA Safety, Inc.___BNY-553498106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.00%
|
| C000015335 | Hayward Holdings, Inc.___BNY-421298100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000015335 | Modine Manufacturing Co.___BNY-607828100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000015335 | Fabrinet___BNY-G3323L100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000015335 | Ryman Hospitality Properties, Inc.___BNY-78377T107 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000015335 | MACOM Technology Solutions Holdings, Inc.___BNY-55405Y100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000015335 | Applied Industrial Technologies, Inc.___BNY-03820C105 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000015335 | Novanta, Inc.___BNY-67000B104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000015335 | Element Solutions, Inc.___BNY-28618M106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000015335 | Wintrust Financial Corp.___BNY-97650W108 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000015335 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.00%
|
| C000015335 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.20%
|
| C000015335 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.70%
|
| C000015335 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.20%
|
| C000015335 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
19.60%
|
| C000015335 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
19.00%
|
| C000015335 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.20%
|
| C000015335 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.60%
|
| C000015335 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.40%
|
| C000015335 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.20%
|
| C000015335 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(5.30%)
|
| C000015335 | Utilities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000015335 | Short-Term Investments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.10%
|
| C000015335 | Other_Portfolio |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
(5.30%)
|
| C000015335 | Investment_SecurityTypeCode_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
97.20%
|
| C000015335 | Investment_SecurityTypeCode_Repurchase Agreements |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.10%
|
| C000015776 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.00%
|
| C000015776 | Microsoft Corp.___BNY-594918104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.60%
|
| C000015776 | Visa, Inc.__Class A_BNY-92826C839 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.20%
|
| C000015776 | Intercontinental Exchange, Inc.___BNY-45866F104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000015776 | Coca-Cola Co.___BNY-191216100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.00%
|
| C000015776 | SAP SE___BNY-4846288 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.40%
|
| C000015776 | RELX PLC - GBP___BNY-B2B0DG9 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.60%
|
| C000015776 | L'Oreal SA___BNY-4057808 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000015776 | Arthur J Gallagher & Co.___BNY-363576109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000015776 | S&P Global, Inc.___BNY-78409V104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.40%
|
| C000015776 | Other_Assets_CountryTable |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.60%
|
| C000015776 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
21.00%
|
| C000015776 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.90%
|
| C000015776 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.00%
|
| C000015776 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.30%
|
| C000015776 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
16.20%
|
| C000015776 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
22.70%
|
| C000015776 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.30%
|
| C000015776 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000015776 | Short-Term Investments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.70%
|
| C000015776 | Germany |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.40%
|
| C000015776 | France |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000015776 | United Kingdom |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.20%
|
| C000015776 | United States |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
80.00%
|
| C000015776 | Italy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000168690 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.00%
|
| C000168690 | Microsoft Corp.___BNY-594918104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.60%
|
| C000168690 | Visa, Inc.__Class A_BNY-92826C839 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.20%
|
| C000168690 | Intercontinental Exchange, Inc.___BNY-45866F104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000168690 | Coca-Cola Co.___BNY-191216100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.00%
|
| C000168690 | SAP SE___BNY-4846288 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.40%
|
| C000168690 | RELX PLC - GBP___BNY-B2B0DG9 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.60%
|
| C000168690 | L'Oreal SA___BNY-4057808 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000168690 | Arthur J Gallagher & Co.___BNY-363576109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000168690 | S&P Global, Inc.___BNY-78409V104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.40%
|
| C000168690 | Other_Assets_CountryTable |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.60%
|
| C000168690 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
21.00%
|
| C000168690 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.90%
|
| C000168690 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.00%
|
| C000168690 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.30%
|
| C000168690 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
16.20%
|
| C000168690 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
22.70%
|
| C000168690 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.30%
|
| C000168690 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000168690 | Short-Term Investments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.70%
|
| C000168690 | Germany |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.40%
|
| C000168690 | France |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000168690 | United Kingdom |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.20%
|
| C000168690 | United States |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
80.00%
|
| C000168690 | Italy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000015778 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.00%
|
| C000015778 | Microsoft Corp.___BNY-594918104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.60%
|
| C000015778 | Visa, Inc.__Class A_BNY-92826C839 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.20%
|
| C000015778 | Intercontinental Exchange, Inc.___BNY-45866F104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000015778 | Coca-Cola Co.___BNY-191216100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.00%
|
| C000015778 | SAP SE___BNY-4846288 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.40%
|
| C000015778 | RELX PLC - GBP___BNY-B2B0DG9 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.60%
|
| C000015778 | L'Oreal SA___BNY-4057808 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000015778 | Arthur J Gallagher & Co.___BNY-363576109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000015778 | S&P Global, Inc.___BNY-78409V104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.40%
|
| C000015778 | Other_Assets_CountryTable |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.60%
|
| C000015778 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
21.00%
|
| C000015778 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.90%
|
| C000015778 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.00%
|
| C000015778 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.30%
|
| C000015778 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
16.20%
|
| C000015778 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
22.70%
|
| C000015778 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.30%
|
| C000015778 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000015778 | Short-Term Investments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.70%
|
| C000015778 | Germany |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.40%
|
| C000015778 | France |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000015778 | United Kingdom |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.20%
|
| C000015778 | United States |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
80.00%
|
| C000015778 | Italy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000015779 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.00%
|
| C000015779 | Microsoft Corp.___BNY-594918104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.60%
|
| C000015779 | Visa, Inc.__Class A_BNY-92826C839 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.20%
|
| C000015779 | Intercontinental Exchange, Inc.___BNY-45866F104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000015779 | Coca-Cola Co.___BNY-191216100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.00%
|
| C000015779 | SAP SE___BNY-4846288 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.40%
|
| C000015779 | RELX PLC - GBP___BNY-B2B0DG9 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.60%
|
| C000015779 | L'Oreal SA___BNY-4057808 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000015779 | Arthur J Gallagher & Co.___BNY-363576109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000015779 | S&P Global, Inc.___BNY-78409V104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.40%
|
| C000015779 | Other_Assets_CountryTable |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.60%
|
| C000015779 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
21.00%
|
| C000015779 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.90%
|
| C000015779 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.00%
|
| C000015779 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.30%
|
| C000015779 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
16.20%
|
| C000015779 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
22.70%
|
| C000015779 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.30%
|
| C000015779 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000015779 | Short-Term Investments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.70%
|
| C000015779 | Germany |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.40%
|
| C000015779 | France |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000015779 | United Kingdom |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.20%
|
| C000015779 | United States |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
80.00%
|
| C000015779 | Italy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000015823 | NVIDIA Corp.___BNY-67066G104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.40%
|
| C000015823 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.90%
|
| C000015823 | Microsoft Corp.___BNY-594918104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.60%
|
| C000015823 | Apple, Inc.___BNY-037833100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.00%
|
| C000015823 | Amazon.com, Inc.___BNY-023135106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.60%
|
| C000015823 | United States Treasury Notes_3.625__BNY-91282CPD7 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000015823 | United States Treasury Notes_3.5__BNY-91282CPN5 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.30%
|
| C000015823 | United States Treasury Notes_3.875__BNY-91282CNN7 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.20%
|
| C000015823 | Becton Dickinson and Co.___BNY-075887109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000015823 | Revvity, Inc.___BNY-714046109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000015823 | Other_InvestmentAllocation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000015823 | Preferred Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.00%
|
| C000015823 | Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
63.20%
|
| C000015823 | Corporate Bonds/Notes |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.40%
|
| C000015823 | U.S. Treasury Obligations |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
16.20%
|
| C000015823 | Asset-Backed Securities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000015823 | Bank Loans |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.60%
|
| C000015824 | NVIDIA Corp.___BNY-67066G104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.40%
|
| C000015824 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.90%
|
| C000015824 | Microsoft Corp.___BNY-594918104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.60%
|
| C000015824 | Apple, Inc.___BNY-037833100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.00%
|
| C000015824 | Amazon.com, Inc.___BNY-023135106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.60%
|
| C000015824 | United States Treasury Notes_3.625__BNY-91282CPD7 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000015824 | United States Treasury Notes_3.5__BNY-91282CPN5 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.30%
|
| C000015824 | United States Treasury Notes_3.875__BNY-91282CNN7 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.20%
|
| C000015824 | Becton Dickinson and Co.___BNY-075887109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000015824 | Revvity, Inc.___BNY-714046109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000015824 | Other_InvestmentAllocation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000015824 | Preferred Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.00%
|
| C000015824 | Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
63.20%
|
| C000015824 | Corporate Bonds/Notes |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.40%
|
| C000015824 | U.S. Treasury Obligations |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
16.20%
|
| C000015824 | Asset-Backed Securities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000015824 | Bank Loans |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.60%
|
| C000168694 | NVIDIA Corp.___BNY-67066G104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.40%
|
| C000168694 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.90%
|
| C000168694 | Microsoft Corp.___BNY-594918104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.60%
|
| C000168694 | Apple, Inc.___BNY-037833100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.00%
|
| C000168694 | Amazon.com, Inc.___BNY-023135106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.60%
|
| C000168694 | United States Treasury Notes_3.625__BNY-91282CPD7 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000168694 | United States Treasury Notes_3.5__BNY-91282CPN5 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.30%
|
| C000168694 | United States Treasury Notes_3.875__BNY-91282CNN7 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.20%
|
| C000168694 | Becton Dickinson and Co.___BNY-075887109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000168694 | Revvity, Inc.___BNY-714046109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000168694 | Other_InvestmentAllocation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000168694 | Preferred Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.00%
|
| C000168694 | Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
63.20%
|
| C000168694 | Corporate Bonds/Notes |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.40%
|
| C000168694 | U.S. Treasury Obligations |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
16.20%
|
| C000168694 | Asset-Backed Securities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000168694 | Bank Loans |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.60%
|
| C000015825 | NVIDIA Corp.___BNY-67066G104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.40%
|
| C000015825 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.90%
|
| C000015825 | Microsoft Corp.___BNY-594918104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.60%
|
| C000015825 | Apple, Inc.___BNY-037833100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.00%
|
| C000015825 | Amazon.com, Inc.___BNY-023135106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.60%
|
| C000015825 | United States Treasury Notes_3.625__BNY-91282CPD7 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000015825 | United States Treasury Notes_3.5__BNY-91282CPN5 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.30%
|
| C000015825 | United States Treasury Notes_3.875__BNY-91282CNN7 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.20%
|
| C000015825 | Becton Dickinson and Co.___BNY-075887109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000015825 | Revvity, Inc.___BNY-714046109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000015825 | Other_InvestmentAllocation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000015825 | Preferred Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.00%
|
| C000015825 | Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
63.20%
|
| C000015825 | Corporate Bonds/Notes |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.40%
|
| C000015825 | U.S. Treasury Obligations |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
16.20%
|
| C000015825 | Asset-Backed Securities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000015825 | Bank Loans |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.60%
|
| C000015826 | NVIDIA Corp.___BNY-67066G104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.40%
|
| C000015826 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.90%
|
| C000015826 | Microsoft Corp.___BNY-594918104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.60%
|
| C000015826 | Apple, Inc.___BNY-037833100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.00%
|
| C000015826 | Amazon.com, Inc.___BNY-023135106 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.60%
|
| C000015826 | United States Treasury Notes_3.625__BNY-91282CPD7 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000015826 | United States Treasury Notes_3.5__BNY-91282CPN5 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.30%
|
| C000015826 | United States Treasury Notes_3.875__BNY-91282CNN7 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.20%
|
| C000015826 | Becton Dickinson and Co.___BNY-075887109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000015826 | Revvity, Inc.___BNY-714046109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000015826 | Other_InvestmentAllocation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000015826 | Preferred Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.00%
|
| C000015826 | Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
63.20%
|
| C000015826 | Corporate Bonds/Notes |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.40%
|
| C000015826 | U.S. Treasury Obligations |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
16.20%
|
| C000015826 | Asset-Backed Securities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000015826 | Bank Loans |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.60%
|
| C000015827 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000015827 | Bank of America Corp.___BNY-060505104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.70%
|
| C000015827 | Charles Schwab Corp.___BNY-808513105 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000015827 | Qualcomm, Inc.___BNY-747525103 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000015827 | Citigroup, Inc.___BNY-172967424 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000015827 | MetLife, Inc.___BNY-59156R108 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000015827 | Southern Co.___BNY-842587107 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000015827 | JPMorgan Chase & Co.___BNY-46625H100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000015827 | TotalEnergies SE___BNY-B15C557 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000015827 | L3Harris Technologies, Inc.___BNY-502431109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000015827 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.10%
|
| C000015827 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.80%
|
| C000015827 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.20%
|
| C000015827 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.50%
|
| C000015827 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
14.20%
|
| C000015827 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
22.60%
|
| C000015827 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.80%
|
| C000015827 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.90%
|
| C000015827 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000015827 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.30%
|
| C000015827 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.60%
|
| C000015827 | Utilities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.10%
|
| C000015827 | Short-Term Investments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.40%
|
| C000015827 | Other_Portfolio |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.60%
|
| C000015827 | Investment_SecurityTypeCode_Mutual Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.40%
|
| C000015827 | Investment_SecurityTypeCode_Preferred Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000015827 | Investment_SecurityTypeCode_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
98.20%
|
| C000015828 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000015828 | Bank of America Corp.___BNY-060505104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.70%
|
| C000015828 | Charles Schwab Corp.___BNY-808513105 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000015828 | Qualcomm, Inc.___BNY-747525103 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000015828 | Citigroup, Inc.___BNY-172967424 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000015828 | MetLife, Inc.___BNY-59156R108 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000015828 | Southern Co.___BNY-842587107 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000015828 | JPMorgan Chase & Co.___BNY-46625H100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000015828 | TotalEnergies SE___BNY-B15C557 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000015828 | L3Harris Technologies, Inc.___BNY-502431109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000015828 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.10%
|
| C000015828 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.80%
|
| C000015828 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.20%
|
| C000015828 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.50%
|
| C000015828 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
14.20%
|
| C000015828 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
22.60%
|
| C000015828 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.80%
|
| C000015828 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.90%
|
| C000015828 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000015828 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.30%
|
| C000015828 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.60%
|
| C000015828 | Utilities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.10%
|
| C000015828 | Short-Term Investments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.40%
|
| C000015828 | Other_Portfolio |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.60%
|
| C000015828 | Investment_SecurityTypeCode_Mutual Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.40%
|
| C000015828 | Investment_SecurityTypeCode_Preferred Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000015828 | Investment_SecurityTypeCode_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
98.20%
|
| C000015829 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000015829 | Bank of America Corp.___BNY-060505104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.70%
|
| C000015829 | Charles Schwab Corp.___BNY-808513105 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000015829 | Qualcomm, Inc.___BNY-747525103 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000015829 | Citigroup, Inc.___BNY-172967424 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000015829 | MetLife, Inc.___BNY-59156R108 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000015829 | Southern Co.___BNY-842587107 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000015829 | JPMorgan Chase & Co.___BNY-46625H100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000015829 | TotalEnergies SE___BNY-B15C557 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000015829 | L3Harris Technologies, Inc.___BNY-502431109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000015829 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.10%
|
| C000015829 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.80%
|
| C000015829 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.20%
|
| C000015829 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.50%
|
| C000015829 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
14.20%
|
| C000015829 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
22.60%
|
| C000015829 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.80%
|
| C000015829 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.90%
|
| C000015829 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000015829 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.30%
|
| C000015829 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.60%
|
| C000015829 | Utilities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.10%
|
| C000015829 | Short-Term Investments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.40%
|
| C000015829 | Other_Portfolio |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.60%
|
| C000015829 | Investment_SecurityTypeCode_Mutual Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.40%
|
| C000015829 | Investment_SecurityTypeCode_Preferred Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000015829 | Investment_SecurityTypeCode_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
98.20%
|
| C000015830 | Alphabet, Inc.__Class A_BNY-02079K305 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000015830 | Bank of America Corp.___BNY-060505104 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.70%
|
| C000015830 | Charles Schwab Corp.___BNY-808513105 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000015830 | Qualcomm, Inc.___BNY-747525103 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000015830 | Citigroup, Inc.___BNY-172967424 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000015830 | MetLife, Inc.___BNY-59156R108 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000015830 | Southern Co.___BNY-842587107 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000015830 | JPMorgan Chase & Co.___BNY-46625H100 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000015830 | TotalEnergies SE___BNY-B15C557 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000015830 | L3Harris Technologies, Inc.___BNY-502431109 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000015830 | Information Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.10%
|
| C000015830 | Communication Services |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.80%
|
| C000015830 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.20%
|
| C000015830 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.50%
|
| C000015830 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
14.20%
|
| C000015830 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
22.60%
|
| C000015830 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.80%
|
| C000015830 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.90%
|
| C000015830 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000015830 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.30%
|
| C000015830 | Other_Sector |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.60%
|
| C000015830 | Utilities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.10%
|
| C000015830 | Short-Term Investments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.40%
|
| C000015830 | Other_Portfolio |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.60%
|
| C000015830 | Investment_SecurityTypeCode_Mutual Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.40%
|
| C000015830 | Investment_SecurityTypeCode_Preferred Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.80%
|
| C000015830 | Investment_SecurityTypeCode_Common Stock |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
98.20%
|