NYSE$VOYA

Voya Financial Inc · Q2 2024 earnings

Q2 2024 earnings · · Investor relations

Briefing

Voya Financial's Q2 2024 financial performance reflected diversified revenue streams and capital return to shareholders.

Voya Financial reported a net income of $201 million and adjusted operating earnings of $223 million for Q2 2024. The results were driven by fee-based revenue growth, offsetting lower underwriting gains, and continued spend management. The company generated and returned approximately $0.2 billion of capital to shareholders through share repurchases and dividends.

  • Net income available to common shareholders was $201 million, or $1.96 per diluted share.
  • After-tax adjusted operating earnings were $223 million, or $2.18 per diluted share.
  • Approximately $0.2 billion of capital was generated and returned to shareholders through share repurchases and dividends.
  • The board of directors authorized a 12.5% increase in the common stock dividend to $0.45 per share beginning in Q3 2024.

Headline financials

Total Revenue

$2.03B

Previous: $1.87B+8.7%
EPS

$1.96

Previous: $2.21-11.3%
Free Cash Flow

$205M

Previous: $158M+29.7%
Net Income

$205M

Previous: $158M+29.7%
Operating Income

$421M

Previous: $400M+5.3%
Gross Profit

$1.17B

Previous: $1.17B+0.3%
Total Assets

$161B

Previous: $155B+4.3%

Revenue & EPS history

Voya · Revenue · Quarterly

$2.03B

Q2 2024+8.7%vs Q2 2023
Beat estimate in 14 of 15 quarters(93%)
ActualEstimate

Revenue by segment

Voya · $398M total across 3 segments · Q4 2020

  • Retirement
    $258M+59.3%
  • Investment Management
    $90M+52.5%
  • Employee Benefits
    $50M-9.1%

Forward guidance

Voya is focused on strategic priorities centered on the growing needs of employers, employees and intermediaries, which has enabled the company to advance its growth plans and create positive outcomes for all of its stakeholders. Voya remains confident in the leading market position of its Health business.

Historical earnings impact

How earnings announcements have historically affected this stock's price.

Avg. return before/after earnings

Based on 20 quarterly earnings reports · overlaid with Q2 2024

Historical avgQ2 2024

+0.2%

Avg return

Earnings day

+1.3%

Avg return

5 days after

+1.6%

Avg return

30 days after

47%

25 / 53 earnings

Positive

+10.0%

Q4 2022

Best reaction

-9.9%

Q1 2023

Worst reaction

Earnings price reactions
QuarterReport dateReaction (Day 0)+5 days+30 days
Q1 2026-3.2%-3.7%+4.2%
Q4 2025-6.5%+1.2%-10.3%
Q3 2025-3.5%-3.5%-3.8%
Q1 2025+9.3%+15.8%+10.7%
Q4 2024+4.8%+5.0%+1.0%
Q3 2024-6.3%+1.6%+2.4%
Q2 2024-1.2%-7.5%-5.6%
Q1 2024+2.2%+2.4%+7.9%
Q4 2023-3.8%-2.3%-4.8%
Q3 2023+2.5%+6.1%+8.2%
Q2 2023-1.8%-2.4%-6.2%
Q1 2023-9.9%-8.2%-10.1%
Q4 2022+10.0%+8.9%+6.4%
Q3 2022-2.2%-2.0%-4.0%
Q2 2022+2.9%+1.8%+3.2%
Q1 2022+6.4%+0.8%+7.1%
Q4 2021+2.3%+1.0%-10.1%
Q3 2021-2.4%-2.8%-9.5%
Q2 2021+3.5%+4.2%-1.3%
Q1 2021-4.3%-1.9%-8.1%
Q4 2020-4.3%-5.8%+9.4%
Q3 2020+1.6%+6.8%+18.8%
Q2 2020+0.2%+4.2%+2.6%
Q1 2020-5.3%+1.7%+12.9%
Q4 2019-0.6%+0.4%-26.5%
Q3 2019+3.6%+3.3%+3.0%
Q2 2019-4.4%-5.9%-2.8%
Q1 2019-1.4%-0.9%+0.0%
Q4 2018+4.1%+1.8%+4.8%
Q3 2018+5.8%+6.9%+8.0%
Q2 2018-1.0%-0.5%-0.9%
Q1 2018-0.7%-0.7%-0.8%
Q4 2017+6.5%+5.3%+12.5%
Q3 2017+2.4%+3.8%+9.6%
Q2 2017+3.4%+4.2%-2.6%
Q1 2017-4.1%-3.8%-7.1%
Q4 2016-2.7%+0.0%-1.1%
Q3 2016-1.0%+2.0%+28.9%
Q2 2016+8.5%+11.5%+15.5%
Q1 2016-7.6%
Q4 2015-2.8%
Q3 2015-1.6%
Q2 2015-2.6%
Q1 2015+2.9%
Q4 2014+3.6%
Q3 2014+0.6%
Q2 2014-2.8%
Q1 2014-2.1%
Q4 2013+2.5%
Q3 2012+4.7%
Q3 2013+6.4%
Q2 2013-1.0%
Q1 2013+1.4%
Q2 2012
Q1 2012
Q4 2011
Q3 2011

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