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Valuation: Virtus Dividend, Interest & Premium Strategy Fund

Market Cap 1.42B 1.23B 1.14B 1.07B 1.99B 136B 2.03B 13.57B 5.25B 65.63B 5.34B 5.22B 228B P/E Ratio 2025
9.49x
P/E Ratio 2026 8.41x
Enterprise Value 1.39B 1.2B 1.11B 1.04B 1.94B 133B 1.99B 13.25B 5.13B 64.09B 5.21B 5.1B 223B EV / Sales 2025
37.1x
EV / Sales 2026 44.3x
Free-Float
100%
Yield 2025
8.97%
Yield 2026 9.05%
1 day+1.49%
1 week-0.53%
Current month+0.81%
1 month+3.66%
3 months+16.10%
6 months+16.19%
Current year+16.37%
1 week 14.5
Extreme 14.5
15.05
1 month 14.16
Extreme 14.16
15.12
Current year 12.25
Extreme 12.25
15.12
1 year 12
Extreme 12
15.12
3 years 10.02
Extreme 10.02
15.12
5 years 10.02
Extreme 10.02
16.19
10 years 7.53
Extreme 7.53
16.19
Manager TitleAgeSince
Chief Executive Officer 61 01/01/2021
Director of Finance/CFO 54 01/01/2021
Compliance Officer 50 -
Director TitleAgeSince
Director/Board Member 81 01/09/2006
Chairman 73 01/06/2010
Director/Board Member 73 07/03/2011
Date Insider Type Main position Quantity % Market Cap.
04-02
Saba Capital Management LP
BuyCompany 3,509 0.0037%
03-30
Saba Capital Management LP
BuyCompany 30,502 0.0322%
03-26
Saba Capital Management LP
BuyCompany 160,831 0.1697%
Change 5-day change 1-year change 3-year change Capi.($)
+1.49%-0.53%+21.07%+26.90% 1.42B
+2.96%-6.27%+24.13%+107.12% 15.11B
+6.23%-9.13%+75.02%+156.63% 13.55B
+1.31%-3.20%-0.04%+39.28% 8.99B
+4.44%-7.62%+42.51%+130.70% 8.26B
-0.54%-2.32%-13.62%-11.00% 7.58B
+1.21%-4.45%+13.65%+49.40% 6.38B
+1.42%-0.13%+5.37%+16.41% 4.53B
-0.09%+0.47%+10.27%+5.09% 4.05B
-1.69%-3.87% - - 3.73B
Average +1.67%-4.37%+19.82%+57.84% 7.36B
Weighted average by Cap. +2.49%-6.08%+25.93%+79.26%

Financials

2025 2026
Net sales 32.2M 27.95M 25.76M 24.14M 45.1M 3.08B 46.04M 307M 119M 1.49B 121M 118M 5.17B 28.07M 24.36M 22.45M 21.04M 39.31M 2.69B 40.13M 268M 104M 1.3B 105M 103M 4.5B
Net income 130M 113M 104M 97.76M 183M 12.49B 186M 1.24B 482M 6.02B 490M 479M 20.93B 149M 129M 119M 112M 209M 14.26B 213M 1.42B 550M 6.87B 559M 547M 23.9B
Net Debt -42.7M -37.06M -34.16M -32.01M -59.8M -4.09B -61.05M -407M -158M -1.97B -160M -157M -6.85B -33.48M -29.05M -26.78M -25.09M -46.88M -3.21B -47.86M -319M -124M -1.55B -126M -123M -5.37B
Logo Virtus Dividend, Interest & Premium Strategy Fund
Virtus Dividend, Interest & Premium Strategy Fund (the Fund) is a diversified, closed-end management investment company. The Fund's investment objective is to seek current income and gains, with a secondary objective of long-term capital appreciation. The Fund employs a strategy of writing (selling) call options on equity indexes such that the underlying value of the indexes is within a range of approximately 75% to 100% of the net asset value of the Equity Component under normal market conditions, subject to future fluctuations in the assets attributable to the Equity Component. The Fund’s assets fall outside the ranges of 70% to 80% for the Equity Component and 20% to 30% for the Convertible Component, the Fund’s subadvisors will cause a rebalancing of the Fund’s portfolio such that each Component’s allocation is adjusted back to a point within its range in relative percentages determined by the subadvisors. The Fund's investment advisor is Virtus Investment Advisers, Inc.
Employees
-
Date Price Change Volume
11/06/26 15.00 $ +1.49% 103,720
10/06/26 14.78 $ -0.14% 174,276
09/06/26 14.80 $ -0.54% 151,594
08/06/26 14.88 $ +0.40% 99,768
05/06/26 14.82 $ -1.72% 173,382
Sell
Consensus
Buy
Mean consensus
BUY
Number of Analysts
1
Last Close Price
15.00
Average target price
-
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