Virtus Investment Partners Operating Income 2010-2024 | VRTS

Virtus Investment Partners operating income from 2010 to 2024. Operating income can be defined as income after operating expenses have been deducted and before interest payments and taxes have been deducted.
Virtus Investment Partners Annual Operating Income
(Millions of US $)
2023 $151
2022 $197
2021 $325
2020 $143
2019 $125
2018 $113
2017 $58
2016 $51
2015 $80
2014 $131
2013 $114
2012 $60
2011 $14
2010 $9
2009 $-7
Virtus Investment Partners Quarterly Operating Income
(Millions of US $)
2024-09-30 $55
2024-06-30 $44
2024-03-31 $32
2023-12-31 $39
2023-09-30 $45
2023-06-30 $39
2023-03-31 $29
2022-12-31 $31
2022-09-30 $44
2022-06-30 $57
2022-03-31 $66
2021-12-31 $84
2021-09-30 $93
2021-06-30 $86
2021-03-31 $62
2020-12-31 $51
2020-09-30 $41
2020-06-30 $27
2020-03-31 $25
2019-12-31 $38
2019-09-30 $36
2019-06-30 $30
2019-03-31 $21
2018-12-31 $29
2018-09-30 $34
2018-06-30 $27
2018-03-31 $23
2017-12-31 $28
2017-09-30 $17
2017-06-30 $3
2017-03-31 $10
2016-12-31 $13
2016-09-30 $17
2016-06-30 $9
2016-03-31 $13
2015-12-31 $17
2015-09-30 $23
2015-06-30 $16
2015-03-31 $25
2014-12-31 $37
2014-09-30 $39
2014-06-30 $23
2014-03-31 $33
2013-12-31 $34
2013-09-30 $32
2013-06-30 $27
2013-03-31 $21
2012-12-31 $20
2012-09-30 $18
2012-06-30 $14
2012-03-31 $8
2011-12-31 $8
2011-09-30 $-2
2011-06-30 $3
2011-03-31 $4
2010-12-31 $4
2010-09-30 $3
2010-06-30 $1
2010-03-31 $1
2009-12-31 $1
2009-09-30 $-1
2009-06-30 $-3
2009-03-31 $-4
Sector Industry Market Cap Revenue
Finance Finance - Investment Management $1.529B $0.845B
Virtus Investment Partners, Inc., headquartered in Hartford, Connecticut, provides investment management products and services to individuals and institutions in the United States. . It operates a multi-manager asset management business, comprising a number of individual affiliated managers, each with a distinct investment style, autonomous investment process and individual brand. Investors have an array of needs and Virtus Investment Partners offers a variety of investment styles and multiple disciplines to meet those needs. The Company provides its products in a number of forms and through multiple distribution channels. Its retail products include open-end mutual funds, closed-end funds and separately managed accounts. The Company manages institutional accounts for corporations, multi-employer retirement funds and foundations, endowments, special purpose funds and other types of institutions.
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