Virtus Investment Partners Reports Preliminary May 31, 2022 Assets Under Management
Assets Under Management (unaudited) |
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($ in millions) |
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By Product Type: |
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Open-End Funds (1) |
$ 64,927 |
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$ 67,323 |
Closed-End Funds |
11,523 |
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11,424 |
Retail Separate Accounts |
37,569 |
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38,301 |
Institutional Accounts (2) |
53,155 |
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53,846 |
Total |
$ 167,174 |
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$ 170,894 |
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(1) |
Represents assets under management of |
(2) |
Represents assets under management of institutional separate and commingled accounts including structured products |
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