Virtus Investment Partners Share Holder Equity 2010-2024 | VRTS

Virtus Investment Partners share holder equity from 2010 to 2024. Share holder equity can be defined as the sum of preferred and common equity items
Virtus Investment Partners Annual Share Holder Equity
(Millions of US $)
2023 $868
2022 $823
2021 $837
2020 $721
2019 $686
2018 $644
2017 $605
2016 $322
2015 $509
2014 $563
2013 $493
2012 $244
2011 $218
2010 $84
2009 $76
Virtus Investment Partners Quarterly Share Holder Equity
(Millions of US $)
2024-06-30 $872
2024-03-31 $876
2023-12-31 $868
2023-09-30 $868
2023-06-30 $857
2023-03-31 $844
2022-12-31 $823
2022-09-30 $806
2022-06-30 $792
2022-03-31 $824
2021-12-31 $837
2021-09-30 $821
2021-06-30 $790
2021-03-31 $739
2020-12-31 $721
2020-09-30 $688
2020-06-30 $667
2020-03-31 $666
2019-12-31 $686
2019-09-30 $678
2019-06-30 $664
2019-03-31 $646
2018-12-31 $644
2018-09-30 $659
2018-06-30 $640
2018-03-31 $625
2017-12-31 $605
2017-09-30 $601
2017-06-30 $589
2017-03-31 $552
2016-12-31 $322
2016-09-30 $470
2016-06-30 $466
2016-03-31 $505
2015-12-31 $509
2015-09-30 $539
2015-06-30 $559
2015-03-31 $565
2014-12-31 $563
2014-09-30 $560
2014-06-30 $514
2014-03-31 $510
2013-12-31 $493
2013-09-30 $466
2013-06-30 $256
2013-03-31 $245
2012-12-31 $244
2012-09-30 $237
2012-06-30 $226
2012-03-31 $224
2011-12-31 $218
2011-09-30 $83
2011-06-30 $89
2011-03-31 $86
2010-12-31 $84
2010-09-30 $81
2010-06-30 $78
2010-03-31 $77
2009-12-31 $76
2009-09-30 $74
2009-06-30 $75
2009-03-31 $76
Sector Industry Market Cap Revenue
Finance Finance - Investment Management $1.537B $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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