Virtus Investment Partners, Inc. is a publicly owned asset management firm headquartered in Hartford, Connecticut. The company operates a distinctive multi-boutique business model, providing investment management services through a network of autonomous affiliated managers and unaffiliated subadvisers. It offers a wide array of financial products, including mutual funds, exchange-traded funds (ETFs), closed-end funds, and retail separate accounts for both individual and institutional clients.
Financial Statements
In thousands, USD
FY 2025
FY 2024
FY 2023
FY 2022
Transaction-Based Revenues
774,618
828,522
767,628
795,857
Other Revenues
78,247
78,427
77,640
90,522
Total Revenues
852,865
906,949
845,268
886,379
Cost of Sales
400,720
432,587
404,742
371,259
Gross Profit
452,145
474,362
440,526
515,120
Selling, General & Administrative Expenses
89,047
96,223
96,802
112,612
Depreciation & Amortization Expenses
59,769
65,257
66,831
62,427
Other Operating Expenses
134,649
130,392
125,409
142,621
Operating Profit
168,680
182,490
151,484
197,460
Interest and Investment Income
199,755
217,220
210,165
111,773
Interest Expense
(162,379)
(183,324)
(178,766)
(93,407)
Non-Operating Income
(18,807)
(8,510)
3,681
(51,938)
Total Non-Operating Income
18,569
25,386
35,080
(33,572)
Income Before Provision for Income Taxes
187,249
207,876
186,564
163,888
Provision for Income Taxes
51,261
55,423
45,088
57,260
Consolidated Net Income
135,988
152,453
141,476
106,628
Net Income Attributable to Minority Interests and Other
(2,408)
30,707
10,855
(10,913)
Net Income Attributable to Common Shareholders
138,396
121,746
130,621
117,541
Basic EPS
20.27
17.19
18.02
15.90
Diluted EPS
19.97
16.89
17.71
15.50
Basic Weighted Average Shares Outstanding
6,829
7,082
7,249
7,391
Diluted Weighted Average Shares Outstanding
6,929
7,210
7,375
7,582
Shares Outstanding
6,695
6,967
7,088
7,182
FY 2025
FY 2024
FY 2023
FY 2022
Cash and Cash Equivalents
386,483
265,888
239,602
338,234
Short-Term Investments
157,480
119,216
132,696
100,330
Total Cash and Cash Equivalents
543,963
385,104
372,298
438,564
Restricted Cash and Segregated Assets
91,703
134,421
101,412
250,945
Trading Assets
2,633,352
2,270,717
2,082,713
2,190,113
Accounts Receivable
102,733
117,207
109,076
99,274
Other Current Assets
40,620
174,371
43,235
45,445
Total Current Assets
3,412,371
3,081,820
2,708,734
3,024,341
Net Property, Plant & Equipment
97,057
79,849
89,445
19,123
Net Intangible Assets
327,409
378,229
432,119
442,519
Goodwill
397,098
397,098
397,098
348,836
Other Long-Term Assets
57,265
57,498
51,233
118,115
Total Assets
4,291,200
3,994,494
3,678,629
3,952,934
Accounts Payable
54,520
49,492
56,047
33,200
Accrued Expenses
182,808
224,501
200,837
181,805
Short-Term Debt
2,749,785
2,404,076
2,175,655
2,338,339
Other Current Liabilities
98,217
158,033
90,523
246,709
Total Current Liabilities
3,085,330
2,836,102
2,523,062
2,800,053
Leases
93,225
70,037
78,142
—
Other Long-Term Liabilities
74,866
79,437
104,267
216,227
Total Long-Term Liabilities
168,091
149,474
182,409
216,227
Total Liabilities
3,253,421
2,985,576
2,705,471
3,016,280
Common Stock
123
122
122
120
Treasury Stock
(749,593)
(689,594)
(644,464)
(599,248)
Additional Paid-in Capital
1,342,153
1,319,108
1,300,999
1,286,244
Accumulated Other Comprehensive Income
462
(364)
(87)
(358)
Retained Earnings
340,898
268,221
207,356
130,261
Total Common Shareholders' Equity
934,043
897,493
863,926
817,019
Minority Interests and Other
103,736
111,425
109,232
119,635
Total Shareholders' Equity
934,845
901,636
868,289
822,936
Total Liabilities and Shareholders' Equity
4,291,200
3,994,494
3,678,629
3,952,934
FY 2025
FY 2024
FY 2023
FY 2022
Net Income
—
—
141,476
106,628
Depreciation & Amortization
—
—
71,731
74,427
Share-Based Compensation Expense
—
—
26,825
24,042
Other Adjustments
—
—
(10,702)
66,368
Changes in Trading Assets
—
—
(1,405)
(127,842)
Changes in Trade Receivables
—
—
5,388
35,483
Changes in Accrued Expenses
—
—
3,863
(47,379)
Changes in Other Operating Activities
—
—
3,993
9,057
Cash from Operating Activities
—
—
237,157
132,670
Capital Expenditure
—
—
(8,821)
(6,582)
Purchases of Investments
—
—
(11,645)
—
Payments for Business Acquisitions
—
—
(108,999)
(20,577)
Other Investing Activities
—
—
(267)
(308)
Cash from Investing Activities
—
—
(129,732)
(27,467)
Issuance of Long-Term Debt
—
—
319,260
306,296
Repayments of Long-Term Debt
—
—
(522,669)
(204,617)
Net Issuance / (Repayments) of Long-Term Debt
—
—
(203,409)
101,679
Repurchases of Common Shares
—
—
(58,774)
(106,830)
Net Issuance / (Repurchases) of Common Shares
—
—
(58,774)
(106,830)
Common Share Dividends Paid
—
—
(52,047)
(47,254)
Other Financing Activities
—
—
(55,657)
(66,482)
Cash from Financing Activities
—
—
(356,113)
(102,057)
Effect of Exchange Rate Changes on Cash and Cash Equivalents
—
—
523
(112)
Increase / (Decrease) in Cash, Cash Equivalents and Restricted Cash