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Virtus Investment Partners

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uuid002w9yu

Namestring
Virtus Investment Partners
Legal namestring
Virtus Investment Partners, Inc.
Company typeenum
Public
Founded yearint
1996
Descriptiontext

Virtus Investment Partners, Inc. (NYSE: VRTS) is a publicly traded multi-boutique asset management firm headquartered at One Financial Plaza in Hartford, Connecticut. Founded in 1996 as part of The Phoenix Companies and spun off as an independent public company in 2008, Virtus operates a distinctive multi-manager, multi-strategy model encompassing 16 affiliated investment boutiques across U.S. and international locations. These boutiques span systematic global equity (Virtus Systematic, AlphaSimplex), growth equity (Silvant, Kayne Anderson Rudnick, Zevenbergen, SGA), value equity (NFJ, Ceredex), specialty fixed income (Newfleet, Seix), emerging markets debt (Stone Harbor), real assets (Duff & Phelps), event-driven alternatives (Westchester), multi-asset solutions (Virtus Multi-Asset), and—most recently—private credit (Keystone National Group, Crescent Cove Advisors).

The company distributes investment products through multiple channels and vehicle types: open-end mutual funds, 26 actively managed ETFs, listed closed-end funds, retail and institutional separate accounts, variable insurance trusts, collective investment trusts (CITs), and UCITS-compliant international funds. The platform serves individual investors, financial advisors and broker-dealers, institutional investors (corporate and public retirement plans, endowments, foundations, insurance companies, Taft-Hartley plans), and international professional investors through distribution offices in London, Hong Kong, and Singapore.

Virtus generates revenue primarily through asset-based management fees, with Q1 2026 revenue of $199.5 million and an effective fee rate guided at 41-42 basis points (stepping higher as private credit assets contribute). The firm managed approximately $149.0 billion in AUM as of Q1 2026 (later recovering to $156.5 billion by April 2026), with the 26-ETF platform reaching $5.2 billion in AUM, up 72% year-over-year. Notable recent strategic moves include the March 2026 majority acquisition of Keystone National Group ($200 million upfront plus up to $170 million deferred) and a December 2025 minority stake in Crescent Cove Advisors ($40 million), both signaling a deliberate shift toward higher-fee private credit capabilities alongside the public-market multi-boutique core.

Short descriptiontext

Virtus Investment Partners (NYSE: VRTS) is a publicly traded multi-boutique asset manager with 16 affiliated investment boutiques managing approximately $149 billion in assets across equity, fixed income, alternatives, and private credit, serving institutional, retail, financial advisor, and international investors through multiple product wrappers.

Operating statusenum
Operating
Ownership categoryenum
Headcount rangeband
501–1,000
akta.pro rankint
HeadquartersHartford, United States
HQ citystring
Hartford
HQ countrystring
United States
HQ regionstring
North America
Markets served

Serves global market

Offices11 records

Each record includes

City, Country, Type, Description, Source

Keyword5 values
multi-boutique asset management, investment management services, mutual fund management, ETF investment products, private credit lending
Industry3 codes
1Portfolio Management–Led RIAs (Discretionary/Model-Based)
CodeFSAAACACPrimaryYes
2Multi-Asset Solutions for Institutional (Pensions/Endowments/Sovereigns)
CodeFSAAAJAJPrimaryNo
3Values-Based/ESG & Impact-Focused RIAs
CodeFSAAACAKPrimaryNo
NAICS code3 codes
  • Portfolio Management and Investment Advice523940
  • Open-End Investment Funds525910
  • Other Investment Pools and Funds5259
SIC code1 code
  • Investment Advice6282
Product category
Asset Management
GTM motion3 records

Each record includes

Type, Description, Source

Revenue model3 records
1Asset Management Fees
TypeSubscription Recurring
Description

Management fees calculated as a percentage of assets under management across ETFs, mutual funds, closed-end funds, and separate accounts. Q1 2026 revenues of $199.5 million with fee rates guided at 41-42 basis points for Q1, stepping to 43-45 basis points longer-term as higher-fee private credit assets contribute.

businesswire.com
2Advisory and Sub-Advisory Fees
TypeSubscription Recurring
Description

Fees from advisory and sub-advisory relationships with affiliated and unaffiliated investment managers. Multiple sub-advisory arrangements including Voya Investment Management for convertible and income funds, Newfleet Asset Management for multi-sector strategies.

businesswire.com
3Performance Fees (minor)
TypeSubscription Recurring
Description

Some strategies may generate performance-based fees though primary revenue is AUM-based management fees.

stocktitan.net
Marketing channels6 records

Each record includes

Title, Type, Stage, Description, Source

Distribution channels7 records

Each record includes

Title, Type, Scope, Target buyer, Description, Source

Cost components5 values
Personnel, Operations, Marketing or Sales, Technology or R&D, Infrastructure
Pricing details3 tiers
1Quarterly dividend of $2.40 per common share
ModelSubscriptionBilling cadenceQuarterly
Notes

Annual dividend yield approximately 6.9% based on stock price. Declared Q2 2026 dividend payable August 14, 2026 to shareholders of record July 31, 2026.

businesswire.com
2Virtus Artificial Intelligence & Technology Opportunities Fund - $0.15 monthly distribution
ModelSubscriptionBilling cadenceMonthly
Notes

7.09% annualized distribution rate based on NAV of $30.92 as of February 27, 2026. Fund scheduled to terminate on or around October 29, 2031.

morningstar.com
3Virtus Global Multi-Sector Income Fund - $0.08 monthly distributions
ModelSubscriptionBilling cadenceMonthly
Notes

Monthly distributions for June, July, and August 2026. Subadvised by Newfleet Asset Management seeking maximize current income while preserving capital.

stocktitan.net
GTM typeB2B and B2C
B2B and B2C
Offering typeServices
Services
Brand1 of 16 records shown
1AlphaSimplex Group
Description

Quantitative investment strategies

corporate.virtus.com
+15 more records
Core offering1 text field

Virtus Investment Partners operates a multi-boutique asset management platform that partners with 16 distinct affiliated investment managers to deliver investment strategies across equity, fixed income, and alternatives. Products are distributed through mutual funds, actively managed ETFs, closed-end funds, retail separate accounts, variable insurance trusts, institutional mandates, and UCITS funds for international investors.

Differentiator
Functional benefit
Problem solved
Quantifiable outcome1 of 3 values shown
  • ETF AUM grew 72% year-over-year to $5.2 billion
+2 more records
Product overview1 text field

Virtus Investment Partners operates a distinctive multi-boutique, multi-strategy investment platform offering a broad array of investment solutions. The company partners with 16 distinct investment managers (AlphaSimplex Group, Ceredex Value Advisors, Crescent Cove Advisors, Duff & Phelps Investment Management, Kayne Anderson Rudnick, Keystone National Group, Newfleet Asset Management, NFJ Investment Group, Seix Investment Advisors, Silvant Capital Management, Stone Harbor Investment Partners, Sustainable Growth Advisers, Virtus Multi-Asset, Virtus Systematic, Westchester Capital Management, and Zevenbergen Capital Investments), each with distinct investment philosophies and styles. The platform provides access to investment strategies through multiple product types including mutual funds, closed-end funds, ETFs (Virtus ETF Solutions with 26+ actively managed ETFs), retail separate accounts, variable insurance trusts, institutional accounts, and UCITS funds for international investors. The products span all major asset classes (domestic and international equity, fixed income, and alternatives) across all market capitalizations (large, mid, and small) and investment styles (growth, blend, and value).

Product and service8 records
1Virtus ETF Solutions
CategoryActively Managed ETFs
Description

Multi-manager ETF platform offering actively managed exchange-traded funds across various asset classes and strategies, distributed through wealth management platforms, broker-dealers, and direct channels. ETF AUM reached $5.2 billion, up 72% year-over-year as of Q1 2026.

2Virtus Mutual Funds
CategoryOpen-End Mutual Funds
Description

Collection of open-end mutual funds managed by Virtus and its affiliate investment managers across equity, fixed income, and alternative strategies, distributed through financial advisors and broker-dealers.

3Virtus Closed-End Funds
CategoryClosed-End Funds
Description

Portfolio of listed closed-end funds offering income and total return strategies, including Virtus Convertible & Income Fund (NCV), Virtus Convertible & Income Fund II (NCZ), Virtus Equity & Convertible Income Fund (NIE), Virtus Global Multi-Sector Income Fund, and Virtus Artificial Intelligence & Technology Opportunities Fund.

4Retail Separate Accounts
CategoryRetail Managed Accounts
Description

Separately managed accounts offering customized investment solutions for individual investors through fee-based platforms, distributed through registered investment advisors and broker-dealers.

5Variable Insurance Trusts
CategoryVariable Insurance Products
Description

Investment vehicles designed for variable annuity and life insurance products, offering various investment strategies accessible through insurance platforms.

6Virtus Global Funds (UCITS)
CategoryInternational/UCITS Funds
Description

UCITS-compliant investment funds for non-U.S. professional investors, offering access to Virtus investment strategies through regulated fund structures distributed via offices in London, Hong Kong, and Singapore.

7Institutional Investments
CategoryInstitutional Separate Accounts
Description

Investment solutions for institutional investors including corporate and public retirement plans, endowments, foundations, trusts, insurance companies, and Taft-Hartley plans, delivered through direct mandates and sub-advisory arrangements.

8Collective Investment Trusts (CITs)
CategoryCollective Investment Trusts
Description

Bank collective trusts for qualified retirement plans, offering institutional investment strategies at lower cost than comparable mutual fund vehicles.

Scale indicator10 records

Each record includes

Type, Value, Description, Source

Partnership18 partners
Strategic tierCoreTypeStrategic or Co-development PartnerAnnounced on2026-03-01
Description

Virtus completed majority investment in Keystone National Group, a Salt Lake City-based private credit firm specializing in asset-backed lending. Keystone manages $2.5 billion in assets and maintains operational autonomy while contributing private markets capabilities. Deal valued at $200 million upfront with up to $170 million in deferred consideration, expanding Virtus into private credit and asset-backed lending strategies.

Strategic tierGrowthTypeStrategic or Co-development PartnerAnnounced on2025-12-01
Description

Virtus completed 35% minority stake investment in Crescent Cove, a San Francisco-based private credit firm lending to middle-market technology companies. Deal financed using existing resources for approximately $40 million, expanding Virtus's alternative investment offerings.

Strategic tierCoreTypeStrategic or Co-development Partner
Description

Affiliated investment manager specializing in systematic investment strategies. Part of Virtus multi-boutique platform providing differentiated quantitative equity solutions.

Strategic tierCoreTypeStrategic or Co-development Partner
Description

Affiliated value equity manager. Part of Virtus multi-boutique platform managing equity strategies across market capitalizations.

Strategic tierCoreTypeStrategic or Co-development Partner
Description

Affiliated investment manager founded in 1932, specializing in real assets including listed real estate and infrastructure. Manages Virtus Duff & Phelps Real Estate Income ETF (DPRE).

Strategic tierCoreTypeStrategic or Co-development Partner
Description

Affiliated boutique specializing in quality-focused equity strategies. Part of Virtus multi-boutique platform.

Strategic tierCoreTypeStrategic or Co-development Partner
Description

Affiliated fixed income manager specializing in multi-sector fixed income strategies. Subadvises Virtus Global Multi-Sector Income Fund.

Strategic tierCoreTypeStrategic or Co-development Partner
Description

Affiliated global value equity manager based in Dallas, Texas since 1989. Specializes in value investing at intersection of quality and shareholder yield.

Strategic tierCoreTypeStrategic or Co-development Partner
Description

Affiliated specialty fixed income manager since 1992, providing investment grade and leveraged finance capabilities. Division of Virtus Fixed Income Advisers.

Strategic tierCoreTypeStrategic or Co-development Partner
Description

Affiliated growth equity manager seeking disruptive companies with strong growth potential. Manages multiple growth equity funds and ETFs.

Strategic tierCoreTypeStrategic or Co-development Partner
Description

Affiliated emerging markets debt manager with three decades of experience. Division of Virtus Fixed Income Advisers managing EM sovereign, corporate, and local currency debt strategies.

Strategic tierCoreTypeStrategic or Co-development Partner
Description

Affiliated global growth equity manager founded in 2003, managing U.S., global, emerging markets, and international portfolios using team-based fundamental approach.

Strategic tierCoreTypeStrategic or Co-development Partner
Description

Affiliated event-driven alternatives manager for over 40 years specializing in merger arbitrage and credit event strategies. Manages The Merger Fund.

Strategic tierCoreTypeStrategic or Co-development Partner
Description

Affiliated innovative growth equity manager since 1987 specializing in high-growth companies driving disruptive innovation, often through technological advances.

15Virtus Multi-Asset
Strategic tierCoreTypeStrategic or Co-development Partner
Description

Internal division providing differentiated investment solutions across asset classes, regions, factors, sectors, and currencies using global multi-asset portfolios.

corporate.virtus.com
16Virtus Systematic
Strategic tierCoreTypeStrategic or Co-development Partner
Description

Internal division managing differentiated systematic global equity investment solutions across asset classes and regions using behavioral, fundamental, and valuation insights with AI.

corporate.virtus.com
Strategic tierGrowthTypeStrategic or Co-development Partner
Description

Subadviser for Virtus Convertible & Income Fund and Virtus Artificial Intelligence & Technology Opportunities Fund. Provides convertible securities and option writing expertise.

Strategic tierMinorTypeOthers
Description

Legal counsel advising on Keystone National Group acquisition transaction valued at $200 million with potential additional deferred consideration.

Recent move7 records

Each record includes

Date, Type, Title, Description, Source

Expansion highlight5 records

Each record includes

Type, Description

Peers10 records
TypeBroad incumbent
Description

Lazard's asset management division manages active equity, fixed income, and alternatives strategies for institutional and intermediary clients globally — comparable in multi-affiliate active management and global distribution (London/HK/Singapore presence) to Virtus.

TypeDirect peer
Description

AMG is the closest direct peer to Virtus — a publicly traded multi-affiliate/multi-boutique asset manager aggregating numerous specialized investment franchises under a centralized distribution and operations platform. Both firms pursue the same 'boutique aggregator' strategy.

TypeDirect peer
Description

Artisan Partners is a publicly traded high-value-added active asset manager with multiple autonomous investment teams — a boutique-style operating model directly comparable to Virtus's multi-affiliate structure, including shared emphasis on differentiated active strategies.

TypeDirect peer
Description

Victory Capital is a publicly traded multi-boutique asset manager operating a federation model of 10+ affiliated investment franchises distributed across intermediary and institutional channels — directly comparable federation/aggregator structure to Virtus.

TypeDirect peer
Description

Cohen & Steers is a publicly traded specialty asset manager with a focused lineup of real assets and income-oriented strategies distributed via institutional and intermediary channels — comparable specialty-manager positioning to several Virtus affiliates (e.g., Duff & Phelps real assets, Westchester event-driven).

TypeDirect peer
Description

AllianceBernstein is a publicly traded asset manager with diversified equity, fixed income, and multi-asset strategies distributed to institutional, retail, and private wealth clients — comparable scale, channel mix, and AUM-based revenue model to Virtus.

TypeBroad incumbent
Description

Invesco is a global incumbent asset manager with active and passive strategies across ETFs (including QQQ), mutual funds, and institutional mandates — overlapping product set with Virtus ETF Solutions and mutual fund franchises but at meaningfully larger AUM scale.

TypeDirect peer
Description

WisdomTree is a publicly traded asset manager focused on ETFs and model portfolios across equity, fixed income, and alternatives — comparable in its growing actively managed ETF platform (similar to Virtus ETF Solutions, which reached $5.2B at +72% YoY).

TypeDirect peer
Description

Federated Hermes is a publicly traded global investment manager offering mutual funds, ETFs, SMAs, and institutional mandates across equity, fixed income, and liquidity strategies — directly comparable to Virtus in product breadth, distribution channels, and public asset management profile.

TypeDirect peer
Description

Janus Henderson is a publicly traded global asset manager with active equity and fixed income strategies distributed across institutional, intermediary, and self-directed channels — overlapping product set (mutual funds, ETFs, SMAs) and global distribution footprint.

Market position
Strengths4 records

Each record includes

Headline, Details, Source

Weaknesses4 records

Each record includes

Headline, Details, Source

Competitive moat5 records

Each record includes

Type, Details

Key risks5 records

Each record includes

Headline, Details, Source

Key highlights6 records

Each record includes

Headline, Details, Source

Customer concentration

Classification, Details

Named customers12 records

Each record includes

Name, Industry, Type, Use case, Source, UUID

Segment4 records

Each record includes

Title, Type, Primary, Description, Pain point addressed, Use case, Source

Ideal customer profile3 records

Each record includes

Profile, Firmographic size, Sales motion, Sales cycle length, Buying structure, Purchase trigger, Buyer persona, Geography, Industry vertical, Primary use case, Description, Pain points, Evidence proof points, Target buyer

Technology focused
No
API detail
Has APIbool
No

Docs URL, Description

AI maturity
App detail

Has app

Feature3 records

Each record includes

Title, Differentiator, Description, Source

Core technology
Revenue estimate
Valuation estimate
Number of profiles
Profiles7 records

Each record includes

Name, Designation, Designation category, Overview, Profile commentary, Source

Subsidiaries16 records

Each record includes

Name, Acquired on, Relationship type, Type, Business focus

No data
Funding overview

Funding stage, Last funding date, Total funding USD

Funding rounds1 record

Each record includes

Round, Amount USD, Date, Pre money valuation, Total investors, Investors, News

Investors

Each record includes

Name, Type, Date of entry, Rounds participated, Website

Funding detail is available on the Subscription and Enterprise plan.Contact sales →

M&A1 record

Each record includes

Name, Acquisition type, Announced date, Completed date, Status, Website, News

Investment

Each record includes

Name, Round, Announced date, Lead investor, Website, News

M&A and investment is available on the Subscription and Enterprise plan.Contact sales →

Virtus Investment Partners

Asset Managementcorporate.virtus.com

Virtus Investment Partners (NYSE: VRTS) is a publicly traded multi-boutique asset manager with 16 affiliated investment boutiques managing approximately $149 billion in assets across equity, fixed income, alternatives, and private credit, serving institutional, retail, financial advisor, and international investors through multiple product wrappers.

What Virtus Investment Partners does

Virtus Investment Partners, Inc. (NYSE: VRTS) is a publicly traded multi-boutique asset management firm headquartered at One Financial Plaza in Hartford, Connecticut. Founded in 1996 as part of The Phoenix Companies and spun off as an independent public company in 2008, Virtus operates a distinctive multi-manager, multi-strategy model encompassing 16 affiliated investment boutiques across U.S. and international locations. These boutiques span systematic global equity (Virtus Systematic, AlphaSimplex), growth equity (Silvant, Kayne Anderson Rudnick, Zevenbergen, SGA), value equity (NFJ, Ceredex), specialty fixed income (Newfleet, Seix), emerging markets debt (Stone Harbor), real assets (Duff & Phelps), event-driven alternatives (Westchester), multi-asset solutions (Virtus Multi-Asset), and—most recently—private credit (Keystone National Group, Crescent Cove Advisors).

The company distributes investment products through multiple channels and vehicle types: open-end mutual funds, 26 actively managed ETFs, listed closed-end funds, retail and institutional separate accounts, variable insurance trusts, collective investment trusts (CITs), and UCITS-compliant international funds. The platform serves individual investors, financial advisors and broker-dealers, institutional investors (corporate and public retirement plans, endowments, foundations, insurance companies, Taft-Hartley plans), and international professional investors through distribution offices in London, Hong Kong, and Singapore.

Virtus generates revenue primarily through asset-based management fees, with Q1 2026 revenue of $199.5 million and an effective fee rate guided at 41-42 basis points (stepping higher as private credit assets contribute). The firm managed approximately $149.0 billion in AUM as of Q1 2026 (later recovering to $156.5 billion by April 2026), with the 26-ETF platform reaching $5.2 billion in AUM, up 72% year-over-year. Notable recent strategic moves include the March 2026 majority acquisition of Keystone National Group ($200 million upfront plus up to $170 million deferred) and a December 2025 minority stake in Crescent Cove Advisors ($40 million), both signaling a deliberate shift toward higher-fee private credit capabilities alongside the public-market multi-boutique core.

Virtus Investment Partners firmographics

Firmographics
Name
Virtus Investment Partners
Legal name
Virtus Investment Partners, Inc.
Website
https://corporate.virtus.com
Company type
Public
Founded year
1996
Operating status
Operating
Headcount range
501–1,000 employees
Short description
Virtus Investment Partners (NYSE: VRTS) is a publicly traded multi-boutique asset manager with 16 affiliated investment boutiques managing approximately $149 billion in assets across equity, fixed income, alternatives, and private credit, serving institutional, retail, financial advisor, and international investors through multiple product wrappers.
Ownership category
akta.pro rank

Virtus Investment Partners industry classification

Industry
Product category
Asset Management
NAICS
Portfolio Management and Investment Advice (523940), Open-End Investment Funds (525910), Other Investment Pools and Funds (5259)
SIC
Investment Advice (6282)
akta.pro primary industry
Portfolio Management–Led RIAs (Discretionary/Model-Based) (FSAAACAC)
akta.pro secondary industries
Multi-Asset Solutions for Institutional (Pensions/Endowments/Sovereigns) (FSAAAJAJ), Values-Based/ESG & Impact-Focused RIAs (FSAAACAK)

Keywords

  • Multi-boutique asset management
  • Investment management services
  • Mutual fund management
  • ETF investment products
  • Private credit lending

Where Virtus Investment Partners is headquartered

Location

Headquarters

HQ city
Hartford
HQ country
United States
HQ region
North America

Offices11 records

Markets served

Virtus Investment Partners business model

Business model
GTM type
B2B and B2C
Offering type
Services
Cost components
Personnel, Operations, Marketing or Sales, Technology or R&D, Infrastructure

Revenue model

  1. Asset Management Fees: Management fees calculated as a percentage of assets under management across ETFs, mutual funds, closed-end funds, and separate accounts. Q1 2026 revenues of $199.5 million with fee rates guided at 41-42 basis points for Q1, stepping to 43-45 basis points longer-term as higher-fee private credit assets contribute.
  2. Advisory and Sub-Advisory Fees: Fees from advisory and sub-advisory relationships with affiliated and unaffiliated investment managers. Multiple sub-advisory arrangements including Voya Investment Management for convertible and income funds, Newfleet Asset Management for multi-sector strategies.
  3. Performance Fees (minor): Some strategies may generate performance-based fees though primary revenue is AUM-based management fees.

Pricing tiers

ModelBillingPrice
SubscriptionQuarterlyQuarterly dividend of $2.40 per common share
SubscriptionMonthlyVirtus Artificial Intelligence & Technology Opportunities Fund - $0.15 monthly distribution
SubscriptionMonthlyVirtus Global Multi-Sector Income Fund - $0.08 monthly distributions

Go-to-market motion3 records

Distribution channels7 records

Marketing channels6 records

Virtus Investment Partners product offering

Product offering

Core offering

Virtus Investment Partners operates a multi-boutique asset management platform that partners with 16 distinct affiliated investment managers to deliver investment strategies across equity, fixed income, and alternatives. Products are distributed through mutual funds, actively managed ETFs, closed-end funds, retail separate accounts, variable insurance trusts, institutional mandates, and UCITS funds for international investors.

Product overview

Virtus Investment Partners operates a distinctive multi-boutique, multi-strategy investment platform offering a broad array of investment solutions. The company partners with 16 distinct investment managers (AlphaSimplex Group, Ceredex Value Advisors, Crescent Cove Advisors, Duff & Phelps Investment Management, Kayne Anderson Rudnick, Keystone National Group, Newfleet Asset Management, NFJ Investment Group, Seix Investment Advisors, Silvant Capital Management, Stone Harbor Investment Partners, Sustainable Growth Advisers, Virtus Multi-Asset, Virtus Systematic, Westchester Capital Management, and Zevenbergen Capital Investments), each with distinct investment philosophies and styles. The platform provides access to investment strategies through multiple product types including mutual funds, closed-end funds, ETFs (Virtus ETF Solutions with 26+ actively managed ETFs), retail separate accounts, variable insurance trusts, institutional accounts, and UCITS funds for international investors. The products span all major asset classes (domestic and international equity, fixed income, and alternatives) across all market capitalizations (large, mid, and small) and investment styles (growth, blend, and value).

Differentiator

Problem solved

Functional benefit

Brands

  • AlphaSimplex Group: Quantitative investment strategies
  • Ceredex Value Advisors
  • Crescent Cove Advisors
  • Duff & Phelps Investment Management
  • Kayne Anderson Rudnick
  • Keystone National Group
  • Newfleet Asset Management
  • NFJ Investment Group
  • Seix Investment Advisors
  • Silvant Capital Management
  • Stone Harbor Investment Partners
  • Sustainable Growth Advisers
  • Virtus Multi-Asset
  • Virtus Systematic
  • Westchester Capital Management
  • Zevenbergen Capital Investments

Products and services

  • Virtus ETF Solutions Multi-manager ETF platform offering actively managed exchange-traded funds across various asset classes and strategies, distributed through wealth management platforms, broker-dealers, and direct channels. ETF AUM reached $5.2 billion, up 72% year-over-year as of Q1 2026.
  • Virtus Mutual Funds Collection of open-end mutual funds managed by Virtus and its affiliate investment managers across equity, fixed income, and alternative strategies, distributed through financial advisors and broker-dealers.
  • Virtus Closed-End Funds Portfolio of listed closed-end funds offering income and total return strategies, including Virtus Convertible & Income Fund (NCV), Virtus Convertible & Income Fund II (NCZ), Virtus Equity & Convertible Income Fund (NIE), Virtus Global Multi-Sector Income Fund, and Virtus Artificial Intelligence & Technology Opportunities Fund.
  • Retail Separate Accounts Separately managed accounts offering customized investment solutions for individual investors through fee-based platforms, distributed through registered investment advisors and broker-dealers.
  • Variable Insurance Trusts Investment vehicles designed for variable annuity and life insurance products, offering various investment strategies accessible through insurance platforms.
  • Virtus Global Funds (UCITS) UCITS-compliant investment funds for non-U.S. professional investors, offering access to Virtus investment strategies through regulated fund structures distributed via offices in London, Hong Kong, and Singapore.
  • Institutional Investments Investment solutions for institutional investors including corporate and public retirement plans, endowments, foundations, trusts, insurance companies, and Taft-Hartley plans, delivered through direct mandates and sub-advisory arrangements.
  • Collective Investment Trusts (CITs) Bank collective trusts for qualified retirement plans, offering institutional investment strategies at lower cost than comparable mutual fund vehicles.

Quantifiable outcome

  • ETF AUM grew 72% year-over-year to $5.2 billion
  • +2 more outcomes

Companies that use Virtus Investment Partners

Customer profile

Named customers12 records

Segments4 records

Ideal customer profiles3 records

Virtus Investment Partners technology and API

Technology

Technology focussed No

API detail

Has API
No
API docs
API detail

Core technology

AI maturity

App detail

Feature3 records

Virtus Investment Partners partnerships and signals

Strategic signal

Partnerships

18 partnerships are on record, tiered core, growth and minor.

  • Keystone National GroupcoreStrategic or Co-development Partner · 1 March 2026Virtus completed majority investment in Keystone National Group, a Salt Lake City-based private credit firm specializing in asset-backed lending. Keystone manages $2.5 billion in assets and maintains operational autonomy while contributing private markets capabilities. Deal valued at $200 million upfront with up to $170 million in deferred consideration, expanding Virtus into private credit and asset-backed lending strategies.
  • Crescent Cove Advisors LPgrowthStrategic or Co-development Partner · 1 December 2025Virtus completed 35% minority stake investment in Crescent Cove, a San Francisco-based private credit firm lending to middle-market technology companies. Deal financed using existing resources for approximately $40 million, expanding Virtus's alternative investment offerings.
  • AlphaSimplex Group, LLCcoreStrategic or Co-development PartnerAffiliated investment manager specializing in systematic investment strategies. Part of Virtus multi-boutique platform providing differentiated quantitative equity solutions.
  • Ceredex Value AdvisorscoreStrategic or Co-development PartnerAffiliated value equity manager. Part of Virtus multi-boutique platform managing equity strategies across market capitalizations.
  • Duff & Phelps Investment Management Co.coreStrategic or Co-development PartnerAffiliated investment manager founded in 1932, specializing in real assets including listed real estate and infrastructure. Manages Virtus Duff & Phelps Real Estate Income ETF (DPRE).
  • Kayne Anderson Rudnick Investment Management, LLCcoreStrategic or Co-development PartnerAffiliated boutique specializing in quality-focused equity strategies. Part of Virtus multi-boutique platform.
  • Newfleet Asset ManagementcoreStrategic or Co-development PartnerAffiliated fixed income manager specializing in multi-sector fixed income strategies. Subadvises Virtus Global Multi-Sector Income Fund.
  • NFJ Investment GroupcoreStrategic or Co-development PartnerAffiliated global value equity manager based in Dallas, Texas since 1989. Specializes in value investing at intersection of quality and shareholder yield.
  • Seix Investment AdvisorscoreStrategic or Co-development PartnerAffiliated specialty fixed income manager since 1992, providing investment grade and leveraged finance capabilities. Division of Virtus Fixed Income Advisers.
  • Silvant Capital Management LLCcoreStrategic or Co-development PartnerAffiliated growth equity manager seeking disruptive companies with strong growth potential. Manages multiple growth equity funds and ETFs.
  • Stone Harbor Investment PartnerscoreStrategic or Co-development PartnerAffiliated emerging markets debt manager with three decades of experience. Division of Virtus Fixed Income Advisers managing EM sovereign, corporate, and local currency debt strategies.
  • Sustainable Growth Advisers (SGA)coreStrategic or Co-development PartnerAffiliated global growth equity manager founded in 2003, managing U.S., global, emerging markets, and international portfolios using team-based fundamental approach.
  • Westchester Capital Management, LLCcoreStrategic or Co-development PartnerAffiliated event-driven alternatives manager for over 40 years specializing in merger arbitrage and credit event strategies. Manages The Merger Fund.
  • Zevenbergen Capital Investments LLCcoreStrategic or Co-development PartnerAffiliated innovative growth equity manager since 1987 specializing in high-growth companies driving disruptive innovation, often through technological advances.
  • Virtus Multi-AssetcoreStrategic or Co-development PartnerInternal division providing differentiated investment solutions across asset classes, regions, factors, sectors, and currencies using global multi-asset portfolios.
  • Virtus SystematiccoreStrategic or Co-development PartnerInternal division managing differentiated systematic global equity investment solutions across asset classes and regions using behavioral, fundamental, and valuation insights with AI.
  • Voya Investment ManagementgrowthStrategic or Co-development PartnerSubadviser for Virtus Convertible & Income Fund and Virtus Artificial Intelligence & Technology Opportunities Fund. Provides convertible securities and option writing expertise.
  • Willkie Farr & Gallagher LLPminorOthersLegal counsel advising on Keystone National Group acquisition transaction valued at $200 million with potential additional deferred consideration.

Scale indicators10 records

Recent moves7 records

Expansion highlights5 records

Virtus Investment Partners competitors and assessment

Company assessment

Broad incumbents

  • Lazard: Lazard's asset management division manages active equity, fixed income, and alternatives strategies for institutional and intermediary clients globally — comparable in multi-affiliate active management and global distribution (London/HK/Singapore presence) to Virtus.
  • Invesco: Invesco is a global incumbent asset manager with active and passive strategies across ETFs (including QQQ), mutual funds, and institutional mandates — overlapping product set with Virtus ETF Solutions and mutual fund franchises but at meaningfully larger AUM scale.

Direct peers

  • Affiliated Managers Group: AMG is the closest direct peer to Virtus — a publicly traded multi-affiliate/multi-boutique asset manager aggregating numerous specialized investment franchises under a centralized distribution and operations platform. Both firms pursue the same 'boutique aggregator' strategy.
  • Artisan Partners Asset Management: Artisan Partners is a publicly traded high-value-added active asset manager with multiple autonomous investment teams — a boutique-style operating model directly comparable to Virtus's multi-affiliate structure, including shared emphasis on differentiated active strategies.
  • Victory Capital Holdings: Victory Capital is a publicly traded multi-boutique asset manager operating a federation model of 10+ affiliated investment franchises distributed across intermediary and institutional channels — directly comparable federation/aggregator structure to Virtus.
  • Cohen & Steers: Cohen & Steers is a publicly traded specialty asset manager with a focused lineup of real assets and income-oriented strategies distributed via institutional and intermediary channels — comparable specialty-manager positioning to several Virtus affiliates (e.g., Duff & Phelps real assets, Westchester event-driven).
  • AllianceBernstein Holding: AllianceBernstein is a publicly traded asset manager with diversified equity, fixed income, and multi-asset strategies distributed to institutional, retail, and private wealth clients — comparable scale, channel mix, and AUM-based revenue model to Virtus.
  • WisdomTree Investments: WisdomTree is a publicly traded asset manager focused on ETFs and model portfolios across equity, fixed income, and alternatives — comparable in its growing actively managed ETF platform (similar to Virtus ETF Solutions, which reached $5.2B at +72% YoY).
  • Federated Hermes: Federated Hermes is a publicly traded global investment manager offering mutual funds, ETFs, SMAs, and institutional mandates across equity, fixed income, and liquidity strategies — directly comparable to Virtus in product breadth, distribution channels, and public asset management profile.
  • Janus Henderson Group: Janus Henderson is a publicly traded global asset manager with active equity and fixed income strategies distributed across institutional, intermediary, and self-directed channels — overlapping product set (mutual funds, ETFs, SMAs) and global distribution footprint.

Market position

Strengths4 records

Weaknesses4 records

Competitive moat5 records

Key risks5 records

Key highlights6 records

Customer concentration

Virtus Investment Partners social profiles

Digital presence

Virtus Investment Partners financial estimates

Financial estimate

Revenue estimate

Valuation estimate

Virtus Investment Partners leadership team

Management profile

Number of profiles

Profiles7 records

Virtus Investment Partners subsidiaries and ownership

Company hierarchy

Subsidiaries16 records

Virtus Investment Partners funding detail

Funding detail

Funding overview

Funding rounds1 record

Investors

Funding detail is available on the Subscription and Enterprise plan.Contact sales →

Virtus Investment Partners M&A and investment

M&A and investment

M&A1 record

Investments

M&A and investment is available on the Subscription and Enterprise plan.Contact sales →

Frequently asked questions about Virtus Investment Partners

What does Virtus Investment Partners do?

Virtus Investment Partners operates a multi-boutique asset management platform that partners with 16 distinct affiliated investment managers to deliver investment strategies across equity, fixed income, and alternatives. Products are distributed through mutual funds, actively managed ETFs, closed-end funds, retail separate accounts, variable insurance trusts, institutional mandates, and UCITS funds for international investors.

Is Virtus Investment Partners a public or private company?

Virtus Investment Partners is a public company. It is classified as public and is currently operating.

When was Virtus Investment Partners founded?

Virtus Investment Partners was founded in 1996. It employs 501 to 1,000 people.

Where is Virtus Investment Partners based?

Virtus Investment Partners is headquartered in Hartford, United States, in the North America region.

How does Virtus Investment Partners make money?

Three revenue lines are on record. Asset Management Fees are the primary driver. The others are advisory and Sub-Advisory Fees and performance Fees (minor).

Who are Virtus Investment Partners's main competitors?

Broad incumbents on record are Lazard and Invesco. Direct peers are Affiliated Managers Group, Artisan Partners Asset Management, Victory Capital Holdings, Cohen & Steers, AllianceBernstein Holding, WisdomTree Investments, Federated Hermes and Janus Henderson Group.

Does Virtus Investment Partners have an API?

No public API is recorded for Virtus Investment Partners.

What industry is Virtus Investment Partners in?

Virtus Investment Partners's product category is Asset Management. Its primary akta.pro industry code is FSAAACAC, Portfolio Management–Led RIAs (Discretionary/Model-Based), with a secondary code of FSAAAJAJ, Multi-Asset Solutions for Institutional (Pensions/Endowments/Sovereigns). Its NAICS code is 523940 and its SIC code is 6282.

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YahooVirtus Dividend, Interest & Premium Strategy Fund Announces Preliminary Results of Tender OfferVirtus Dividend, Interest & Premium Strategy Fund announced preliminary results of its tender offer to acquire up to 25% of its shares, which expired on October 5, 2026. Approximately 28.8 million shares were tendered, and the purchase price was 99% of net asset value, or $15.9192 per share. Final results are expected on October 7, 2026.Stock TitanVirtus NFJ preliminary tender: about 28.8M shares tenderedVirtus Dividend, Interest & Premium Strategy Fund announced preliminary results of its tender offer to acquire up to 25% of its shares, which expired on October 5, 2026. Approximately 28.8 million shares were tendered, and the purchase price was 99% of net asset value, or $15.9192 per share. The fund expects to announce final results on or about October 7, 2026.ForbesThis 9.2% Closed-End Fund Is Trading At An 11% Discount To NAVA closed-end fund, Virtus Equity & Convertible Income Fund (NIE), trades at an 11.3% discount to NAV and pays a 9.2% dividend. The fund has delivered 13.4% annualized total returns over the past decade, with a dividend that has grown for 16 years. The author argues this discount presents a buying opportunity amid wider CEF discounts.Business Wire BlogVirtus Dividend, Interest & Premium Strategy Fund Announces Preliminary Results of Tender OfferVirtus Dividend, Interest & Premium Strategy Fund announced preliminary results of its tender offer to acquire up to 25% of its shares, which expired on October 5, 2026. Approximately 28.8 million shares were tendered, and the purchase price was $15.9192 per share, 99% of net asset value. Final results are expected on October 7, 2026.American Banking and Market NewsAres Capital (NASDAQ:ARCC) vs. Virtus Investment Partners (NASDAQ:VRTS) Head to Head ComparisonAres Capital beats Virtus Investment Partners on 9 of 16 factors, including higher revenue and earnings. Ares Capital has a stronger analyst consensus and higher upside potential, while Virtus offers a lower P/E and higher dividend yield.American Banking and Market NewsEnvestnet Asset Management Inc. Decreases Stake in Virtus Seix Senior Loan ETF $SEIXEnvestnet Asset Management cut its stake in Virtus Seix Senior Loan ETF by 40.7% in Q2, selling 180,261 shares and holding 262,619 shares worth $6,074,000. Other large investors also adjusted positions, with AdvisorNet, Illumine, Cetera, Triad, and Cassady all increasing holdings.Seeking AlphaVirtus Convertible & Income Fund II: Balancing High Yield And Capital Protection (NCZ)Virtus Convertible & Income Fund II (NCZ) offers a high yield of over 7.4% on its preferred stock, rated A by Fitch, with a 11.3% discount to net asset value. The fund holds 218 securities, with 67.5% in convertibles and 27.5% in high-yield bonds, and its 5-year return outperforms peers. The price decline stems from interest rate risk, not credit deterioration.American Banking and Market NewsHead-To-Head Contrast: Virtus Investment Partners (NASDAQ:VRTS) versus Raymond James Financial (NYSE:RJF)Raymond James Financial and Virtus Investment Partners are compared on profitability, analyst ratings, and valuation. Raymond James beats Virtus on 11 of 17 factors, with a higher consensus rating and price target. Virtus trades at a lower P/E ratio but has a higher dividend yield.ForbesThese 8% Dividends Can Erase Their Own DiscountsVirtus Dividend, Interest & Premium Strategy Fund (NFJ) announced a tender offer to repurchase up to 25% of shares at 99% of NAV, following an agreement with activist Saba Capital Management. The fund trades at a 5.4% discount, with an average 11.5% discount over the past decade, allowing long-term holders to sell at near full value.Tipranks3 Best ETFs with 12%+, According to AI AnalystTipRanks' AI analyst rates Guinness Atkinson Global Innovators Fund, Virtus Silvant Growth Opportunities ETF, and Bahl & Gaynor Income Growth ETF as Outperform, each with at least 12% upside. GAIQ and VGRO are tied at 13.44% upside, while BGIG offers 12.26% upside.