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Previsão
O preço-alvo médio dos analistas é € 125,09 (-1,11%). A mediana é € 116,47 (-7,93%).
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4 |
| Manter |
5 |
| Vender |
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Notícias Ir para o feed de notícias
Virtus Investment Partners reports AUM of $147.5 billion for August
As of August 31, 2026, Virtus Investment Partners reported assets under management (AUM) of $147.5 billion and other fee‑bearing assets of $1.7 billion, bringing total client assets to $149.2 billion. AUM declined from $148.9 billion in July; decreases occurred in institutional mandates, separate retail accounts, U.S. mutual funds and global funds, partially offset by market performance and inflows into ETFs and tender‑offer funds. By asset class, equities fell to $64.8 billion, fixed income rose slightly to $40.2 billion, and alternatives fell to $19.7 billion. » Mais em de.investing.com
Virtus Investment Partners appoints John T. "Jack" Boyce to board of directors
Virtus Investment Partners has appointed John T. "Jack" Boyce to its board of directors and to the audit committee. Boyce, 66, brings more than 25 years of experience in senior finance and distribution roles in asset management, most recently as head of North America distribution at Insight Investment. He previously held leadership positions at Standard Life Investments, PineBridge, AIG Global Investment, General Electric Asset Management and AEGON. Virtus highlights Boyce’s experience building client-focused organizations and his governance roles outside the industry. » Mais em de.investing.com
Virtus Investment Partners: assets under management fall to $148.9 billion in July
As of July 31, 2026, Virtus Investment Partners reported assets under management (AUM) of $148.9 billion and other fee‑paying assets of $1.7 billion, bringing total client assets to $150.6 billion. AUM declined from $152.2 billion at the end of June mainly due to market movements and net outflows across several product categories, particularly in separately managed retail accounts and institutional mandates. Outflows were partially offset by inflows into ETFs and tender‑offer funds; by asset class, equity and multi‑asset holdings fell slightly while alternatives increased marginally. » Mais em de.investing.com
Dividendos históricos Dividendos
Todos os indicadores de dividendos Todos os indicadoresDados financeiros da empresa
| (EUR) | junho de 2026 | |
|---|---|---|
| Receitas | 146,53 mi | 17,56% |
| Ganho bruto | 99,02 mi | 4,71% |
| Ganho líquido | 39,09 mi | 8,72% |
| EBITDA | -24,73 mi | 126,74% |
Dados fundamentais
| Métrica | Valor |
|---|---|
Capitalização bolsista | € 849,79 mi |
Número de ações | 6,68 mi |
Máximo/mínimo de 52 semanas | € 171,41 - € 104,92 |
Rentabilidade de dividendos | 6,49% |
Dividendos TTM | € 8,21 |
Beta | 1,33 |
PER (PE Ratio) | 8,27 |
PEG (PEG Ratio) | -0,57 |
P/VC (PB Ratio) | 1,04 |
P/V (PS Ratio) | 1,30 |
Perfil da empresa
Virtus Investment Partners, Inc. ist ein börsennotierter Vermögensverwalter. Das Unternehmen erbringt seine Dienstleistungen in erster Linie für private und institutionelle Kunden. Sie legt separate, kundenorientierte Aktien- und Rentenportfolios auf. Das Unternehmen legt Aktien-, Renten- und gemischte Investmentfonds für seine Kunden auf. Sie investiert in die öffentlichen Aktien-, Renten- und Immobilienmärkte. Das Unternehmen investiert auch in börsengehandelte Fonds. Für seine Produkte wendet es einen Multi-Manager-Ansatz an. Das Unternehmen setzt bei seinen Investitionen quantitative Analysen ein. Es vergleicht die Leistung seiner Portfolios mit dem S&P 500 Index. Das Unternehmen führt internes Research durch, um seine Investitionen zu tätigen. Virtus Investment Partners, Inc. wurde 1988 gegründet und hat seinen Sitz in Hartford, Connecticut.
| Nome | Virtus Investment Partners |
| CEO | George Robert Aylward |
| Sede | Hartford,
ct Suíça |
| Site | |
| Setor | Finanças |
| Indústria | Mercados de capitais |
| Entrada em bolsa | 02/01/2009 |
| Colaboradores | 801 |
Análise aprofundada
Símbolos de ticker
| Bolsa | Símbolo |
|---|---|
NASDAQ | VRTS |
Frankfurt | VIP.F |
Düsseldorf | VIP.DU |
SIX | VIP.SW |