Virtus Investment Partners traded at $218.12 this Friday August 12th, increasing $4.72 or 2.21 percent since the previous trading session. Looking back, over the last four weeks, Virtus Investment Partners gained 25.87 percent. Over the last 12 months, its price fell by 30.33 percent. Looking ahead, we forecast Virtus Investment Partners to be priced at 199.43 by the end of this quarter and at 183.31 in one year, according to Trading Economics global macro models projections and analysts expectations.

Stock Price
218.12
Daily Change
2.21%
Yearly
-30.33%

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Peers Price Day Year
AGF Management 6.70 0.12 1.82% -8.84%
Apollo Investment 13.65 0.08 0.59% -1.30%
Affiliated Managers 139.85 3.58 2.63% -17.35%
Artisan Partners Asset Management 39.31 0.94 2.45% -24.71%
Apollo Global Management 61.00 0.11 0.18% 2.75%
Blucora 22.60 0.54 2.45% 39.33%
Franklin Resources 29.02 0.35 1.22% -11.44%
BlackRock 751.83 23.18 3.18% -18.00%
Blackstone 108.79 2.78 2.62% -5.24%
Carlyle 35.20 0.85 2.47% -27.84%
CME 202.60 3.58 1.80% -2.14%
Cohen & Steers 77.66 0.42 0.54% -11.92%
Federated Hermes Inc. 35.34 0.88 2.55% 4.71%
Gamco Investors 20.70 0.03 0.15% -22.33%
Intercontinental Exchange 109.68 3.05 2.86% -6.16%
Invesco 19.07 0.58 3.14% -23.26%
KKR & Co LP 57.12 0.46 0.81% -13.51%
LPL Financial 227.58 3.86 1.73% 55.46%
Manning And Napier 12.80 0.08 0.63% 28.51%
NASDAQ OMX 190.42 3.85 2.06% -0.30%
Noah 19.97 0.21 1.06% -51.83%
Pzena Investment Management 9.55 0.02 0.21% -11.74%
Charles Schwab 75.00 2.43 3.35% 1.34%
T. Rowe Price 132.26 2.75 2.12% -38.44%
Virtus Investment Partners 218.12 4.72 2.21% -30.33%

Indexes Price Day Year
USND 13047 267.27 2.09% -11.98%
US2000 2017 41.36 2.09% -9.29%

Virtus Investment Partners
Virtus Investment Partners, Inc. (Virtus) is a provider of investment management and related services to individuals and institutions. The Company provides its products in various forms and through multiple distribution channels. Its retail products include open-end mutual funds, closed-end funds, exchange traded funds, variable insurance funds, undertakings for collective investments in transferable securities (UCITS) and separately managed accounts. Its open-end mutual funds are distributed through intermediaries. Its closed-end funds trade on the New York Stock Exchange. Its variable insurance funds are available as investment options in variable annuities and life insurance products distributed by life insurance companies. Separately managed accounts consists of intermediary programs, sponsored and distributed by unaffiliated brokerage firms, and private client accounts, which are offered to the high net-worth clients of its affiliated managers.