VIRTUS INVESTMENT PARTNERS, INC. (VRTS) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2009: -$11.65M2010: $22.14M2011: $23.65M2012: $39.82M2013: $28.84M2014: -$58.87M2015: -$209.43M2016: $20.92M2017: -$182.86M2018: -$62.55M2019: -$36.72M2020: -$226.10M2021: $665.73M2022: $132.67M2023: $237.16M2024: $1.75M2025: -$67.20M-$67.20M
2009Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025-$67.20M-3929.0%
2024$1.75M-99.3%
2023$237.16M+78.8%
2022$132.67M-80.1%
2021$665.73M+394.4%
2020-$226.10M-515.7%
2019-$36.72M+41.3%
2018-$62.55M+65.8%
2017-$182.86M-974.2%
2016$20.92M+110.0%
2015-$209.43M-255.7%
2014-$58.87M-304.2%
2013$28.84M-27.6%
2012$39.82M+68.4%
2011$23.65M+6.8%
2010$22.14M+290.1%
2009-$11.65M