Valuation: Virtus Investment Partners, Inc.

Capitalization 930M 795M 733M 692M 1.29B 87.11B 1.32B 8.58B 3.37B 41.6B 3.49B 3.42B 149B P/E ratio 2026 *
-
P/E ratio 2027 * -
Enterprise value 1.2B 1.03B 948M 895M 1.66B 113B 1.7B 11.1B 4.37B 53.81B 4.52B 4.42B 192B EV / Sales 2026 *
1.58x
EV / Sales 2027 * 1.63x
Free-Float
53.82%
Yield 2026 *
7.09%
Yield 2027 * 7.48%
1 day+2.52%
1 week+10.08%
Current month+5.75%
1 month+13.28%
3 months-16.33%
6 months-26.39%
Current year-12.92%
1 week 132.5
Extreme 132.5
142.88
1 month 121.6
Extreme 121.605
142.88
Current year 121.6
Extreme 121.605
175.66
1 year 121.6
Extreme 121.605
215.06
3 years 121.6
Extreme 121.605
263.39
5 years 121.6
Extreme 121.605
338.8
10 years 55.37
Extreme 55.37
338.8
Manager TitleAgeSince
Chief Executive Officer 61 01/01/2008
Director of Finance/CFO 58 06/10/2008
Chief Operating Officer 58 03/05/2021
Director TitleAgeSince
Director/Board Member 61 01/01/2008
Chairman 73 01/03/2021
Director/Board Member 55 01/01/2009
Change 5d. change 1-year change 3-years change Capi.($)
+2.52%+10.08%-7.11%-22.87% 930M
+4.76%+11.56%+20.15%+54.67% 159B
+1.48%+7.61%+42.92%+72.26% 130B
+2.89%+9.09%+36.12%+113.69% 97.6B
+0.92%+4.38%+67.80%+180.59% 88.88B
+1.80%+6.40%-3.09%+45.10% 74.36B
+1.24%+6.40%-3.10%+48.57% 41.27B
+0.70%+8.41%+75.81%+77.75% 39.23B
-0.38%+5.67%-29.60%+59.98% 37.78B
+1.04%+6.63%+72.91%+76.63% 28.54B
Average +1.67%+5.56%+27.28%+70.64% 69.74B
Weighted average by Cap. +2.17%+4.84%+31.40%+83.25%

Financials

2026 *2027 *
Net sales 760M 649M 599M 565M 1.05B 71.16B 1.08B 7.01B 2.76B 33.98B 2.85B 2.79B 121B 767M 656M 605M 570M 1.06B 71.86B 1.09B 7.08B 2.78B 34.32B 2.88B 2.82B 123B
Net income - -
Net Debt 273M 233M 215M 203M 377M 25.57B 387M 2.52B 991M 12.21B 1.02B 1B 43.62B 321M 274M 253M 239M 443M 30.06B 455M 2.96B 1.16B 14.36B 1.2B 1.18B 51.28B
Logo Virtus Investment Partners, Inc.
Virtus Investment Partners, Inc. provides investment management and related services to individuals and institutions. The Company offers investments strategies for individual and institutional investors in different investment product structures and through multiple distribution channels. The Company provides various asset classes (equity, fixed income, multi-asset and alternative), geographies (domestic, global, international, and emerging), market capitalizations (large, mid, and small), styles (growth, core, and value) and investment approaches (fundamental and quantitative). Its retail products include open-end funds and exchange traded funds (ETFs), as well as closed-end funds and retail separate accounts. Its institutional products are offered through separate accounts and pooled to a variety of institutional clients. The Company also provides sub advisory services to other investment advisers and serve as the collateral manager for structured products.
Employees
801
Date Price Change Volume
14/04/26 142.07 $ +2.04% 85,728
13/04/26 139.23 $ +1.30% 117,730
10/04/26 137.45 $ +1.20% 123,183
09/04/26 135.82 $ +0.15% 114,161
08/04/26 135.62 $ +5.08% 163,179
Trader
-
Investor
-
Global
-
Quality
-
ESG MSCI
CCC
Sell
Consensus
Buy
Mean consensus
UNDERPERFORM
Number of Analysts
4
Last Close Price
139.23USD
Average target price
149.75USD
Spread / Average Target
+7.56%

Quarterly revenue - Rate of surprise