Virtus Investment Partners Reports $149B in Assets Under Management
Virtus Investment Partners reported preliminary assets under management of $149B and other fee earning assets of $1.6 billion for total client assets of $150.6B as of March 31, 2026. The change in AUM from December 31, 2025 reflects market performance and net outflows in retail separate accounts, institutional accounts, and U.S. retail funds, partially offset by positive net flows in exchange-traded funds and global funds. Preliminary average AUM for the quarter was $158.2B.