Virtus Investment Partners EBITDA 2010-2024 | VRTS

Virtus Investment Partners ebitda from 2010 to 2024. Ebitda can be defined as earnings before interest, taxes, depreciation and amortization.
Virtus Investment Partners Annual EBITDA
(Millions of US $)
2023 $223
2022 $272
2021 $385
2020 $193
2019 $167
2018 $150
2017 $84
2016 $63
2015 $95
2014 $155
2013 $135
2012 $77
2011 $29
2010 $21
2009 $5
Virtus Investment Partners Quarterly EBITDA
(Millions of US $)
2024-06-30 $64
2024-03-31 $50
2023-12-31 $58
2023-09-30 $63
2023-06-30 $57
2023-03-31 $45
2022-12-31 $54
2022-09-30 $61
2022-06-30 $75
2022-03-31 $82
2021-12-31 $106
2021-09-30 $106
2021-06-30 $99
2021-03-31 $74
2020-12-31 $56
2020-09-30 $63
2020-06-30 $38
2020-03-31 $36
2019-12-31 $48
2019-09-30 $46
2019-06-30 $41
2019-03-31 $32
2018-12-31 $41
2018-09-30 $45
2018-06-30 $35
2018-03-31 $30
2017-12-31 $35
2017-09-30 $29
2017-06-30 $8
2017-03-31 $12
2016-12-31 $15
2016-09-30 $18
2016-06-30 $15
2016-03-31 $15
2015-12-31 $19
2015-09-30 $26
2015-06-30 $20
2015-03-31 $29
2014-12-31 $42
2014-09-30 $45
2014-06-30 $29
2014-03-31 $39
2013-12-31 $40
2013-09-30 $37
2013-06-30 $32
2013-03-31 $26
2012-12-31 $25
2012-09-30 $22
2012-06-30 $18
2012-03-31 $12
2011-12-31 $12
2011-09-30 $2
2011-06-30 $7
2011-03-31 $8
2010-12-31 $7
2010-09-30 $6
2010-06-30 $4
2010-03-31 $4
2009-12-31 $4
2009-09-30 $2
2009-06-30 $-0
2009-03-31 $-1
Sector Industry Market Cap Revenue
Finance Finance - Investment Management $1.459B $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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